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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: December 31, 2009


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


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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Monika M. Machon

Title: Senior Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Monika M. Machon               New York, New York        February 18, 2010
-------------------------------    ------------------------  -----------------
(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: 7,565

Form 13F Information Table Value Total: $14,593,432(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. (now known as
                                   PineBridge Investments LLC)

2         28-2725                  SUNAMERICA ASSET MANAGEMENT CORP.

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

4         28-11910                 FSC SECURITIES CORPORATION

5         28-12857                 SAGEPOINT FINANCIAL, INC.


                            13F SECURITIES - 4Q 2009



                                                                                                              VOTING AUTHORITY
                                                                                                        ---------------------------
                                    TITLE OF    CUSIP      VALUE     SHARES/  SH/ PUT/ INVESTMENT OTHER    SOLE     SHARED    NONE
             ISSUER NAME              CLASS     NUMBER    X $1000   PRINCIPAL PRN CALL DISCRETION  MGRS    (A)       (B)      (C)
----------------------------------- -------- ----------- --------- ---------- --- ---- ---------- ----- --------- --------- -------
                                                                                            
1ST SOURCE CORP                     EQUITY     336901103       197     12,270 SH       SOLE           2    12,270        --      --
1ST UNITED BANCORP INC FLA          EQUITY     33740N105         4        500 SH       DEFINED        4        --        --     500
3COM CORP                           EQUITY     885535104     8,948  1,193,106 SH       SOLE           2 1,193,106        --      --
3COM CORP                           EQUITY     885535104         8      1,100 SH       DEFINED        5        --        --   1,100
3D SYS CORP DEL                     EQUITY     88554D205       163     14,462 SH       SOLE           2    14,462        --      --
3M CO                               EQUITY     88579Y101     4,518     54,648 SH       SOLE           1    54,648        --      --
3M CO                               EQUITY     88579Y101    20,952    253,349 SH       SOLE           2   253,349        --      --
3M CO                               EQUITY     88579Y101       284      3,432 SH       DEFINED        4        --        --   3,432
3M CO                               FIXED
                                      INCOME   88579YAB7         4          4 PRN      DEFINED        4        --        --       4
3M CO                               EQUITY     88579Y101       242      2,930 SH       DEFINED        5        --        --   2,930
3PAR INC                            EQUITY     88580F109       266     22,435 SH       SOLE           2    22,435        --      --
51JOB INC                           EQUITY     316827104       626     35,200 SH       SOLE           3    35,200        --      --
99 CENTS ONLY STORES                EQUITY     65440K106     1,827    139,782 SH       SOLE           2   139,782        --      --
A POWER ENERGY GENERAT SYS L        EQUITY     G04136100        17        904 SH       DEFINED        4        --        --     904
A123 SYS INC                        EQUITY     03739T108        37      1,634 SH       DEFINED        4        --        --   1,634
A123 SYS INC                        EQUITY     03739T108         4        200 SH       DEFINED        5        --        --     200
A123 SYSTEMS INC                    EQUITY     03739T108        14        635 SH       SOLE           2       635        --      --
AAON INC                            EQUITY        360206       130      6,651 SH       SOLE           1     6,651        --      --
AAON INC                            EQUITY        360206       233     11,957 SH       SOLE           2    11,957        --      --
AAR CORP                            EQUITY        361105       852     37,080 SH       SOLE           2    37,080        --      --
AAR CORP.                           EQUITY        361105       480     20,893 SH       SOLE           1    20,893        --      --
AARON S INC                         EQUITY       2535201     8,656    312,149 SH       SOLE           2   312,149        --      --
AARONS INC                          EQUITY       2535201         8        280 SH       DEFINED        4        --        --     280
ABAXIS INC                          EQUITY       2567105       298     11,654 SH       SOLE           1    11,654        --      --
ABAXIS INC                          EQUITY       2567105       536     20,984 SH       SOLE           2    20,984        --      --
ABB LTD                             EQUITY        375204        32      1,680 SH       DEFINED        4        --        --   1,680
ABB LTD                             EQUITY        375204       104      5,425 SH       DEFINED        5        --        --   5,425
ABBOTT LABORATORIES                 EQUITY       2824100     4,905     90,853 SH       SOLE           1    90,853        --      --
ABBOTT LABS                         EQUITY       2824100    52,729    976,502 SH       SOLE           2   976,502        --      --
ABBOTT LABS                         EQUITY       2824100       321      5,944 SH       DEFINED        4        --        --   5,944
ABBOTT LABS                         EQUITY       2824100       689     12,760 SH       DEFINED        5        --        --  12,760
ABERCROMBIE & FITCH CO              EQUITY       2896207         2         66 SH       DEFINED        5        --        --      66
ABERCROMBIE + FITCH CO              EQUITY       2896207     1,079     30,929 SH       SOLE           2    30,929        --      --
ABERCROMBIE AND FITCH CO.           EQUITY       2896207       160      4,589 SH       SOLE           1     4,589        --      --
ABERDEEN ASIA PACIFIC INCOM         EQUITY       3009107        22      3,500 SH       DEFINED        5        --        --   3,500
ABERDEEN AUSTRALIA EQTY FD I        EQUITY       3011103        12      1,000 SH       DEFINED        5        --        --   1,000
ABINGTON BANCORP INC PENN           EQUITY     00350L109       123     17,869 SH       SOLE           2    17,869        --      --
ABIOMED INC                         EQUITY       3654100       220     25,142 SH       SOLE           2    25,142        --      --
ABM INDS INC                        EQUITY        957100       910     44,065 SH       SOLE           2    44,065        --      --
ABM INDUSTRIES, INC.                EQUITY        957100       515     24,915 SH       SOLE           1    24,915        --      --
ABOVENET INC                        EQUITY     00374N107     9,756    150,000 SH       SOLE           1   150,000        --      --
ABOVENET INC                        EQUITY     00374N107       698     10,729 SH       SOLE           2    10,729        --      --
ABRAXIS BIOSCIENCE INC NEW          EQUITY     00383Y102         6        142 SH       SOLE           2       142        --      --
ACACIA RESH CORP                    EQUITY       3881307       238     26,111 SH       SOLE           2    26,111        --      --
ACADIA REALTY TRUST                 EQUITY       4239109       392     23,253 SH       SOLE           1    23,253        --      --
ACADIA RLTY TR                      EQUITY       4239109       641     37,983 SH       SOLE           2    37,983        --      --
ACCELRYS INC                        EQUITY     00430U103       128     22,267 SH       SOLE           2    22,267        --      --
ACCELRYS INC                        EQUITY     00430U103         1        225 SH       DEFINED        4        --        --     225
ACCENTURE PLC IRELAND               EQUITY     G1151C101        27        662 SH       DEFINED        4        --        --     662
ACCENTURE PLC IRELAND               EQUITY     G1151C101        32        771 SH       DEFINED        5        --        --     771
ACCO BRANDS CORP                    EQUITY     00081T108       324     44,558 SH       SOLE           2    44,558        --      --
ACCURAY INC                         EQUITY       4397105       182     32,382 SH       SOLE           2    32,382        --      --
ACE LTD                             EQUITY     H0023R105         2         30 SH       DEFINED        4        --        --      30
ACE LTD                             EQUITY     H0023R105        94      1,861 SH       DEFINED        5        --        --   1,861
ACETO CORP                          EQUITY       4446100       104     20,233 SH       SOLE           2    20,233        --      --
ACI WORLDWIDE INC                   EQUITY       4498101     1,801    105,012 SH       SOLE           2   105,012        --      --
ACI WORLDWIDE INC                   EQUITY       4498101         5        300 SH       DEFINED        5        --        --     300
ACME PACKET INC                     EQUITY       4764106     1,072     97,495 SH       SOLE           1    97,495        --      --
ACME PACKET INC                     EQUITY       4764106       349     31,741 SH       SOLE           2    31,741        --      --
ACME PACKET INC                     EQUITY       4764106        28      2,576 SH       DEFINED        4        --        --   2,576
ACORDA THERAPEUTICS INC             EQUITY     00484M106       783     31,050 SH       SOLE           2    31,050        --      --
ACTEL CORP                          EQUITY       4934105       297     25,028 SH       SOLE           2    25,028        --      --
ACTEL CORP.                         EQUITY       4934105       166     13,969 SH       SOLE           1    13,969        --      --
ACTIVIDENTITY CORP                  EQUITY     00506P103        88     37,422 SH       SOLE           2    37,422        --      --
ACTIVISION BLIZZARD INC             EQUITY     00507V109     2,283    205,504 SH       SOLE           2   205,504        --      --
ACTIVISION BLIZZARD INC             EQUITY     00507V109        22      1,972 SH       DEFINED        5        --        --   1,972
ACTUANT CORP                        EQUITY     00508X203       675     36,405 SH       SOLE           1    36,405        --      --
ACTUANT CORP                        EQUITY     00508X203     1,201     64,834 SH       SOLE           2    64,834        --      --
ACTUATE CORP                        EQUITY     00508B102       156     36,512 SH       SOLE           2    36,512        --      --
ACUITY BRANDS INC                   EQUITY     00508Y102       828     23,233 SH       SOLE           1    23,233        --      --
ACUITY BRANDS INC                   EQUITY     00508Y102     1,471     41,274 SH       SOLE           2    41,274        --      --
ACUITY BRANDS INC                   EQUITY     00508Y102         2         60 SH       DEFINED        4        --        --      60
ACURA PHARMACEUTICALS INC           EQUITY     00509L703        36      6,668 SH       SOLE           2     6,668        --      --
ACURA PHARMACEUTICALS INC           EQUITY     00509L703         8      1,500 SH       DEFINED        5        --        --   1,500
ACXIOM CORP                         EQUITY       5125109     3,118    232,345 SH       SOLE           2   232,345        --      --
ADAPTEC INC                         EQUITY     00651F108       390    116,393 SH       SOLE           2   116,393        --      --
ADAPTEC, INC.                       EQUITY     00651F108       217     64,662 SH       SOLE           1    64,662        --      --
ADC TELECOMMUNICATIONS INC          EQUITY        886309     1,831    294,817 SH       SOLE           2   294,817        --      --
ADMINISTAFF INC                     EQUITY       7094105       480     20,355 SH       SOLE           2    20,355        --      --
ADMINISTAFF, INC.                   EQUITY       7094105       280     11,874 SH       SOLE           1    11,874        --      --
ADOBE SYS INC                       EQUITY     00724F101        12        327 SH       DEFINED        4        --        --     327
ADOBE SYS INC                       EQUITY     00724F101        27        724 SH       DEFINED        5        --        --     724
ADOBE SYSTEMS INC                   EQUITY     00724F101    14,994    407,556 SH       SOLE           2   407,556        --      --
ADOBE SYSTEMS INC.                  EQUITY     00724F101       389     10,587 SH       SOLE           1    10,587        --      --
ADOLOR CORP                         EQUITY     00724X102        55     37,848 SH       SOLE           2    37,848        --      --
ADOLOR CORPORATION                  EQUITY     00724X102        11      7,757 SH       SOLE           1     7,757        --      --
ADTRAN INC                          EQUITY     00738A106     3,836    170,132 SH       SOLE           2   170,132        --      --
ADVANCE AMER CASH ADVANCE           EQUITY     00739W107       208     37,466 SH       SOLE           2    37,466        --      --
ADVANCE AUTO PARTS                  EQUITY     00751Y106       599     14,801 SH       SOLE           1    14,801        --      --
ADVANCE AUTO PARTS                  EQUITY     00751Y106    16,268    401,877 SH       SOLE           2   401,877        --      --
ADVANCE AUTO PARTS INC              EQUITY     00751Y106         2         50 SH       DEFINED        5        --        --      50
ADVANCED ANALOGIC TECHNOLO          EQUITY     00752J108     4,060  1,030,463 SH       SOLE           2 1,030,463        --      --
ADVANCED BATTERY TECHNOLOG          EQUITY     00752H102       181     45,341 SH       SOLE           2    45,341        --      --
ADVANCED ENERGY INDS INC            EQUITY       7973100       477     31,624 SH       SOLE           2    31,624        --      --
ADVANCED ENERGY INDUSTRIES          EQUITY       7973100       267     17,729 SH       SOLE           1    17,729        --      --
ADVANCED ENVIRON RECYCLING T        EQUITY       7947104        15     47,275 SH       DEFINED        4        --        --  47,275
ADVANCED MICRO DEVICES INC          EQUITY       7903107     2,396    247,513 SH       SOLE           2   247,513        --      --




                                                                                            
ADVANCED MICRO DEVICES INC          EQUITY       7903107        10      1,064 SH       DEFINED        4        --        --   1,064
ADVANCED MICRO DEVICES INC          EQUITY       7903107       276     28,463 SH       DEFINED        5        --        --  28,463
ADVANCED MICRO DEVICES, INC.        EQUITY       7903107       110     11,377 SH       SOLE           1    11,377        --      --
ADVANTAGE OIL & GAS LTD             EQUITY     00765F101        14      2,100 SH       DEFINED        4        --        --   2,100
ADVANTAGE OIL & GAS LTD             EQUITY     00765F101        42      6,500 SH       DEFINED        5        --        --   6,500
ADVENT CLAY GBL CONV SEC INC        EQUITY       7639107         8        990 SH       DEFINED        4        --        --     990
ADVENT CLAYMORE CV SECS & IN        EQUITY     00764C109         6        400 SH       DEFINED        4        --        --     400
ADVENT CLAYMORE CV SECS & IN        EQUITY     00764C109        31      2,000 SH       DEFINED        5        --        --   2,000
ADVENT CLAYMORE ENH GRW & IN        EQUITY     7.65E+106        23      2,066 SH       DEFINED        5        --        --   2,066
ADVENT SOFTWARE INC                 EQUITY       7974108     1,934     47,484 SH       SOLE           2    47,484        --      --
ADVISORY BRD CO                     EQUITY     00762W107       388     12,655 SH       SOLE           2    12,655        --      --
AECOM TECHNOLOGY CORP               EQUITY     00766T100     6,973    253,550 SH       SOLE           2   253,550        --      --
AECOM TECHNOLOGY CORP DELAWA        EQUITY     00766T100        10        350 SH       DEFINED        5        --        --     350
AEGON N V                           EQUITY       7924103         2        271 SH       DEFINED        4        --        --     271
AEP INDS INC                        EQUITY       1031103       167      4,371 SH       SOLE           2     4,371        --      --
AEROPOSTALE                         EQUITY       7865108     5,070    148,909 SH       SOLE           2   148,909        --      --
AEROPOSTALE INC                     EQUITY       7865108        98      2,890 SH       SOLE           1     2,890        --      --
AEROVIRONMENT INC                   EQUITY       8073108       228      7,854 SH       SOLE           1     7,854        --      --
AEROVIRONMENT INC                   EQUITY       8073108       376     12,941 SH       SOLE           2    12,941        --      --
AES CORP                            EQUITY     00130H105    28,189  2,116,664 SH       SOLE           1 2,116,664        --      --
AES CORP                            EQUITY     00130H105     4,608    345,988 SH       SOLE           2   345,988        --      --
AES CORP                            EQUITY     00130H105     1,592    119,600 SH       SOLE           3   119,600        --      --
AES CORP                            EQUITY     00130H105        12        900 SH       DEFINED        4        --        --     900
AES CORP                            EQUITY     00130H105         2        132 SH       DEFINED        5        --        --     132
AES TR III                          EQUITY     00808N202        56      1,200 SH       DEFINED        4        --        --   1,200
AES TR III                          EQUITY     00808N202       268      5,800 SH       DEFINED        5        --        --   5,800
AETNA INC                           EQUITY     00817Y108     6,562    206,994 SH       SOLE           2   206,994        --      --
AETNA INC NEW                       EQUITY     00817Y108        20        637 SH       DEFINED        5        --        --     637
AETNA INC-NEW                       EQUITY     00817Y108     2,367     74,658 SH       SOLE           1    74,658        --      --
AFC ENTERPRISES INC                 EQUITY     00104Q107       169     20,656 SH       SOLE           2    20,656        --      --
AFFILIATED COMPUTER SERVICES        EQUITY       8190100         2         36 SH       DEFINED        4        --        --      36
AFFILIATED COMPUTER SERVICES        EQUITY       8190100        39        650 SH       DEFINED        5        --        --     650
AFFILIATED COMPUTER SERVICES
  CLASS A                           EQUITY       8190100     3,103     51,978 SH       SOLE           1    51,978        --      --
AFFILIATED COMPUTER SVCS I          EQUITY       8190100     2,043     34,214 SH       SOLE           2    34,214        --      --
AFFILIATED MANAGERS GROUP           EQUITY       8252108     9,746    144,706 SH       SOLE           2   144,706        --      --
AFFILIATED MANAGERS GROUP           EQUITY       8252108     2,936     43,600 SH       SOLE           3    43,600        --      --
AFFYMAX INC                         EQUITY     00826A109       352     14,217 SH       SOLE           2    14,217        --      --
AFFYMETRIX INC                      EQUITY     00826T108     1,264    216,446 SH       SOLE           2   216,446        --      --
AFLAC INC                           EQUITY       1055102     8,876    191,874 SH       SOLE           2   191,874        --      --
AFLAC INC                           EQUITY       1055102        27        586 SH       DEFINED        4        --        --     586
AFLAC INC                           EQUITY       1055102       132      2,843 SH       DEFINED        5        --        --   2,843
AFLAC INC CALL                      OPTION       1055902         1          3     CALL DEFINED        5        --        --       3
AFLAC, INC.                         EQUITY       1055102    11,481    248,245 SH       SOLE           1   248,245        --      --
AGA MEDICAL HOLDINGS INC            EQUITY       8368102       165     11,204 SH       SOLE           2    11,204        --      --
AGCO CORP                           EQUITY       1084102     6,765    209,190 SH       SOLE           2   209,190        --      --
AGCO CORP                           EQUITY       1084102         3        100 SH       DEFINED        5        --        --     100
AGCO CORP.                          EQUITY       1084102     2,134     66,000 SH       SOLE           3    66,000        --      --
AGFEED INDS INC                     EQUITY     00846L101       113     22,531 SH       SOLE           2    22,531        --      --
AGFEED INDUSTRIES INC               EQUITY     00846L101         4        700 SH       DEFINED        4        --        --     700
AGFEED INDUSTRIES INC               EQUITY     00846L101         4        700 SH       DEFINED        5        --        --     700
AGILENT TECHNOLOGIES INC            EQUITY     00846U101     9,087    292,461 SH       SOLE           2   292,461        --      --
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       217      6,971 SH       SOLE           1     6,971        --      --
AGILYSYS INC                        EQUITY     00847J105        98     10,755 SH       SOLE           1    10,755        --      --
AGILYSYS INC                        EQUITY     00847J105       139     15,280 SH       SOLE           2    15,280        --      --
AGL RES INC                         EQUITY       1204106     6,392    175,277 SH       SOLE           2   175,277        --      --
AGL RES INC                         EQUITY       1204106        21        575 SH       DEFINED        4        --        --     575
AGL RES INC                         EQUITY       1204106        91      2,485 SH       DEFINED        5        --        --   2,485
AGNICO EAGLE MINES LTD              EQUITY       8474108        34        626 SH       DEFINED        5        --        --     626
AGNICO-EAGLE MINES                  EQUITY       8474108       314      5,771 SH       OTHER          1        --     5,771      --
AGREE RLTY CORP                     EQUITY       8492100       135      5,811 SH       SOLE           2     5,811        --      --
AGRIUM INC                          EQUITY       8916108     4,645     75,103 SH       OTHER          1        --    75,103      --
AIR METHODS CORP                    EQUITY       9128307       194      5,769 SH       SOLE           1     5,769        --      --
AIR METHODS CORP                    EQUITY       9128307       350     10,404 SH       SOLE           2    10,404        --      --
AIR PRODS & CHEMS INC               EQUITY       9158106       562      6,935 SH       DEFINED        4        --        --   6,935
AIR PRODS + CHEMS INC               EQUITY       9158106     8,618    106,281 SH       SOLE           2   106,281        --      --
AIR PRODUCTS AND CHEMICALS INC      EQUITY       9158106       347      4,283 SH       SOLE           1     4,283        --      --
AIR TRANS SVCS GROUP INC            EQUITY     00922R105       120     45,393 SH       SOLE           2    45,393        --      --
AIRCASTLE LTD                       EQUITY     G0129K104       377     38,316 SH       SOLE           2    38,316        --      --
AIRGAS INC                          EQUITY       9363102     2,010     42,214 SH       SOLE           2    42,214        --      --
AIRGAS, INC.                        EQUITY       9363102        79      1,657 SH       SOLE           1     1,657        --      --
AIRTRAN HLDGS INC                   EQUITY     00949P108         5      1,050 SH       DEFINED        5        --        --   1,050
AIRTRAN HOLDINGS INC                EQUITY     00949P108     2,143    410,611 SH       SOLE           2   410,611        --      --
AIRVANA INC                         EQUITY     00950V101       156     20,484 SH       SOLE           2    20,484        --      --
AK STEEL CORP.                      EQUITY       1547108     2,036     95,347 SH       SOLE           1    95,347        --      --
AK STL HLDG CORP                    EQUITY       1547108       835     39,073 SH       SOLE           2    39,073        --      --
AK STL HLDG CORP                    EQUITY       1547108        90      4,200 SH       DEFINED        5        --        --   4,200
AKAMAI  TECHNOLOGIES  INC.          EQUITY     00971T101        88      3,456 SH       SOLE           1     3,456        --      --
AKAMAI TECHNOLOGIES INC             EQUITY     00971T101     1,799     70,989 SH       SOLE           2    70,989        --      --
AKAMAI TECHNOLOGIES INC             EQUITY     00971T101         6        255 SH       DEFINED        4        --        --     255
AKAMAI TECHNOLOGIES INC             EQUITY     00971T101         6        244 SH       DEFINED        5        --        --     244
AKORN INC                           EQUITY       9728106        82     46,065 SH       SOLE           2    46,065        --      --
ALAMO GROUP INC                     EQUITY      11311107       105      6,132 SH       SOLE           2     6,132        --      --
ALASKA AIR GROUP INC                EQUITY      11659109     3,754    108,623 SH       SOLE           2   108,623        --      --
ALASKA COMMUNICATIONS SYS           EQUITY     01167P101       288     36,087 SH       SOLE           2    36,087        --      --
ALASKA COMMUNICATIONS SYS GR        EQUITY     01167P101        40      5,000 SH       DEFINED        5        --        --   5,000
ALBANY INTERNATIONAL CORP. CLASS A  EQUITY      12348108       331     14,732 SH       SOLE           1    14,732        --      --
ALBANY INTL CORP                    EQUITY      12348108       583     25,937 SH       SOLE           2    25,937        --      --
ALBANY INTL CORP                    FIXED
                                      INCOME   012348AC2         2          2 PRN      DEFINED        5        --        --       2
ALBANY MOLECULAR RESH INC           EQUITY      12423109       173     19,094 SH       SOLE           2    19,094        --      --
ALBEMARLE CORP                      EQUITY      12653101     7,544    207,434 SH       SOLE           2   207,434        --      --
ALBERTO CULVER CO NEW               EQUITY      13078100     5,648    192,834 SH       SOLE           2   192,834        --      --
ALCATEL-LUCENT                      EQUITY      13904305         4      1,280 SH       DEFINED        4        --        --   1,280
ALCATEL-LUCENT                      EQUITY      13904305         9      2,605 SH       DEFINED        5        --        --   2,605
ALCOA INC                           EQUITY      13817101     5,202    322,687 SH       SOLE           2   322,687        --      --
ALCOA INC                           EQUITY      13817101       236     14,628 SH       DEFINED        4        --        --  14,628
ALCOA INC                           EQUITY      13817101       544     33,771 SH       DEFINED        5        --        --  33,771
ALCOA, INC.                         EQUITY      13817101       317     19,682 SH       SOLE           1    19,682        --      --
ALCON INC                           EQUITY     H01301102         5         30 SH       DEFINED        4        --        --      30
ALCON INC                           EQUITY     H01301102        42        257 SH       DEFINED        5        --        --     257
ALEXANDER + BALDWIN INC             EQUITY      14482103     3,179     92,884 SH       SOLE           2    92,884        --      --
ALEXANDERS INC                      EQUITY      14752109       510      1,676 SH       SOLE           2     1,676        --      --
ALEXANDRIA REAL ESTATE EQ IN        EQUITY      15271109         1         21 SH       DEFINED        5        --        --      21
ALEXANDRIA REAL ESTATE EQU          EQUITY      15271109     6,427     99,969 SH       SOLE           2    99,969        --      --





                                                                                            
ALEXION PHARMACEUTICALS IN          EQUITY      15351109        85      1,738 SH       SOLE           2     1,738        --      --
ALICO INC                           EQUITY      16230104        83      2,907 SH       SOLE           2     2,907        --      --
ALIGN TECHNOLOGY INC                EQUITY      16255101     1,151     64,589 SH       SOLE           1    64,589        --      --
ALIGN TECHNOLOGY INC                EQUITY      16255101     1,016     57,009 SH       SOLE           2    57,009        --      --
ALIGN TECHNOLOGY INC                EQUITY      16255101       128      7,200 SH       SOLE           3     7,200        --      --
ALIGN TECHNOLOGY INC                EQUITY      16255101        16        900 SH       DEFINED        5        --        --     900
ALKERMES INC                        EQUITY     01642T108       726     77,196 SH       SOLE           2    77,196        --      --
ALLEGHANY CORP DEL                  EQUITY      17175100        43        156 SH       SOLE           2       156        --      --
ALLEGHENY ENERGY INC                EQUITY      17361106        81      3,433 SH       SOLE           1     3,433        --      --
ALLEGHENY ENERGY INC                EQUITY      17361106     2,467    105,069 SH       SOLE           2   105,069        --      --
ALLEGHENY ENERGY INC                EQUITY      17361106         2         90 SH       DEFINED        4        --        --      90
ALLEGHENY TECHNOLOGIES INC          EQUITY     01741R102        89      1,980 SH       SOLE           1     1,980        --      --
ALLEGHENY TECHNOLOGIES INC          EQUITY     01741R102     1,572     35,106 SH       SOLE           2    35,106        --      --
ALLEGHENY TECHNOLOGIES INC          EQUITY     01741R102       202      4,518 SH       DEFINED        5        --        --   4,518
ALLEGIANT TRAVEL CO                 EQUITY     01748X102       379      8,033 SH       SOLE           1     8,033        --      --
ALLEGIANT TRAVEL CO                 EQUITY     01748X102       692     14,665 SH       SOLE           2    14,665        --      --
ALLEGIANT TRAVEL CO                 EQUITY     01748X102       349      7,400 SH       DEFINED        5        --        --   7,400
ALLERGAN INC                        EQUITY      18490102     8,691    137,888 SH       SOLE           2   137,888        --      --
ALLERGAN INC                        EQUITY      18490102       117      1,851 SH       DEFINED        5        --        --   1,851
ALLERGAN, INC.                      EQUITY      18490102     3,731     59,208 SH       SOLE           1    59,208        --      --
ALLETE INC                          EQUITY      18522300       919     28,120 SH       SOLE           2    28,120        --      --
ALLETE INC                          EQUITY      18522300        10        300 SH       DEFINED        4        --        --     300
ALLETE INC.                         EQUITY      18522300       520     15,918 SH       SOLE           1    15,918        --      --
ALLIANCE CALIF MUN INCOME FD        EQUITY      18546101        28      2,185 SH       DEFINED        5        --        --   2,185
ALLIANCE DATA SYSTEMS CORP          EQUITY      18581108     7,612    117,844 SH       SOLE           2   117,844        --      --
ALLIANCE DATA SYSTEMS CORP          EQUITY      18581108         9        136 SH       DEFINED        5        --        --     136
ALLIANCE FINL CORP                  EQUITY      19205103        91      3,352 SH       SOLE           2     3,352        --      --
ALLIANCE HEALTHCARE SERVIC          EQUITY      18606202       122     21,434 SH       SOLE           2    21,434        --      --
ALLIANCE ONE INTERNATIONAL I        EQUITY      18772103       233     47,816 SH       SOLE           1    47,816        --      --
ALLIANCE ONE INTL INC               EQUITY      18772103       416     85,200 SH       SOLE           2    85,200        --      --
ALLIANCE ONE INTL INC               EQUITY      18772103       105     21,500 SH       DEFINED        4        --        --  21,500
ALLIANCE RES PARTNER L P            EQUITY     01877R108       386      8,900 SH       DEFINED        5        --        --   8,900
ALLIANCEBERNSTEIN GBL HGH IN        EQUITY     01879R106        15      1,100 SH       DEFINED        4        --        --   1,100
ALLIANCEBERNSTEIN GBL HGH IN        EQUITY     01879R106       526     39,551 SH       DEFINED        5        --        --  39,551
ALLIANCEBERNSTEIN HOLDING LP        EQUITY     01881G106       284     10,100 SH       DEFINED        4        --        --  10,100
ALLIANCEBERNSTEIN HOLDING LP        EQUITY     01881G106       106      3,755 SH       DEFINED        5        --        --   3,755
ALLIANCEBERNSTEIN INCOME FUN        EQUITY    1.881E+104       237     28,703 SH       DEFINED        4        --        --  28,703
ALLIANCEBERNSTEIN INCOME FUN        EQUITY    1.881E+104       394     47,751 SH       DEFINED        5        --        --  47,751
ALLIANCEBERNSTEIN NATL MUNI         EQUITY     01864U106     4,169    311,355 SH       DEFINED        4        --        -- 311,355
ALLIANCEBERNSTEIN NATL MUNI         EQUITY     01864U106        66      4,919 SH       DEFINED        5        --        --   4,919
ALLIANT ENERGY CORP                 EQUITY      18802108     7,580    250,492 SH       SOLE           2   250,492        --      --
ALLIANT ENERGY CORP                 EQUITY      18802108         7        231 SH       DEFINED        4        --        --     231
ALLIANT ENERGY CORP                 EQUITY      18802108         4        119 SH       DEFINED        5        --        --     119
ALLIANT TECHSYSTEMS INC             EQUITY      18804104     6,562     74,341 SH       SOLE           2    74,341        --      --
ALLIED CAP CORP NEW                 EQUITY     01903Q108       527    145,964 SH       SOLE           2   145,964        --      --
ALLIED CAP CORP NEW                 EQUITY     01903Q108         3        710 SH       DEFINED        4        --        --     710
ALLIED CAP CORP NEW                 EQUITY     01903Q108       149     41,312 SH       DEFINED        5        --        --  41,312
ALLIED HEALTHCARE INTL INC          EQUITY     01923A109     1,449    498,044 SH       SOLE           1   498,044        --      --
ALLIED HEALTHCARE INTL INC          EQUITY     01923A109       107     36,747 SH       SOLE           2    36,747        --      --
ALLIED IRISH BKS P L C              EQUITY      19228402         5      1,298 SH       DEFINED        4        --        --   1,298
ALLIED IRISH BKS P L C              EQUITY      19228402         8      2,250 SH       DEFINED        5        --        --   2,250
ALLIED NEVADA GOLD CORP             EQUITY      19344100       679     45,029 SH       SOLE           2    45,029        --      --
ALLIED WORLD ASSURANCE COM          EQUITY     G0219G203        63      1,373 SH       SOLE           2     1,373        --      --
ALLION HEALTHCARE INC               EQUITY      19615103       117     17,868 SH       SOLE           2    17,868        --      --
ALLIS CHALMERS ENERGY INC           EQUITY      19645506       182     48,211 SH       SOLE           2    48,211        --      --
ALLOS THERAPEUTICS INC              EQUITY      19777101       387     58,948 SH       SOLE           2    58,948        --      --
ALLSCRIPT MISYS HEALTCAR S          EQUITY     01988P108        24      1,199 SH       SOLE           2     1,199        --      --
ALLSCRIPT MISYS HEALTCAR SOL        EQUITY     01988P108         8        400 SH       DEFINED        4        --        --     400
ALLSCRIPT MISYS HEALTCAR SOL        EQUITY     01988P108        16        800 SH       DEFINED        5        --        --     800
ALLSCRIPTS-MISYS HEALTHCARE         EQUITY     01988P108       585     28,900 SH       SOLE           1    28,900        --      --
ALLSCRIPTS-MISYS HEALTHCARE         EQUITY     01988P108     2,436    120,400 SH       SOLE           3   120,400        --      --
ALLSTATE CORP                       EQUITY      20002101    10,556    351,390 SH       SOLE           2   351,390        --      --
ALLSTATE CORP                       EQUITY      20002101       146      4,862 SH       DEFINED        4        --        --   4,862
ALLSTATE CORP                       EQUITY      20002101        27        884 SH       DEFINED        5        --        --     884
ALLSTATE CORP.                      EQUITY      20002101    36,586  1,217,424 SH       SOLE           1 1,217,424        --      --
ALLSTATE CORP.                      EQUITY      20002101     1,595     53,100 SH       SOLE           3    53,100        --      --
ALMOST FAMILY INC                   EQUITY      20409108       170      4,307 SH       SOLE           1     4,307        --      --
ALMOST FAMILY INC                   EQUITY      20409108       304      7,702 SH       SOLE           2     7,702        --      --
ALNYLAM PHARMACEUTICALS IN          EQUITY     02043Q107       518     29,425 SH       SOLE           2    29,425        --      --
ALON USA ENERGY INC                 EQUITY      20520102        46      6,653 SH       SOLE           2     6,653        --      --
ALPHA NAT RES INC                   EQUITY     02076X102       102      2,354 SH       SOLE           2     2,354        --      --
ALPHA NATURAL RESOURCES INC         EQUITY     02076X102     2,750     63,400 SH       SOLE           3    63,400        --      --
ALPHA NATURAL RESOURCES INC         EQUITY     02076X102        24        563 SH       DEFINED        5        --        --     563
ALPHATEC HLDGS INC                  EQUITY     02081G102       144     26,919 SH       SOLE           2    26,919        --      --
ALPINE GLOBAL DYNAMIC DIVD F        EQUITY    2.082E+109        10      1,000 SH       DEFINED        4        --        --   1,000
ALPINE GLOBAL DYNAMIC DIVD F        EQUITY    2.082E+109         3        338 SH       DEFINED        5        --        --     338
ALPINE GLOBAL PREMIER PPTYS         EQUITY     02083A103        21      3,417 SH       DEFINED        5        --        --   3,417
ALPINE TOTAL DYNAMIC DIVID F        EQUITY      21060108       345     38,689 SH       DEFINED        4        --        --  38,689
ALPINE TOTAL DYNAMIC DIVID F        EQUITY      21060108        50      5,631 SH       DEFINED        5        --        --   5,631
ALTAIR NANOTECHNOLOGIES INC         EQUITY      21373105         2      2,000 SH       DEFINED        5        --        --   2,000
ALTERA CORP                         EQUITY      21441100     3,254    143,738 SH       SOLE           2   143,738        --      --
ALTERA CORP                         EQUITY      21441100         6        277 SH       DEFINED        5        --        --     277
ALTERA CORP.                        EQUITY      21441100       135      5,962 SH       SOLE           1     5,962        --      --
ALTRA HLDGS INC                     EQUITY     02208R106       269     21,780 SH       SOLE           2    21,780        --      --
ALTRIA GROUP INC                    EQUITY     02209S103     7,542    384,185 SH       SOLE           1   384,185        --      --
ALTRIA GROUP INC                    EQUITY     02209S103    19,934  1,015,396 SH       SOLE           2 1,015,396        --      --
ALTRIA GROUP INC                    EQUITY     02209S103     1,432     72,948 SH       DEFINED        4        --        --  72,948
ALTRIA GROUP INC                    EQUITY     02209S103       437     22,275 SH       DEFINED        5        --        --  22,275
ALUMINA LTD                         EQUITY      22205108         3        523 SH       DEFINED        4        --        --     523
ALUMINUM CORP CHINA LTD             EQUITY      22276109         1         50 SH       DEFINED        5        --        --      50
ALZA CORP                           FIXED
                                      INCOME   02261WAB5         3          3 PRN      DEFINED        4        --        --       3
AMAG PHARMACEUTICALS INC            EQUITY     00163U106       529     13,906 SH       SOLE           2    13,906        --      --
AMAZON COM INC                      EQUITY      23135106    31,761    236,024 SH       SOLE           2   236,024        --      --
AMAZON COM INC                      EQUITY      23135106         9         67 SH       DEFINED        4        --        --      67
AMAZON COM INC                      EQUITY      23135106       111        825 SH       DEFINED        5        --        --     825
AMAZON.COM, INC.                    EQUITY      23135106     4,496     33,425 SH       SOLE           1    33,425        --      --
AMB PPTY CORP                       EQUITY     00163T109     8,460    331,108 SH       SOLE           2   331,108        --      --
AMBAC FINL GROUP INC                EQUITY      23139108       195    234,721 SH       SOLE           2   234,721        --      --
AMBAC FINL GROUP INC                EQUITY      23139108        93    112,460 SH       DEFINED        5        --        -- 112,460
AMBASSADORS GROUP INC               EQUITY      23177108       204     15,355 SH       SOLE           2    15,355        --      --
AMCOL INTERNATIONAL CORP.           EQUITY     02341W103       374     13,146 SH       SOLE           1    13,146        --      --
AMCOL INTL CORP                     EQUITY     02341W103       646     22,731 SH       SOLE           2    22,731        --      --
AMDOCS LTD                          EQUITY     G02602103     1,616     56,657 SH       SOLE           2    56,657        --      --
AMDOCS LTD                          EQUITY     G02602103         6        200 SH       DEFINED        4        --        --     200
AMDOCS LTD                          EQUITY     G02602103        10        362 SH       DEFINED        5        --        --     362





                                                                                            
AMEDISYS INC                        EQUITY      23436108       719     14,798 SH       SOLE           1    14,798        --      --
AMEDISYS INC                        EQUITY      23436108     1,276     26,269 SH       SOLE           2    26,269        --      --
AMEDISYS INC                        EQUITY      23436108       612     12,598 SH       DEFINED        4        --        --  12,598
AMEDISYS INC                        EQUITY      23436108        11        225 SH       DEFINED        5        --        --     225
AMERCO                              EQUITY      23586100       363      7,303 SH       SOLE           2     7,303        --      --
AMEREN CORP                         EQUITY      23608102     2,381     85,199 SH       SOLE           2    85,199        --      --
AMEREN CORP                         EQUITY      23608102         7        263 SH       DEFINED        4        --        --     263
AMEREN CORP                         EQUITY      23608102        21        747 SH       DEFINED        5        --        --     747
AMEREN CORP.                        EQUITY      23608102       134      4,788 SH       SOLE           1     4,788        --      --
AMERICA FIRST TAX EX IVS L P        EQUITY     02364V107         2        300 SH       DEFINED        4        --        --     300
AMERICA MOVIL SAB DE CV             EQUITY     02364W105    43,231    920,200 SH       SOLE           1   920,200        --      --
AMERICA MOVIL SAB DE CV             EQUITY     02364W105        85      1,806 SH       DEFINED        5        --        --   1,806
AMERICA SVC GROUP INC               EQUITY     02364L109       107      6,748 SH       SOLE           2     6,748        --      --
AMERICAN APPAREL INC                EQUITY      23850100        83     26,632 SH       SOLE           2    26,632        --      --
AMERICAN AXLE & MFG HLDGS IN        EQUITY      24061103         8        994 SH       DEFINED        4        --        --     994
AMERICAN AXLE + MFG HLDGS           EQUITY      24061103       283     35,255 SH       SOLE           2    35,255        --      --
AMERICAN CAMPUS CMNTYS INC          EQUITY      24835100     1,198     42,623 SH       SOLE           2    42,623        --      --
AMERICAN CAMPUS CMNTYS INC          EQUITY      24835100         8        300 SH       DEFINED        5        --        --     300
AMERICAN CAP LTD                    EQUITY     02503Y103       558    228,626 SH       SOLE           2   228,626        --      --
AMERICAN CAP LTD                    EQUITY     02503Y103        32     13,072 SH       DEFINED        4        --        --  13,072
AMERICAN CAP LTD                    EQUITY     02503Y103        12      4,893 SH       DEFINED        5        --        --   4,893
AMERICAN CAPITAL AGENCY CO          EQUITY     02503X105       352     13,250 SH       SOLE           2    13,250        --      --
AMERICAN CARESOURCE HLDGS           EQUITY     02505A103        21      8,641 SH       SOLE           2     8,641        --      --
AMERICAN COML LINES INC             EQUITY      25195405       136      7,393 SH       SOLE           2     7,393        --      --
AMERICAN DAIRY INC                  EQUITY      25334103       173      7,986 SH       SOLE           2     7,986        --      --
AMERICAN DAIRY INC                  EQUITY      25334103         2        100 SH       DEFINED        4        --        --     100
AMERICAN DAIRY INC                  EQUITY      25334103       349     16,075 SH       DEFINED        5        --        --  16,075
AMERICAN DAIRY INC CALL             OPTION      25334903         1         10     CALL DEFINED        5        --        --      10
AMERICAN DENTAL PARTNERS I          EQUITY      25353103       161     12,517 SH       SOLE           2    12,517        --      --
AMERICAN EAGLE OUTFITTERS           EQUITY    2.553E+109     9,326    549,233 SH       SOLE           2   549,233        --      --
AMERICAN EAGLE OUTFITTERS           EQUITY    2.553E+109     2,832    166,800 SH       SOLE           3   166,800        --      --
AMERICAN EAGLE OUTFITTERS NE        EQUITY    2.553E+109        10        600 SH       DEFINED        5        --        --     600
AMERICAN ECOLOGY CORP               EQUITY      25533407       253     14,825 SH       SOLE           2    14,825        --      --
AMERICAN ECOLOGY CORP               EQUITY      25533407        51      3,000 SH       DEFINED        5        --        --   3,000
AMERICAN ELEC PWR INC               EQUITY      25537101     5,512    158,440 SH       SOLE           2   158,440        --      --
AMERICAN ELEC PWR INC               EQUITY      25537101        60      1,727 SH       DEFINED        4        --        --   1,727
AMERICAN ELEC PWR INC               EQUITY      25537101       111      3,203 SH       DEFINED        5        --        --   3,203
AMERICAN ELECTRIC POWER, INC.       EQUITY      25537101       336      9,658 SH       SOLE           1     9,658        --      --
AMERICAN EQUITY INVT LIFE           EQUITY      25676206       353     47,510 SH       SOLE           2    47,510        --      --
AMERICAN EXPRESS CO                 EQUITY      25816109    20,059    494,908 SH       SOLE           2   494,908        --      --
AMERICAN EXPRESS CO                 EQUITY      25816109        27        671 SH       DEFINED        4        --        --     671
AMERICAN EXPRESS CO                 EQUITY      25816109       384      9,465 SH       DEFINED        5        --        --   9,465
AMERICAN EXPRESS CO.                EQUITY      25816109    10,002    246,838 SH       SOLE           1   246,838        --      --
AMERICAN FINANCIAL GROUP, INC.      EQUITY      25932104     3,363    134,799 SH       SOLE           1   134,799        --      --
AMERICAN FINL GROUP INC OH          EQUITY      25932104     4,470    179,160 SH       SOLE           2   179,160        --      --
AMERICAN FINL GROUP INC OHIO        EQUITY      25932104         3        106 SH       DEFINED        4        --        --     106
AMERICAN GREETINGS CORP             EQUITY      26375105     2,623    120,398 SH       SOLE           2   120,398        --      --
AMERICAN GREETINGS CORP             EQUITY      26375105        14        625 SH       DEFINED        5        --        --     625
AMERICAN INTERNATIONAL GROUP INC    EQUITY      26874784     3,302    110,155 SH       SOLE           1   110,155        --      --
AMERICAN INTL GROUP INC             EQUITY      26874784     1,427     47,610 SH       SOLE           2    47,610        --      --
AMERICAN INTL GROUP INC             EQUITY      26874784        50      1,653 SH       DEFINED        4        --        --   1,653
AMERICAN INTL GROUP INC             EQUITY      26874784       138      4,597 SH       DEFINED        5        --        --   4,597
AMERICAN ITALIAN PASTA CO           EQUITY      27070101     2,812     80,817 SH       SOLE           2    80,817        --      --
AMERICAN ITALIAN PASTA CO           EQUITY      27070101         7        200 SH       DEFINED        5        --        --     200
AMERICAN MED SYS HLDGS              EQUITY     02744M108     1,365     70,753 SH       SOLE           2    70,753        --      --
AMERICAN MED SYS HLDGS INC          EQUITY     02744M108        16        816 SH       DEFINED        4        --        --     816
AMERICAN MEDICAL SYSTEMS HOLDI      EQUITY     02744M108       760     39,393 SH       SOLE           1    39,393        --      --
AMERICAN NATL BANKSHARES I          EQUITY      27745108       109      4,983 SH       SOLE           2     4,983        --      --
AMERICAN NATL INS CO                EQUITY      28591105        53        444 SH       SOLE           2       444        --      --
AMERICAN ORIENTAL BIOENGIN          EQUITY      28731107       234     50,395 SH       SOLE           2    50,395        --      --
AMERICAN PHYSICIANS CAP IN          EQUITY      28884104       257      8,464 SH       SOLE           2     8,464        --      --
AMERICAN PHYSICIANS CAPITAL IN      EQUITY      28884104       144      4,755 SH       SOLE           1     4,755        --      --
AMERICAN PHYSICIANS SVC GR          EQUITY      28882108       120      5,205 SH       SOLE           2     5,205        --      --
AMERICAN PUB ED INC                 EQUITY     02913V103       598     17,390 SH       SOLE           2    17,390        --      --
AMERICAN PUBLIC EDUCATION INC       EQUITY     02913V103       334      9,710 SH       SOLE           1     9,710        --      --
AMERICAN RAILCAR INDS INC           EQUITY     02916P103        83      7,534 SH       SOLE           2     7,534        --      --
AMERICAN REPROGRAPHICSCO            EQUITY      29263100       208     29,705 SH       SOLE           2    29,705        --      --
AMERICAN RLTY INVS INC              EQUITY      29174109        26      2,111 SH       SOLE           2     2,111        --      --
AMERICAN SAFETY INSURANCE           EQUITY     G02995101       101      7,021 SH       SOLE           2     7,021        --      --
AMERICAN SCIENCE & ENGINEERI        EQUITY      29429107       359      4,736 SH       SOLE           1     4,736        --      --
AMERICAN SCIENCE + ENGR IN          EQUITY      29429107       659      8,688 SH       SOLE           2     8,688        --      --
AMERICAN SELECT PORTFOLIO IN        EQUITY      29570108        17      1,477 SH       DEFINED        4        --        --   1,477
AMERICAN SOFTWARE INC               EQUITY      29683109       109     18,131 SH       SOLE           2    18,131        --      --
AMERICAN SOFTWARE INC               EQUITY      29683109         1        200 SH       DEFINED        5        --        --     200
AMERICAN STATES WATER CO.           EQUITY      29899101       349      9,868 SH       SOLE           1     9,868        --      --
AMERICAN STS WTR CO                 EQUITY      29899101       626     17,692 SH       SOLE           2    17,692        --      --
AMERICAN SUPERCONDUCTOR CO          EQUITY      30111108     1,450     35,462 SH       SOLE           2    35,462        --      --
AMERICAN SUPERCONDUCTOR CORP        EQUITY      30111108       573     13,999 SH       DEFINED        4        --        --  13,999
AMERICAN SUPERCONDUCTOR CORP        EQUITY      30111108        55      1,345 SH       DEFINED        5        --        --   1,345
AMERICAN TECHNOLOGY CORP            EQUITY      30145205         7      5,000 SH       DEFINED        5        --        --   5,000
AMERICAN TOWER CORP                 EQUITY      29912201     3,851     89,130 SH       SOLE           1    89,130        --      --
AMERICAN TOWER CORP                 EQUITY      29912201    17,556    406,280 SH       SOLE           2   406,280        --      --
AMERICAN TOWER CORP                 EQUITY      29912201         3         65 SH       DEFINED        4        --        --      65
AMERICAN VANGUARD CORP              EQUITY      30371108        92     11,075 SH       SOLE           1    11,075        --      --
AMERICAN VANGUARD CORP              EQUITY      30371108       157     18,870 SH       SOLE           2    18,870        --      --
AMERICAN VANGUARD CORP              EQUITY      30371108        37      4,500 SH       DEFINED        4        --        --   4,500
AMERICAN WATER WORKS                EQUITY      30420103        42      1,888 SH       SOLE           2     1,888        --      --
AMERICAN WOODMARK CORP              EQUITY      30506109       166      8,413 SH       SOLE           2     8,413        --      --
AMERICAN WTR WKS CO INC NEW         EQUITY      30420103         9        404 SH       DEFINED        5        --        --     404
AMERICAS CAR MART INC               EQUITY     03062T105       213      8,105 SH       SOLE           2     8,105        --      --
AMERICA'S CAR-MART INC              EQUITY     03062T105       914     34,700 SH       SOLE           1    34,700        --      --
AMERICA'S CAR-MART INC              EQUITY     03062T105     1,216     46,200 SH       SOLE           3    46,200        --      --
AMERICREDIT CORP                    EQUITY     03060R101     4,131    216,940 SH       SOLE           2   216,940        --      --
AMERIGAS PARTNERS L P               EQUITY      30975106        14        350 SH       DEFINED        4        --        --     350
AMERIGAS PARTNERS L P               EQUITY      30975106        77      1,965 SH       DEFINED        5        --        --   1,965
AMERIGON INC                        EQUITY     03070L300       139     17,466 SH       SOLE           2    17,466        --      --
AMERIGROUP CORP                     EQUITY     03073T102       739     27,423 SH       SOLE           1    27,423        --      --
AMERIGROUP CORP                     EQUITY     03073T102     1,358     50,384 SH       SOLE           2    50,384        --      --
AMERIPRISE FINANCIAL INC            EQUITY     03076C106     2,034     52,396 SH       SOLE           1    52,396        --      --
AMERIPRISE FINL INC                 EQUITY     03076C106     4,991    128,560 SH       SOLE           2   128,560        --      --
AMERIPRISE FINL INC                 EQUITY     03076C106         2         49 SH       DEFINED        4        --        --      49
AMERIPRISE FINL INC                 EQUITY     03076C106        20        513 SH       DEFINED        5        --        --     513
AMERIS BANCORP                      EQUITY     03076K108        81     11,267 SH       SOLE           2    11,267        --      --
AMERISAFE INC                       EQUITY     03071H100       182     10,133 SH       SOLE           1    10,133        --      --
AMERISAFE INC                       EQUITY     03071H100       324     18,056 SH       SOLE           2    18,056        --      --





                                                                                            
AMERISOURCEBERGEN CO                EQUITY    3.073E+108     1,358     52,082 SH       SOLE           1    52,082        --      --
AMERISOURCEBERGEN CORP              EQUITY    3.073E+108     3,222    123,599 SH       SOLE           2   123,599        --      --
AMERISOURCEBERGEN CORP              EQUITY    3.073E+108         3        107 SH       DEFINED        5        --        --     107
AMERISTAR CASINOS INC               EQUITY     03070Q101       318     20,911 SH       SOLE           2    20,911        --      --
AMERON INTL CORP                    EQUITY      30710107       477      7,518 SH       SOLE           2     7,518        --      --
AMES NATL CORP                      EQUITY      31001100       113      5,340 SH       SOLE           2     5,340        --      --
AMETEK INC NEW                      EQUITY      31100100    12,060    315,366 SH       SOLE           2   315,366        --      --
AMETEK INC NEW                      EQUITY      31100100         4        110 SH       DEFINED        4        --        --     110
AMGEN INC                           EQUITY      31162100    32,812    579,875 SH       SOLE           2   579,875        --      --
AMGEN INC                           EQUITY      31162100        34        606 SH       DEFINED        4        --        --     606
AMGEN INC                           EQUITY      31162100       278      4,922 SH       DEFINED        5        --        --   4,922
AMGEN, INC.                         EQUITY      31162100    21,602    381,861 SH       SOLE           1   381,861        --      --
AMICAS INC                          EQUITY       1712108       156     28,766 SH       SOLE           2    28,766        --      --
AMICUS THERAPEUTICS INC             EQUITY     03152W109        49     12,374 SH       SOLE           2    12,374        --      --
AMKOR TECHNOLOGY INC                EQUITY      31652100       639     89,258 SH       SOLE           2    89,258        --      --
AMN HEALTHCARE SERVICE              EQUITY       1744101       159     17,514 SH       SOLE           1    17,514        --      --
AMN HEALTHCARE SVCS INC             EQUITY       1744101       283     31,236 SH       SOLE           2    31,236        --      --
AMPAL AMERN ISRAEL CORP             EQUITY      32015109        46     17,149 SH       SOLE           2    17,149        --      --
AMPCO PITTSBURGH CORP               EQUITY      32037103       219      6,941 SH       SOLE           2     6,941        --      --
AMPHENOL CORP NEW                   EQUITY      32095101     3,932     85,088 SH       SOLE           2    85,088        --      --
AMPHENOL CORP NEW                   EQUITY      32095101         3         75 SH       DEFINED        4        --        --      75
AMPHENOL CORP NEW                   EQUITY      32095101       113      2,454 SH       DEFINED        5        --        --   2,454
AMPHENOL CORP. CLASS A              EQUITY      32095101       160      3,457 SH       SOLE           1     3,457        --      --
AMR CORP                            EQUITY       1765106        64      8,280 SH       DEFINED        5        --        --   8,280
AMR CORP DEL                        EQUITY       1765106        51      6,545 SH       SOLE           2     6,545        --      --
AMR CORP.                           EQUITY       1765106        91     11,757 SH       SOLE           1    11,757        --      --
AMREP CORP                          EQUITY      32159105        14      1,038 SH       SOLE           2     1,038        --      --
AMSURG CORP                         EQUITY     03232P405       646     29,349 SH       SOLE           2    29,349        --      --
AMSURG CORP CL A                    EQUITY     03232P405       360     16,344 SH       SOLE           1    16,344        --      --
AMTRUST FINANCIAL SERVICES          EQUITY      32359309       219     18,561 SH       SOLE           2    18,561        --      --
AMYLIN PHARMACEUTICALS INC          EQUITY      32346108        40      2,811 SH       SOLE           2     2,811        --      --
ANADARKO PETE CORP                  EQUITY      32511107    10,092    161,528 SH       SOLE           2   161,528        --      --
ANADARKO PETE CORP                  EQUITY      32511107        12        191 SH       DEFINED        4        --        --     191
ANADARKO PETE CORP                  EQUITY      32511107       281      4,500 SH       DEFINED        5        --        --   4,500
ANADARKO PETROLEUM CORP.            EQUITY      32511107    18,439    295,405 SH       SOLE           1   295,405        --      --
ANADIGICS INC                       EQUITY      32515108       218     51,597 SH       SOLE           2    51,597        --      --
ANADIGICS INC                       EQUITY      32515108        20      4,700 SH       DEFINED        4        --        --   4,700
ANALOG DEVICES INC                  EQUITY      32654105     7,030    222,583 SH       SOLE           2   222,583        --      --
ANALOG DEVICES INC                  EQUITY      32654105         1         39 SH       DEFINED        4        --        --      39
ANALOG DEVICES, INC.                EQUITY      32654105       717     22,699 SH       SOLE           1    22,699        --      --
ANALOG DEVICES, INC.                EQUITY      32654105     2,053     65,000 SH       SOLE           3    65,000        --      --
ANALOGIC CORP                       EQUITY      32657207       472     12,268 SH       SOLE           2    12,268        --      --
ANALOGIC CORP.                      EQUITY      32657207       265      6,871 SH       SOLE           1     6,871        --      --
ANAREN INC                          EQUITY      32744104       179     11,866 SH       SOLE           2    11,866        --      --
ANCESTRY COM INC                    EQUITY      32803108        88      6,299 SH       SOLE           2     6,299        --      --
ANDERSONS INC                       EQUITY      34164103       450     17,437 SH       SOLE           2    17,437        --      --
ANDERSONS INC/THE                   EQUITY      34164103       250      9,684 SH       SOLE           1     9,684        --      --
ANGIODYNAMICS INC                   EQUITY     03475V101       321     19,952 SH       SOLE           2    19,952        --      --
ANGLOGOLD ASHANTI LTD               EQUITY      35128206         3         85 SH       DEFINED        4        --        --      85
ANGLOGOLD ASHANTI LTD               EQUITY      35128206        10        259 SH       DEFINED        5        --        --     259
ANHEUSER BUSCH INBEV SA/NV          EQUITY     03524A108         1         24 SH       DEFINED        5        --        --      24
ANIXTER INTERNATIONALL, INC.        EQUITY      35290105       724     15,381 SH       SOLE           1    15,381        --      --
ANIXTER INTL INC                    EQUITY      35290105     1,336     28,373 SH       SOLE           2    28,373        --      --
ANNALY CAP MGMT INC                 EQUITY      35710409        42      2,409 SH       DEFINED        5        --        --   2,409
ANNALY CAPITAL MANAGEMENT           EQUITY      35710409       264     15,243 SH       SOLE           2    15,243        --      --
ANNALY MTG MGMT INC                 EQUITY      35710409     3,306    190,532 SH       SOLE           1   190,532        --      --
ANNTAYLOR STORES CORP               EQUITY      36115103     2,443    179,134 SH       SOLE           2   179,134        --      --
ANSYS INC                           EQUITY     03662Q105     8,689    199,925 SH       SOLE           2   199,925        --      --
ANSYS INC                           EQUITY     03662Q105         2         47 SH       DEFINED        4        --        --      47
ANTARES PHARMA INC                  EQUITY      36642106        11     10,000 SH       DEFINED        4        --        --  10,000
ANWORTH MORTGAGE ASSET CP           EQUITY      37347101         4        528 SH       DEFINED        5        --        --     528
ANWORTH MTG ASSET CORP  1           EQUITY      37347101       648     92,624 SH       SOLE           2    92,624        --      --
AOL INC                             EQUITY     00184X105     5,624    241,600 SH       SOLE           2   241,600        --      --
AOL INC                             EQUITY     00184X105         2         68 SH       DEFINED        4        --        --      68
AOL INC                             EQUITY     00184X105         4        179 SH       DEFINED        5        --        --     179
AON CORP                            EQUITY      37389103     4,794    125,042 SH       SOLE           2   125,042        --      --
AON CORP                            EQUITY      37389103         9        231 SH       DEFINED        5        --        --     231
AON CORP.                           EQUITY      37389103     9,990    260,573 SH       SOLE           1   260,573        --      --
APAC CUSTOMER SVCS INC              EQUITY     1.85E+108       124     20,767 SH       SOLE           2    20,767        --      --
APACHE CORP                         EQUITY      37411105    17,076    165,456 SH       SOLE           2   165,456        --      --
APACHE CORP                         EQUITY      37411105       292      2,830 SH       DEFINED        4        --        --   2,830
APACHE CORP                         EQUITY      37411105       303      2,938 SH       DEFINED        5        --        --   2,938
APACHE CORP.                        EQUITY      37411105     5,471     53,027 SH       SOLE           1    53,027        --      --
APARTMENT INVT & MGMT CO            EQUITY     03748R101        60      3,794 SH       DEFINED        5        --        --   3,794
APARTMENT INVT + MGMT CO            EQUITY     03748R101       668     41,948 SH       SOLE           2    41,948        --      --
APCO OIL + GAS INTERNATION          EQUITY     G0471F109       165      7,455 SH       SOLE           2     7,455        --      --
APOGEE ENTERPRISES INC              EQUITY      37598109       374     26,725 SH       SOLE           2    26,725        --      --
APOGEE ENTERPRISES INC              EQUITY      37598109       110      7,843 SH       DEFINED        4        --        --   7,843
APOGEE ENTERPRISES, INC.            EQUITY      37598109       210     15,015 SH       SOLE           1    15,015        --      --
APOLLO COMMERCIAL REAL EST          EQUITY     03762U105       147      8,158 SH       SOLE           2     8,158        --      --
APOLLO GROUP INC                    EQUITY      37604105     3,363     55,493 SH       SOLE           2    55,493        --      --
APOLLO GROUP INC                    EQUITY      37604105         6        100 SH       DEFINED        4        --        --     100
APOLLO GROUP INC                    EQUITY      37604105        13        221 SH       DEFINED        5        --        --     221
APOLLO GROUP, INC. CLASS A          EQUITY      37604105       158      2,604 SH       SOLE           1     2,604        --      --
APOLLO INVT CORP                    EQUITY     03761U106     4,979    522,482 SH       SOLE           2   522,482        --      --
APOLLO INVT CORP                    EQUITY     03761U106       637     66,773 SH       DEFINED        4        --        --  66,773
APOLLO INVT CORP                    EQUITY     03761U106       546     57,203 SH       DEFINED        5        --        --  57,203
APPLE COMPUTER, INC.                EQUITY      37833100    48,477    230,026 SH       SOLE           1   230,026        --      --
APPLE INC                           EQUITY      37833100   135,179    641,026 SH       SOLE           2   641,026        --      --
APPLE INC                           EQUITY      37833100     1,199      5,691 SH       DEFINED        4        --        --   5,691
APPLE INC                           EQUITY      37833100     1,823      8,651 SH       DEFINED        5        --        --   8,651
APPLIED INDL TECHNOLOGIES           EQUITY     03820C105       877     39,747 SH       SOLE           2    39,747        --      --
APPLIED INDUSTRIAL TECH., INC.      EQUITY     03820C105       441     19,990 SH       SOLE           1    19,990        --      --
APPLIED MATERIALS INC               EQUITY      38222105    13,469    966,174 SH       SOLE           2   966,174        --      --
APPLIED MATERIALS, INC.             EQUITY      38222105     1,097     78,699 SH       SOLE           1    78,699        --      --
APPLIED MATLS INC                   EQUITY      38222105       116      8,338 SH       DEFINED        4        --        --   8,338
APPLIED MATLS INC                   EQUITY      38222105       253     18,147 SH       DEFINED        5        --        --  18,147
APPLIED MICRO CIRCUITS COR          EQUITY     03822W406       402     53,819 SH       SOLE           2    53,819        --      --
APPLIED SIGNAL TECHNOLOGY           EQUITY      38237103       135      7,019 SH       SOLE           1     7,019        --      --
APPLIED SIGNAL TECHNOLOGY           EQUITY      38237103       240     12,466 SH       SOLE           2    12,466        --      --
APPROACH RES INC                    EQUITY     03834A103        76      9,805 SH       SOLE           2     9,805        --      --
APTARGROUP INC                      EQUITY      38336103     5,461    152,793 SH       SOLE           2   152,793        --      --
AQUA AMER INC                       EQUITY     03836W103     5,401    308,475 SH       SOLE           2   308,475        --      --
AQUA AMERICA INC                    EQUITY     03836W103        83      4,760 SH       DEFINED        4        --        --   4,760
AQUA AMERICA INC                    EQUITY     03836W103        87      4,961 SH       DEFINED        5        --        --   4,961





                                                                                            
ARABIAN AMERN DEV CO                EQUITY      38465100         2        797 SH       DEFINED        5        --        --     797
ARBITRON INC                        EQUITY     03875Q108       594     25,359 SH       SOLE           2    25,359        --      --
ARBITRON, INC.                      EQUITY     03875Q108       329     14,041 SH       SOLE           1    14,041        --      --
ARBOR RLTY TR INC                   EQUITY      38923108         1        700 SH       DEFINED        5        --        --     700
ARCH CAP GROUP LTD                  EQUITY     G0450A105        98      1,364 SH       SOLE           2     1,364        --      --
ARCH CAP GROUP LTD                  EQUITY     G0450A105         3         40 SH       DEFINED        4        --        --      40
ARCH CHEMICALS INC                  EQUITY     03937R102       740     23,974 SH       SOLE           2    23,974        --      --
ARCH CHEMICALS, INC.                EQUITY     03937R102       415     13,445 SH       SOLE           1    13,445        --      --
ARCH COAL INC                       EQUITY      39380100     8,179    367,574 SH       SOLE           2   367,574        --      --
ARCH COAL INC                       EQUITY      39380100        14        620 SH       DEFINED        4        --        --     620
ARCH COAL INC                       EQUITY      39380100       348     15,645 SH       DEFINED        5        --        --  15,645
ARCHER DANIELS MIDLAND CO           EQUITY      39483102    12,144    387,856 SH       SOLE           2   387,856        --      --
ARCHER DANIELS MIDLAND CO           EQUITY      39483102       579     18,486 SH       DEFINED        4        --        --  18,486
ARCHER DANIELS MIDLAND CO           EQUITY      39483102        94      3,004 SH       DEFINED        5        --        --   3,004
ARCHER DANIELS MIDLAND CO           EQUITY      39483201     1,036     23,751 SH       DEFINED        5        --        --  23,751
ARCHER DANIELS MIDLAND CO.          EQUITY      39483102     4,258    135,997 SH       SOLE           1   135,997        --      --
ARCHIPELAGO LEARNING INC            EQUITY     03956P102       764     36,897 SH       SOLE           1    36,897        --      --
ARCHIPELAGO LEARNING INC            EQUITY     03956P102       121      5,868 SH       SOLE           2     5,868        --      --
ARCHIPELAGO LEARNING INC            EQUITY     03956P102     3,503    169,228 SH       SOLE           3   169,228        --      --
ARCSIGHT INC                        EQUITY      39666102       604     23,600 SH       SOLE           1    23,600        --      --
ARCSIGHT INC                        EQUITY      39666102       385     15,032 SH       SOLE           2    15,032        --      --
ARCSIGHT INC                        EQUITY      39666102       601     23,500 SH       SOLE           3    23,500        --      --
ARCSIGHT INC                        EQUITY      39666102         8        300 SH       DEFINED        4        --        --     300
ARCTIC CAT INC                      EQUITY      39670104        16      1,718 SH       SOLE           2     1,718        --      --
ARCTIC CAT, INC.                    EQUITY      39670104        60      6,555 SH       SOLE           1     6,555        --      --
ARDEA BIOSCIENCES INC               EQUITY     03969P107       163     11,610 SH       SOLE           2    11,610        --      --
ARDEN GROUP INC                     EQUITY      39762109        93        973 SH       SOLE           2       973        --      --
ARENA PHARMACEUTICALS INC           EQUITY      40047102       269     75,661 SH       SOLE           2    75,661        --      --
ARENA PHARMACEUTICALS INC           EQUITY      40047102         4      1,000 SH       DEFINED        4        --        --   1,000
ARENA PHARMACEUTICALS INC           EQUITY      40047102         7      2,000 SH       DEFINED        5        --        --   2,000
ARENA RES INC                       EQUITY      40049108     1,346     31,212 SH       SOLE           2    31,212        --      --
ARENA RESOURCES INC                 EQUITY      40049108     3,398     78,800 SH       SOLE           3    78,800        --      --
ARES CAP CORP                       EQUITY     04010L103     1,115     89,521 SH       SOLE           2    89,521        --      --
ARES CAP CORP                       EQUITY     04010L103       562     45,147 SH       DEFINED        4        --        --  45,147
ARES CAP CORP                       EQUITY     04010L103         5        400 SH       DEFINED        5        --        --     400
ARGAN INC                           EQUITY     4.01E+112        87      6,053 SH       SOLE           2     6,053        --      --
ARGO GROUP INTERNATIONAL H          EQUITY     G0464B107       734     25,179 SH       SOLE           2    25,179        --      --
ARGON ST INC                        EQUITY      40149106       240     11,034 SH       SOLE           2    11,034        --      --
ARIAD PHARMACEUTICALS INC           EQUITY     04033A100       203     88,880 SH       SOLE           2    88,880        --      --
ARIAD PHARMACEUTICALS INC           EQUITY     04033A100        15      6,700 SH       DEFINED        5        --        --   6,700
ARIBA INC                           EQUITY     04033V203       894     71,374 SH       SOLE           2    71,374        --      --
ARKANSAS BEST CORP                  EQUITY      40790107     4,965    168,713 SH       SOLE           2   168,713        --      --
ARKANSAS BEST CORP.                 EQUITY      40790107       399     13,572 SH       SOLE           1    13,572        --      --
ARMSTRONG WORLD INDS INC N          EQUITY     04247X102        21        534 SH       SOLE           2       534        --      --
ARQULE INC                          EQUITY    4.269E+110       139     37,781 SH       SOLE           2    37,781        --      --
ARQULE, INC.                        EQUITY    4.269E+110        55     15,004 SH       SOLE           1    15,004        --      --
ARRAY BIOPHARMA INC                 EQUITY     04269X105       110     39,297 SH       SOLE           2    39,297        --      --
ARRIS GROUP INC                     EQUITY     04269Q100       764     66,815 SH       SOLE           1    66,815        --      --
ARRIS GROUP INC                     EQUITY     04269Q100     1,358    118,817 SH       SOLE           2   118,817        --      --
ARROW ELECTRONICS INC               EQUITY      42735100       448     15,145 SH       SOLE           1    15,145        --      --
ARROW ELECTRS INC                   EQUITY      42735100     8,011    270,538 SH       SOLE           2   270,538        --      --
ARROW FINL CORP                     EQUITY      42744102       191      7,647 SH       SOLE           2     7,647        --      --
ART TECHNOLOGY GROUP INC            EQUITY     04289L107       955    211,800 SH       SOLE           1   211,800        --      --
ART TECHNOLOGY GROUP INC            EQUITY     04289L107       466    103,398 SH       SOLE           2   103,398        --      --
ART TECHNOLOGY GROUP INC            EQUITY     04289L107     1,114    246,900 SH       SOLE           3   246,900        --      --
ART TECHNOLOGY GROUP INC            EQUITY     04289L107        16      3,446 SH       DEFINED        4        --        --   3,446
ARTESIAN RES CORP                   EQUITY      43113208        93      5,066 SH       SOLE           2     5,066        --      --
ARTIO GLOBAL INVESTOS INC           EQUITY     04315B107       575     22,553 SH       SOLE           2    22,553        --      --
ARUBA NETWORKS INC                  EQUITY      43176106       858     80,500 SH       SOLE           1    80,500        --      --
ARUBA NETWORKS INC                  EQUITY      43176106       513     48,098 SH       SOLE           2    48,098        --      --
ARUBA NETWORKS INC                  EQUITY      43176106       209     19,600 SH       SOLE           3    19,600        --      --
ARUBA NETWORKS INC                  EQUITY      43176106        35      3,300 SH       DEFINED        4        --        --   3,300
ARVINMERITOR INC                    EQUITY      43353101       676     60,433 SH       SOLE           2    60,433        --      --
ARVINMERITOR, INC                   EQUITY      43353101       695     62,200 SH       SOLE           1    62,200        --      --
ARVINMERITOR, INC                   EQUITY      43353101     4,745    424,400 SH       SOLE           3   424,400        --      --
ARYX THERAPEUTICS INC               EQUITY      43387109        55     16,992 SH       SOLE           2    16,992        --      --
ASBURY AUTOMOTIVE GROUP IN          EQUITY      43436104       303     26,272 SH       SOLE           2    26,272        --      --
ASCENT MEDIA CORP                   EQUITY      43632108       294     11,497 SH       SOLE           2    11,497        --      --
ASCENT SOLAR TECHNOLOGIES           EQUITY      43635101        82     15,437 SH       SOLE           2    15,437        --      --
ASHFORD HOSPITALITY TR INC          EQUITY      44103109       200     43,040 SH       SOLE           2    43,040        --      --
ASHLAND INC                         EQUITY      44209104     1,762     44,460 SH       SOLE           1    44,460        --      --
ASHLAND INC NEW                     EQUITY      44209104     6,717    169,544 SH       SOLE           2   169,544        --      --
ASHLAND INC NEW                     EQUITY      44209104        12        300 SH       DEFINED        4        --        --     300
ASIAINFO HLDGS INC                  EQUITY     04518A104       776     25,476 SH       SOLE           2    25,476        --      --
ASIAINFO HLDGS INC                  EQUITY     04518A104       125      4,105 SH       DEFINED        5        --        --   4,105
ASIAINFO HOLDINGS INC.              EQUITY     04518A104     4,612    149,200 SH       SOLE           1   149,200        --      --
ASIAINFO HOLDINGS INC.              EQUITY     04518A104       289      9,500 SH       SOLE           3     9,500        --      --
ASML HOLDING N V                    EQUITY     N07059186     9,497    278,600 SH       SOLE           2   278,600        --      --
ASML HOLDING N V                    EQUITY     N07059186         4        130 SH       DEFINED        5        --        --     130
ASPEN INSURANCE HOLDINGS L          EQUITY     G05384105        60      2,371 SH       SOLE           2     2,371        --      --
ASSET ACCEP CAP CORP                EQUITY     04543P100        83     12,212 SH       SOLE           2    12,212        --      --
ASSISTED LIVING CONCEPTS I          EQUITY     04544X300       217      8,214 SH       SOLE           2     8,214        --      --
ASSOCIATED BANC CORP                EQUITY      45487105     3,187    289,491 SH       SOLE           2   289,491        --      --
ASSOCIATED ESTATES REALTY           EQUITY      45604105        13      1,181 SH       SOLE           1     1,181        --      --
ASSOCIATED ESTATES RLTY CO          EQUITY      45604105       137     12,194 SH       SOLE           2    12,194        --      --
ASSURANT INC                        EQUITY     04621X108        70      2,363 SH       SOLE           1     2,363        --      --
ASSURANT INC                        EQUITY     04621X108     1,950     66,154 SH       SOLE           2    66,154        --      --
ASSURANT INC                        EQUITY     04621X108         1         41 SH       DEFINED        5        --        --      41
ASSURED GUARANTY LTD                EQUITY     G0585R106     2,186    100,464 SH       SOLE           2   100,464        --      --
ASTEC INDS INC                      EQUITY      46224101       474     17,577 SH       SOLE           2    17,577        --      --
ASTEC INDS INC COM                  EQUITY      46224101       287     10,651 SH       SOLE           1    10,651        --      --
ASTORIA FINL CORP                   EQUITY      46265104     3,133    252,047 SH       SOLE           2   252,047        --      --
ASTRAZENECA PLC                     EQUITY      46353108        87      1,860 SH       DEFINED        5        --        --   1,860
ASTRONICS CORP                      EQUITY      46433108        65      7,551 SH       SOLE           2     7,551        --      --
ASTRONICS CORP                      EQUITY      46433108         5        539 SH       DEFINED        5        --        --     539
AT&T INC                            EQUITY     00206R102    40,025  1,427,933 SH       SOLE           1 1,427,933        --      --
AT&T INC                            EQUITY     00206R102     3,006    107,253 SH       DEFINED        4        --        -- 107,253
AT&T INC                            EQUITY     00206R102     3,890    138,785 SH       DEFINED        5        --        -- 138,785
AT+T INC                            EQUITY     00206R102    71,184  2,539,047 SH       SOLE           2 2,539,047        --      --
ATC TECHNOLOGY CORP                 EQUITY     00211W104       254     10,658 SH       SOLE           1    10,658        --      --
ATC TECHNOLOGY CORP                 EQUITY     00211W104       452     18,959 SH       SOLE           2    18,959        --      --
ATHENAHEALTH INC                    EQUITY     04685W103     1,238     27,358 SH       SOLE           2    27,358        --      --
ATHEROS COMMUNICATIONS INC          EQUITY     04743P108     1,785     52,133 SH       SOLE           2    52,133        --      --
ATLANTIC TELE NETWORK INC           EQUITY      49079205       402      7,302 SH       SOLE           2     7,302        --      --
ATLAS AIR WORLDWIDE HLDGS           EQUITY      49164205     5,701    153,044 SH       SOLE           2   153,044        --      --





                                                                                            
ATLAS AIR WORLDWIDE HOLDINGS INC    EQUITY      49164205     1,334     35,800 SH       SOLE           1    35,800        --      --
ATLAS AIR WORLDWIDE HOLDINGS INC    EQUITY      49164205     1,565     42,000 SH       SOLE           3    42,000        --      --
ATLAS ENERGY INC                    EQUITY      49298102     4,679    155,074 SH       SOLE           2   155,074        --      --
ATLAS ENERGY INC                    EQUITY      49298102        24        806 SH       DEFINED        4        --        --     806
ATLAS ENERGY INC                    EQUITY      49298102        10        348 SH       DEFINED        5        --        --     348
ATLAS PIPELINE PARTNERS LP          EQUITY      49392103        14      1,381 SH       DEFINED        4        --        --   1,381
ATMEL CORP                          EQUITY      49513104     4,728  1,025,671 SH       SOLE           2 1,025,671        --      --
ATMI INC                            EQUITY     00207R101       559     30,027 SH       SOLE           2    30,027        --      --
ATMI, INC.                          EQUITY     00207R101       311     16,709 SH       SOLE           1    16,709        --      --
ATMOS ENERGY CORP                   EQUITY      49560105     6,159    209,489 SH       SOLE           2   209,489        --      --
ATMOS ENERGY CORP                   EQUITY      49560105        82      2,805 SH       DEFINED        5        --        --   2,805
ATMOS ENERGY CORP.                  EQUITY      49560105     1,601     54,453 SH       SOLE           1    54,453        --      --
ATP OIL & GAS CORP                  EQUITY     00208J108        11        576 SH       DEFINED        5        --        --     576
ATP OIL + GAS CORPORATION           EQUITY     00208J108       593     32,441 SH       SOLE           2    32,441        --      --
ATRION CORP                         EQUITY      49904105       192      1,230 SH       SOLE           2     1,230        --      --
ATS MEDICAL INC                     EQUITY       2083103       125     38,713 SH       SOLE           2    38,713        --      --
ATS MEDICAL INC                     EQUITY       2083103       501    155,000 SH       SOLE           3   155,000        --      --
ATWOOD OCEANICS INC                 EQUITY      50095108     4,574    127,596 SH       SOLE           2   127,596        --      --
AUBURN NATL BANCORP                 EQUITY      50473107        38      1,916 SH       SOLE           2     1,916        --      --
AUDIOVOX COPR.                      EQUITY      50757103        71      9,948 SH       SOLE           1     9,948        --      --
AUDIOVOX CORP                       EQUITY      50757103       118     16,670 SH       SOLE           2    16,670        --      --
AURIZON MINES LTD                   EQUITY     05155P106        57     12,802 SH       OTHER          1        --    12,802      --
AUTHENTIDATE HLDG CORP              EQUITY      52666104         6      5,500 SH       DEFINED        4        --        --   5,500
AUTODESK INC                        EQUITY      52769106         3        135 SH       DEFINED        4        --        --     135
AUTODESK INCORPORATED               EQUITY      52769106     2,740    107,814 SH       SOLE           2   107,814        --      --
AUTODESK, INC.                      EQUITY      52769106       118      4,646 SH       SOLE           1     4,646        --      --
AUTOLIV                             EQUITY      52800109       104      2,389 SH       SOLE           2     2,389        --      --
AUTOLIV, INC.                       EQUITY      52800109    15,928    359,150 SH       SOLE           1   359,150        --      --
AUTOMATIC DATA PROCESSING           EQUITY      53015103    13,762    321,347 SH       SOLE           2   321,347        --      --
AUTOMATIC DATA PROCESSING IN        EQUITY      53015103        85      1,993 SH       DEFINED        4        --        --   1,993
AUTOMATIC DATA PROCESSING IN        EQUITY      53015103        22        519 SH       DEFINED        5        --        --     519
AUTOMATIC DATA PROCESSING INC.      EQUITY      53015103       437     10,203 SH       SOLE           1    10,203        --      --
AUTONATION INC                      EQUITY     05329W102     1,000     52,205 SH       SOLE           1    52,205        --      --
AUTONATION INC DEL                  EQUITY     05329W102       624     32,604 SH       SOLE           2    32,604        --      --
AUTOZONE INC                        EQUITY      53332102     1,648     10,420 SH       SOLE           2    10,420        --      --
AUTOZONE INC                        EQUITY      53332102        15         98 SH       DEFINED        5        --        --      98
AUTOZONE, INC.                      EQUITY      53332102     1,029      6,508 SH       SOLE           1     6,508        --      --
AUXILIUM PHARMACEUTICALS I          EQUITY     05334D107     1,133     37,776 SH       SOLE           2    37,776        --      --
AUXILIUM PHARMACEUTICALS INC        EQUITY     05334D107       332     11,081 SH       SOLE           1    11,081        --      --
AVAGO TECHNOLOGIES LTD              EQUITY     Y0486S104    13,340    729,360 SH       SOLE           2   729,360        --      --
AVALONBAY CMNTYS INC                EQUITY      53484101     3,006     36,594 SH       SOLE           2    36,594        --      --
AVALONBAY CMNTYS INC                EQUITY      53484101        16        200 SH       DEFINED        5        --        --     200
AVALONBAY COMMUNITIES INC           EQUITY      53484101       137      1,671 SH       SOLE           1     1,671        --      --
AVANIR PHARMACEUTICALS              EQUITY     05348P401       100     52,719 SH       SOLE           2    52,719        --      --
AVATAR HLDGS INC                    EQUITY      53494100       108      6,370 SH       SOLE           2     6,370        --      --
AVERY DENNISON CORP                 EQUITY      53611109     1,470     40,280 SH       SOLE           2    40,280        --      --
AVERY DENNISON CORP.                EQUITY      53611109       700     19,186 SH       SOLE           1    19,186        --      --
AVI BIOPHARMA INC                   EQUITY       2346104       114     78,387 SH       SOLE           2    78,387        --      --
AVID TECHNOLOGY INC                 EQUITY     05367P100       345     27,047 SH       SOLE           2    27,047        --      --
AVID TECHNOLOGY, INC.               EQUITY     05367P100       195     15,292 SH       SOLE           1    15,292        --      --
AVIS BUDGET GROUP INC               EQUITY      53774105     1,091     83,138 SH       SOLE           2    83,138        --      --
AVISTA CORP                         EQUITY     05379B107       635     29,401 SH       SOLE           1    29,401        --      --
AVISTA CORP                         EQUITY     05379B107     1,130     52,332 SH       SOLE           2    52,332        --      --
AVISTA CORP                         EQUITY     05379B107         4        200 SH       DEFINED        4        --        --     200
AVNET INC                           EQUITY      53807103    10,312    341,917 SH       SOLE           2   341,917        --      --
AVNET INC                           EQUITY      53807103         3        100 SH       DEFINED        5        --        --     100
AVNET, INC.                         EQUITY      53807103     1,294     42,904 SH       SOLE           1    42,904        --      --
AVON PRODS INC                      EQUITY      54303102     6,079    192,913 SH       SOLE           2   192,913        --      --
AVON PRODUCTS, INC.                 EQUITY      54303102       272      8,628 SH       SOLE           1     8,628        --      --
AVX CORP NEW                        EQUITY       2444107        15      1,207 SH       SOLE           2     1,207        --      --
AXA                                 EQUITY      54536107        15        613 SH       DEFINED        5        --        --     613
AXA SA                              EQUITY      54536107        42      1,772 SH       SOLE           1     1,772        --      --
AXIS CAPITAL HOLDINGS               EQUITY     G0692U109         1         39 SH       DEFINED        5        --        --      39
AXIS CAPITAL HOLDINGS LTD           EQUITY     G0692U109       104      3,658 SH       SOLE           2     3,658        --      --
AZZ INC                             EQUITY       2474104       213      6,509 SH       SOLE           1     6,509        --      --
AZZ INC                             EQUITY       2474104       381     11,648 SH       SOLE           2    11,648        --      --
AZZ INC                             EQUITY       2474104        89      2,735 SH       DEFINED        4        --        --   2,735
B & G FOODS INC NEW                 EQUITY     05508R106       280     30,461 SH       DEFINED        4        --        --  30,461
B & G FOODS INC NEW                 EQUITY     05508R106        22      2,445 SH       DEFINED        5        --        --   2,445
B + G FOODS INC                     EQUITY     05508R106     2,514    273,826 SH       SOLE           2   273,826        --      --
BADGER METER INC                    EQUITY      56525108       317      7,960 SH       SOLE           1     7,960        --      --
BADGER METER INC                    EQUITY      56525108       566     14,202 SH       SOLE           2    14,202        --      --
BADGER METER INC                    EQUITY      56525108         4        100 SH       DEFINED        5        --        --     100
BAIDU INC                           EQUITY      56752108    28,596     69,530 SH       SOLE           1    69,530        --      --
BAIDU INC                           EQUITY      56752108       661      1,608 SH       SOLE           2     1,608        --      --
BAIDU INC                           EQUITY      56752108         7         16 SH       DEFINED        4        --        --      16
BAIDU INC                           EQUITY      56752108        81        197 SH       DEFINED        5        --        --     197
BAKER HUGHES INC                    EQUITY      57224107     4,119    101,705 SH       SOLE           2   101,705        --      --
BAKER HUGHES INC                    EQUITY      57224107        17        411 SH       DEFINED        5        --        --     411
BAKER HUGHES INC                    EQUITY      57224107         1         35 SH       DEFINED        4        --        --      35
BAKER MICHAEL CORP                  EQUITY      57149106       265      6,411 SH       SOLE           2     6,411        --      --
BALCHEM CORP                        EQUITY      57665200       331      9,871 SH       SOLE           1     9,871        --      --
BALCHEM CORP                        EQUITY      57665200       590     17,597 SH       SOLE           2    17,597        --      --
BALCHEM CORP                        EQUITY      57665200       553     16,500 SH       SOLE           3    16,500        --      --
BALCHEM CORP                        EQUITY      57665200         3        100 SH       DEFINED        5        --        --     100
BALDOR ELEC CO                      EQUITY      57741100     1,234     43,921 SH       SOLE           2    43,921        --      --
BALDOR ELECTRIC CO.                 EQUITY      57741100       623     22,190 SH       SOLE           1    22,190        --      --
BALDWIN + LYONS INC                 EQUITY      57755209       164      6,655 SH       SOLE           2     6,655        --      --
BALL CORP                           EQUITY      58498106     2,701     52,228 SH       SOLE           2    52,228        --      --
BALL CORP                           EQUITY      58498106         3         59 SH       DEFINED        4        --        --      59
BALL CORP.                          EQUITY      58498106     3,394     65,657 SH       SOLE           1    65,657        --      --
BALLARD PWR SYS INC NEW             EQUITY      58586108         2      1,110 SH       DEFINED        5        --        --   1,110
BALLY TECHNOLOGIES INC              EQUITY     05874B107     1,837     44,489 SH       SOLE           2    44,489        --      --
BALLY TECHNOLOGIES INC              EQUITY     05874B107         2         45 SH       DEFINED        4        --        --      45
BANCFIRST CORP                      EQUITY     05945F103       198      5,335 SH       SOLE           2     5,335        --      --
BANCO BILBAO VIZCAYA ARGENTA        EQUITY     05946K101        32      1,794 SH       DEFINED        4        --        --   1,794
BANCO BILBAO VIZCAYA ARGENTA        EQUITY     05946K101         9        474 SH       DEFINED        5        --        --     474
BANCO BRADESCO S A                  EQUITY      59460303         8        370 SH       DEFINED        5        --        --     370
BANCO LATINOAMERICANO DE E          EQUITY     P16994132       311     22,373 SH       SOLE           2    22,373        --      --
BANCO SANTANDER BRASIL S A          EQUITY     05967A107         6        400 SH       DEFINED        5        --        --     400
BANCO SANTANDER SA                  EQUITY     05964H105       938     57,072 SH       SOLE           1    57,072        --      --
BANCO SANTANDER SA                  EQUITY     05964H105        58      3,505 SH       DEFINED        4        --        --   3,505
BANCO SANTANDER SA                  EQUITY     05964H105        34      2,093 SH       DEFINED        5        --        --   2,093
BANCOLOMBIA S.A.-SPONS ADR          EQUITY     05968L102    13,560    297,951 SH       SOLE           1   297,951        --      --
BANCORP INC DEL                     EQUITY     05969A105       112     16,326 SH       SOLE           2    16,326        --      --





                                                                                            
BANCORP RHODE ISLAND INC            EQUITY      59690107        76      2,975 SH       SOLE           2     2,975        --      --
BANCORPSOUTH INC                    EQUITY      59692103     3,910    166,672 SH       SOLE           2   166,672        --      --
BANK HAWAII CORP                    EQUITY      62540109     5,109    108,559 SH       SOLE           2   108,559        --      --
BANK KY FINL CORP                   EQUITY      62896105        47      2,517 SH       SOLE           2     2,517        --      --
BANK MARIN BANCORP                  EQUITY      63425102       138      4,224 SH       SOLE           2     4,224        --      --
BANK MUTUAL CORP                    EQUITY      63750103       173     24,918 SH       SOLE           1    24,918        --      --
BANK MUTUAL CORP                    EQUITY      63750103       310     44,831 SH       SOLE           2    44,831        --      --
BANK NEW YORK MELLON CORP           EQUITY      64058100    15,014    536,790 SH       SOLE           2   536,790        --      --
BANK NOVA SCOTIA HALIFAX            EQUITY      64149107       619     13,235 SH       DEFINED        5        --        --  13,235
BANK OF AMERICA CORP                EQUITY      60505104    21,585  1,433,252 SH       SOLE           1 1,433,252        --      --
BANK OF AMERICA CORP                EQUITY      60505419    74,492  4,948,974 SH       SOLE           2 4,948,974        --      --
BANK OF AMERICA CORPORATION         EQUITY      60505104       236     15,676 SH       DEFINED        4        --        --  15,676
BANK OF AMERICA CORPORATION         EQUITY      60505104       835     55,417 SH       DEFINED        5        --        --  55,417
BANK OF AMERICA CORPORATION CALL    OPTION      60505904        12         45     CALL DEFINED        4        --        --      45
BANK OF MONTREAL                    EQUITY      63671101     8,975    168,406 SH       OTHER          1        --   168,406      --
BANK OF NEW YORK MELLON CORP        EQUITY      64058100       108      3,858 SH       DEFINED        4        --        --   3,858
BANK OF NEW YORK MELLON CORP        EQUITY      64058100       107      3,809 SH       DEFINED        5        --        --   3,809
BANK OF NEW YORK MELLON CORP/THE    EQUITY      64058100     2,499     89,362 SH       SOLE           1    89,362        --      --
BANK OF NOVA SCOTIA                 EQUITY      64149107    13,260    282,107 SH       OTHER          1        --   282,107      --
BANK OF THE OZARKS INC              EQUITY      63904106       203      6,920 SH       SOLE           1     6,920        --      --
BANK OF THE OZARKS INC              EQUITY      63904106       365     12,465 SH       SOLE           2    12,465        --      --
BANKFINANCIAL CORP                  EQUITY     06643P104       173     17,520 SH       SOLE           2    17,520        --      --
BANNER CORP                         EQUITY     06652V109        41     15,280 SH       SOLE           2    15,280        --      --
BAR HBR BANKSHARES                  EQUITY      66849100        64      2,345 SH       SOLE           2     2,345        --      --
BARCLAYS BANK PLC                   FIXED
                                      INCOME   06739H362     2,735    110,000 PRN      SOLE           1   110,000        --      --
BARCLAYS BANK PLC                   FIXED
                                      INCOME   06739H776     5,339    241,700 PRN      SOLE           1   241,700        --      --
BARCLAYS BANK PLC                   EQUITY     06739H271         2         50 SH       DEFINED        4        --        --      50
BARCLAYS BANK PLC                   EQUITY     06739H206         2         50 SH       DEFINED        4        --        --      50
BARCLAYS BANK PLC                   EQUITY     06739H313         2         50 SH       DEFINED        4        --        --      50
BARCLAYS BANK PLC                   EQUITY     06739H776         9        400 SH       DEFINED        4        --        --     400
BARCLAYS BANK PLC                   EQUITY     06739H511        29      1,200 SH       DEFINED        4        --        --   1,200
BARCLAYS BANK PLC                   EQUITY     06739H362        56      2,266 SH       DEFINED        4        --        --   2,266
BARCLAYS BANK PLC                   EQUITY     06739H164         5        200 SH       DEFINED        5        --        --     200
BARCLAYS BANK PLC                   EQUITY     06739H776         9        400 SH       DEFINED        5        --        --     400
BARCLAYS BANK PLC                   EQUITY     06739H362        25      1,000 SH       DEFINED        5        --        --   1,000
BARCLAYS BANK PLC                   EQUITY     06739H511        60      2,500 SH       DEFINED        5        --        --   2,500
BARCLAYS BANK PLC                   EQUITY     06739H750        85      3,224 SH       DEFINED        5        --        --   3,224
BARCLAYS BANK PLC                   EQUITY     06739H743       320     11,349 SH       DEFINED        5        --        --  11,349
BARCLAYS BK PLC                     EQUITY     06738C786         2         77 SH       DEFINED        4        --        --      77
BARCLAYS BK PLC                     EQUITY     06738C778         2         55 SH       DEFINED        4        --        --      55
BARCLAYS BK PLC                     EQUITY     06738G407        10        251 SH       DEFINED        4        --        --     251
BARCLAYS BK PLC                     EQUITY     06739F291       123      1,927 SH       DEFINED        4        --        --   1,927
BARCLAYS BK PLC                     EQUITY     06739F101       294      6,428 SH       DEFINED        4        --        --   6,428
BARCLAYS BK PLC                     EQUITY     06740C527       821     24,086 SH       DEFINED        4        --        --  24,086
BARCLAYS BK PLC                     EQUITY     06740C527         6        170 SH       DEFINED        5        --        --     170
BARCLAYS BK PLC                     EQUITY     06738C786        40      1,530 SH       DEFINED        5        --        --   1,530
BARCLAYS BK PLC                     EQUITY     06738C778        93      2,192 SH       DEFINED        5        --        --   2,192
BARCLAYS PLC                        EQUITY    6.738E+207         9        536 SH       DEFINED        4        --        --     536
BARCLAYS PLC                        EQUITY    6.738E+207       195     11,098 SH       DEFINED        5        --        --  11,098
BARD C R INC                        EQUITY      67383109     2,655     34,070 SH       SOLE           2    34,070        --      --
BARD C R INC                        EQUITY      67383109         4         55 SH       DEFINED        4        --        --      55
BARD C R INC                        EQUITY      67383109       337      4,324 SH       DEFINED        5        --        --   4,324
BARE ESCENTUALS INC                 EQUITY      67511105       885     72,397 SH       SOLE           1    72,397        --      --
BARE ESCENTUALS INC                 EQUITY      67511105       661     54,075 SH       SOLE           2    54,075        --      --
BARE ESCENTUALS INC                 EQUITY      67511105         4        300 SH       DEFINED        4        --        --     300
BARNES & NOBLE INC                  EQUITY      67774109         1         53 SH       DEFINED        4        --        --      53
BARNES + NOBLE INC                  EQUITY      67774109    11,489    602,490 SH       SOLE           2   602,490        --      --
BARNES GROUP INC                    EQUITY      67806109       745     44,106 SH       SOLE           2    44,106        --      --
BARNES GROUP, INC.                  EQUITY      67806109       392     23,200 SH       SOLE           1    23,200        --      --
BARRET BUSINESS SVCS INC            EQUITY      68463108        77      6,267 SH       SOLE           2     6,267        --      --
BARRETT BILL CORP                   EQUITY     06846N104     3,667    117,868 SH       SOLE           2   117,868        --      --
BARRETT BILL CORP                   EQUITY     06846N104         6        200 SH       DEFINED        4        --        --     200
BARRICK GOLD CORP                   EQUITY      67901108       278      7,047 SH       DEFINED        4        --        --   7,047
BARRICK GOLD CORP                   EQUITY      67901108       157      3,988 SH       DEFINED        5        --        --   3,988
BARRICK GOLD CORPORATION            EQUITY      67901108     6,470    163,608 SH       OTHER          1        --   163,608      --
BASIC ENERGY SERVICES INC           EQUITY     06985P100       109     12,230 SH       SOLE           1    12,230        --      --
BASIC ENERGY SVCS INC NEW           EQUITY     06985P100       193     21,683 SH       SOLE           2    21,683        --      --
BAXTER INTERNATIONAL, INC.          EQUITY      71813109    32,855    559,832 SH       SOLE           1   559,832        --      --
BAXTER INTERNATIONAL, INC.          EQUITY      71813109     1,760     30,000 SH       SOLE           3    30,000        --      --
BAXTER INTL INC                     EQUITY      71813109    19,216    327,443 SH       SOLE           2   327,443        --      --
BAXTER INTL INC                     EQUITY      71813109        11        181 SH       DEFINED        5        --        --     181
BAYTEX ENERGY TR                    EQUITY      73176109        14        500 SH       DEFINED        4        --        --     500
BAYTEX ENERGY TR                    EQUITY      73176109         6        200 SH       DEFINED        5        --        --     200
BB&T CORP                           EQUITY      54937107         6        250 SH       DEFINED        4        --        --     250
BB&T CORP                           EQUITY      54937107       454     17,887 SH       DEFINED        5        --        --  17,887
BB+T CORP                           EQUITY      54937107     8,183    322,561 SH       SOLE           2   322,561        --      --
BBT CORP.                           EQUITY      54937107       353     13,900 SH       SOLE           1    13,900        --      --
BCE INC                             EQUITY     05534B760     6,701    242,340 SH       OTHER          1        --   242,340      --
BE AEROSPACE INC                    EQUITY      73302101     5,362    228,162 SH       SOLE           2   228,162        --      --
BEACON POWER CORP                   EQUITY      73677106        15     31,000 SH       DEFINED        5        --        --  31,000
BEACON ROOFING SUPPLY INC           EQUITY      73685109       589     36,819 SH       SOLE           2    36,819        --      --
BEAZER HOMES USA INC                EQUITY     07556Q105       155     32,060 SH       SOLE           2    32,060        --      --
BEAZER HOMES USA INC                EQUITY     07556Q105         7      1,400 SH       DEFINED        4        --        --   1,400
BEBE STORES INC                     EQUITY      75571109       122     19,532 SH       SOLE           2    19,532        --      --
BECKMAN COULTER INC                 EQUITY      75811109    10,231    156,348 SH       SOLE           2   156,348        --      --
BECTON DICKINSON & CO               EQUITY      75887109        58        736 SH       DEFINED        4        --        --     736
BECTON DICKINSON & CO               EQUITY      75887109        27        347 SH       DEFINED        5        --        --     347
BECTON DICKINSON + CO               EQUITY      75887109     7,664     97,159 SH       SOLE           2    97,159        --      --
BECTON, DICKINSON AND CO.           EQUITY      75887109       378      4,789 SH       SOLE           1     4,789        --      --
BED BATH & BEYOND INC               EQUITY      75896100       158      4,100 SH       DEFINED        5        --        --   4,100
BED BATH & BEYOND, INC.             EQUITY      75896100       205      5,312 SH       SOLE           1     5,312        --      --
BED BATH + BEYOND INC               EQUITY      75896100     5,406    139,871 SH       SOLE           2   139,871        --      --
BEL FUSE INC                        EQUITY      77347300       216     10,037 SH       SOLE           2    10,037        --      --
BEL FUSE INC. CLASS B               EQUITY      77347300       134      6,248 SH       SOLE           1     6,248        --      --
BELDEN INC                          EQUITY      77454106       545     24,873 SH       SOLE           1    24,873        --      --
BELDEN INC                          EQUITY      77454106       978     44,598 SH       SOLE           2    44,598        --      --
BELO CORP                           EQUITY      80555105       397     72,918 SH       SOLE           2    72,918        --      --
BEMIS CO INC                        EQUITY      81437105     1,148     38,723 SH       SOLE           2    38,723        --      --
BEMIS CO., INC.                     EQUITY      81437105        65      2,182 SH       SOLE           1     2,182        --      --
BEMIS INC                           EQUITY      81437105         3         87 SH       DEFINED        4        --        --      87
BENCHMARK ELECTRONICS, INC.         EQUITY     08160H101       654     34,561 SH       SOLE           1    34,561        --      --
BENCHMARK ELECTRS INC               EQUITY     08160H101     1,179     62,365 SH       SOLE           2    62,365        --      --
BENEFICIAL MUT BANCORP INC          EQUITY     08173R104       262     26,676 SH       SOLE           2    26,676        --      --
BENIHANA INC                        EQUITY      82047200        41     10,746 SH       SOLE           2    10,746        --      --
BERKLEY W R CORP                    EQUITY      84423102     7,519    305,149 SH       SOLE           2   305,149        --      --





                                                                                            
BERKSHIRE HATHAWAY INC              EQUITY      84670207       332        101 SH       SOLE           1       101        --      --
BERKSHIRE HATHAWAY INC DEL          EQUITY      84670108       198          2 SH       DEFINED        4        --        --       2
BERKSHIRE HATHAWAY INC DEL          EQUITY      84670207       345        105 SH       DEFINED        4        --        --     105
BERKSHIRE HATHAWAY INC DEL          EQUITY      84670108        99          1 SH       DEFINED        5        --        --       1
BERKSHIRE HATHAWAY INC DEL          EQUITY      84670207     1,032        314 SH       DEFINED        5        --        --     314
BERKSHIRE HILL BANCORP INC          EQUITY      84680107       232     11,196 SH       SOLE           2    11,196        --      --
BERRY PETE CO                       EQUITY      85789105     1,019     34,965 SH       SOLE           2    34,965        --      --
BEST BUY CO INC                     EQUITY      86516101     9,300    235,541 SH       SOLE           2   235,541        --      --
BEST BUY CO., INC.                  EQUITY      86516101     1,572     39,845 SH       SOLE           1    39,845        --      --
BEST BUY INC                        EQUITY      86516101       213      5,410 SH       DEFINED        5        --        --   5,410
BGC PARTNERS INC                    EQUITY     05541T101       175     37,814 SH       SOLE           2    37,814        --      --
BHP BILLITON LTD                    EQUITY      88606108        72        942 SH       DEFINED        4        --        --     942
BHP BILLITON LTD                    EQUITY      88606108       294      3,837 SH       DEFINED        5        --        --   3,837
BIG 5 SPORTING GOODS CORP           EQUITY     08915P101       196     11,396 SH       SOLE           1    11,396        --      --
BIG 5 SPORTING GOODS CORP           EQUITY     08915P101       354     20,598 SH       SOLE           2    20,598        --      --
BIG LOTS INC                        EQUITY      89302103       859     29,624 SH       SOLE           2    29,624        --      --
BIG LOTS INC.                       EQUITY      89302103     1,079     37,244 SH       SOLE           1    37,244        --      --
BIGBAND NETWORKS INC                EQUITY      89750509     4,460  1,296,503 SH       SOLE           2 1,296,503        --      --
BIO RAD LABORATORIES INC            EQUITY      90572207     4,185     43,381 SH       SOLE           2    43,381        --      --
BIO RAD LABS INC                    EQUITY      90572207         2         16 SH       DEFINED        4        --        --      16
BIO REFERENCE LABS INC              EQUITY     09057G602       444     11,327 SH       SOLE           2    11,327        --      --
BIOCRYST PHARMACEUTICALS            EQUITY     09058V103         8      1,300 SH       DEFINED        4        --        --   1,300
BIOCRYST PHARMACEUTICALS            EQUITY     09058V103        63      9,800 SH       DEFINED        5        --        --   9,800
BIOCRYST PHARMACEUTICALS I          EQUITY     09058V103       129     20,015 SH       SOLE           2    20,015        --      --
BIODEL INC                          EQUITY     09064M105        54     12,421 SH       SOLE           2    12,421        --      --
BIODELIVERY SCIENCES INTL           EQUITY     09060J106        33      8,307 SH       SOLE           2     8,307        --      --
BIOFORM MEDICAL INC                 EQUITY     09065G107       713    209,607 SH       SOLE           3   209,607        --      --
BIOGEN IDEC INC                     EQUITY     09062X103       312      5,840 SH       SOLE           1     5,840        --      --
BIOGEN IDEC INC                     EQUITY     09062X103     6,076    113,547 SH       SOLE           2   113,547        --      --
BIOGEN IDEC INC                     EQUITY     09062X103        52        970 SH       DEFINED        5        --        --     970
BIOMARIN PHARMACEUTICAL IN          EQUITY     09061G101        37      1,983 SH       SOLE           2     1,983        --      --
BIOMED REALTY TRUST INC             EQUITY     09063H107       826     52,367 SH       SOLE           1    52,367        --      --
BIOMED REALTY TRUST INC             EQUITY     09063H107         3        200 SH       DEFINED        5        --        --     200
BIOMED RLTY TR INC                  EQUITY     09063H107     1,481     93,874 SH       SOLE           2    93,874        --      --
BIOMIMETIC THERAPEUTICS IN          EQUITY     09064X101       133     11,142 SH       SOLE           2    11,142        --      --
BIO-REFERENCE LABS INC              EQUITY     09057G602       246      6,294 SH       SOLE           1     6,294        --      --
BIOSCRIP INC                        EQUITY     09069N108       265     31,678 SH       SOLE           2    31,678        --      --
BIOSPECIFICS TECHNOLOGIES           EQUITY      90931106        87      2,948 SH       SOLE           2     2,948        --      --
BIOSYS INC                          EQUITY     09069N108       648     77,500 SH       SOLE           1    77,500        --      --
BIOSYS INC                          EQUITY     09069N108     1,113    133,100 SH       SOLE           3   133,100        --      --
BIOVAIL CORP                        EQUITY     09067J109     1,249     89,420 SH       OTHER          1        --    89,420      --
BIOVAIL CORP                        EQUITY     09067J109         3        239 SH       DEFINED        5        --        --     239
BJ SERVICES CO.                     EQUITY      55482103     7,759    417,126 SH       SOLE           1   417,126        --      --
BJ SVCS CO                          EQUITY      55482103     2,997    161,116 SH       SOLE           2   161,116        --      --
BJ SVCS CO                          EQUITY      55482103         2        100 SH       DEFINED        5        --        --     100
BJS RESTAURANTS INC                 EQUITY     09180C106       357     18,982 SH       SOLE           2    18,982        --      --
BJ'S RESTAURANTS INC                EQUITY     09180C106       211     11,193 SH       SOLE           1    11,193        --      --
BJS WHSL CLUB INC                   EQUITY     05548J106     4,120    125,945 SH       SOLE           2   125,945        --      --
BLACK & DECKER CORP                 EQUITY      91797100         6         85 SH       DEFINED        4        --        --      85
BLACK & DECKER CORP.                EQUITY      91797100        79      1,213 SH       SOLE           1     1,213        --      --
BLACK + DECKER CORPORATION          EQUITY      91797100     1,644     25,354 SH       SOLE           2    25,354        --      --
BLACK BOX CORP                      EQUITY      91826107       476     16,787 SH       SOLE           2    16,787        --      --
BLACK BOX CORP.                     EQUITY      91826107       267      9,418 SH       SOLE           1     9,418        --      --
BLACK HILLS CORP                    EQUITY      92113109     3,161    118,692 SH       SOLE           2   118,692        --      --
BLACK HILLS CORP                    EQUITY      92113109        76      2,850 SH       DEFINED        5        --        --   2,850
BLACKBAUD INC                       EQUITY     09227Q100       552     23,368 SH       SOLE           1    23,368        --      --
BLACKBAUD INC                       EQUITY     09227Q100       992     41,999 SH       SOLE           2    41,999        --      --
BLACKBOARD INC                      EQUITY      91935502     1,174     25,858 SH       SOLE           2    25,858        --      --
BLACKROCK APEX MUN FD INC           EQUITY     09254H106        17      2,000 SH       DEFINED        5        --        --   2,000
BLACKROCK CALIF MUN INCOME T        EQUITY    9.248E+105        26      2,000 SH       DEFINED        5        --        --   2,000
BLACKROCK CORE BD TR                EQUITY    9.249E+104         2        195 SH       DEFINED        4        --        --     195
BLACKROCK CORPOR HI YLD III         EQUITY     09255M104       234     36,867 SH       DEFINED        5        --        --  36,867
BLACKROCK CORPOR HIGH YLD FD        EQUITY     09255L106        38      5,475 SH       DEFINED        5        --        --   5,475
BLACKROCK CREDIT ALL INC TR         EQUITY      92508100        21      1,844 SH       DEFINED        4        --        --   1,844
BLACKROCK DEBT STRAT FD INC         EQUITY     09255R103         9      2,500 SH       DEFINED        4        --        --   2,500
BLACKROCK DEBT STRAT FD INC         EQUITY     09255R103        41     11,400 SH       DEFINED        5        --        --  11,400
BLACKROCK ECOSOLUTIONS INVT         EQUITY      92546100        27      2,500 SH       DEFINED        5        --        --   2,500
BLACKROCK ENERGY & RES TR           EQUITY     09250U101         5        200 SH       DEFINED        4        --        --     200
BLACKROCK ENERGY & RES TR           EQUITY     09250U101        51      2,000 SH       DEFINED        5        --        --   2,000
BLACKROCK ENH CAP & INC FD I        EQUITY     09256A109        16      1,047 SH       DEFINED        4        --        --   1,047
BLACKROCK ENH CAP & INC FD I        EQUITY     09256A109        20      1,275 SH       DEFINED        5        --        --   1,275
BLACKROCK ENHANCED DIV ACHV         EQUITY     09251A104     1,204    136,770 SH       DEFINED        5        --        -- 136,770
BLACKROCK FLOATING RATE INCO        EQUITY      91941104        79      5,691 SH       DEFINED        4        --        --   5,691
BLACKROCK FLOATING RATE INCO        EQUITY      91941104        14      1,000 SH       DEFINED        5        --        --   1,000
BLACKROCK GLOBAL OPP EQTY TR        EQUITY      92501105        26      1,370 SH       DEFINED        4        --        --   1,370
BLACKROCK GLOBAL OPP EQTY TR        EQUITY      92501105        10        556 SH       DEFINED        5        --        --     556
BLACKROCK HEALTH SCIENCES TR        EQUITY     09250W107        15        585 SH       DEFINED        4        --        --     585
BLACKROCK HIGH INCOME SHS           EQUITY     9.25E+110        23     12,000 SH       DEFINED        4        --        --  12,000
BLACKROCK HIGH YIELD TR             EQUITY     09248N102        30      5,000 SH       DEFINED        4        --        --   5,000
BLACKROCK HIGH YIELD TR             EQUITY     09248N102         4        580 SH       DEFINED        5        --        --     580
BLACKROCK INC                       EQUITY     09247X101     7,539     32,466 SH       SOLE           1    32,466        --      --
BLACKROCK INCOME OPP TRUST I        EQUITY      92475102        14      1,500 SH       DEFINED        4        --        --   1,500
BLACKROCK INCOME OPP TRUST I        EQUITY      92475102        17      1,783 SH       DEFINED        5        --        --   1,783
BLACKROCK INCOME TR INC             EQUITY     09247F100        13      2,000 SH       DEFINED        5        --        --   2,000
BLACKROCK INSD MUN INCOME TR        EQUITY      92479104        20      1,500 SH       DEFINED        4        --        --   1,500
BLACKROCK INSD MUN TERM TR I        EQUITY      92474105        44      4,197 SH       DEFINED        4        --        --   4,197
BLACKROCK INTL GRWTH & INC T        EQUITY      92524107        91      7,879 SH       DEFINED        5        --        --   7,879
BLACKROCK KELSO CAPITAL CO          EQUITY      92533108        87     10,226 SH       SOLE           2    10,226        --      --
BLACKROCK LTD DURATION INC T        EQUITY     09249W101        13        900 SH       DEFINED        5        --        --     900
BLACKROCK MUNI INCOME TR II         EQUITY     09249N101        63      4,600 SH       DEFINED        4        --        --   4,600
BLACKROCK MUNIENHANCED FD IN        EQUITY     09253Y100        43      4,135 SH       DEFINED        4        --        --   4,135
BLACKROCK MUNIHLDGS INSD FDI        EQUITY     09254C107        62      4,752 SH       DEFINED        4        --        --   4,752
BLACKROCK MUNIHLDGS INSD FDI        EQUITY     09254C107        23      1,785 SH       DEFINED        5        --        --   1,785
BLACKROCK MUNIHOLDINGS CALIF        EQUITY     09254L107        66      5,260 SH       DEFINED        5        --        --   5,260
BLACKROCK MUNIVEST FD II INC        EQUITY     09253T101        65      4,660 SH       DEFINED        5        --        --   4,660
BLACKROCK MUNIVEST FD INC           EQUITY     09253R105        24      2,550 SH       DEFINED        4        --        --   2,550
BLACKROCK MUNIYIELD CALIF FD        EQUITY     09254M105        24      1,900 SH       DEFINED        5        --        --   1,900
BLACKROCK MUNIYIELD CALIF IN        EQUITY     09254N103        19      1,500 SH       DEFINED        5        --        --   1,500
BLACKROCK MUNIYIELD INS INV         EQUITY     09254T100         8        600 SH       DEFINED        5        --        --     600
BLACKROCK MUNIYIELD N Y INSD        EQUITY    9.255E+105        12      1,000 SH       DEFINED        5        --        --   1,000
BLACKROCK MUNYIELD INSD FD I        EQUITY    9.254E+106        12      1,005 SH       DEFINED        5        --        --   1,005
BLACKROCK SR HIGH INCOME FD         EQUITY     09255T109        18      5,026 SH       DEFINED        4        --        --   5,026
BLACKROCK SR HIGH INCOME FD         EQUITY     09255T109       320     91,501 SH       DEFINED        5        --        --  91,501
BLACKROCK STRAT DIVD ACHIEVE        EQUITY     09249Y107        32      3,494 SH       DEFINED        5        --        --   3,494
BLACKROCK STRATEGIC MUN TR          EQUITY     09248T109        20      1,675 SH       DEFINED        4        --        --   1,675





                                                                                            
BLACKROCK STRATEGIC MUN TR          EQUITY     09248T109         4        304 SH       DEFINED        5        --        --     304
BLACKSTONE GROUP L P                EQUITY     09253U108        15      1,144 SH       DEFINED        4        --        --   1,144
BLACKSTONE GROUP L P                EQUITY     09253U108        10        796 SH       DEFINED        5        --        --     796
BLDRS INDEX FDS TR                  EQUITY     09348R300        13        300 SH       DEFINED        4        --        --     300
BLDRS INDEX FDS TR                  EQUITY     09348R409         6        300 SH       DEFINED        5        --        --     300
BLDRS INDEX FDS TR                  EQUITY     09348R300       173      3,922 SH       DEFINED        5        --        --   3,922
BLOCK FINANCIAL CORP                EQUITY      93671105       153      6,770 SH       SOLE           1     6,770        --      --
BLOCK H & R INC                     EQUITY      93671105         7        290 SH       DEFINED        5        --        --     290
BLOCK H & R INC                     EQUITY      93671105         1         53 SH       DEFINED        4        --        --      53
BLOCK H + R INC                     EQUITY      93671105    10,857    479,970 SH       SOLE           2   479,970        --      --
BLOUNT INTL INC NEW                 EQUITY      95180105       316     31,313 SH       SOLE           2    31,313        --      --
BLUE COAT SYS INC                   EQUITY     09534T508     1,083     37,962 SH       SOLE           2    37,962        --      --
BLUE COAT SYSTEMS INC               EQUITY     09534T508       613     21,472 SH       SOLE           1    21,472        --      --
BLUE COAT SYSTEMS INC               EQUITY     09534T508         4        148 SH       DEFINED        5        --        --     148
BLUE NILE INC                       EQUITY     09578R103       488      7,705 SH       SOLE           1     7,705        --      --
BLUE NILE INC                       EQUITY     09578R103       784     12,384 SH       SOLE           2    12,384        --      --
BLUEGREEN CORP                      EQUITY      96231105        28     11,725 SH       SOLE           2    11,725        --      --
BLUELINX HLDGS INC                  EQUITY     09624H109        26      9,472 SH       SOLE           2     9,472        --      --
BLYTH INC                           EQUITY     09643P207       108      3,199 SH       SOLE           1     3,199        --      --
BLYTH INC                           EQUITY     09643P207       191      5,655 SH       SOLE           2     5,655        --      --
BMC SOFTWARE INC                    EQUITY      55921100     3,294     82,114 SH       SOLE           2    82,114        --      --
BMC SOFTWARE INC                    EQUITY      55921100        16        411 SH       DEFINED        5        --        --     411
BMC SOFTWARE, INC.                  EQUITY      55921100     1,988     49,566 SH       SOLE           1    49,566        --      --
BMP SUNSTONE CORP                   EQUITY     05569C105       150     26,445 SH       SOLE           2    26,445        --      --
BOARDWALK PIPELINE PARTNERS         EQUITY      96627104        21        690 SH       DEFINED        4        --        --     690
BOARDWALK PIPELINE PARTNERS         EQUITY      96627104         6        200 SH       DEFINED        5        --        --     200
BOB EVANS FARMS INC                 EQUITY      96761101     2,729     94,275 SH       SOLE           2    94,275        --      --
BOB EVANS FARMS INC                 EQUITY      96761101         3        100 SH       DEFINED        4        --        --     100
BOB EVANS FARMS INC                 EQUITY      96761101         7        250 SH       DEFINED        5        --        --     250
BOEING CO                           EQUITY      97023105    21,012    388,097 SH       SOLE           2   388,097        --      --
BOEING CO                           EQUITY      97023105       100      1,839 SH       DEFINED        4        --        --   1,839
BOEING CO                           EQUITY      97023105       342      6,310 SH       DEFINED        5        --        --   6,310
BOEING CO.                          EQUITY      97023105     2,967     54,818 SH       SOLE           1    54,818        --      --
BOISE INC                           EQUITY     09746Y105       127     23,877 SH       SOLE           2    23,877        --      --
BOK FINL CORP                       EQUITY     05561Q201        24        502 SH       SOLE           2       502        --      --
BOLT TECHNOLOGY CORP                EQUITY      97698104        78      7,062 SH       SOLE           2     7,062        --      --
BON-TON STORES INC                  EQUITY     09776J101         6        615 SH       DEFINED        5        --        --     615
BOOKS A MILLION INC                 EQUITY      98570104        39      5,733 SH       SOLE           2     5,733        --      --
BOOTS + COOTS INC                   EQUITY      99469504       105     63,861 SH       SOLE           2    63,861        --      --
BORDERS GROUP INC                   EQUITY      99709107        47     39,932 SH       SOLE           2    39,932        --      --
BORG WARNER INC                     EQUITY      99724106     8,746    263,284 SH       SOLE           2   263,284        --      --
BOSTON BEER INC                     EQUITY     100557107       401      8,608 SH       SOLE           2     8,608        --      --
BOSTON BEER INC                     EQUITY     100557107        47      1,000 SH       DEFINED        4        --        --   1,000
BOSTON BEER, INC. CLASS A           EQUITY     100557107       250      5,355 SH       SOLE           1     5,355        --      --
BOSTON PPTYS INC                    EQUITY     101121101     4,285     63,858 SH       SOLE           2    63,858        --      --
BOSTON PRIVATE FINANCIAL HOLDI      EQUITY     101119105       201     34,829 SH       SOLE           1    34,829        --      --
BOSTON PRIVATE FINL HLDGS           EQUITY     101119105       372     64,492 SH       SOLE           2    64,492        --      --
BOSTON PROPERTIES INC               EQUITY     101121101       117      1,750 SH       SOLE           1     1,750        --      --
BOSTON SCIENTIFIC CORP              EQUITY     101137107     6,240    693,351 SH       SOLE           2   693,351        --      --
BOSTON SCIENTIFIC CORP              EQUITY     101137107         6        713 SH       DEFINED        4        --        --     713
BOSTON SCIENTIFIC CORP              EQUITY     101137107        32      3,552 SH       DEFINED        5        --        --   3,552
BOSTON SCIENTIFIC CORP.             EQUITY     101137107       275     30,513 SH       SOLE           1    30,513        --      --
BOTTOMLINE TECHNOLOGIES DE          EQUITY     101388106       360     20,472 SH       SOLE           2    20,472        --      --
BOULDER GROWTH & INCOME FUND INC    EQUITY     101507101        71     12,348 SH       SOLE           1    12,348        --      --
BOVIE MED CORP                      EQUITY     10211F100       109     13,905 SH       SOLE           2    13,905        --      --
BOWNE & CO., INC.                   EQUITY     103043105       144     21,514 SH       SOLE           1    21,514        --      --
BOWNE + CO INC                      EQUITY     103043105       247     36,902 SH       SOLE           2    36,902        --      --
BOYD GAMING CORP                    EQUITY     103304101     1,044    124,785 SH       SOLE           2   124,785        --      --
BP PLC                              EQUITY      55622104       355      6,119 SH       DEFINED        4        --        --   6,119
BP PLC                              EQUITY      55622104     2,317     39,974 SH       DEFINED        5        --        --  39,974
BP PRUDHOE BAY RTY TR               EQUITY      55630107       278      3,354 SH       DEFINED        4        --        --   3,354
BP PRUDHOE BAY RTY TR               EQUITY      55630107        46        550 SH       DEFINED        5        --        --     550
BPZ ENERGY INC                      EQUITY      55639108       718     75,586 SH       SOLE           2    75,586        --      --
BRADY CORP                          EQUITY     104674106     1,395     46,481 SH       SOLE           2    46,481        --      --
BRADY CORP.                         EQUITY     104674106       837     27,902 SH       SOLE           1    27,902        --      --
BRANDYWINE REALTY TRUST             EQUITY     105368203        40      3,477 SH       SOLE           1     3,477        --      --
BRANDYWINE RLTY TR                  EQUITY     105368203        40      3,527 SH       SOLE           2     3,527        --      --
BRANDYWINE RLTY TR                  EQUITY     105368203         3        262 SH       DEFINED        4        --        --     262
BRE PPTYS INC                       EQUITY    5.564E+109     4,070    123,022 SH       SOLE           2   123,022        --      --
BREITBURN ENERGY PARTNERS LP        EQUITY     106776107         2        200 SH       DEFINED        4        --        --     200
BRF-BRASIL FOODS S A                EQUITY     10552T107       105      2,000 SH       DEFINED        4        --        --   2,000
BRIDGE BANCORP INC                  EQUITY     108035106       122      5,076 SH       SOLE           2     5,076        --      --
BRIDGEPOINT EDUCATION INC           EQUITY     10807M105       170     11,329 SH       SOLE           2    11,329        --      --
BRIGGS & STRATTON CORP.             EQUITY     109043109       502     26,837 SH       SOLE           1    26,837        --      --
BRIGGS + STRATTON CORP              EQUITY     109043109       893     47,713 SH       SOLE           2    47,713        --      --
BRIGHAM EXPL CO                     EQUITY     109178103     7,193    530,880 SH       SOLE           2   530,880        --      --
BRIGHTPOINT INC                     EQUITY     109473405       261     35,571 SH       SOLE           1    35,571        --      --
BRIGHTPOINT INC                     EQUITY     109473405       369     50,191 SH       SOLE           2    50,191        --      --
BRIGHTPOINT INC                     EQUITY     109473405        20      2,700 SH       DEFINED        5        --        --   2,700
BRINKER INTL INC                    EQUITY     109641100     3,447    231,037 SH       SOLE           2   231,037        --      --
BRINKER INTL INC                    EQUITY     109641100        34      2,250 SH       DEFINED        5        --        --   2,250
BRINKS CO                           EQUITY     109696104     2,632    108,148 SH       SOLE           2   108,148        --      --
BRINKS HOME SEC HLDGS INC           EQUITY     109699108     3,372    103,307 SH       SOLE           2   103,307        --      --
BRISTOL MYERS SQUIBB CO             EQUITY     110122108    26,425  1,046,363 SH       SOLE           2 1,046,363        --      --
BRISTOL MYERS SQUIBB CO             EQUITY     110122108       251      9,930 SH       DEFINED        4        --        --   9,930
BRISTOL MYERS SQUIBB CO             EQUITY     110122108       634     25,109 SH       DEFINED        5        --        --  25,109
BRISTOL MYERS SQUIBB CO.            EQUITY     110122108     3,819    151,230 SH       SOLE           1   151,230        --      --
BRISTOW GROUP INC                   EQUITY     110394103       741     19,259 SH       SOLE           1    19,259        --      --
BRISTOW GROUP INC                   EQUITY     110394103     1,321     34,350 SH       SOLE           2    34,350        --      --
BRITISH AMERN TOB PLC               EQUITY     110448107         1         16 SH       DEFINED        4        --        --      16
BRITISH AMERN TOB PLC               EQUITY     110448107         8        117 SH       DEFINED        5        --        --     117
BRITISH SKY BROADCASTING GRO        EQUITY     111013108         4        115 SH       DEFINED        5        --        --     115
BROADCOM CORP                       EQUITY     111320107    16,713    531,320 SH       SOLE           2   531,320        --      --
BROADCOM CORP                       EQUITY     111320107         9        300 SH       DEFINED        5        --        --     300
BROADCOM CORP.                      EQUITY     111320107     2,511     79,791 SH       SOLE           1    79,791        --      --
BROADPOINT GLEACHER SECURI          EQUITY     11134A103     7,803  1,749,611 SH       SOLE           2 1,749,611        --      --
BROADRIDGE FINANCIAL SOLUTIONS LLC  EQUITY     11133T103       403     17,871 SH       SOLE           1    17,871        --      --
BROADRIDGE FINL SOLUTIONS           EQUITY     11133T103     6,973    309,086 SH       SOLE           2   309,086        --      --
BROADRIDGE FINL SOLUTIONS IN        EQUITY     11133T103        14        621 SH       DEFINED        4        --        --     621
BROADWIND ENERGY INC                EQUITY     11161T108       207     25,630 SH       SOLE           2    25,630        --      --
BROADWIND ENERGY INC                EQUITY     11161T108         2        200 SH       DEFINED        5        --        --     200
BROCADE COMMUNICATIONS SYS          EQUITY     111621306        81     10,585 SH       SOLE           2    10,585        --      --
BROCADE COMMUNICATIONS SYS I        EQUITY     111621306         1        150 SH       DEFINED        5        --        --     150
BROCADE COMMUNICATIONS SYSTEMS INC  EQUITY     111621306       862    113,000 SH       SOLE           1   113,000        --      --
BROCADE COMMUNICATIONS SYSTEMS INC  EQUITY     111621306     1,713    224,500 SH       SOLE           3   224,500        --      --





                                                                                            
BRONCO DRILLING CO INC              EQUITY     112211107        98     19,341 SH       SOLE           2    19,341        --      --
BROOKDALE SR LIVING INC             EQUITY     112463104        22      1,236 SH       SOLE           2     1,236        --      --
BROOKFIELD ASSET MANAGEMENT INC     EQUITY     112585104       451     20,200 SH       OTHER          1        --    20,200      --
BROOKFIELD ASSET MGMT INC           EQUITY     112585104         4        200 SH       DEFINED        4        --        --     200
BROOKFIELD ASSET MGMT INC           EQUITY     112585104         7        333 SH       DEFINED        5        --        --     333
BROOKFIELD HOMES CORP               EQUITY     112723101        63      7,828 SH       SOLE           2     7,828        --      --
BROOKFIELD PROPERTIES CORP          EQUITY     112900105        61      5,003 SH       OTHER          1        --     5,003      --
BROOKLINE BANCORP INC               EQUITY     11373M107       312     31,501 SH       SOLE           1    31,501        --      --
BROOKLINE BANCORP INC DEL           EQUITY     11373M107       560     56,509 SH       SOLE           2    56,509        --      --
BROOKLYN FED BANCORP INC            EQUITY     114039100        25      2,507 SH       SOLE           2     2,507        --      --
BROOKS AUTOMATION INC               EQUITY     114340102       295     34,340 SH       SOLE           1    34,340        --      --
BROOKS AUTOMATION INC NEW           EQUITY     114340102       528     61,569 SH       SOLE           2    61,569        --      --
BROWN + BROWN INC                   EQUITY     115236101     4,777    265,828 SH       SOLE           2   265,828        --      --
BROWN FORMAN CORP                   EQUITY     115637209     2,040     38,073 SH       SOLE           2    38,073        --      --
BROWN FORMAN CORP                   EQUITY     115637209         6        110 SH       DEFINED        4        --        --     110
BROWN SHOE COMANY, INC.             EQUITY     115736100       227     23,006 SH       SOLE           1    23,006        --      --
BROWN SHOE INC NEW                  EQUITY     115736100       395     39,975 SH       SOLE           2    39,975        --      --
BROWN-FORMAN CORP CLASS B           EQUITY     115637209     4,079     76,135 SH       SOLE           1    76,135        --      --
BRUKER CORP                         EQUITY     116794108       482     39,937 SH       SOLE           2    39,937        --      --
BRUNSWICK CORP                      EQUITY     117043109     1,073     84,452 SH       SOLE           2    84,452        --      --
BRUNSWICK CORP.                     EQUITY     117043109       602     47,393 SH       SOLE           1    47,393        --      --
BRUSH ENGINEERED  MATERIALS         EQUITY     117421107       200     10,778 SH       SOLE           1    10,778        --      --
BRUSH ENGINEERED MATLS INC          EQUITY     117421107       358     19,317 SH       SOLE           2    19,317        --      --
BRYN MAWR BK CORP                   EQUITY     117665109        86      5,671 SH       SOLE           2     5,671        --      --
BRYN MAWR BK CORP                   EQUITY     117665109        62      4,128 SH       DEFINED        4        --        --   4,128
BT GROUP PLC                        EQUITY    5.577E+104       390     17,940 SH       DEFINED        4        --        --  17,940
BUCKEYE PARTNERS L P                EQUITY     118230101       307      5,637 SH       DEFINED        4        --        --   5,637
BUCKEYE PARTNERS L P                EQUITY     118230101         5        100 SH       DEFINED        5        --        --     100
BUCKEYE TECHNOLOGIES INC            EQUITY     118255108       201     20,645 SH       SOLE           1    20,645        --      --
BUCKEYE TECHNOLOGIES INC            EQUITY     118255108       361     37,014 SH       SOLE           2    37,014        --      --
BUCKLE INC                          EQUITY     118440106       715     24,405 SH       SOLE           2    24,405        --      --
BUCKLE INC                          EQUITY     118440106        42      1,428 SH       DEFINED        5        --        --   1,428
BUCKLE, INC.                        EQUITY     118440106       394     13,468 SH       SOLE           1    13,468        --      --
BUCYRUS INTL INC NEW                EQUITY     118759109     9,574    169,844 SH       SOLE           2   169,844        --      --
BUCYRUS INTL INC NEW                EQUITY     118759109       342      6,060 SH       DEFINED        5        --        --   6,060
BUFFALO WILD WINGS INC              EQUITY     119848109       384      9,539 SH       SOLE           1     9,539        --      --
BUFFALO WILD WINGS INC              EQUITY     119848109       693     17,220 SH       SOLE           2    17,220        --      --
BUILD A BEAR WORKSHOP INC           EQUITY     120076104        67     13,735 SH       SOLE           2    13,735        --      --
BUILDERS FIRSTSOURCE INC            EQUITY     12008R107        51     13,253 SH       SOLE           2    13,253        --      --
BUNGE LIMITED                       EQUITY     G16962105       240      3,766 SH       SOLE           2     3,766        --      --
BUNGE LIMITED                       EQUITY     G16962105         6        100 SH       DEFINED        4        --        --     100
BUNGE LIMITED                       EQUITY     G16962105         9        135 SH       DEFINED        5        --        --     135
BURGER KING HLDGS INC               EQUITY     121208201     7,039    374,020 SH       SOLE           2   374,020        --      --
BURLINGTON NORTHERN SANTA FE        EQUITY     12189T104     8,040     81,521 SH       SOLE           1    81,521        --      --
BURLINGTON NORTHN SANTA FE          EQUITY     12189T104     8,497     86,155 SH       SOLE           2    86,155        --      --
BURLINGTON NORTHN SANTA FE C        EQUITY     12189T104         7         73 SH       DEFINED        4        --        --      73
BURLINGTON NORTHN SANTA FE C        EQUITY     12189T104       223      2,257 SH       DEFINED        5        --        --   2,257
BWAY HLDG CO                        EQUITY     12429T104       118      6,156 SH       SOLE           2     6,156        --      --
C D I CORP                          EQUITY     125071100       152     11,737 SH       SOLE           2    11,737        --      --
C H ROBINSON WORLDWIDE INC          EQUITY     12541W209     5,850     99,572 SH       SOLE           2    99,572        --      --
C H ROBINSON WORLDWIDE INC          EQUITY     12541W209         1         20 SH       DEFINED        5        --        --      20
C. R. BARD, INC.                    EQUITY      67383109       153      1,958 SH       SOLE           1     1,958        --      --
C.H. ROBINSON WORLDWIDE INC         EQUITY     12541W209       458      7,790 SH       SOLE           1     7,790        --      --
CA INC                              EQUITY     12673P105         1         47 SH       DEFINED        4        --        --      47
CA INC                              EQUITY     12673P105     1,249     55,606 SH       SOLE           1    55,606        --      --
CA INC                              EQUITY     12673P105     5,406    240,672 SH       SOLE           2   240,672        --      --
CA INC                              EQUITY     12673P105        18        790 SH       DEFINED        5        --        --     790
CABELAS INC                         EQUITY     126804301       546     38,262 SH       SOLE           2    38,262        --      --
CABELAS INC                         EQUITY     126804301         3        200 SH       DEFINED        5        --        --     200
CABELA'S INC-CL A                   EQUITY     126804301       309     21,647 SH       SOLE           1    21,647        --      --
CABLEVISION SYS CORP                EQUITY     12686C109       170      6,590 SH       SOLE           2     6,590        --      --
CABLEVISION SYS CORP                EQUITY     12686C109         2         86 SH       DEFINED        4        --        --      86
CABLEVISION SYSTEMS CORP            EQUITY     12686C109       372     14,393 SH       SOLE           1    14,393        --      --
CABOT CORP                          EQUITY     127055101     3,875    147,715 SH       SOLE           2   147,715        --      --
CABOT MICROELECTRONICS COR          EQUITY     12709P103       739     22,420 SH       SOLE           2    22,420        --      --
CABOT MICROELECTRONICS CORP         EQUITY     12709P103       412     12,510 SH       SOLE           1    12,510        --      --
CABOT OIL & GAS CORP                EQUITY     127097103        13        303 SH       DEFINED        5        --        --     303
CABOT OIL & GAS CORP., CLASS A      EQUITY     127097103        92      2,100 SH       SOLE           1     2,100        --      --
CABOT OIL + GAS CORP                EQUITY     127097103     2,528     57,989 SH       SOLE           2    57,989        --      --
CACI INTERNATIONAL                  EQUITY     127190304       789     16,147 SH       SOLE           1    16,147        --      --
CACI INTL INC                       EQUITY     127190304     1,402     28,698 SH       SOLE           2    28,698        --      --
CADBURY PLC                         EQUITY   1.2721E+106        10        200 SH       DEFINED        4        --        --     200
CADBURY PLC                         EQUITY   1.2721E+106         8        147 SH       DEFINED        5        --        --     147
CADENCE DESIGN SYS INC              EQUITY     127387108     3,630    606,039 SH       SOLE           2   606,039        --      --
CADENCE DESIGN SYSTEM INC           EQUITY     127387108         2        275 SH       DEFINED        4        --        --     275
CADENCE PHARMACEUTICALS IN          EQUITY     12738T100       194     20,092 SH       SOLE           2    20,092        --      --
CADIZ INC                           EQUITY     127537207       130     10,850 SH       SOLE           2    10,850        --      --
CAE INC                             EQUITY     124765108       550     66,200 SH       OTHER          1        --    66,200      --
CAI INTL INC                        EQUITY     12477X106        72      7,934 SH       SOLE           2     7,934        --      --
CAKTRONICS INC                      EQUITY     234264109       169     18,342 SH       SOLE           1    18,342        --      --
CAL DIVE INTERNATIONAL INC          EQUITY     12802T101     3,035    401,449 SH       SOLE           1   401,449        --      --
CAL DIVE INTERNATIONAL INC          EQUITY     12802T101     8,147  1,077,689 SH       SOLE           2 1,077,689        --      --
CAL MAINE FOODS INC                 EQUITY     128030202     2,584     75,826 SH       SOLE           2    75,826        --      --
CAL MAINE FOODS INC                 EQUITY     128030202         3        100 SH       DEFINED        4        --        --     100
CALAMOS ASSET MGMT INC              EQUITY     12811R104       185     16,016 SH       SOLE           2    16,016        --      --
CALAMOS CONV & HIGH INCOME F        EQUITY     12811P108        74      6,373 SH       DEFINED        4        --        --   6,373
CALAMOS CONV & HIGH INCOME F        EQUITY     12811P108     1,008     87,303 SH       DEFINED        5        --        --  87,303
CALAMOS CONV OPP AND INC FD         EQUITY     128117108        78      6,300 SH       DEFINED        4        --        --   6,300
CALAMOS CONV OPP AND INC FD         EQUITY     128117108       486     39,461 SH       DEFINED        5        --        --  39,461
CALAMOS GBL DYN INCOME FUND         EQUITY     12811L107        28      3,514 SH       DEFINED        4        --        --   3,514
CALAMOS GBL DYN INCOME FUND         EQUITY     12811L107         6        716 SH       DEFINED        5        --        --     716
CALAMOS STRATEGIC TOTL RETN         EQUITY     128125101        21      2,441 SH       DEFINED        4        --        --   2,441
CALAMOS STRATEGIC TOTL RETN         EQUITY     128125101        17      1,900 SH       DEFINED        5        --        --   1,900
CALAVO GROWERS INC                  EQUITY     128246105       434     25,529 SH       SOLE           1    25,529        --      --
CALAVO GROWERS INC                  EQUITY     128246105       173     10,152 SH       SOLE           2    10,152        --      --
CALAVO GROWERS INC                  EQUITY     128246105       379     22,284 SH       SOLE           3    22,284        --      --
CALGON CARBON CORP                  EQUITY     129603106       731     52,564 SH       SOLE           2    52,564        --      --
CALGON CARBON CORP.                 EQUITY     129603106       414     29,795 SH       SOLE           1    29,795        --      --
CALIFORNIA FIRST NATL BANC          EQUITY     130222102        20      1,498 SH       SOLE           2     1,498        --      --
CALIFORNIA PIZZA KITCHEN I          EQUITY     13054D109       258     19,180 SH       SOLE           2    19,180        --      --
CALIFORNIA PIZZA KITCHEN INC        EQUITY     13054D109       172     12,798 SH       SOLE           1    12,798        --      --
CALIFORNIA WATER SERVICE G          EQUITY     130788102       591     16,047 SH       SOLE           2    16,047        --      --
CALIFORNIA WTR SVC GROUP            EQUITY     130788102         4        104 SH       DEFINED        5        --        --     104
CALLAWAY GOLF CO                    EQUITY     131193104       465     61,706 SH       SOLE           2    61,706        --      --
CALLAWAY GOLF CO.                   EQUITY     131193104       261     34,605 SH       SOLE           1    34,605        --      --





                                                                                            
CALLIDUS SOFTWARE INC               EQUITY     13123E500        64     21,078 SH       SOLE           2    21,078        --      --
CAL-MAINE FOODS INC                 EQUITY     128030202       228      6,677 SH       SOLE           1     6,677        --      --
CALPINE CORP                        EQUITY     131347304        86      7,804 SH       SOLE           2     7,804        --      --
CALPINE CORP                        EQUITY     131347304         6        524 SH       DEFINED        5        --        --     524
CAMBREX CORP                        EQUITY     132011107       156     27,981 SH       SOLE           2    27,981        --      --
CAMBREX CORP.                       EQUITY     132011107        88     15,718 SH       SOLE           1    15,718        --      --
CAMDEN NATL CORP                    EQUITY     133034108       204      6,242 SH       SOLE           2     6,242        --      --
CAMDEN PPTY TR                      EQUITY     133131102     6,155    145,270 SH       SOLE           2   145,270        --      --
CAMECO CORP                         EQUITY     13321L108     5,032    155,912 SH       OTHER          1        --   155,912      --
CAMECO CORP                         EQUITY     13321L108        14        433 SH       DEFINED        4        --        --     433
CAMECO CORP                         EQUITY     13321L108        58      1,800 SH       DEFINED        5        --        --   1,800
CAMERON INTERNATIONAL CORP          EQUITY     13342B105       206      4,931 SH       SOLE           1     4,931        --      --
CAMERON INTERNATIONAL CORP          EQUITY     13342B105        84      2,000 SH       DEFINED        5        --        --   2,000
CAMERON INTL CORP                   EQUITY     13342B105     5,027    120,285 SH       SOLE           2   120,285        --      --
CAMPBELL SOUP CO                    EQUITY     134429109     2,280     67,451 SH       SOLE           2    67,451        --      --
CAMPBELL SOUP CO                    EQUITY     134429109        85      2,529 SH       DEFINED        4        --        --   2,529
CAMPBELL SOUP CO                    EQUITY     134429109         5        143 SH       DEFINED        5        --        --     143
CAMPBELL SOUP CO.                   EQUITY     134429109     8,236    243,658 SH       SOLE           1   243,658        --      --
CANADIAN IMPERIAL BANK OF COMMERCE  EQUITY     136069101     6,842    105,353 SH       OTHER          1        --   105,353      --
CANADIAN NAT RES LTD                EQUITY     136385101        50        701 SH       DEFINED        5        --        --     701
CANADIAN NATIONAL RAILWAY           EQUITY     136375102     3,177     58,155 SH       OTHER          1        --    58,155      --
CANADIAN NATL RY CO                 EQUITY     136375102        13        248 SH       DEFINED        5        --        --     248
CANADIAN NATURAL RESORUCES          EQUITY     136385101     8,260    114,222 SH       OTHER          1        --   114,222      --
CANADIAN PACIFIC RAILWAY LTD        EQUITY     13645T100     4,403     81,502 SH       OTHER          1        --    81,502      --
CANADIAN SOLAR INC                  EQUITY     136635109        18        627 SH       DEFINED        5        --        --     627
CANADIAN SUPERIOR ENERGY INC        EQUITY     136644101         1      2,000 SH       DEFINED        4        --        --   2,000
CANON INC                           EQUITY     138006309         6        145 SH       DEFINED        5        --        --     145
CANTEL MED CORP                     EQUITY     138098108       243     12,025 SH       SOLE           2    12,025        --      --
CANTEL MEDICAL CORP                 EQUITY     138098108       137      6,807 SH       SOLE           1     6,807        --      --
CAPE BANCORP INC                    EQUITY     139209100        65      9,614 SH       SOLE           2     9,614        --      --
CAPELLA EDUCATION CO                EQUITY     139594105       579      7,688 SH       SOLE           1     7,688        --      --
CAPELLA EDUCATION CO                EQUITY     139594105     1,049     13,930 SH       SOLE           2    13,930        --      --
CAPELLA EDUCATION COMPANY           EQUITY     139594105         2         30 SH       DEFINED        4        --        --      30
CAPITAL CITY BK GROUP INC           EQUITY     139674105       134      9,684 SH       SOLE           2     9,684        --      --
CAPITAL ONE FINANCIAL CORP.         EQUITY     14040H105     1,183     30,862 SH       SOLE           1    30,862        --      --
CAPITAL ONE FINL CORP               EQUITY     14040H105     7,395    192,884 SH       SOLE           2   192,884        --      --
CAPITAL ONE FINL CORP               EQUITY     14040H105         5        131 SH       DEFINED        4        --        --     131
CAPITAL ONE FINL CORP               EQUITY     14040H105        88      2,299 SH       DEFINED        5        --        --   2,299
CAPITAL SOUTHWEST CORP              EQUITY     140501107       191      2,420 SH       SOLE           2     2,420        --      --
CAPITAL SR LIVING CORP              EQUITY     140475104        92     18,401 SH       SOLE           2    18,401        --      --
CAPITALSOURCE INC                   EQUITY     14055X102       724    182,428 SH       SOLE           1   182,428        --      --
CAPITALSOURCE INC                   EQUITY     14055X102        26      6,524 SH       SOLE           2     6,524        --      --
CAPITALSOURCE INC                   EQUITY     14055X102         4      1,000 SH       DEFINED        4        --        --   1,000
CAPITALSOURCE INC                   EQUITY     14055X102       156     39,350 SH       DEFINED        5        --        --  39,350
CAPITOL FED FINL                    EQUITY     14057C106        13        407 SH       SOLE           2       407        --      --
CAPITOL FED FINL                    EQUITY     14057C106        28        892 SH       DEFINED        5        --        --     892
CAPLEASE INC                        EQUITY     140288101        11      2,503 SH       SOLE           1     2,503        --      --
CAPLEASE INC                        EQUITY     140288101       184     42,099 SH       SOLE           2    42,099        --      --
CAPSTEAD MORTAGE CORP               EQUITY     14067E506       772     56,531 SH       SOLE           2    56,531        --      --
CAPSTONE TURBINE CORP               EQUITY     14067D102         2      1,865 SH       DEFINED        4        --        --   1,865
CARACO PHARMACEUTICAL LABS          EQUITY     14075T107        51      8,457 SH       SOLE           2     8,457        --      --
CARBO CERAMICS INC                  EQUITY     140781105       690     10,128 SH       SOLE           1    10,128        --      --
CARBO CERAMICS INC                  EQUITY     140781105     1,257     18,442 SH       SOLE           2    18,442        --      --
CARBO CERAMICS INC                  EQUITY     140781105        14        200 SH       DEFINED        4        --        --     200
CARDIAC SCIENCE CORP                EQUITY     14141A108         2        800 SH       DEFINED        5        --        --     800
CARDIAC SCIENCE CORP NEW            EQUITY     14141A108        36     16,330 SH       SOLE           2    16,330        --      --
CARDICA INC                         EQUITY     14141R101         1      1,000 SH       DEFINED        4        --        --   1,000
CARDINAL FINL CORP                  EQUITY     14149F109       202     23,119 SH       SOLE           2    23,119        --      --
CARDINAL HEALTH INC                 EQUITY     14149Y108    10,355    321,187 SH       SOLE           1   321,187        --      --
CARDINAL HEALTH INC                 EQUITY     14149Y108     6,020    186,737 SH       SOLE           2   186,737        --      --
CARDINAL HEALTH INC                 EQUITY     14149Y108        11        336 SH       DEFINED        5        --        --     336
CARDIONET INC                       EQUITY     14159L103       115     19,403 SH       SOLE           2    19,403        --      --
CARDIOVASCULAR SYS INC DEL          EQUITY     141619106        36      7,786 SH       SOLE           2     7,786        --      --
CARDIUM THERAPEUTICS INC            EQUITY     141916106        25     37,277 SH       SOLE           2    37,277        --      --
CARDTRONICS INC                     EQUITY     14161H108       121     10,922 SH       SOLE           2    10,922        --      --
CARE INVT TR INC                    EQUITY     141657106        78     10,037 SH       SOLE           2    10,037        --      --
CAREER ED CORP                      EQUITY     141665109     3,684    158,031 SH       SOLE           2   158,031        --      --
CAREER EDUCATION CORP               EQUITY     141665109       182      7,816 SH       SOLE           1     7,816        --      --
CAREFUSION CORP                     EQUITY     14170T101        89      3,577 SH       SOLE           1     3,577        --      --
CAREFUSION CORP                     EQUITY     14170T101     2,373     94,880 SH       SOLE           2    94,880        --      --
CAREFUSION CORP                     EQUITY     14170T101         2         96 SH       DEFINED        5        --        --      96
CARIBOU COFFEE INC                  EQUITY     142042209        43      5,585 SH       SOLE           2     5,585        --      --
CARLISLE COS INC                    EQUITY     142339100     4,747    138,565 SH       SOLE           2   138,565        --      --
CARLISLE COS INC.                   EQUITY     142339100       484     14,122 SH       SOLE           1    14,122        --      --
CARMAX INC                          EQUITY     143130102    12,140    500,632 SH       SOLE           2   500,632        --      --
CARMIKE CINEMAS INC                 EQUITY     143436400        68      8,971 SH       SOLE           2     8,971        --      --
CARNIVAL CORP                       EQUITY     143658300       280      8,831 SH       SOLE           1     8,831        --      --
CARNIVAL CORP                       EQUITY     143658300     6,916    218,235 SH       SOLE           2   218,235        --      --
CARNIVAL CORP                       EQUITY     143658300        20        630 SH       DEFINED        5        --        --     630
CARPENTER TECHNOLOGY CORP           EQUITY     144285103     2,686     99,654 SH       SOLE           2    99,654        --      --
CARRIZO OIL + GAS INC               EQUITY     144577103       604     22,785 SH       SOLE           2    22,785        --      --
CARROLS RESTAURANT GROUP I          EQUITY     14574X104        65      9,207 SH       SOLE           2     9,207        --      --
CARTER INC                          EQUITY     146229109     1,103     42,010 SH       SOLE           1    42,010        --      --
CARTER INC                          EQUITY     146229109     1,425     54,285 SH       SOLE           2    54,285        --      --
CASCADE CORP                        EQUITY     147195101       135      4,907 SH       SOLE           1     4,907        --      --
CASCADE CORP                        EQUITY     147195101       239      8,695 SH       SOLE           2     8,695        --      --
CASCADE FINL CORP                   EQUITY     147272108         3      1,450 SH       DEFINED        5        --        --   1,450
CASEYS GEN STORES INC               EQUITY     147528103     1,554     48,671 SH       SOLE           2    48,671        --      --
CASEYS GENERAL STORES, INC.         EQUITY     147528103       872     27,328 SH       SOLE           1    27,328        --      --
CASH AMER INTL INC                  EQUITY     14754D100       987     28,244 SH       SOLE           2    28,244        --      --
CASH AMERICA INTERNATIONAL          EQUITY     14754D100       542     15,506 SH       SOLE           1    15,506        --      --
CASS INFORMATION SYSTEMS I          EQUITY     14808P109       205      6,728 SH       SOLE           2     6,728        --      --
CASTLE A M   CO                     EQUITY     148411101       218     15,940 SH       SOLE           2    15,940        --      --
CASTLE A. M.  & CO.                 EQUITY     148411101       123      8,976 SH       SOLE           1     8,976        --      --
CATALYST HEALTH SOLUTIONS           EQUITY     14888B103     1,289     35,352 SH       SOLE           2    35,352        --      --
CATALYST HEALTH SOLUTIONS INC       EQUITY     14888B103     1,400     38,382 SH       SOLE           1    38,382        --      --
CATERPILLAR INC                     EQUITY     149123101    17,144    300,630 SH       SOLE           2   300,630        --      --
CATERPILLAR INC DEL                 EQUITY     149123101       805     14,132 SH       DEFINED        4        --        --  14,132
CATERPILLAR INC DEL                 EQUITY     149123101     1,294     22,700 SH       DEFINED        5        --        --  22,700
CATERPILLAR, INC.                   EQUITY     149123101     4,666     81,876 SH       SOLE           1    81,876        --      --
CATHAY GENERAL BANCORP              EQUITY     149150104     1,424    188,605 SH       SOLE           2   188,605        --      --
CATO CORP NEW                       EQUITY     149205106       536     26,742 SH       SOLE           2    26,742        --      --
CATO CORP. CLASS A                  EQUITY     149205106       316     15,768 SH       SOLE           1    15,768        --      --
CAVCO INDS INC DEL                  EQUITY     149568107       191      5,315 SH       SOLE           2     5,315        --      --
CAVIUM NETWORK INC                  EQUITY     14965A101       706     29,610 SH       SOLE           2    29,610        --      --





                                                                                            
CB RICHARD ELLIS GROUP INC          EQUITY     12497T101     1,586    116,742 SH       SOLE           2   116,742        --      --
CB RICHARD ELLIS GROUP INC          EQUITY     12497T101         1         99 SH       DEFINED        5        --        --      99
CB RICHARD ELLIS GROUP INC-A        EQUITY     12497T101        74      5,455 SH       SOLE           1     5,455        --      --
CBEYOND INC                         EQUITY     149847105       215     13,640 SH       SOLE           1    13,640        --      --
CBEYOND INC                         EQUITY     149847105       355     22,533 SH       SOLE           2    22,533        --      --
CBIZ INC                            EQUITY     124805102       276     35,798 SH       SOLE           2    35,798        --      --
CBL & ASSOC PPTYS INC               EQUITY     124830100         2        200 SH       DEFINED        5        --        --     200
CBL & ASSOCIATES PROPERTIES         EQUITY     124830100        35      3,593 SH       SOLE           1     3,593        --      --
CBL + ASSOC PPTYS INC               EQUITY     124830100     1,089    112,611 SH       SOLE           2   112,611        --      --
CBS CORP NEW                        EQUITY     124857202     3,380    240,455 SH       SOLE           2   240,455        --      --
CBS CORP NEW                        EQUITY     124857202         5        324 SH       DEFINED        5        --        --     324
CBS CORP-CL B                       EQUITY     124857202       192     13,680 SH       SOLE           1    13,680        --      --
CDC SOFTWARE CORP ADR               EQUITY     12507Y108     2,663    275,720 SH       SOLE           2   275,720        --      --
CDI CORP.                           EQUITY     125071100        88      6,816 SH       SOLE           1     6,816        --      --
CEC ENTERTAINMENT, INC.             EQUITY     125137109       384     12,033 SH       SOLE           1    12,033        --      --
CEC ENTMT INC                       EQUITY     125137109       702     22,004 SH       SOLE           2    22,004        --      --
CEDAR FAIR L P                      EQUITY     150185106        14      1,207 SH       DEFINED        4        --        --   1,207
CEDAR FAIR L P                      EQUITY     150185106       173     15,130 SH       DEFINED        5        --        --  15,130
CEDAR SHOPPING CENTERS INC          EQUITY     150602209       177     26,031 SH       SOLE           1    26,031        --      --
CEDAR SHOPPING CTRS INC             EQUITY     150602209       259     38,121 SH       SOLE           2    38,121        --      --
CELADON GROUP INC                   EQUITY     150838100       196     18,051 SH       SOLE           2    18,051        --      --
CELANESE CORP DE                    EQUITY     150870103        91      2,825 SH       SOLE           2     2,825        --      --
CELANESE CORP DEL                   EQUITY     150870103        71      2,222 SH       DEFINED        5        --        --   2,222
CELANESE CORP-SERIES A              EQUITY     150870103     5,348    166,600 SH       SOLE           3   166,600        --      --
CELERA CORP                         EQUITY     1.51E+110       462     66,833 SH       SOLE           2    66,833        --      --
CELESTICA INC                       EQUITY     15101Q108     1,150    121,910 SH       OTHER          1        --   121,910      --
CELGENE CORP                        EQUITY     151020104       517      9,294 SH       SOLE           1     9,294        --      --
CELGENE CORP                        EQUITY     151020104    21,866    392,610 SH       SOLE           2   392,610        --      --
CELGENE CORP                        EQUITY     151020104         2         27 SH       DEFINED        4        --        --      27
CELGENE CORP                        EQUITY     151020104       238      4,270 SH       DEFINED        5        --        --   4,270
CELL THERAPEUTICS INC               EQUITY     150934503       535    469,219 SH       SOLE           2   469,219        --      --
CELL THERAPEUTICS INC               EQUITY     150934503        15     13,040 SH       DEFINED        4        --        --  13,040
CELL THERAPEUTICS INC CALL          OPTION     150934903         1        250     CALL DEFINED        4        --        --     250
CELLDEX THERAPEUTICS INC N          EQUITY     15117B103        96     20,453 SH       SOLE           2    20,453        --      --
CEL-SCI CORP                        EQUITY     150837409         1      1,500 SH       DEFINED        5        --        --   1,500
CEMEX SAB DE CV                     EQUITY     151290889         9        744 SH       DEFINED        4        --        --     744
CEMEX SAB DE CV                     EQUITY     151290889       333     28,173 SH       DEFINED        5        --        --  28,173
CENOVUS ENERGY INC                  EQUITY     15135U109     5,074    201,074 SH       OTHER          1        --   201,074      --
CENOVUS ENERGY INC                  EQUITY     15135U109        30      1,191 SH       DEFINED        5        --        --   1,191
CENTENE CORP DEL                    EQUITY     15135B101       489     23,096 SH       SOLE           1    23,096        --      --
CENTENE CORP DEL                    EQUITY     15135B101       872     41,210 SH       SOLE           2    41,210        --      --
CENTER BANCORP INC                  EQUITY     151408101        90     10,082 SH       SOLE           2    10,082        --      --
CENTERPOINT ENERGY INC              EQUITY     15189T107     1,060     73,066 SH       SOLE           1    73,066        --      --
CENTERPOINT ENERGY INC              EQUITY     15189T107     4,327    298,212 SH       SOLE           2   298,212        --      --
CENTERPOINT ENERGY INC              EQUITY     15189T107         6        400 SH       DEFINED        4        --        --     400
CENTERPOINT ENERGY INC              EQUITY     15189T107        78      5,408 SH       DEFINED        5        --        --   5,408
CENTERSTATE BKS FL INC              EQUITY     15201P109       153     15,166 SH       SOLE           2    15,166        --      --
CENTRAIS ELETRICAS BRASILEIR        EQUITY     15234Q108         3        157 SH       DEFINED        4        --        --     157
CENTRAL EURO DISTRIBUTION CP        EQUITY     153435102       516     18,158 SH       SOLE           1    18,158        --      --
CENTRAL EURO DISTRIBUTION CP        EQUITY     153435102       124      4,381 SH       SOLE           3     4,381        --      --
CENTRAL EUROPE AND RUSSIA FD        EQUITY     153436100        17        503 SH       DEFINED        5        --        --     503
CENTRAL EUROPEAN DIST CORP          EQUITY     153435102         9        300 SH       DEFINED        5        --        --     300
CENTRAL EUROPEAN DISTR COR          EQUITY     153435102        49      1,709 SH       SOLE           2     1,709        --      --
CENTRAL EUROPEAN MEDIA ENT          EQUITY     G20045202        23        982 SH       SOLE           2       982        --      --
CENTRAL EUROPEAN MEDIA ENTRP        EQUITY     G20045202         1         50 SH       DEFINED        5        --        --      50
CENTRAL FD CDA LTD                  EQUITY     153501101       320     23,229 SH       DEFINED        4        --        --  23,229
CENTRAL GARDEN + PET CO             EQUITY     153527205     1,192    115,649 SH       SOLE           2   115,649        --      --
CENTRAL GARDEN AND PET CO           EQUITY     153527205       363     36,506 SH       SOLE           1    36,506        --      --
CENTRAL GOLDTRUST                   EQUITY     153546106       180      4,050 SH       DEFINED        4        --        --   4,050
CENTRAL PAC FINL CORP               EQUITY     154760102        32     24,774 SH       SOLE           2    24,774        --      --
CENTRAL VT PUB SVC CORP             EQUITY     155771108        42      2,000 SH       DEFINED        5        --        --   2,000
CENTRAL VT PUB SVC CORP COM         EQUITY     155771108       130      6,274 SH       SOLE           1     6,274        --      --
CENTRAL VT PUBLIC SERVICE           EQUITY     155771108       232     11,160 SH       SOLE           2    11,160        --      --
CENTURY ALUM CO                     EQUITY     156431108       881     54,390 SH       SOLE           2    54,390        --      --
CENTURY ALUM CO                     EQUITY     156431108        76      4,700 SH       DEFINED        5        --        --   4,700
CENTURY ALUMINUM CO.                EQUITY     156431108       499     30,792 SH       SOLE           1    30,792        --      --
CENTURY BANCORP INC MASS            EQUITY     156432106        63      2,868 SH       SOLE           2     2,868        --      --
CENTURYTEL INC                      EQUITY     156700106    13,817    381,582 SH       SOLE           2   381,582        --      --
CENTURYTEL INC                      EQUITY     156700106         6        153 SH       DEFINED        4        --        --     153
CENTURYTEL INC                      EQUITY     156700106         9        237 SH       DEFINED        5        --        --     237
CENTURYTEL, INC.                    EQUITY     156700106     2,809     77,572 SH       SOLE           1    77,572        --      --
CENVEO INC                          EQUITY     15670S105       383     43,737 SH       SOLE           2    43,737        --      --
CEPHALON INC                        EQUITY     156708109        95      1,514 SH       SOLE           1     1,514        --      --
CEPHALON INC                        EQUITY     156708109     1,898     30,412 SH       SOLE           2    30,412        --      --
CEPHEID                             EQUITY     15670R107       591     47,323 SH       SOLE           2    47,323        --      --
CEPHEID                             EQUITY     15670R107        22      1,800 SH       DEFINED        4        --        --   1,800
CERADYNE INC                        EQUITY     156710105       265     13,783 SH       SOLE           1    13,783        --      --
CERADYNE INC CALIF                  EQUITY     156710105       474     24,677 SH       SOLE           2    24,677        --      --
CERNER CORP                         EQUITY     156782104    12,998    157,662 SH       SOLE           2   157,662        --      --
CERNER CORP                         EQUITY     156782104     4,073     49,400 SH       SOLE           3    49,400        --      --
CERNER CORP                         EQUITY     156782104        11        132 SH       DEFINED        5        --        --     132
CERUS CORP                          EQUITY     157085101         6      3,000 SH       DEFINED        4        --        --   3,000
CEVA INC                            EQUITY     157210105       205     15,944 SH       SOLE           2    15,944        --      --
CF INDS HLDGS INC                   EQUITY     125269100     1,552     17,080 SH       SOLE           2    17,080        --      --
CF INDS HLDGS INC                   EQUITY     125269100         1         14 SH       DEFINED        5        --        --      14
CF INDUSTRIES HOLDINGS INC          EQUITY     125269100     7,719     85,028 SH       SOLE           1    85,028        --      --
CGI GROUP INC                       EQUITY     39945C109     2,987    220,145 SH       OTHER          1        --   220,145      --
CH ENERGY GROUP INC                 EQUITY     12541M102       643     15,111 SH       SOLE           2    15,111        --      --
CH ENERGY GROUP INC.                EQUITY     12541M102       361      8,483 SH       SOLE           1     8,483        --      --
CHARDAN 2008 CHINA ACQUISI          EQUITY     G8977T101     3,112    347,700 SH       SOLE           2   347,700        --      --
CHARLES RIV LABORATORIES I          EQUITY     159864107     5,013    148,790 SH       SOLE           2   148,790        --      --
CHARLES SCHWAB CORP.                EQUITY     808513105       362     19,256 SH       SOLE           1    19,256        --      --
CHARMING SHOPPES INC                EQUITY     161133103       610     94,271 SH       SOLE           2    94,271        --      --
CHART INDS INC                      EQUITY     16115Q308       384     23,208 SH       SOLE           2    23,208        --      --
CHARTWELL DIVD & INCOME FD I        EQUITY     16139P104         6      1,500 SH       DEFINED        5        --        --   1,500
CHASE CORP                          EQUITY     16150R104        59      4,969 SH       SOLE           2     4,969        --      --
CHATTEM INC                         EQUITY     162456107       940     10,077 SH       SOLE           1    10,077        --      --
CHATTEM INC                         EQUITY     162456107     1,731     18,550 SH       SOLE           2    18,550        --      --
CHECK POINT SOFTWARE                EQUITY     M22465104     2,174     64,170 SH       SOLE           2    64,170        --      --
CHECK POINT SOFTWARE TECH LT        EQUITY     M22465104        10        299 SH       DEFINED        5        --        --     299
CHECKPOINT SYS INC                  EQUITY     162825103       568     37,232 SH       SOLE           2    37,232        --      --
CHECKPOINT SYSTEMS, INC.            EQUITY     162825103       319     20,933 SH       SOLE           1    20,933        --      --
CHEESECAKE FACTORY                  EQUITY     163072101     3,968    183,780 SH       SOLE           2   183,780        --      --
CHEESECAKE FACTORY INC              EQUITY     163072101        16        727 SH       DEFINED        4        --        --     727
CHEESECAKE FACTORY INC              EQUITY     163072101         6        275 SH       DEFINED        5        --        --     275





                                                                                            
CHELSEA THERAPEUTICS INTL           EQUITY     163428105        58     21,469 SH       SOLE           2    21,469        --      --
CHEMED CORP NEW                     EQUITY     16359R103     1,037     21,614 SH       SOLE           2    21,614        --      --
CHEMED CORP.                        EQUITY     16359R103       576     12,007 SH       SOLE           1    12,007        --      --
CHEMICAL FINL CORP                  EQUITY     163731102       410     17,368 SH       SOLE           2    17,368        --      --
CHENIERE ENERGY INC                 EQUITY     16411R208       111     45,940 SH       SOLE           2    45,940        --      --
CHENIERE ENERGY PARTNERS LP         EQUITY     16411Q101        47      3,650 SH       DEFINED        4        --        --   3,650
CHENIERE ENERGY PARTNERS LP         EQUITY     16411Q101         5        400 SH       DEFINED        5        --        --     400
CHEROKEE INC DEL NEW                EQUITY     16444H102       111      6,213 SH       SOLE           2     6,213        --      --
CHESAPEAKE ENERGY CORP              EQUITY     165167107     7,805    301,582 SH       SOLE           2   301,582        --      --
CHESAPEAKE ENERGY CORP              EQUITY     165167107       715     27,625 SH       DEFINED        4        --        --  27,625
CHESAPEAKE ENERGY CORP              EQUITY     165167842       110      1,300 SH       DEFINED        5        --        --   1,300
CHESAPEAKE ENERGY CORP              EQUITY     165167107       288     11,119 SH       DEFINED        5        --        --  11,119
CHESAPEAKE ENERGY CORP.             EQUITY     165167107    11,547    446,193 SH       SOLE           1   446,193        --      --
CHESAPEAKE UTILS CORP               EQUITY     165303108       244      7,624 SH       SOLE           2     7,624        --      --
CHESAPEAKE UTILS CORP               EQUITY     165303108        14        450 SH       DEFINED        4        --        --     450
CHEVIOT FINL CORP                   EQUITY     166774109        17      2,281 SH       SOLE           2     2,281        --      --
CHEVRON CORP                        EQUITY     166764100    66,231    860,250 SH       SOLE           2   860,250        --      --
CHEVRON CORP NEW                    EQUITY     166764100       807     10,476 SH       DEFINED        4        --        --  10,476
CHEVRON CORP NEW                    EQUITY     166764100     2,500     32,475 SH       DEFINED        5        --        --  32,475
CHEVRON CORPORATION                 EQUITY     166764100    44,799    581,801 SH       SOLE           1   581,801        --      --
CHEVRON CORPORATION                 EQUITY     166764100     1,589     20,644 SH       SOLE           3    20,644        --      --
CHICOPEE BANCORP INC                EQUITY     168565109        66      5,276 SH       SOLE           2     5,276        --      --
CHICOS FAS INC                      EQUITY     168615102     5,640    401,446 SH       SOLE           2   401,446        --      --
CHICOS FAS INC                      EQUITY     168615102        11        800 SH       DEFINED        4        --        --     800
CHICOS FAS INC                      EQUITY     168615102       214     15,229 SH       DEFINED        5        --        --  15,229
CHILDRENS PL RETAIL STORES          EQUITY     168905107     3,677    111,383 SH       SOLE           2   111,383        --      --
CHILDREN'S PLACE, INC.              EQUITY     168905107       485     14,703 SH       SOLE           1    14,703        --      --
CHIMERA INVT CORP                   EQUITY     16934Q109     2,401    618,836 SH       SOLE           2   618,836        --      --
CHIMERA INVT CORP                   EQUITY     16934Q109         2        422 SH       DEFINED        4        --        --     422
CHINA AUTOMOTIVE SYS INC            EQUITY     16936R105         9        500 SH       DEFINED        4        --        --     500
CHINA AUTOMOTIVE SYSTEMS I          EQUITY     16936R105        66      3,526 SH       SOLE           2     3,526        --      --
CHINA BAK BATTERY INC               EQUITY     16936Y100        94     33,915 SH       SOLE           2    33,915        --      --
CHINA BIOTICS INC                   EQUITY     16937B109       121      7,801 SH       SOLE           2     7,801        --      --
CHINA DIRECT INDS INC               EQUITY     169384203         1      1,000 SH       DEFINED        5        --        --   1,000
CHINA ED ALLIANCE INC               EQUITY     16938Y207         4        600 SH       DEFINED        4        --        --     600
CHINA FIRE & SEC GROUP INC          EQUITY     16938R103         3        200 SH       DEFINED        4        --        --     200
CHINA FIRE + SEC GROUP INC          EQUITY     16938R103       155     11,447 SH       SOLE           2    11,447        --      --
CHINA GREEN AGRICULTURE IN          EQUITY     16943W105       127      8,631 SH       SOLE           2     8,631        --      --
CHINA GREEN AGRICULTURE INC         EQUITY     16943W105        25      1,730 SH       DEFINED        5        --        --   1,730
CHINA HSG + LD DEV INC              EQUITY     16939V103        87     20,970 SH       SOLE           2    20,970        --      --
CHINA INFORMATION SEC TECH          EQUITY     16944F101       136     22,042 SH       SOLE           2    22,042        --      --
CHINA INSONLINE CORP                EQUITY   1.6944E+108         6      8,000 SH       DEFINED        5        --        --   8,000
CHINA LIFE INS CO LTD               EQUITY     16939P106         8        105 SH       DEFINED        5        --        --     105
CHINA LIFE INSURANCE CO LTD         EQUITY     16939P106    45,957    626,550 SH       SOLE           1   626,550        --      --
CHINA MOBILE LIMITED                EQUITY     16941M109        48      1,033 SH       DEFINED        5        --        --   1,033
CHINA NAT GAS INC                   EQUITY     168910206         1        134 SH       DEFINED        4        --        --     134
CHINA PETE & CHEM CORP              EQUITY     16941R108         2         25 SH       DEFINED        5        --        --      25
CHINA PRECISION STEEL INC           EQUITY     16941J106        22     10,500 SH       DEFINED        5        --        --  10,500
CHINA PRECISION STL INC             EQUITY     16941J106        52     25,293 SH       SOLE           2    25,293        --      --
CHINA SEC SURVEILLANCE TEC          EQUITY     16942J105       274     35,865 SH       SOLE           2    35,865        --      --
CHINA SKY ONE MED INC               EQUITY     16941P102       194      8,516 SH       SOLE           2     8,516        --      --
CHINA TRANSINFO TECHNOLOGY          EQUITY     169453107        58      7,071 SH       SOLE           2     7,071        --      --
CHINA UNICOM (HONG KONG) LTD        EQUITY     16945R104         3        200 SH       DEFINED        4        --        --     200
CHINA UNICOM (HONG KONG) LTD        EQUITY     16945R104        31      2,367 SH       DEFINED        5        --        --   2,367
CHINA VALVES TECHNOLOGY INC         EQUITY     169476207       764     82,700 SH       SOLE           3    82,700        --      --
CHINACAST ED CORP                   EQUITY     16946T109       209     27,702 SH       SOLE           2    27,702        --      --
CHINDEX INTL INC                    EQUITY     169467107       154     10,876 SH       SOLE           2    10,876        --      --
CHIPOTLE MEXICAN GRILL INC          EQUITY     169656105     6,306     71,524 SH       SOLE           2    71,524        --      --
CHIPOTLE MEXICAN GRILL INC          EQUITY     169656105         9        100 SH       DEFINED        5        --        --     100
CHIQUITA BRANDS INTL INC            EQUITY     170032809       656     36,381 SH       SOLE           2    36,381        --      --
CHOICE HOTELS INC                   EQUITY     169905106        24        762 SH       SOLE           2       762        --      --
CHORDIANT SOFTWARE INC              EQUITY     170404305        68     24,651 SH       SOLE           2    24,651        --      --
CHRISTOPHER & BANKS CORPORATIO      EQUITY     171046105       147     19,321 SH       SOLE           1    19,321        --      --
CHRISTOPHER + BANKS CORP            EQUITY     171046105       262     34,355 SH       SOLE           2    34,355        --      --
CHUBB CORP                          EQUITY     171232101    13,928    283,195 SH       SOLE           2   283,195        --      --
CHUBB CORP                          EQUITY     171232101         5         97 SH       DEFINED        4        --        --      97
CHUBB CORP                          EQUITY     171232101        21        419 SH       DEFINED        5        --        --     419
CHUBB CORP.                         EQUITY     171232101     2,977     60,525 SH       SOLE           1    60,525        --      --
CHURCH AND DWIGHT INC               EQUITY     171340102     9,598    158,784 SH       SOLE           2   158,784        --      --
CHURCHILL DOWNS INC                 EQUITY     171484108       290      7,762 SH       SOLE           2     7,762        --      --
CIA BRASILEIRA DE DISTRIBUICAO
  GRUPO PAO DE ACUCAR               EQUITY     20440T201    22,218    295,770 SH       SOLE           1   295,770        --      --
CIA SIDERURGICA NACIONAL SA         EQUITY     20440W105    22,589    707,440 SH       SOLE           1   707,440        --      --
CIBER INC                           EQUITY     17163B102       227     65,898 SH       SOLE           2    65,898        --      --
CIBER, INC.                         EQUITY     17163B102       129     37,324 SH       SOLE           1    37,324        --      --
CIENA CORP                          EQUITY     171779309     2,245    207,108 SH       SOLE           2   207,108        --      --
CIENA CORP                          EQUITY     171779309         8        700 SH       DEFINED        4        --        --     700
CIENA CORP                          EQUITY     171779309        38      3,534 SH       DEFINED        5        --        --   3,534
CIGNA CORP                          EQUITY     125509109     4,694    133,012 SH       SOLE           2   133,012        --      --
CIGNA CORP.                         EQUITY     125509109       195      5,518 SH       SOLE           1     5,518        --      --
CIMAREX ENERGY CO                   EQUITY     171798101    10,008    188,942 SH       SOLE           2   188,942        --      --
CIMAREX ENERGY CO                   EQUITY     171798101        13        253 SH       DEFINED        4        --        --     253
CIMAREX ENERGY CO                   EQUITY     171798101        16        300 SH       DEFINED        5        --        --     300
CINCINNATI BELL INC NEW             EQUITY     171871106     2,137    619,302 SH       SOLE           2   619,302        --      --
CINCINNATI FINANCIAL CORP.          EQUITY     172062101     7,280    277,458 SH       SOLE           1   277,458        --      --
CINCINNATI FINL CORP                EQUITY     172062101     3,223    122,818 SH       SOLE           2   122,818        --      --
CINCINNATI FINL CORP                EQUITY     172062101        16        615 SH       DEFINED        5        --        --     615
CINEDIGM DIGITAL CINEMA CORP        EQUITY     172407108         2      1,890 SH       DEFINED        4        --        --   1,890
CINEMARK HLDGS INC                  EQUITY     17243V102       378     26,332 SH       SOLE           2    26,332        --      --
CINTAS CORP                         EQUITY     172908105     1,780     68,332 SH       SOLE           2    68,332        --      --
CINTAS CORP                         EQUITY     172908105        46      1,781 SH       DEFINED        4        --        --   1,781
CINTAS CORP.                        EQUITY     172908105     1,949     74,787 SH       SOLE           1    74,787        --      --
CIRCOR INTERNATIONAL, INC.          EQUITY     17273K109       228      9,064 SH       SOLE           1     9,064        --      --
CIRCOR INTL INC                     EQUITY     17273K109       409     16,250 SH       SOLE           2    16,250        --      --
CIRRUS LOGIC INC                    EQUITY     172755100       363     53,292 SH       SOLE           2    53,292        --      --
CISCO SYS INC                       EQUITY     17275R102    89,561  3,740,101 SH       SOLE           2 3,740,101        --      --
CISCO SYS INC                       EQUITY     17275R102       697     29,118 SH       DEFINED        4        --        --  29,118
CISCO SYS INC                       EQUITY     17275R102       788     32,897 SH       DEFINED        5        --        --  32,897
CISCO SYSTEMS, INC.                 EQUITY     17275R102    18,976    792,651 SH       SOLE           1   792,651        --      --
CIT GROUP INC                       EQUITY     125581801         3        120 SH       DEFINED        4        --        --     120
CIT GROUP INC                       EQUITY     125581801        29      1,064 SH       DEFINED        5        --        --   1,064
CITI TRENDS INC                     EQUITY     17306X102       331     11,991 SH       SOLE           2    11,991        --      --
CITIGROUP INC                       EQUITY     172967101     6,616  1,998,678 SH       SOLE           1 1,998,678        --      --
CITIGROUP INC                       EQUITY     172967101    28,886  8,727,015 SH       SOLE           2 8,727,015        --      --
CITIGROUP INC                       EQUITY     172967101       229     69,034 SH       DEFINED        4        --        --  69,034
CITIGROUP INC                       EQUITY     172967101       543    163,959 SH       DEFINED        5        --        -- 163,959





                                                                                            
CITIZENS + NORTHN CORP              EQUITY     172922106        94      9,894 SH       SOLE           2     9,894        --      --
CITIZENS HLDG CO MISS               EQUITY     174715102        73      3,244 SH       SOLE           2     3,244        --      --
CITIZENS INC AMER                   EQUITY     174740100       178     27,191 SH       SOLE           2    27,191        --      --
CITIZENS REPUBLIC BANKCORP          EQUITY     174420109       222    322,222 SH       SOLE           2   322,222        --      --
CITRIX SYS INC                      EQUITY     177376100     3,778     90,746 SH       SOLE           2    90,746        --      --
CITRIX SYSTEMS, INC.                EQUITY     177376100       154      3,697 SH       SOLE           1     3,697        --      --
CITY HLDG CO                        EQUITY     177835105       494     15,271 SH       SOLE           2    15,271        --      --
CITY HLDG CO                        EQUITY     177835105        43      1,341 SH       DEFINED        5        --        --   1,341
CITY HOLDING CO.                    EQUITY     177835105       274      8,485 SH       SOLE           1     8,485        --      --
CITY NATL CORP                      EQUITY     178566105     9,156    200,789 SH       SOLE           2   200,789        --      --
CKE RESTAURANTS INC                 EQUITY   1.2561E+109       251     29,620 SH       SOLE           1    29,620        --      --
CKE RESTAURANTS INC                 EQUITY   1.2561E+109       403     47,619 SH       SOLE           2    47,619        --      --
CKE RESTAURANTS INC                 EQUITY   1.2561E+109         2        180 SH       DEFINED        5        --        --     180
CKX INC                             EQUITY     12562M106       250     47,454 SH       SOLE           2    47,454        --      --
CLARCOR INC                         EQUITY     179895107     1,579     48,663 SH       SOLE           2    48,663        --      --
CLARCOR, INC.                       EQUITY     179895107       871     26,838 SH       SOLE           1    26,838        --      --
CLARIENT INC                        EQUITY     180489106        65     24,419 SH       SOLE           2    24,419        --      --
CLAYMORE DIVID & INCOME FD          EQUITY     18385J105         3        200 SH       DEFINED        5        --        --     200
CLAYMORE ETF TRUST 2                EQUITY     18383Q507       433     23,526 SH       DEFINED        4        --        --  23,526
CLAYMORE ETF TRUST 2                EQUITY     18383Q861       734     40,431 SH       DEFINED        4        --        --  40,431
CLAYMORE ETF TRUST 2                EQUITY     18383Q820         9        700 SH       DEFINED        5        --        --     700
CLAYMORE ETF TRUST 2                EQUITY     18383Q853        16        600 SH       DEFINED        5        --        --     600
CLAYMORE ETF TRUST 2                EQUITY     18383Q507        76      4,150 SH       DEFINED        5        --        --   4,150
CLAYMORE ETF TRUST 2                EQUITY     18383Q820         1        100 SH       DEFINED        4        --        --     100
CLAYMORE EXCHANGE TRADED FD         EQUITY     18383M100       102      2,400 SH       DEFINED        4        --        --   2,400
CLAYMORE EXCHANGE TRADED FD         EQUITY     18383M621         4        400 SH       DEFINED        5        --        --     400
CLAYMORE EXCHANGE TRADED FD         EQUITY     18383M100     1,548     36,449 SH       DEFINED        5        --        --  36,449
CLEAN ENERGY FUELS CORP             EQUITY     184499101       449     29,105 SH       SOLE           2    29,105        --      --
CLEAN HBRS INC                      EQUITY     184496107     4,096     68,714 SH       SOLE           2    68,714        --      --
CLEAR CHANNEL OUTDOOR HLDG          EQUITY     18451C109        13      1,240 SH       SOLE           2     1,240        --      --
CLEARWATER PAPER CORP               EQUITY     18538R103       335      6,101 SH       SOLE           1     6,101        --      --
CLEARWATER PAPER CORP               EQUITY     18538R103       598     10,871 SH       SOLE           2    10,871        --      --
CLEARWIRE CORP NEW                  EQUITY     18538Q105        13      1,971 SH       SOLE           2     1,971        --      --
CLECO CORP NEW                      EQUITY     12561W105     5,052    184,839 SH       SOLE           2   184,839        --      --
CLIFFS NAT RES INC                  EQUITY     18683K101     3,091     67,018 SH       SOLE           2    67,018        --      --
CLIFFS NATURAL RESOURCES INC        EQUITY     18683K101     2,557     55,484 SH       SOLE           1    55,484        --      --
CLIFFS NATURAL RESOURCES INC        EQUITY     18683K101     3,908     84,800 SH       SOLE           3    84,800        --      --
CLIFFS NATURAL RESOURCES INC        EQUITY     18683K101        51      1,102 SH       DEFINED        4        --        --   1,102
CLIFFS NATURAL RESOURCES INC        EQUITY     18683K101       230      4,990 SH       DEFINED        5        --        --   4,990
CLIFTON SVGS BANCORP INC            EQUITY     18712Q103        71      7,577 SH       SOLE           2     7,577        --      --
CLINICAL DATA INC NEW               EQUITY     18725U109       199     10,885 SH       SOLE           2    10,885        --      --
CLOROX CO                           EQUITY     189054109     5,626     92,216 SH       SOLE           2    92,216        --      --
CLOROX CO DEL                       EQUITY     189054109       103      1,687 SH       DEFINED        4        --        --   1,687
CLOROX CO DEL                       EQUITY     189054109        58        949 SH       DEFINED        5        --        --     949
CLOROX CO.                          EQUITY     189054109     1,937     31,751 SH       SOLE           1    31,751        --      --
CLOUD PEAK ENERGY INC               EQUITY     18911Q102       364     24,969 SH       SOLE           2    24,969        --      --
CLOUD PEAK ENERGY INC               EQUITY     18911Q102        36      2,500 SH       DEFINED        5        --        --   2,500
CME GROUP INC                       EQUITY     12572Q105       454      1,352 SH       SOLE           1     1,352        --      --
CME GROUP INC                       EQUITY     12572Q105     9,959     29,637 SH       SOLE           2    29,637        --      --
CME GROUP INC                       EQUITY     12572Q105         2          7 SH       DEFINED        4        --        --       7
CME GROUP INC                       EQUITY     12572Q105         8         23 SH       DEFINED        5        --        --      23
CMS ENERGY CORP                     EQUITY     125896100     1,287     82,197 SH       SOLE           2    82,197        --      --
CMS ENERGY CORP                     EQUITY     125896100         9        606 SH       DEFINED        4        --        --     606
CMS ENERGY CORP.                    EQUITY     125896100     1,515     96,723 SH       SOLE           1    96,723        --      --
CNA FINL CORP                       EQUITY     126117100        17        696 SH       SOLE           2       696        --      --
CNA SURETY CORP                     EQUITY     12612L108       204     13,734 SH       SOLE           2    13,734        --      --
CNB FINL CORP PA                    EQUITY     126128107       113      7,054 SH       SOLE           2     7,054        --      --
CNOOC LTD                           EQUITY     126132109    38,948    250,550 SH       SOLE           1   250,550        --      --
CNOOC LTD                           EQUITY     126132109        11         74 SH       DEFINED        5        --        --      74
CNX GAS CORP                        EQUITY     12618H309        15        498 SH       SOLE           2       498        --      --
COACH INC                           EQUITY     189754104       235      6,445 SH       SOLE           1     6,445        --      --
COACH INC                           EQUITY     189754104     7,994    218,764 SH       SOLE           2   218,764        --      --
COACH INC                           EQUITY     189754104     4,566    125,000 SH       SOLE           3   125,000        --      --
COACH INC                           EQUITY     189754104         8        210 SH       DEFINED        4        --        --     210
COACH INC                           EQUITY     189754104       232      6,354 SH       DEFINED        5        --        --   6,354
COBIZ FINANCIAL INC                 EQUITY     190897108       114     23,964 SH       SOLE           2    23,964        --      --
COCA COLA BOTTLING CO CONS          EQUITY     191098102       186      3,435 SH       SOLE           2     3,435        --      --
COCA COLA CO                        EQUITY     191216100    59,559  1,044,431 SH       SOLE           2 1,044,431        --      --
COCA COLA CO                        EQUITY     191216100     1,006     17,658 SH       DEFINED        4        --        --  17,658
COCA COLA CO                        EQUITY     191216100       663     11,629 SH       DEFINED        5        --        --  11,629
COCA COLA ENTERPRISES INC           EQUITY     191219104     2,360    111,312 SH       SOLE           2   111,312        --      --
COCA COLA ENTERPRISES INC           EQUITY     191219104        11        500 SH       DEFINED        4        --        --     500
COCA COLA ENTERPRISES INC           EQUITY     191219104         9        422 SH       DEFINED        5        --        --     422
COCA COLA ENTERPRISES, INC.         EQUITY     191219104     8,724    411,532 SH       SOLE           1   411,532        --      --
COCA COLA FEMSA S A B DE C V        EQUITY     191241108        11        173 SH       DEFINED        5        --        --     173
COCA-COLA CO.                       EQUITY     191216100    10,411    182,649 SH       SOLE           1   182,649        --      --
COEUR D ALENE MINES CORP I          EQUITY     192108504     1,112     61,592 SH       SOLE           2    61,592        --      --
COEUR D ALENE MINES CORP IDA        EQUITY     192108504         5        300 SH       DEFINED        4        --        --     300
COEUR D ALENE MINES CORP IDA        EQUITY     192108504         5        280 SH       DEFINED        5        --        --     280
COGDELL SPENCER INC                 EQUITY     19238U107       139     24,495 SH       SOLE           2    24,495        --      --
COGENT COMMUNICATIONS GRP           EQUITY     19239V302       357     36,196 SH       SOLE           2    36,196        --      --
COGENT INC                          EQUITY     19239Y108     6,399    615,852 SH       SOLE           2   615,852        --      --
COGNEX CORP                         EQUITY     192422103       673     37,970 SH       SOLE           2    37,970        --      --
COGNEX CORP.                        EQUITY     192422103       374     21,123 SH       SOLE           1    21,123        --      --
COGNIZANT TECH SOLUTION             EQUITY     192446102     3,082     67,990 SH       SOLE           1    67,990        --      --
COGNIZANT TECH SOLUTION             EQUITY     192446102     3,468     76,500 SH       SOLE           3    76,500        --      --
COGNIZANT TECHNOLOGY SOLUT          EQUITY     192446102    10,276    226,821 SH       SOLE           2   226,821        --      --
COGNIZANT TECHNOLOGY SOLUTIO        EQUITY     192446102       432      9,533 SH       DEFINED        4        --        --   9,533
COGNIZANT TECHNOLOGY SOLUTIO        EQUITY     192446102        59      1,295 SH       DEFINED        5        --        --   1,295
COGO GROUP INC                      EQUITY     192448108       139     18,832 SH       SOLE           2    18,832        --      --
COHEN & STEERS CLOSED END OP        EQUITY     19248P106        12      1,000 SH       DEFINED        4        --        --   1,000
COHEN & STEERS GLOBAL INC BL        EQUITY     19248M103        38      3,360 SH       DEFINED        4        --        --   3,360
COHEN & STEERS QUALITY RLTY         EQUITY     19247L106        13      2,177 SH       DEFINED        4        --        --   2,177
COHEN & STEERS QUALITY RLTY         EQUITY     19247L106        19      3,200 SH       DEFINED        5        --        --   3,200
COHEN & STEERS REIT & PFD IN        EQUITY     19247X100         8        800 SH       DEFINED        4        --        --     800
COHEN & STEERS REIT & PFD IN        EQUITY     19247X100         7        700 SH       DEFINED        5        --        --     700
COHEN & STEERS REIT & UTIL I        EQUITY     19247Y108        17      1,565 SH       DEFINED        5        --        --   1,565
COHEN & STEERS SELECT UTIL F        EQUITY     19248A109        30      1,908 SH       DEFINED        5        --        --   1,908
COHEN & STEERS TOTAL RETURN         EQUITY     19247R103         5        500 SH       DEFINED        4        --        --     500
COHEN & STEERS TOTAL RETURN         EQUITY     19247R103        70      7,205 SH       DEFINED        5        --        --   7,205
COHEN & STEERS WRLDWD RLT IN        EQUITY     19248J100        21      3,400 SH       DEFINED        4        --        --   3,400
COHEN & STEERS WRLDWD RLT IN        EQUITY     19248J100       491     78,124 SH       DEFINED        5        --        --  78,124
COHEN + STEERS INC                  EQUITY     19247A100       321     14,042 SH       SOLE           2    14,042        --      --
COHERENT INC                        EQUITY     192479103       526     17,709 SH       SOLE           2    17,709        --      --
COHU INC                            EQUITY     192576106       312     22,365 SH       SOLE           2    22,365        --      --





                                                                                            
COHU, INC.                          EQUITY     192576106       176     12,584 SH       SOLE           1    12,584        --      --
COINSTAR INC                        EQUITY     19259P300       806     29,024 SH       SOLE           2    29,024        --      --
COINSTAR, INC                       EQUITY     19259P300       457     16,439 SH       SOLE           1    16,439        --      --
COLDWATER CREEK INC                 EQUITY     193068103       786    176,134 SH       SOLE           2   176,134        --      --
COLDWATER CREEK INC                 EQUITY     193068103         2        495 SH       DEFINED        5        --        --     495
COLE KENNETH PRODTNS INC            EQUITY     193294105        60      6,202 SH       SOLE           2     6,202        --      --
COLFAX CORP                         EQUITY     194014106       233     19,342 SH       SOLE           2    19,342        --      --
COLFAX CORP                         EQUITY     194014106        19      1,600 SH       DEFINED        4        --        --   1,600
COLGATE PALMOLIVE CO                EQUITY     194162103    17,816    216,804 SH       SOLE           2   216,804        --      --
COLGATE PALMOLIVE CO                EQUITY     194162103        68        833 SH       DEFINED        4        --        --     833
COLGATE PALMOLIVE CO                EQUITY     194162103       829     10,095 SH       DEFINED        5        --        --  10,095
COLGATE-PALMOLIVE CO.               EQUITY     194162103     4,973     60,541 SH       SOLE           1    60,541        --      --
COLLECTIVE BRANDS INC               EQUITY     19421W100     4,455    195,631 SH       SOLE           2   195,631        --      --
COLONIAL PPTYS TR                   EQUITY     195872106       744     63,464 SH       SOLE           2    63,464        --      --
COLONIAL PROPERTIES TRUST           EQUITY     195872106       454     38,663 SH       SOLE           1    38,663        --      --
COLONY FINANCIAL INC                EQUITY     19624R106       239     11,728 SH       SOLE           2    11,728        --      --
COLUMBIA BANKING SYSTEM, INC        EQUITY     197236102       244     15,082 SH       SOLE           1    15,082        --      --
COLUMBIA BKY SYS INC                EQUITY     197236102       435     26,885 SH       SOLE           2    26,885        --      --
COLUMBIA SPORTSWEAR CO              EQUITY     198516106       366      9,386 SH       SOLE           2     9,386        --      --
COLUMBUS MCKINNON CORP NY           EQUITY     199333105       212     15,554 SH       SOLE           2    15,554        --      --
COMCAST CORP NEW                    EQUITY     20030N101    20,305  1,204,334 SH       SOLE           2 1,204,334        --      --
COMCAST CORP NEW                    EQUITY     20030N200         8        513 SH       DEFINED        4        --        --     513
COMCAST CORP NEW                    EQUITY     20030N101        49      2,895 SH       DEFINED        4        --        --   2,895
COMCAST CORP NEW                    EQUITY     20030N200        15        930 SH       DEFINED        5        --        --     930
COMCAST CORP NEW                    EQUITY     20030N101       136      8,062 SH       DEFINED        5        --        --   8,062
COMCAST CORP-CL A                   EQUITY     20030N101    17,609  1,044,427 SH       SOLE           1 1,044,427        --      --
COMERICA INC                        EQUITY     200340107     2,336     79,015 SH       SOLE           2    79,015        --      --
COMERICA INC                        EQUITY     200340107         9        300 SH       DEFINED        4        --        --     300
COMERICA INC                        EQUITY     200340107        66      2,247 SH       DEFINED        5        --        --   2,247
COMERICA, INC.                      EQUITY     200340107        90      3,052 SH       SOLE           1     3,052        --      --
COMFORT SYS USA INC                 EQUITY     199908104       253     20,516 SH       SOLE           1    20,516        --      --
COMFORT SYS USA INC                 EQUITY     199908104       456     36,954 SH       SOLE           2    36,954        --      --
COMMERCE BANCSHARES INC             EQUITY     200525103     6,377    164,702 SH       SOLE           2   164,702        --      --
COMMERCE BANCSHARES INC             EQUITY     200525103         2         48 SH       DEFINED        5        --        --      48
COMMERCIAL METALS CO                EQUITY     201723103     3,990    254,961 SH       SOLE           2   254,961        --      --
COMMERCIAL METALS CO.               EQUITY     201723103        86      5,491 SH       SOLE           1     5,491        --      --
COMMSCOPE INC                       EQUITY     203372107     5,630    212,209 SH       SOLE           2   212,209        --      --
COMMUNICATIONS SYS                  EQUITY     203900105        62      4,989 SH       SOLE           2     4,989        --      --
COMMUNITY BANK SYSTEM, INC.         EQUITY     203607106       339     17,574 SH       SOLE           1    17,574        --      --
COMMUNITY BK SYS INC                EQUITY     203607106       605     31,349 SH       SOLE           2    31,349        --      --
COMMUNITY HEALTH SYS INC N          EQUITY     203668108     7,476    209,995 SH       SOLE           2   209,995        --      --
COMMUNITY TR BANCORP INC            EQUITY     204149108       302     12,362 SH       SOLE           2    12,362        --      --
COMMVAULT SYS INC                   EQUITY     204166102       946     39,914 SH       SOLE           2    39,914        --      --
COMMVAULT SYSTEMS INC               EQUITY     204166102     2,496    105,303 SH       SOLE           1   105,303        --      --
COMPANHIA DE BEBIDAS DAS AME        EQUITY     20441W203       317      3,140 SH       DEFINED        4        --        --   3,140
COMPANHIA DE BEBIDAS DAS AME        EQUITY     20441W203       117      1,155 SH       DEFINED        5        --        --   1,155
COMPANHIA DE SANEAMENTO BASI        EQUITY     20441A102         9        220 SH       DEFINED        5        --        --     220
COMPANHIA ENERGETICA DE MINA        EQUITY     204409601        11        625 SH       DEFINED        4        --        --     625
COMPANHIA ENERGETICA DE MINA        EQUITY     204409601         5        291 SH       DEFINED        5        --        --     291
COMPASS DIVERSIFIED HLDGS           EQUITY     20451Q104       248     19,467 SH       SOLE           2    19,467        --      --
COMPASS DIVERSIFIED HOLDINGS        EQUITY     20451Q104        14      1,110 SH       DEFINED        4        --        --   1,110
COMPASS DIVERSIFIED HOLDINGS        EQUITY     20451Q104        25      1,948 SH       DEFINED        5        --        --   1,948
COMPASS MINERALS INTL INC           EQUITY     20451N101        51        763 SH       SOLE           2       763        --      --
COMPELLENT TECHNOLOGIES IN          EQUITY     20452A108       384     16,929 SH       SOLE           2    16,929        --      --
COMPELLENT TECHNOLOGIES INC         EQUITY     20452A108       903     39,817 SH       SOLE           1    39,817        --      --
COMPELLENT TECHNOLOGIES INC         EQUITY     20452A108       841     37,100 SH       SOLE           3    37,100        --      --
COMPLETE PRODTN SVCS INC            EQUITY   2.0453E+113       619     47,644 SH       SOLE           2    47,644        --      --
COMPUCREDIT HLDGS CORP              EQUITY     20478T107        44     13,220 SH       SOLE           2    13,220        --      --
COMPUTER PROGRAMS & SY              EQUITY     205306103       496     10,768 SH       SOLE           1    10,768        --      --
COMPUTER PROGRAMS + SYS IN          EQUITY     205306103       429      9,318 SH       SOLE           2     9,318        --      --
COMPUTER SCIENCES CORP              EQUITY     205363104     3,137     54,504 SH       SOLE           2    54,504        --      --
COMPUTER SCIENCES CORP              EQUITY     205363104        30        530 SH       DEFINED        5        --        --     530
COMPUTER SCIENCES CORP.             EQUITY     205363104     2,137     37,153 SH       SOLE           1    37,153        --      --
COMPUTER TASK GROUP INC             EQUITY     205477102        98     12,209 SH       SOLE           2    12,209        --      --
COMPUWARE CORP                      EQUITY     205638109       606     83,754 SH       SOLE           2    83,754        --      --
COMPUWARE CORP.                     EQUITY     205638109     1,079    149,242 SH       SOLE           1   149,242        --      --
COMSCORE INC                        EQUITY     20564W105       225     12,821 SH       SOLE           1    12,821        --      --
COMSCORE INC                        EQUITY     20564W105       369     21,009 SH       SOLE           2    21,009        --      --
COMSTOCK RES INC                    EQUITY     205768203     4,283    105,559 SH       SOLE           2   105,559        --      --
COMSYS IT PARTNERS INC              EQUITY   2.0581E+108       108     12,103 SH       SOLE           2    12,103        --      --
COMTECH TELECOMMUNICATIONS          EQUITY     205826209       531     15,158 SH       SOLE           1    15,158        --      --
COMTECH TELECOMMUNICATIONS          EQUITY     205826209       944     26,945 SH       SOLE           2    26,945        --      --
COMTECH TELECOMMUNICATIONS C        EQUITY     205826209         2         65 SH       DEFINED        4        --        --      65
COMVERGE INC                        EQUITY     205859101       196     17,465 SH       SOLE           2    17,465        --      --
CON WAY INC                         EQUITY     205944101     3,883    111,232 SH       SOLE           2   111,232        --      --
CONAGRA FOODS INC                   EQUITY     205887102         3        150 SH       DEFINED        4        --        --     150
CONAGRA FOODS INC                   EQUITY     205887102        51      2,228 SH       DEFINED        5        --        --   2,228
CONAGRA INC                         EQUITY     205887102     5,499    238,511 SH       SOLE           2   238,511        --      --
CONAGRA, INC.                       EQUITY     205887102     3,664    158,965 SH       SOLE           1   158,965        --      --
CONCEPTUS INC                       EQUITY     206016107       468     24,929 SH       SOLE           2    24,929        --      --
CONCHO RES INC                      EQUITY     20605P101        96      2,145 SH       SOLE           2     2,145        --      --
CONCUR TECHNOLOGIES INC             EQUITY     206708109       965     22,576 SH       SOLE           1    22,576        --      --
CONCUR TECHNOLOGIES INC             EQUITY     206708109     1,645     38,483 SH       SOLE           2    38,483        --      --
CONMED CORP                         EQUITY     207410101       634     27,813 SH       SOLE           2    27,813        --      --
CONMED CORP.                        EQUITY     207410101       356     15,621 SH       SOLE           1    15,621        --      --
CONNECTICUT WTR SVC INC             EQUITY     207797101       172      6,947 SH       SOLE           2     6,947        --      --
CONNS INC                           EQUITY     208242107        48      8,142 SH       SOLE           2     8,142        --      --
CONOCOPHILLIPS                      EQUITY     20825C104    33,720    660,280 SH       SOLE           2   660,280        --      --
CONOCOPHILLIPS                      EQUITY     20825C104       130      2,551 SH       DEFINED        4        --        --   2,551
CONOCOPHILLIPS                      EQUITY     20825C104       991     19,406 SH       DEFINED        5        --        --  19,406
CONOCOPHILLIPS PETROLEUM CO         EQUITY     20825C104    19,602    383,830 SH       SOLE           1   383,830        --      --
CONSECO INC                         EQUITY     208464883       825    164,974 SH       SOLE           2   164,974        --      --
CONSECO INC                         EQUITY     208464883       113     22,608 SH       DEFINED        5        --        --  22,608
CONSOL ENERGY INC                   EQUITY     20854P109       182      3,656 SH       SOLE           1     3,656        --      --
CONSOL ENERGY INC                   EQUITY     20854P109     3,143     63,067 SH       SOLE           2    63,067        --      --
CONSOL ENERGY INC                   EQUITY     20854P109     2,774     55,700 SH       SOLE           3    55,700        --      --
CONSOL ENERGY INC                   EQUITY     20854P109        87      1,755 SH       DEFINED        4        --        --   1,755
CONSOL ENERGY INC                   EQUITY     20854P109        25        500 SH       DEFINED        5        --        --     500
CONSOLIDATED COMM HLDGS INC         EQUITY     209034107         7        400 SH       DEFINED        4        --        --     400
CONSOLIDATED COMM HOLDINGS          EQUITY     209034107       333     19,033 SH       SOLE           2    19,033        --      --
CONSOLIDATED EDISON INC             EQUITY     209115104     4,561    100,392 SH       SOLE           2   100,392        --      --
CONSOLIDATED EDISON INC             EQUITY     209115104       235      5,180 SH       DEFINED        4        --        --   5,180
CONSOLIDATED EDISON INC             EQUITY     209115104       220      4,841 SH       DEFINED        5        --        --   4,841
CONSOLIDATED EDISON, INC.           EQUITY     209115104       258      5,676 SH       SOLE           1     5,676        --      --
CONSOLIDATED GRAPHICS INC           EQUITY     209341106       335      9,555 SH       SOLE           2     9,555        --      --





                                                                                            
CONSOLIDATED GRAPHICS, INC.         EQUITY     209341106       208      5,943 SH       SOLE           1     5,943        --      --
CONSOLIDATED TOMOKA LD CO           EQUITY     210226106       155      4,422 SH       SOLE           2     4,422        --      --
CONSOLIDATED WATER CO INC           EQUITY     G23773107         6        400 SH       DEFINED        4        --        --     400
CONSOLIDATED WATER CO LTD           EQUITY     G23773107       170     11,870 SH       SOLE           2    11,870        --      --
CONSTANT CONTACT INC                EQUITY     210313102       313     19,572 SH       SOLE           2    19,572        --      --
CONSTELLATION BRANDS                EQUITY     21036P108       950     59,655 SH       SOLE           1    59,655        --      --
CONSTELLATION BRANDS INC            EQUITY     21036P108     1,132     71,073 SH       SOLE           2    71,073        --      --
CONSTELLATION BRANDS INC            EQUITY     21036P108         2        125 SH       DEFINED        5        --        --     125
CONSTELLATION ENERGY GROUP          EQUITY     210371100     2,476     70,389 SH       SOLE           2    70,389        --      --
CONSTELLATION ENERGY GROUP I        EQUITY     210371100         3         80 SH       DEFINED        4        --        --      80
CONSTELLATION ENERGY GRUOP INC      EQUITY     210371100       143      4,061 SH       SOLE           1     4,061        --      --
CONTANGO OIL & GAS COMPANY          EQUITY     21075N204         5        100 SH       DEFINED        5        --        --     100
CONTANGO OIL + GAS CO               EQUITY     21075N204       465      9,891 SH       SOLE           2     9,891        --      --
CONTINENTAL AIRLS INC               EQUITY     210795308        49      2,729 SH       SOLE           2     2,729        --      --
CONTINENTAL AIRLS INC               EQUITY     210795308        25      1,375 SH       DEFINED        5        --        --   1,375
CONTINENTAL AIRLS INC COM CL B      EQUITY     210795308        34      1,904 SH       SOLE           1     1,904        --      --
CONTINENTAL RES INC OK              EQUITY     212015101        31        733 SH       SOLE           2       733        --      --
CONTINUCARE CORP                    EQUITY     212172100       105     23,914 SH       SOLE           2    23,914        --      --
CONVERGYS CORP                      EQUITY     212485106       485     45,103 SH       SOLE           1    45,103        --      --
CONVERGYS CORP                      EQUITY     212485106     2,983    277,463 SH       SOLE           2   277,463        --      --
CONVERGYS CORP                      EQUITY     212485106         6        600 SH       DEFINED        5        --        --     600
CONVERTED ORGANICS INC              EQUITY     21254S107        22     33,500 SH       DEFINED        4        --        --  33,500
CON-WAY INC                         EQUITY     205944101     1,613     46,200 SH       SOLE           3    46,200        --      --
COOPER COMPANIES, INC.              EQUITY     216648402     2,514     65,948 SH       SOLE           1    65,948        --      --
COOPER COS INC                      EQUITY     216648402       290      7,596 SH       SOLE           2     7,596        --      --
COOPER INDUSTRIES PLC               EQUITY     G24140108        74      1,734 SH       DEFINED        5        --        --   1,734
COOPER TIRE + RUBR CO               EQUITY     216831107     4,855    242,155 SH       SOLE           2   242,155        --      --
COPA HOLDINGS S A                   EQUITY     P31076105        32        585 SH       SOLE           2       585        --      --
COPA HOLDINGS SA                    EQUITY     P31076105         6        104 SH       DEFINED        5        --        --     104
COPANO ENERGY L L C                 EQUITY     217202100         4        160 SH       DEFINED        4        --        --     160
COPANO ENERGY L L C                 EQUITY     217202100        18        750 SH       DEFINED        5        --        --     750
COPART INC                          EQUITY     217204106     5,560    151,798 SH       SOLE           2   151,798        --      --
COPART INC                          EQUITY     217204106        11        300 SH       DEFINED        4        --        --     300
CORE MARK HLDG CO INC               EQUITY     218681104       261      7,931 SH       SOLE           2     7,931        --      --
CORINTHIAN COLLEGES INC             EQUITY     218868107     3,590    260,683 SH       SOLE           2   260,683        --      --
CORN PRODUCTS INTL INC              EQUITY     219023108     4,958    169,636 SH       SOLE           2   169,636        --      --
CORNELL COMPANIES INC               EQUITY     219141108       205      9,016 SH       SOLE           2     9,016        --      --
CORNELL COMPANIES INC               EQUITY     219141108       944     41,600 SH       SOLE           3    41,600        --      --
CORNERSTONE THERAPEUTICS I          EQUITY     21924P103        32      5,319 SH       SOLE           2     5,319        --      --
CORNERSTONE THERAPEUTICS INC        EQUITY     21924P103        49      8,000 SH       DEFINED        4        --        --   8,000
CORNING INC                         EQUITY     219350105    21,530  1,114,903 SH       SOLE           2 1,114,903        --      --
CORNING INC                         EQUITY     219350105        12        610 SH       DEFINED        4        --        --     610
CORNING INC                         EQUITY     219350105       844     43,715 SH       DEFINED        5        --        --  43,715
CORNING, INC.                       EQUITY     219350105       607     31,441 SH       SOLE           1    31,441        --      --
CORPORATE EXECUTIVE BRD CO          EQUITY     21988R102     2,374    104,041 SH       SOLE           2   104,041        --      --
CORPORATE OFFICE PPTYS TR           EQUITY     22002T108     4,833    131,937 SH       SOLE           2   131,937        --      --
CORPORATE OFFICE PROPERTIES TRUST
  SBI MD                            EQUITY     22002T108        74      2,019 SH       SOLE           1     2,019        --      --
CORRECTIONS CORP AMER NEW           EQUITY     22025Y407     6,413    261,202 SH       SOLE           2   261,202        --      --
CORRECTIONS CORP AMER NEW           EQUITY     22025Y407         7        300 SH       DEFINED        4        --        --     300
CORUS ENTERTAINMENT INC             EQUITY     220874101     2,004    106,179 SH       OTHER          1        --   106,179      --
CORVEL CORP                         EQUITY     221006109       227      6,776 SH       SOLE           2     6,776        --      --
CORVEL CORP.                        EQUITY     221006109       129      3,833 SH       SOLE           1     3,833        --      --
COSAN LTD                           EQUITY     G25343107         3        355 SH       DEFINED        5        --        --     355
COSTAR GROUP INC                    EQUITY     22160N109       678     16,234 SH       SOLE           2    16,234        --      --
COSTCO COMPANIES INC                FIXED
                                      INCOME   22160QAC6         4          3 PRN      DEFINED        4        --        --       3
COSTCO WHOLESALE CORPORATION        EQUITY     22160K105       521      8,810 SH       SOLE           1     8,810        --      --
COSTCO WHSL CORP NEW                EQUITY     22160K105    10,585    178,887 SH       SOLE           2   178,887        --      --
COSTCO WHSL CORP NEW                EQUITY     22160K105        94      1,593 SH       DEFINED        4        --        --   1,593
COSTCO WHSL CORP NEW                EQUITY     22160K105       167      2,830 SH       DEFINED        5        --        --   2,830
COURIER CORP                        EQUITY     222660102       117      8,240 SH       SOLE           2     8,240        --      --
COUSINS PPTYS INC                   EQUITY     222795106     2,160    283,153 SH       SOLE           2   283,153        --      --
COVANCE INC                         EQUITY     222816100     7,883    144,459 SH       SOLE           2   144,459        --      --
COVANCE INC                         EQUITY     222816100         5         84 SH       DEFINED        5        --        --      84
COVANTA HLDG CORP                   EQUITY   2.2282E+106        65      3,574 SH       SOLE           2     3,574        --      --
COVANTA HOLDING CORP                EQUITY   2.2282E+106         2         98 SH       SOLE           1        98        --      --
COVENTRY HEALTH CARE INC            EQUITY     222862104     1,810     74,497 SH       SOLE           2    74,497        --      --
COVENTRY HEALTH CARE INC            EQUITY     222862104         3        106 SH       DEFINED        4        --        --     106
COVENTRY HEALTH CARE, INC.          EQUITY     222862104     1,248     51,360 SH       SOLE           1    51,360        --      --
COVIDIEN PLC                        EQUITY     G2554F105        17        347 SH       DEFINED        4        --        --     347
COVIDIEN PLC                        EQUITY     G2554F105       464      9,684 SH       DEFINED        5        --        --   9,684
COWEN GROUP INC NEW                 EQUITY     223622101        76     12,857 SH       SOLE           2    12,857        --      --
CPFL ENERGIA S A                    EQUITY     126153105       113      1,835 SH       DEFINED        5        --        --   1,835
CPI CORP                            EQUITY     125902106        50      4,097 SH       SOLE           2     4,097        --      --
CPI INTL INC                        EQUITY     12618M100        79      5,990 SH       SOLE           2     5,990        --      --
CRA INTL INC                        EQUITY     12618T105       237      8,900 SH       SOLE           2     8,900        --      --
CRACKER BARREL OLD COUNTRY STORE INCEQUITY     22410J106       460     12,109 SH       SOLE           1    12,109        --      --
CRACKER BARREL OLD CTRY ST          EQUITY     22410J106       824     21,679 SH       SOLE           2    21,679        --      --
CRACKER BARREL OLD CTRY STOR        EQUITY     22410J106         4        100 SH       DEFINED        5        --        --     100
CRANE CO                            EQUITY     224399105     3,236    105,679 SH       SOLE           2   105,679        --      --
CRAWFORD + CO                       EQUITY     224633107        67     16,982 SH       SOLE           2    16,982        --      --
CRAY INC                            EQUITY     225223304       179     27,931 SH       SOLE           2    27,931        --      --
CREDIT ACCEPTANCE CORP              EQUITY     225310101       207      4,913 SH       SOLE           2     4,913        --      --
CREDIT SUISSE ASSET MGMT INC        EQUITY     224916106        10      2,830 SH       DEFINED        4        --        --   2,830
CREDIT SUISSE ASSET MGMT INC        EQUITY     224916106        30      9,025 SH       DEFINED        5        --        --   9,025
CREDIT SUISSE GROUP                 EQUITY     225401108         8        155 SH       DEFINED        5        --        --     155
CREDO PETE CORP                     EQUITY     225439207        53      5,738 SH       SOLE           2     5,738        --      --
CREE INC                            EQUITY     225447101    13,170    233,632 SH       SOLE           2   233,632        --      --
CREE INC                            EQUITY     225447101     4,250     75,400 SH       SOLE           3    75,400        --      --
CREE INC                            EQUITY     225447101     1,224     21,722 SH       DEFINED        4        --        --  21,722
CREE INC                            EQUITY     225447101        11        200 SH       DEFINED        5        --        --     200
CREXUS INVESTMENT CORP              EQUITY     226553105       155     11,094 SH       SOLE           2    11,094        --      --
CROCS INC                           EQUITY     227046109       261     45,336 SH       SOLE           1    45,336        --      --
CROCS INC                           EQUITY     227046109       463     80,470 SH       SOLE           2    80,470        --      --
CROCS INC                           EQUITY     227046109        16      2,820 SH       DEFINED        5        --        --   2,820
CROSS COUNTRY HEALTHCARE INC        EQUITY     227483104       164     16,553 SH       SOLE           1    16,553        --      --
CROSS CTRY HEALTHCARE INC           EQUITY     227483104       292     29,479 SH       SOLE           2    29,479        --      --
CROSS TIMBERS RTY TR                EQUITY     22757R109        11        323 SH       DEFINED        4        --        --     323
CROSSTEX ENERGY INC                 EQUITY     22765Y104       200     33,050 SH       SOLE           2    33,050        --      --
CROWN CASTLE INTERNATIONAL          EQUITY     228227104     3,746     95,960 SH       SOLE           1    95,960        --      --
CROWN CASTLE INTL CORP              EQUITY     228227104       285      7,302 SH       SOLE           2     7,302        --      --
CROWN CASTLE INTL CORP              EQUITY     228227104         4        112 SH       DEFINED        4        --        --     112
CROWN CASTLE INTL CORP              EQUITY     228227104         3         82 SH       DEFINED        5        --        --      82
CROWN HLDGS INC                     EQUITY     228368106        81      3,157 SH       SOLE           2     3,157        --      --
CROWN HOLDINGS INC                  EQUITY     228368106     3,535    138,210 SH       SOLE           1   138,210        --      --
CROWN HOLDINGS INC                  EQUITY     228368106        20        800 SH       DEFINED        4        --        --     800





                                                                                            
CROWN MEDIA HLDGS INC               EQUITY     228411104        13      8,901 SH       SOLE           2     8,901        --      --
CRYOLIFE INC                        EQUITY     228903100       174     27,086 SH       SOLE           2    27,086        --      --
CRYOLIFE INC.                       EQUITY     228903100        98     15,189 SH       SOLE           1    15,189        --      --
CSG SYS INTL INC                    EQUITY     126349109       642     33,625 SH       SOLE           2    33,625        --      --
CSG SYSTEMS INTERNATIONAL, INC      EQUITY     126349109       355     18,589 SH       SOLE           1    18,589        --      --
CSS INDS INC                        EQUITY     125906107       119      6,127 SH       SOLE           2     6,127        --      --
CSS INDS INC                        EQUITY     125906107        39      2,000 SH       DEFINED        4        --        --   2,000
CSX CORP                            EQUITY     126408103     1,950     40,221 SH       SOLE           1    40,221        --      --
CSX CORP                            EQUITY     126408103     8,717    179,717 SH       SOLE           2   179,717        --      --
CSX CORP                            EQUITY     126408103        25        519 SH       DEFINED        5        --        --     519
CTC MEDIA INC                       EQUITY     12642X106        10        691 SH       SOLE           2       691        --      --
CTS CORP                            EQUITY     126501105       311     32,327 SH       SOLE           2    32,327        --      --
CTS CORP.                           EQUITY     126501105       175     18,191 SH       SOLE           1    18,191        --      --
CUBIC CORP                          EQUITY     229669106       557     14,932 SH       SOLE           2    14,932        --      --
CUBIC CORP.                         EQUITY     229669106       308      8,263 SH       SOLE           1     8,263        --      --
CUBIC ENERGY INC                    EQUITY     229675103        33     22,079 SH       SOLE           2    22,079        --      --
CUBIST PHARMA INC                   EQUITY     229678107       582     30,664 SH       SOLE           1    30,664        --      --
CUBIST PHARMACEUTICALS INC          EQUITY     229678107         1         55 SH       DEFINED        5        --        --      55
CUBIST PHARMACEUTICALS INC          EQUITY     229678107     1,047     55,217 SH       SOLE           2    55,217        --      --
CULLEN FROST BANKERS INC            EQUITY     229899109     6,767    135,349 SH       SOLE           2   135,349        --      --
CULLEN FROST BANKERS INC            EQUITY     229899109        35        700 SH       DEFINED        4        --        --     700
CULLEN/FROST BANKERS                EQUITY     229899109     5,274    105,480 SH       SOLE           1   105,480        --      --
CUMBERLAND PHARMACEUTICALS          EQUITY     230770109        90      6,601 SH       SOLE           2     6,601        --      --
CUMMINS INC                         EQUITY     231021106       187      4,080 SH       SOLE           1     4,080        --      --
CUMMINS INC                         EQUITY     231021106     4,726    103,022 SH       SOLE           2   103,022        --      --
CUMMINS INC                         EQUITY     231021106         5        100 SH       DEFINED        4        --        --     100
CUMMINS INC                         EQUITY     231021106        16        359 SH       DEFINED        5        --        --     359
CURIS INC                           EQUITY     231269101       169     51,996 SH       SOLE           2    51,996        --      --
CURRENCYSHARES AUSTRALIAN DL        EQUITY     23129U101       176      1,955 SH       DEFINED        4        --        --   1,955
CURRENCYSHARES AUSTRALIAN DL        EQUITY     23129U101       209      2,320 SH       DEFINED        5        --        --   2,320
CURRENCYSHARES CDN DLR TR           EQUITY     23129X105       169      1,782 SH       DEFINED        4        --        --   1,782
CURRENCYSHARES CDN DLR TR           EQUITY     23129X105         1         15 SH       DEFINED        5        --        --      15
CURRENCYSHARES SWISS FRANC T        EQUITY     23129V109         2         20 SH       DEFINED        4        --        --      20
CURRENCYSHARES SWISS FRANC T        EQUITY     23129V109         5         50 SH       DEFINED        5        --        --      50
CURTISS WRIGHT CORP                 EQUITY     231561101     1,358     43,349 SH       SOLE           2    43,349        --      --
CURTISS-WRIGHT CORP.                EQUITY     231561101       762     24,323 SH       SOLE           1    24,323        --      --
CUSHING MLP TOTAL RETURN FD         EQUITY     231631102        11      1,250 SH       DEFINED        5        --        --   1,250
CUTERA INC                          EQUITY     232109108        92     10,855 SH       SOLE           2    10,855        --      --
CVB FINL CORP                       EQUITY     126600105       599     69,343 SH       SOLE           2    69,343        --      --
CVR ENERGY INC                      EQUITY     12662P108       129     18,810 SH       SOLE           2    18,810        --      --
CVS CAREMARK CORP                   EQUITY     126650100     1,521     47,233 SH       SOLE           1    47,233        --      --
CVS CAREMARK CORP                   EQUITY     126650100    45,343  1,407,746 SH       SOLE           2 1,407,746        --      --
CVS CAREMARK CORPORATION            EQUITY     126650100        26        821 SH       DEFINED        4        --        --     821
CVS CAREMARK CORPORATION            EQUITY     126650100       133      4,135 SH       DEFINED        5        --        --   4,135
CYANOTECH CORP                      EQUITY     232437301         1        250 SH       DEFINED        5        --        --     250
CYBERONICS                          EQUITY     23251P102       258     12,631 SH       SOLE           1    12,631        --      --
CYBERONICS INC                      EQUITY     23251P102       525     25,678 SH       SOLE           2    25,678        --      --
CYBERSOURCE CORP                    EQUITY     23251J106       745     37,034 SH       SOLE           1    37,034        --      --
CYBERSOURCE CORP                    EQUITY     23251J106         2        100 SH       DEFINED        4        --        --     100
CYBERSOURCE CORP DEL                EQUITY     23251J106     1,333     66,268 SH       SOLE           2    66,268        --      --
CYMER INC                           EQUITY     232572107     1,086     28,304 SH       SOLE           2    28,304        --      --
CYMER, INC.                         EQUITY     232572107       586     15,265 SH       SOLE           1    15,265        --      --
CYNOSURE INC                        EQUITY     232577205        92      7,986 SH       SOLE           2     7,986        --      --
CYPRESS BIOSCIENCE INC              EQUITY     232674507       179     31,088 SH       SOLE           2    31,088        --      --
CYPRESS SEMICONDUCTOR CORP          EQUITY     232806109       265     25,098 SH       SOLE           2    25,098        --      --
CYPRESS SEMICONDUCTOR CORP          EQUITY     232806109         7        700 SH       DEFINED        5        --        --     700
CYPRESS SEMICONDUCTOR CORP.         EQUITY     232806109       870     82,412 SH       SOLE           1    82,412        --      --
CYPRESS SHARPRIGE INVESTME          EQUITY     23281A307       182     13,481 SH       SOLE           2    13,481        --      --
CYTEC INDS INC                      EQUITY     232820100     4,006    110,007 SH       SOLE           2   110,007        --      --
CYTEC INDS INC                      EQUITY     232820100         3         75 SH       DEFINED        4        --        --      75
CYTOKINETICS INC                    EQUITY     23282W100       104     35,696 SH       SOLE           2    35,696        --      --
CYTORI THERAPEUTICS INC             EQUITY     23283K105       146     23,873 SH       SOLE           2    23,873        --      --
CYTRX CORP                          EQUITY     232828301        22     20,000 SH       DEFINED        4        --        --  20,000
D R HORTON INC                      EQUITY     23331A109     1,080     99,373 SH       SOLE           2    99,373        --      --
D.R. HORTON INC                     EQUITY     23331A109     5,108    469,936 SH       SOLE           1   469,936        --      --
DAIMLER AG                          EQUITY     D1668R123       353      6,617 SH       DEFINED        4        --        --   6,617
DAIMLER AG                          EQUITY     D1668R123         3         63 SH       DEFINED        5        --        --      63
DAKTRONICS INC                      EQUITY     234264109       297     32,218 SH       SOLE           2    32,218        --      --
DAKTRONICS INC                      EQUITY     234264109        11      1,200 SH       DEFINED        4        --        --   1,200
DANA HLDG CORP                      EQUITY     235825205     1,233    113,773 SH       SOLE           2   113,773        --      --
DANAHER CORP                        EQUITY     235851102    12,880    171,246 SH       SOLE           2   171,246        --      --
DANAHER CORP DEL                    EQUITY     235851102        30        402 SH       DEFINED        4        --        --     402
DANAHER CORP DEL                    EQUITY     235851102        24        325 SH       DEFINED        5        --        --     325
DANAHER CORP.                       EQUITY     235851102       395      5,254 SH       SOLE           1     5,254        --      --
DANAOS CORPORATION                  EQUITY     Y1968P105         2        500 SH       DEFINED        4        --        --     500
DANAOS CORPORATION                  EQUITY     Y1968P105         1        300 SH       DEFINED        5        --        --     300
DANVERS BANCORP                     EQUITY     236442109       232     17,823 SH       SOLE           2    17,823        --      --
DARDEN RESTAURANTS INC              EQUITY     237194105     3,263     93,027 SH       SOLE           2    93,027        --      --
DARDEN RESTAURANTS INC              EQUITY     237194105        11        304 SH       DEFINED        5        --        --     304
DARDEN RESTAURANTS, INC.            EQUITY     237194105     1,130     32,227 SH       SOLE           1    32,227        --      --
DARLING INTERNATIONAL INC           EQUITY     237266101       365     43,512 SH       SOLE           1    43,512        --      --
DARLING INTL INC                    EQUITY     237266101       660     78,711 SH       SOLE           2    78,711        --      --
DAVITA INC                          EQUITY     23918K108       121      2,062 SH       SOLE           1     2,062        --      --
DAVITA INC                          EQUITY     23918K108     2,096     35,657 SH       SOLE           2    35,657        --      --
DAWSON GEOPHYSICAL CO               EQUITY     239359102       147      6,371 SH       SOLE           2     6,371        --      --
DCA TOTAL RETURN FD                 EQUITY     233066109        28     11,550 SH       DEFINED        5        --        --  11,550
DCP MIDSTREAM PARTNERS LP           EQUITY     23311P100         7        225 SH       DEFINED        5        --        --     225
DCT INDUSTRIAL TRUST INC            EQUITY     233153105       838    166,906 SH       SOLE           2   166,906        --      --
DCT INDUSTRIAL TRUST INC            EQUITY     233153105       124     24,608 SH       DEFINED        4        --        --  24,608
DCT INDUSTRIAL TRUST INC            EQUITY     233153105         2        407 SH       DEFINED        5        --        --     407
DDI CORP                            EQUITY     233162502        57     11,705 SH       SOLE           2    11,705        --      --
DEALERTRACK HLDGS INC               EQUITY     242309102       402     21,387 SH       SOLE           1    21,387        --      --
DEALERTRACK HOLDINGS INC            EQUITY     242309102       683     36,351 SH       SOLE           2    36,351        --      --
DEAN FOODS CO                       EQUITY     242370104        66      3,639 SH       SOLE           1     3,639        --      --
DEAN FOODS CO NEW                   EQUITY     242370104    12,162    674,145 SH       SOLE           2   674,145        --      --
DEAN FOODS CO NEW                   EQUITY     242370104         5        256 SH       DEFINED        4        --        --     256
DEAN FOODS CO NEW                   EQUITY     242370104         4        200 SH       DEFINED        5        --        --     200
DECKERS OUTDOOR CORP                EQUITY     243537107       692      6,800 SH       SOLE           1     6,800        --      --
DECKERS OUTDOOR CORP                EQUITY     243537107     1,273     12,517 SH       SOLE           2    12,517        --      --
DEERE & CO                          EQUITY     244199105        35        649 SH       DEFINED        4        --        --     649
DEERE & CO                          EQUITY     244199105       193      3,565 SH       DEFINED        5        --        --   3,565
DEERE & CO.                         EQUITY     244199105    32,440    599,548 SH       SOLE           1   599,548        --      --
DEERE & CO.                         EQUITY     244199105     1,596     29,500 SH       SOLE           3    29,500        --      --
DEERE + CO                          EQUITY     244199105    10,720    198,136 SH       SOLE           2   198,136        --      --
DEL MONTE FOODS CO                  EQUITY     24522P103        64      5,647 SH       SOLE           2     5,647        --      --





                                                                                            
DEL MONTE FOODS CO                  EQUITY     24522P103         2        195 SH       DEFINED        5        --        --     195
DELAWARE INV MN MUN INC FD I        EQUITY     24610V103        21      1,700 SH       DEFINED        4        --        --   1,700
DELCATH SYS INC                     EQUITY     24661P104       136     26,432 SH       SOLE           2    26,432        --      --
DELEK US HLDGS INC                  EQUITY     246647101        70     10,348 SH       SOLE           2    10,348        --      --
DELL INC                            EQUITY     24702R101     4,447    309,702 SH       SOLE           1   309,702        --      --
DELL INC                            EQUITY     24702R101    11,659    811,923 SH       SOLE           2   811,923        --      --
DELL INC                            EQUITY     24702R101       739     51,494 SH       DEFINED        4        --        --  51,494
DELL INC                            EQUITY     24702R101        12        814 SH       DEFINED        5        --        --     814
DELPHI FINANCIAL GROUP, INC.,
  CLASS A                           EQUITY     247131105       565     25,275 SH       SOLE           1    25,275        --      --
DELPHI FINL GROUP INC               EQUITY     247131105       994     44,447 SH       SOLE           2    44,447        --      --
DELTA AIR LINES INC DE              EQUITY     247361702       173     15,188 SH       SOLE           2    15,188        --      --
DELTA AIR LINES INC DEL             EQUITY     247361702         4        357 SH       DEFINED        4        --        --     357
DELTA AIR LINES INC DEL             EQUITY     247361702        40      3,516 SH       DEFINED        5        --        --   3,516
DELTA NAT GAS INC                   EQUITY     247748106         3        100 SH       DEFINED        4        --        --     100
DELTA PETE CORP                     EQUITY     247907207       151    145,283 SH       SOLE           2   145,283        --      --
DELTEK INC                          EQUITY     24784L105       116     14,963 SH       SOLE           2    14,963        --      --
DELTIC TIMBER CORP                  EQUITY     247850100       470     10,177 SH       SOLE           2    10,177        --      --
DELTIC TIMBER CORP.                 EQUITY     247850100       264      5,713 SH       SOLE           1     5,713        --      --
DELUXE CORP                         EQUITY     248019101     2,308    156,047 SH       SOLE           2   156,047        --      --
DEMANDTEC INC                       EQUITY     24802R506       144     16,397 SH       SOLE           2    16,397        --      --
DENALI FD INC                       EQUITY     24823A102        14      1,000 SH       DEFINED        5        --        --   1,000
DENBURY RES INC                     EQUITY     247916208     5,460    368,909 SH       SOLE           2   368,909        --      --
DENBURY RES INC                     EQUITY     247916208        15      1,000 SH       DEFINED        4        --        --   1,000
DENBURY RES INC                     EQUITY     247916208         7        500 SH       DEFINED        5        --        --     500
DENBURY RESOURCES INC               EQUITY     247916208        75      5,050 SH       SOLE           1     5,050        --      --
DENDREON CORP                       EQUITY     24823Q107        59      2,261 SH       SOLE           2     2,261        --      --
DENDREON CORP                       EQUITY     24823Q107        57      2,150 SH       DEFINED        4        --        --   2,150
DENDREON CORP                       EQUITY     24823Q107       405     15,408 SH       DEFINED        5        --        --  15,408
DENNYS CORP                         EQUITY     24869P104       172     78,491 SH       SOLE           2    78,491        --      --
DENTSPLY INTERNATIONAL INC.         EQUITY     249030107       108      3,071 SH       SOLE           1     3,071        --      --
DENTSPLY INTL INC NEW               EQUITY     249030107     2,172     61,732 SH       SOLE           2    61,732        --      --
DEPOMED INC                         EQUITY     249908104       140     41,835 SH       SOLE           2    41,835        --      --
DESARROLLADORA HOMEX S A DE         EQUITY     25030W100         2         52 SH       DEFINED        5        --        --      52
DESTINATION MATERNITY CORP          EQUITY     25065D100        73      3,854 SH       SOLE           2     3,854        --      --
DEUTSCHE BANK AG                    EQUITY     D18190898         2         22 SH       DEFINED        5        --        --      22
DEUTSCHE BK AG LDN BRH              EQUITY     25154H749       319     12,054 SH       DEFINED        4        --        --  12,054
DEUTSCHE BK AG LDN BRH              EQUITY     25154H475         6        700 SH       DEFINED        5        --        --     700
DEUTSCHE BK AG LDN BRH              EQUITY     25154H459        10        600 SH       DEFINED        5        --        --     600
DEUTSCHE BK AG LONDON BRH           EQUITY     25154K809       167      2,500 SH       DEFINED        5        --        --   2,500
DEUTSCHE TELEKOM AG                 EQUITY     251566105        54      3,675 SH       DEFINED        5        --        --   3,675
DEVELOPERS DIVERSIFIED REALTY       EQUITY     251591103        39      4,209 SH       SOLE           1     4,209        --      --
DEVELOPERS DIVERSIFIED RLT          EQUITY     251591103     1,223    132,032 SH       SOLE           2   132,032        --      --
DEVELOPERS DIVERSIFIED RLTY         EQUITY     251591103         4        416 SH       DEFINED        4        --        --     416
DEVELOPERS DIVERSIFIED RLTY         EQUITY     251591103        17      1,794 SH       DEFINED        5        --        --   1,794
DEVON ENERGY CORP NEW               EQUITY     25179M103       111      1,506 SH       DEFINED        4        --        --   1,506
DEVON ENERGY CORP NEW               EQUITY     25179M103       109      1,485 SH       DEFINED        5        --        --   1,485
DEVON ENERGY CORP NEW CALL          OPTION     25179M903         5         10     CALL DEFINED        5        --        --      10
DEVON ENERGY CORP.                  EQUITY     25179M103     2,402     32,685 SH       SOLE           1    32,685        --      --
DEVON ENERGY CORPORATION N          EQUITY     25179M103    16,186    220,197 SH       SOLE           2   220,197        --      --
DEVRY INC DEL                       EQUITY     251893103     1,222     21,522 SH       SOLE           2    21,522        --      --
DEVRY, INC.                         EQUITY     251893103        71      1,252 SH       SOLE           1     1,252        --      --
DEXCOM INC                          EQUITY     252131107       303     37,499 SH       SOLE           2    37,499        --      --
DG FASTCHANNEL INC                  EQUITY     23326R109     1,099     39,363 SH       SOLE           1    39,363        --      --
DG FASTCHANNEL INC                  EQUITY     23326R109       473     16,937 SH       SOLE           2    16,937        --      --
DG FASTCHANNEL INC                  EQUITY     23326R109     1,279     45,783 SH       SOLE           3    45,783        --      --
DHT MARITIME INC                    EQUITY     Y2065G105       149     40,530 SH       SOLE           2    40,530        --      --
DIAGEO P L C                        EQUITY     25243Q205       106      1,525 SH       DEFINED        4        --        --   1,525
DIAGEO P L C                        EQUITY     25243Q205        73      1,048 SH       DEFINED        5        --        --   1,048
DIAMOND FOODS INC                   EQUITY     252603105       315      8,865 SH       SOLE           1     8,865        --      --
DIAMOND FOODS INC                   EQUITY     252603105       562     15,800 SH       SOLE           2    15,800        --      --
DIAMOND HILL INVESTMENT GROU        EQUITY     25264R207         6        100 SH       DEFINED        5        --        --     100
DIAMOND HILL INVT GROUP IN          EQUITY     25264R207       118      1,842 SH       SOLE           2     1,842        --      --
DIAMOND MGMT  TECHNOLOGY            EQUITY     25269L106       144     19,487 SH       SOLE           2    19,487        --      --
DIAMOND OFFSHORE DRILLING           EQUITY     25271C102     1,064     10,812 SH       SOLE           1    10,812        --      --
DIAMOND OFFSHORE DRILLING           EQUITY     25271C102     3,919     39,808 SH       SOLE           2    39,808        --      --
DIAMOND OFFSHORE DRILLING IN        EQUITY     25271C102         5         54 SH       DEFINED        4        --        --      54
DIAMOND OFFSHORE DRILLING IN        EQUITY     25271C102       390      3,968 SH       DEFINED        5        --        --   3,968
DIAMONDROCK HOSPITALITY CO          EQUITY     252784301       567     66,908 SH       SOLE           1    66,908        --      --
DIAMONDROCK HOSPITALITY CO          EQUITY     252784301       945    111,534 SH       SOLE           2   111,534        --      --
DIAMONDS TR                         EQUITY     252787106        13        122 SH       DEFINED        4        --        --     122
DIAMONDS TR                         EQUITY     252787106       206      1,978 SH       DEFINED        5        --        --   1,978
DIANA SHIPPING INC                  EQUITY     Y2066G104        22      1,550 SH       DEFINED        5        --        --   1,550
DICE HLDGS INC                      EQUITY     253017107        84     12,856 SH       SOLE           2    12,856        --      --
DICKS SPORTING GOODS INC            EQUITY     253393102     5,012    201,510 SH       SOLE           2   201,510        --      --
DIEBOLD INC                         EQUITY     253651103     4,256    149,606 SH       SOLE           2   149,606        --      --
DIEBOLD INC                         EQUITY     253651103         2         57 SH       DEFINED        4        --        --      57
DIEDRICH  COFFEE INC                EQUITY     253675201        86      2,460 SH       SOLE           2     2,460        --      --
DIGI INTERNATIONAL INC              EQUITY     253798102       121     13,258 SH       SOLE           1    13,258        --      --
DIGI INTL INC                       EQUITY     253798102       215     23,578 SH       SOLE           2    23,578        --      --
DIGI INTL INC                       EQUITY     253798102         2        200 SH       DEFINED        5        --        --     200
DIGITAL REALTY TRUST INC            EQUITY     253868103     4,333     86,180 SH       SOLE           1    86,180        --      --
DIGITAL RIV INC                     EQUITY     25388B104     3,171    117,484 SH       SOLE           2   117,484        --      --
DIGITAL RIV INC                     EQUITY     25388B104         5        200 SH       DEFINED        5        --        --     200
DIGITAL RLTY TR INC                 EQUITY     253868103        75      1,497 SH       SOLE           2     1,497        --      --
DIGITALGLOBE INC                    EQUITY     25389M877       291     12,022 SH       SOLE           2    12,022        --      --
DIGITALGLOBE INC                    EQUITY     25389M877        35      1,460 SH       DEFINED        5        --        --   1,460
DILLARDS INC                        EQUITY     254067101       772     41,829 SH       SOLE           2    41,829        --      --
DIME CMNTY BANCORP INC              EQUITY     253922108       289     24,675 SH       SOLE           2    24,675        --      --
DIME COMMUNITY BANCSHARES           EQUITY     253922108       159     13,591 SH       SOLE           1    13,591        --      --
DINEEQUITY INC                      EQUITY     254423106       195      8,044 SH       SOLE           1     8,044        --      --
DINEEQUITY INC                      EQUITY     254423106       400     16,483 SH       SOLE           2    16,483        --      --
DIODES INC                          EQUITY     254543101     1,424     69,769 SH       SOLE           1    69,769        --      --
DIODES INC                          EQUITY     254543101       661     32,341 SH       SOLE           2    32,341        --      --
DIODES INC                          EQUITY     254543101     1,300     63,700 SH       SOLE           3    63,700        --      --
DIONEX CORP                         EQUITY     254546104     1,251     16,933 SH       SOLE           2    16,933        --      --
DIONEX CORP.                        EQUITY     254546104       693      9,378 SH       SOLE           1     9,378        --      --
DIRECTV                             EQUITY     25490A101     8,772    263,034 SH       SOLE           1   263,034        --      --
DIRECTV                             EQUITY     25490A101    17,579    527,070 SH       SOLE           2   527,070        --      --
DIRECTV                             EQUITY     25490A101        15        449 SH       DEFINED        4        --        --     449
DIRECTV                             EQUITY     25490A101        10        307 SH       DEFINED        5        --        --     307
DIREXION SHS ETF TR                 EQUITY     25459W300         3         25 SH       DEFINED        4        --        --      25
DIREXION SHS ETF TR                 EQUITY     25459W490        10        530 SH       DEFINED        4        --        --     530
DIREXION SHS ETF TR                 EQUITY     25459W839        15      1,500 SH       DEFINED        4        --        --   1,500
DIREXION SHS ETF TR                 EQUITY     25459W854        72      4,209 SH       DEFINED        4        --        --   4,209
DIREXION SHS ETF TR                 EQUITY     25459W490         4        203 SH       DEFINED        5        --        --     203





                                                                                            
DIREXION SHS ETF TR                 EQUITY     25459W888        12        300 SH       DEFINED        5        --        --     300
DIREXION SHS ETF TR                 EQUITY     25459W839        15      1,529 SH       DEFINED        5        --        --   1,529
DIREXION SHS ETF TR                 EQUITY     25459W300        94        700 SH       DEFINED        5        --        --     700
DIREXION SHS ETF TR                 EQUITY     25459W847       410      9,600 SH       DEFINED        5        --        --   9,600
DIREXION SHS ETF TR                 EQUITY     25459W516       589      7,940 SH       DEFINED        5        --        --   7,940
DISCOVER FINANCIAL SERVICES         EQUITY     254709108     1,864    126,717 SH       SOLE           1   126,717        --      --
DISCOVER FINL SVCS                  EQUITY     254709108    10,551    717,238 SH       SOLE           2   717,238        --      --
DISCOVER FINL SVCS                  EQUITY     254709108         3        183 SH       DEFINED        5        --        --     183
DISCOVERY COMMUNICATIONS I          EQUITY     25470F302       150      5,664 SH       SOLE           2     5,664        --      --
DISCOVERY COMMUNICATIONS INC        EQUITY     25470F302       423     15,945 SH       SOLE           1    15,945        --      --
DISCOVERY COMMUNICATNS NEW          EQUITY     25470F302         2         78 SH       DEFINED        4        --        --      78
DISCOVERY COMMUNICATNS NEW          EQUITY     25470F104         6        198 SH       DEFINED        4        --        --     198
DISCOVERY LABORATORIES INC          EQUITY     254668106        65    103,145 SH       SOLE           2   103,145        --      --
DISH NETWORK CORP                   EQUITY     25470M109       383     18,456 SH       SOLE           2    18,456        --      --
DISNEY WALT CO                      EQUITY     254687106    31,264    969,435 SH       SOLE           2   969,435        --      --
DISNEY WALT CO                      EQUITY     254687106       247      7,657 SH       DEFINED        4        --        --   7,657
DISNEY WALT CO                      EQUITY     254687106       328     10,184 SH       DEFINED        5        --        --  10,184
DIVX INC                            EQUITY     255413106       149     26,482 SH       SOLE           2    26,482        --      --
DNP SELECT INCOME FD                EQUITY     23325P104         9        950 SH       DEFINED        4        --        --     950
DNP SELECT INCOME FD                EQUITY     23325P104        68      7,652 SH       DEFINED        5        --        --   7,652
DOLAN MEDIA CO                      EQUITY     25659P402     3,006    294,465 SH       SOLE           2   294,465        --      --
DOLBY LABORATORIES INC              EQUITY     25659T107        49      1,017 SH       SOLE           2     1,017        --      --
DOLBY LABORATORIES INC              EQUITY     25659T107         2         44 SH       DEFINED        4        --        --      44
DOLBY LABORATORIES INC              EQUITY     25659T107         5        100 SH       DEFINED        5        --        --     100
DOLBY LABORATORIES INC-CL A         EQUITY     25659T107       424      8,888 SH       SOLE           1     8,888        --      --
DOLBY LABORATORIES INC-CL A         EQUITY     25659T107     3,718     77,900 SH       SOLE           3    77,900        --      --
DOLE FOOD CO INC                    EQUITY     256603101       362     29,188 SH       SOLE           2    29,188        --      --
DOLE FOOD CO INC NEW                EQUITY     256603101         4        350 SH       DEFINED        5        --        --     350
DOLLAR FINANCIAL CORP               EQUITY     256664103       865     36,600 SH       SOLE           3    36,600        --      --
DOLLAR FINL CORP                    EQUITY     256664103       466     19,675 SH       SOLE           2    19,675        --      --
DOLLAR GEN CORP NEW                 EQUITY     256677105         5        220 SH       DEFINED        4        --        --     220
DOLLAR GEN CORP NEW                 EQUITY     256677105         7        300 SH       DEFINED        5        --        --     300
DOLLAR GENERAL CORP                 EQUITY     256677105        17        777 SH       SOLE           2       777        --      --
DOLLAR THRIFTY AUTOMOTIVE           EQUITY     256743105       596     23,268 SH       SOLE           2    23,268        --      --
DOLLAR TREE INC                     EQUITY     256746108       571     11,831 SH       SOLE           1    11,831        --      --
DOLLAR TREE INC                     EQUITY     256746108     9,620    199,169 SH       SOLE           2   199,169        --      --
DOLLAR TREE INC                     EQUITY     256746108         8        170 SH       DEFINED        5        --        --     170
DOMINION RES BLACK WARRIOR T        EQUITY     25746Q108       250     17,526 SH       DEFINED        4        --        --  17,526
DOMINION RES INC VA NEW             EQUITY     25746U109     7,686    197,478 SH       SOLE           2   197,478        --      --
DOMINION RES INC VA NEW             EQUITY     25746U109        18        450 SH       DEFINED        4        --        --     450
DOMINION RES INC VA NEW             EQUITY     25746U109       347      8,908 SH       DEFINED        5        --        --   8,908
DOMINION RESOURCES, INC.            EQUITY     25746U109       470     12,064 SH       SOLE           1    12,064        --      --
DOMINOS PIZZA INC                   EQUITY     25754A201       252     30,083 SH       SOLE           2    30,083        --      --
DOMINO'S PIZZA INC                  EQUITY     25754A201       190     22,627 SH       SOLE           1    22,627        --      --
DOMTAR CORP                         EQUITY     257559203     1,880     33,923 SH       SOLE           2    33,923        --      --
DONALDSON CO INC                    EQUITY     257651109     7,407    174,116 SH       SOLE           2   174,116        --      --
DONEGAL GROUP INC                   EQUITY     257701201       147      9,471 SH       SOLE           2     9,471        --      --
DONNELLEY R R + SONS                EQUITY     257867101     2,490    111,799 SH       SOLE           2   111,799        --      --
DORAL FINL CORP                     EQUITY     25811P886        17      4,718 SH       SOLE           2     4,718        --      --
DORCHESTER MINERALS LP              EQUITY     25820R105        89      4,200 SH       SOLE           1     4,200        --      --
DORMAN PRODS INC                    EQUITY     258278100       145      9,270 SH       SOLE           2     9,270        --      --
DORMAN PRODUCTS INC                 EQUITY     258278100        24      1,500 SH       DEFINED        4        --        --   1,500
DOUBLE TAKE SOFTWARE                EQUITY     258598101       140     13,996 SH       SOLE           2    13,996        --      --
DOUGLAS EMMETT INC                  EQUITY     25960P109        48      3,384 SH       SOLE           2     3,384        --      --
DOVER CORP                          EQUITY     260003108     2,724     65,437 SH       SOLE           2    65,437        --      --
DOVER CORP                          EQUITY     260003108        29        692 SH       DEFINED        5        --        --     692
DOVER CORP.                         EQUITY     260003108    12,766    306,804 SH       SOLE           1   306,804        --      --
DOVER DOWNS GAMING + ENTMT          EQUITY     260095104        44     11,551 SH       SOLE           2    11,551        --      --
DOW 30 PREMIUM & DIV INC FD         EQUITY     260582101         9        600 SH       DEFINED        4        --        --     600
DOW CHEM CO                         EQUITY     260543103    10,461    378,610 SH       SOLE           2   378,610        --      --
DOW CHEM CO                         EQUITY     260543103       184      6,650 SH       DEFINED        4        --        --   6,650
DOW CHEM CO                         EQUITY     260543103       303     10,971 SH       DEFINED        5        --        --  10,971
DOW CHEMICAL CO.                    EQUITY     260543103     2,143     77,551 SH       SOLE           1    77,551        --      --
DPL INC                             EQUITY     233293109     7,467    270,550 SH       SOLE           2   270,550        --      --
DPL INC                             EQUITY     233293109        66      2,387 SH       DEFINED        4        --        --   2,387
DPL INC                             EQUITY     233293109        12        426 SH       DEFINED        5        --        --     426
DR PEPPER SNAPPLE GROUP IN          EQUITY   2.6138E+113     3,447    121,779 SH       SOLE           2   121,779        --      --
DR PEPPER SNAPPLE GROUP INC         EQUITY   2.6138E+113       145      5,132 SH       SOLE           1     5,132        --      --
DR PEPPER SNAPPLE GROUP INC         EQUITY   2.6138E+113         2         72 SH       DEFINED        4        --        --      72
DR PEPPER SNAPPLE GROUP INC         EQUITY   2.6138E+113         2         75 SH       DEFINED        5        --        --      75
DREAMWORKS ANIMATION SKG            EQUITY     26153C103     6,816    170,623 SH       SOLE           2   170,623        --      --
DREAMWORKS ANIMATION SKG INC        EQUITY     26153C103         4         90 SH       DEFINED        4        --        --      90
DRESS BARN INC                      EQUITY     261570105     1,244     53,852 SH       SOLE           2    53,852        --      --
DRESS BARN, INC.                    EQUITY     261570105       666     28,845 SH       SOLE           1    28,845        --      --
DRESSER RAND GROUP INC              EQUITY     261608103        51      1,604 SH       SOLE           2     1,604        --      --
DRESSER-RAND GROUP INC              EQUITY     261608103        70      2,200 SH       DEFINED        5        --        --   2,200
DREW INDS INC                       EQUITY     26168L205       364     17,645 SH       SOLE           2    17,645        --      --
DREW INDUSTRIES INC                 EQUITY     26168L205       209     10,113 SH       SOLE           1    10,113        --      --
DREYFUS MUN INCOME INC              EQUITY     26201R102        30      3,500 SH       DEFINED        4        --        --   3,500
DREYFUS STRATEGIC MUN BD FD         EQUITY     26202F107       445     57,893 SH       DEFINED        5        --        --  57,893
DREYFUS STRATEGIC MUNS INC          EQUITY     261932107        11      1,350 SH       DEFINED        4        --        --   1,350
DRIL QUIP INC                       EQUITY     262037104     1,579     27,958 SH       SOLE           2    27,958        --      --
DRILL QUIP                          EQUITY     262037104       896     15,862 SH       SOLE           1    15,862        --      --
DRIL-QUIP INC                       EQUITY     262037104        11        200 SH       DEFINED        5        --        --     200
DRUGSTORE COM INC                   EQUITY     262241102       219     70,919 SH       SOLE           2    70,919        --      --
DRUGSTORE COM INC                   EQUITY     262241102         3      1,000 SH       DEFINED        5        --        --   1,000
DRYSHIPS INC                        EQUITY     Y2109Q101        20      3,450 SH       DEFINED        4        --        --   3,450
DRYSHIPS INC                        EQUITY     Y2109Q101        67     11,450 SH       DEFINED        5        --        --  11,450
DSP GROUP INC                       EQUITY     23332B106       123     21,784 SH       SOLE           2    21,784        --      --
DSP GROUP, INC. COM                 EQUITY     23332B106        69     12,214 SH       SOLE           1    12,214        --      --
DST SYS INC DEL                     EQUITY     233326107     3,859     88,612 SH       SOLE           2    88,612        --      --
DST SYS INC DEL                     EQUITY     233326107         2         46 SH       DEFINED        5        --        --      46
DSW INC                             EQUITY     23334L102       256      9,905 SH       SOLE           2     9,905        --      --
DTE ENERGY CO                       EQUITY     233331107     2,586     59,334 SH       SOLE           2    59,334        --      --
DTE ENERGY CO                       EQUITY     233331107       197      4,524 SH       DEFINED        4        --        --   4,524
DTE ENERGY CO                       EQUITY     233331107         4        100 SH       DEFINED        5        --        --     100
DTE ENERGY CO.                      EQUITY     233331107     4,319     99,089 SH       SOLE           1    99,089        --      --
DTF TAX-FREE INCOME INC             EQUITY     23334J107         8        550 SH       DEFINED        4        --        --     550
DTS INC                             EQUITY     23335C101       317      9,274 SH       SOLE           1     9,274        --      --
DTS INC                             EQUITY     23335C101       570     16,661 SH       SOLE           2    16,661        --      --
DU PONT E I DE NEMOURS & CO         EQUITY     263534109       158      4,693 SH       DEFINED        4        --        --   4,693
DU PONT E I DE NEMOURS & CO         EQUITY     263534109       303      8,990 SH       DEFINED        5        --        --   8,990
DU PONT E I DE NEMOURS + C          EQUITY     263534109    16,380    486,393 SH       SOLE           2   486,393        --      --
DUCOMMUN INC DEL                    EQUITY     264147109       160      8,535 SH       SOLE           2     8,535        --      --
DUFF & PHELPS UTIL CORP BD T        EQUITY     26432K108         1         90 SH       DEFINED        4        --        --      90





                                                                                            
DUFF & PHELPS UTIL CORP BD T        EQUITY     26432K108        12      1,000 SH       DEFINED        5        --        --   1,000
DUFF + PHELPS CORP NEW              EQUITY     26433B107       242     13,238 SH       SOLE           2    13,238        --      --
DUKE ENERGY CORP                    EQUITY     26441C105       454     26,368 SH       SOLE           1    26,368        --      --
DUKE ENERGY CORP NEW                EQUITY     26441C105       343     19,919 SH       DEFINED        4        --        --  19,919
DUKE ENERGY CORP NEW                EQUITY     26441C105       407     23,667 SH       DEFINED        5        --        --  23,667
DUKE ENERGY HLDG CORP               EQUITY     26441C105     7,434    431,939 SH       SOLE           2   431,939        --      --
DUKE REALTY CORP                    EQUITY     264411505       244     20,080 SH       DEFINED        5        --        --  20,080
DUKE RLTY CORP                      EQUITY     264411505     6,169    506,884 SH       SOLE           2   506,884        --      --
DUN & BRADSTREET CORP DEL NE        EQUITY   2.6483E+104         3         33 SH       DEFINED        5        --        --      33
DUN & BRADSTREET CORP NEW WI        EQUITY   2.6483E+104        89      1,050 SH       SOLE           1     1,050        --      --
DUN + BRADSTREET CORP DEL           EQUITY   2.6483E+104     5,710     67,676 SH       SOLE           2    67,676        --      --
DUNCAN ENERGY PARTNERS LP           EQUITY     265026104        19        810 SH       DEFINED        4        --        --     810
DUOYAUN PRINTING INC                EQUITY     26605B109        57      7,049 SH       SOLE           2     7,049        --      --
DUPONT FABROS TECHNOLOGY I          EQUITY     26613Q106       389     21,614 SH       SOLE           2    21,614        --      --
DURECT CORP INC                     EQUITY     266605104       175     70,861 SH       SOLE           2    70,861        --      --
DWS DREMAN VAL INCOME EDGE F        EQUITY     23339M204        40      3,325 SH       DEFINED        5        --        --   3,325
DWS GLOBAL COMMODITIES STK F        EQUITY     23338Y100        17      2,000 SH       DEFINED        5        --        --   2,000
DWS HIGH INCOME TR                  EQUITY     23337C208        82      9,641 SH       DEFINED        5        --        --   9,641
DWS MULTI MKT INCOME TR             EQUITY     23338L108        15      1,700 SH       DEFINED        4        --        --   1,700
DWS MULTI MKT INCOME TR             EQUITY     23338L108       245     28,445 SH       DEFINED        5        --        --  28,445
DWS RREEF REAL ESTATE FD II         EQUITY     23338X102         1      1,000 SH       DEFINED        5        --        --   1,000
DXP ENTERPRISES INC                 EQUITY     233377407        83      6,318 SH       SOLE           2     6,318        --      --
DYAX CORP                           EQUITY   2.6746E+107       199     58,694 SH       SOLE           2    58,694        --      --
DYAX CORP                           EQUITY   2.6746E+107        51     15,000 SH       DEFINED        5        --        --  15,000
DYCOM INDS INC                      EQUITY     267475101       300     37,336 SH       SOLE           2    37,336        --      --
DYCOM INDUSTRIES, INC.              EQUITY     267475101       168     20,943 SH       SOLE           1    20,943        --      --
DYNAMEX INC                         EQUITY     26784F103       144      7,932 SH       SOLE           2     7,932        --      --
DYNAMIC MATLS CORP                  EQUITY     267888105       210     10,497 SH       SOLE           2    10,497        --      --
DYNAMIC MATLS CORP                  EQUITY     267888105       136      6,775 SH       DEFINED        5        --        --   6,775
DYNAMICS RESEARCH CORP              EQUITY     268057106       673     63,400 SH       SOLE           3    63,400        --      --
DYNAMICS RESH CORP                  EQUITY     268057106        75      7,053 SH       SOLE           2     7,053        --      --
DYNAVAX TECHNOLOGIES CORP           EQUITY     268158102         4      3,000 SH       DEFINED        4        --        --   3,000
DYNCORP INTL INC                    EQUITY     26817C101     2,478    172,712 SH       SOLE           2   172,712        --      --
DYNEGY INC                          EQUITY     26817G102     1,176    649,532 SH       SOLE           1   649,532        --      --
DYNEGY INC DEL                      EQUITY     26817G102     2,613  1,443,462 SH       SOLE           2 1,443,462        --      --
DYNEGY INC DEL                      EQUITY     26817G102         3      1,805 SH       DEFINED        5        --        --   1,805
DYNEX CAP INC                       EQUITY     26817Q506        80      9,185 SH       SOLE           2     9,185        --      --
DYNEX CAP INC                       EQUITY     26817Q506         2        260 SH       DEFINED        5        --        --     260
E HOUSE CHINA HLDGS LTD             EQUITY     26852W103        24      1,300 SH       DEFINED        4        --        --   1,300
E M C CORP MASS                     EQUITY     268648102        66      3,781 SH       DEFINED        4        --        --   3,781
E M C CORP MASS                     EQUITY     268648102       316     18,064 SH       DEFINED        5        --        --  18,064
E TRADE FINANCIAL CORP              EQUITY     269246104        15      8,400 SH       DEFINED        4        --        --   8,400
E TRADE FINANCIAL CORP              EQUITY     269246104         8      4,500 SH       DEFINED        5        --        --   4,500
E TRADE FINL CORP                   EQUITY     269246104     3,460  1,977,349 SH       SOLE           2 1,977,349        --      --
E*TRADE FINANCIAL CORP              EQUITY     269246104     4,834  2,746,419 SH       SOLE           1 2,746,419        --      --
EAGLE BANCORP INC MD                EQUITY     268948106       129     12,357 SH       SOLE           2    12,357        --      --
EAGLE BULK SHIPPING INC             EQUITY     Y2187A101       251     50,619 SH       SOLE           2    50,619        --      --
EAGLE BULK SHIPPING INC             EQUITY     Y2187A101       150     30,352 SH       DEFINED        4        --        --  30,352
EAGLE BULK SHIPPING INC             EQUITY     Y2187A101        19      3,770 SH       DEFINED        5        --        --   3,770
EAGLE MATERIALS INC                 EQUITY     26969P108       609     23,371 SH       SOLE           1    23,371        --      --
EAGLE MATERIALS INC                 EQUITY     26969P108        16        600 SH       DEFINED        5        --        --     600
EAGLE MATLS INC                     EQUITY     26969P108       183      7,016 SH       SOLE           2     7,016        --      --
EAGLE ROCK ENERGY PARTNERS L        EQUITY     26985R104         1        200 SH       DEFINED        4        --        --     200
EARTHLINK INC                       EQUITY     270321102       717     86,337 SH       SOLE           2    86,337        --      --
EAST WEST BANCORP                   EQUITY     27579R104       778     49,236 SH       SOLE           1    49,236        --      --
EAST WEST BANCORP INC               EQUITY     27579R104     6,916    437,753 SH       SOLE           2   437,753        --      --
EAST WEST BANCORP INC               EQUITY     27579R104        80      5,040 SH       DEFINED        4        --        --   5,040
EASTERN AMERN NAT GAS TR            EQUITY     276217106        24      1,000 SH       DEFINED        5        --        --   1,000
EASTERN CO                          EQUITY     276317104        65      4,873 SH       SOLE           2     4,873        --      --
EASTERN INS HLDGS INC               EQUITY     276534104        55      6,396 SH       SOLE           2     6,396        --      --
EASTGROUP PPTYS INC                 EQUITY     277276101       929     24,263 SH       SOLE           2    24,263        --      --
EASTGROUP PROPERTIES, INC.          EQUITY     277276101       533     13,915 SH       SOLE           1    13,915        --      --
EASTMAN CHEM CO                     EQUITY     277432100     2,323     38,563 SH       SOLE           2    38,563        --      --
EASTMAN CHEM CO                     EQUITY     277432100         2         26 SH       DEFINED        4        --        --      26
EASTMAN CHEMICAL CO.                EQUITY     277432100     5,093     84,547 SH       SOLE           1    84,547        --      --
EASTMAN KODAK CO                    EQUITY     277461109     1,410    334,142 SH       SOLE           2   334,142        --      --
EASTMAN KODAK CO.                   EQUITY     277461109       995    235,836 SH       SOLE           1   235,836        --      --
EATON CORP                          EQUITY     278058102     3,792     59,602 SH       SOLE           2    59,602        --      --
EATON CORP                          EQUITY     278058102        10        150 SH       DEFINED        4        --        --     150
EATON CORP                          EQUITY     278058102        32        510 SH       DEFINED        5        --        --     510
EATON CORP.                         EQUITY     278058102     1,337     21,014 SH       SOLE           1    21,014        --      --
EATON VANCE CORP                    EQUITY     278265103     8,058    264,993 SH       SOLE           2   264,993        --      --
EATON VANCE CORP                    EQUITY     278265103        12        389 SH       DEFINED        5        --        --     389
EATON VANCE CR OPPORTUNIT FD        EQUITY     278271101         2        250 SH       DEFINED        5        --        --     250
EATON VANCE ENH EQTY INC FD         EQUITY     278277108        28      1,964 SH       DEFINED        4        --        --   1,964
EATON VANCE ENH EQTY INC FD         EQUITY     278277108        16      1,125 SH       DEFINED        5        --        --   1,125
EATON VANCE ENHANCED EQ INC         EQUITY     278274105        26      1,853 SH       DEFINED        4        --        --   1,853
EATON VANCE ENHANCED EQ INC         EQUITY     278274105        82      5,799 SH       DEFINED        5        --        --   5,799
EATON VANCE FLTING RATE INC         EQUITY     278279104        18      1,300 SH       DEFINED        4        --        --   1,300
EATON VANCE FLTING RATE INC         EQUITY     278279104         7        500 SH       DEFINED        5        --        --     500
EATON VANCE INS CA MUN BD FD        EQUITY     27828A100       160     14,019 SH       DEFINED        5        --        --  14,019
EATON VANCE INS MUN BD FD           EQUITY     27827X101       284     22,900 SH       DEFINED        4        --        --  22,900
EATON VANCE INS MUN BD FD II        EQUITY     27827K109        22      1,700 SH       DEFINED        4        --        --   1,700
EATON VANCE LTD DUR INCOME F        EQUITY     27828H105        75      5,000 SH       DEFINED        4        --        --   5,000
EATON VANCE LTD DUR INCOME F        EQUITY     27828H105         4        300 SH       DEFINED        5        --        --     300
EATON VANCE MUNI INCOME TRUS        EQUITY     27826U108       378     32,800 SH       DEFINED        4        --        --  32,800
EATON VANCE MUNI INCOME TRUS        EQUITY     27826U108         8        686 SH       DEFINED        5        --        --     686
EATON VANCE NATL MUN OPPORT         EQUITY     27829L105        56      2,896 SH       DEFINED        4        --        --   2,896
EATON VANCE PA MUNI INCOME T        EQUITY     27826T101        13      1,000 SH       DEFINED        5        --        --   1,000
EATON VANCE RISK MNGD DIV EQ        EQUITY     27829G106        26      1,574 SH       DEFINED        4        --        --   1,574
EATON VANCE SR FLTNG RTE TR         EQUITY     27828Q105        49      3,330 SH       DEFINED        4        --        --   3,330
EATON VANCE SR FLTNG RTE TR         EQUITY     27828Q105       166     11,375 SH       DEFINED        5        --        --  11,375
EATON VANCE SR INCOME TR            EQUITY     27826S103         9      1,450 SH       DEFINED        4        --        --   1,450
EATON VANCE TAX ADVT DIV INC        EQUITY     27828G107        65      4,110 SH       DEFINED        4        --        --   4,110
EATON VANCE TAX ADVT DIV INC        EQUITY     27828G107       172     10,887 SH       DEFINED        5        --        --  10,887
EATON VANCE TAX MNG GBL DV E        EQUITY     27829F108        78      6,307 SH       DEFINED        4        --        --   6,307
EATON VANCE TAX MNG GBL DV E        EQUITY     27829F108        43      3,500 SH       DEFINED        5        --        --   3,500
EATON VANCE TAX MNGED BUY WR        EQUITY     27828X100        51      3,000 SH       DEFINED        4        --        --   3,000
EATON VANCE TAX MNGED BUY WR        EQUITY     27828X100        20      1,200 SH       DEFINED        5        --        --   1,200
EATON VANCE TX ADV GLB DIV O        EQUITY     27828U106        52      2,698 SH       DEFINED        4        --        --   2,698
EATON VANCE TX ADV GLBL DIV         EQUITY     27828S101        33      2,420 SH       DEFINED        4        --        --   2,420
EATON VANCE TX ADV GLBL DIV         EQUITY     27828S101        12        853 SH       DEFINED        5        --        --     853
EATON VANCE TX MGD DIV EQ IN        EQUITY     27828N102        35      2,647 SH       DEFINED        4        --        --   2,647
EATON VANCE TX MGD DIV EQ IN        EQUITY     27828N102        53      4,000 SH       DEFINED        5        --        --   4,000
EATON VANCE TX MNG BY WRT OP        EQUITY     27828Y108     3,329    221,165 SH       DEFINED        4        --        -- 221,165





                                                                                            
EATON VANCE TX MNG BY WRT OP        EQUITY     27828Y108       651     43,254 SH       DEFINED        5        --        --  43,254
EATON VANCE TXMGD GL BUYWR O        EQUITY     27829C105        36      2,568 SH       DEFINED        4        --        --   2,568
EATON VANCE TXMGD GL BUYWR O        EQUITY     27829C105        28      2,001 SH       DEFINED        5        --        --   2,001
EBAY INC                            EQUITY     278642103    12,725    540,355 SH       SOLE           2   540,355        --      --
EBAY INC                            EQUITY     278642103        28      1,175 SH       DEFINED        4        --        --   1,175
EBAY INC                            EQUITY     278642103       231      9,836 SH       DEFINED        5        --        --   9,836
EBAY INC CALL                       OPTION     278642903         6         10     CALL DEFINED        5        --        --      10
EBAY, INC.                          EQUITY     278642103       535     22,731 SH       SOLE           1    22,731        --      --
EBIX COM INC                        EQUITY     278715206       369      7,554 SH       SOLE           2     7,554        --      --
EBIX INC                            EQUITY     278715206       260      5,331 SH       SOLE           1     5,331        --      --
ECHELON CORP                        EQUITY     27874N105       306     26,503 SH       SOLE           2    26,503        --      --
ECHELON CORP                        EQUITY     27874N105       137     11,850 SH       DEFINED        4        --        --  11,850
ECHELON CORP                        EQUITY     27874N105         6        500 SH       DEFINED        5        --        --     500
ECHO GLOBAL LOFISTICS INC           EQUITY     27875T101        59      4,649 SH       SOLE           2     4,649        --      --
ECHOSTAR CORP                       EQUITY     278768106        21      1,047 SH       SOLE           2     1,047        --      --
ECLIPSYS CORP                       EQUITY     278856109       998     53,887 SH       SOLE           2    53,887        --      --
ECLIPSYS CORP.                      EQUITY     278856109       558     30,137 SH       SOLE           1    30,137        --      --
ECOLAB INC                          EQUITY     278865100     5,243    117,562 SH       SOLE           2   117,562        --      --
ECOLAB INC                          EQUITY     278865100        55      1,228 SH       DEFINED        4        --        --   1,228
ECOLAB INC                          EQUITY     278865100       101      2,265 SH       DEFINED        5        --        --   2,265
ECOLAB, INC.                        EQUITY     278865100     2,927     65,652 SH       SOLE           1    65,652        --      --
EDISON INTERNATIONAL INC            EQUITY     281020107       229      6,586 SH       SOLE           1     6,586        --      --
EDISON INTL                         EQUITY     281020107     4,067    116,928 SH       SOLE           2   116,928        --      --
EDISON INTL                         EQUITY     281020107        10        289 SH       DEFINED        4        --        --     289
EDISON INTL                         EQUITY     281020107         5        153 SH       DEFINED        5        --        --     153
EDUCATION MANAGEMENT CORP           EQUITY     28140M103        12        533 SH       SOLE           2       533        --      --
EDUCATION REALTY TRUST INC          EQUITY     28140H104        10      2,049 SH       SOLE           1     2,049        --      --
EDUCATION RLTY TR INC               EQUITY     28140H104       224     46,314 SH       SOLE           2    46,314        --      --
EDUCATION RLTY TR INC               EQUITY     28140H104         2        328 SH       DEFINED        4        --        --     328
EDWARDS LIFESCIENCES CORP           EQUITY   2.8176E+112    11,091    127,707 SH       SOLE           2   127,707        --      --
EDWARDS LIFESCIENCES CORP           EQUITY   2.8176E+112         1         14 SH       DEFINED        5        --        --      14
EHEALTH INC                         EQUITY     28238P109       203     12,351 SH       SOLE           1    12,351        --      --
EHEALTH INC                         EQUITY     28238P109       367     22,352 SH       SOLE           2    22,352        --      --
EHEALTH INC                         EQUITY     28238P109       485     29,500 SH       SOLE           3    29,500        --      --
EI DU PONT DE NEMOURS & CO          EQUITY     263534109     1,844     54,765 SH       SOLE           1    54,765        --      --
EINSTEIN NOAH REST GROUP I          EQUITY     28257U104        38      3,902 SH       SOLE           2     3,902        --      --
EL PASO CORP                        EQUITY     28336L109    10,347  1,052,557 SH       SOLE           1 1,052,557        --      --
EL PASO CORP                        EQUITY     28336L109     4,356    443,085 SH       SOLE           2   443,085        --      --
EL PASO CORP                        EQUITY     28336L109         9        884 SH       DEFINED        4        --        --     884
EL PASO CORP                        EQUITY     28336L109        61      6,216 SH       DEFINED        5        --        --   6,216
EL PASO ELEC CO                     EQUITY     283677854       870     42,919 SH       SOLE           2    42,919        --      --
EL PASO ELECTRIC CO.                EQUITY     283677854       479     23,596 SH       SOLE           1    23,596        --      --
ELAN PLC                            EQUITY     284131208        27      4,200 SH       DEFINED        5        --        --   4,200
ELBIT SYS LTD                       EQUITY     M3760D101         7        100 SH       DEFINED        4        --        --     100
ELDORADO GOLD CORP NEW              EQUITY     284902103        13        922 SH       DEFINED        4        --        --     922
ELDORADO GOLD CORP NEW CALL         OPTION     284902903         2         10     CALL DEFINED        5        --        --      10
ELDORADO GOLD CORPORATION           EQUITY     284902103       140      9,800 SH       OTHER          1        --     9,800      --
ELECTRO OPTICALSCIENCES IN          EQUITY     285192100       188     18,173 SH       SOLE           2    18,173        --      --
ELECTRO RENT                        EQUITY     285218103       169     14,633 SH       SOLE           2    14,633        --      --
ELECTRO SCIENTIFIC INDS IN          EQUITY     285229100       283     26,166 SH       SOLE           2    26,166        --      --
ELECTRO SCIENTIFIC INDUSTRIES,      EQUITY     285229100       159     14,722 SH       SOLE           1    14,722        --      --
ELECTRONIC ARTS                     EQUITY     285512109       117      6,569 SH       SOLE           1     6,569        --      --
ELECTRONIC ARTS INC                 EQUITY     285512109     2,359    132,861 SH       SOLE           2   132,861        --      --
ELECTRONIC ARTS INC                 EQUITY     285512109         9        500 SH       DEFINED        4        --        --     500
ELECTRONIC ARTS INC                 EQUITY     285512109        16        885 SH       DEFINED        5        --        --     885
ELETRONICS FOR IMAGING INC          EQUITY     286082102       523     40,211 SH       SOLE           2    40,211        --      --
ELI LILLY AND CO.                   EQUITY     532457108     7,008    196,248 SH       SOLE           1   196,248        --      --
ELIZABETH ARDEN INC                 EQUITY     28660G106       285     19,747 SH       SOLE           2    19,747        --      --
ELLIS PERRY INTL INC                EQUITY     288853104       137      9,074 SH       SOLE           2     9,074        --      --
ELOYALTY CORP                       EQUITY     290151307        37      5,339 SH       SOLE           2     5,339        --      --
EMBRAER-EMPRESA BRASILEIRA D        EQUITY     29081M102         1         48 SH       DEFINED        5        --        --      48
EMC CORP                            EQUITY     268648102    19,272  1,102,755 SH       SOLE           2 1,102,755        --      --
EMC CORP.                           EQUITY     268648102    12,662    724,809 SH       SOLE           1   724,809        --      --
EMC INS GROUP INC                   EQUITY     268664109        86      3,999 SH       SOLE           2     3,999        --      --
EMCOR GROUP INC                     EQUITY     29084Q100     4,633    172,224 SH       SOLE           2   172,224        --      --
EMCOR GROUP, INC.                   EQUITY     29084Q100       952     35,387 SH       SOLE           1    35,387        --      --
EMCORE CORP                         EQUITY     290846104        66     61,498 SH       SOLE           2    61,498        --      --
EMCORE CORP                         EQUITY     290846104         3      3,000 SH       DEFINED        5        --        --   3,000
EMDEON INC                          EQUITY     29084T104        34      2,240 SH       DEFINED        5        --        --   2,240
EMDEON INC CLASS A                  EQUITY     29084T104        10        641 SH       SOLE           2       641        --      --
EMERGENCY MED SVCS CORP             EQUITY     29100P102     1,284     23,708 SH       SOLE           2    23,708        --      --
EMERGENCY MEDICAL SERVICES CORP     EQUITY     29100P102     1,067     19,700 SH       SOLE           1    19,700        --      --
EMERGENCY MEDICAL SERVICES CORP     EQUITY     29100P102       265      4,900 SH       SOLE           3     4,900        --      --
EMERGENT BIOSOLUTIONS INC           EQUITY     29089Q105       121      8,872 SH       SOLE           1     8,872        --      --
EMERGENT BIOSOLUTIONS INC           EQUITY     29089Q105       213     15,661 SH       SOLE           2    15,661        --      --
EMERITUS CORP                       EQUITY     291005106       303     16,178 SH       SOLE           2    16,178        --      --
EMERSON ELEC CO                     EQUITY     291011104    14,318    336,010 SH       SOLE           2   336,010        --      --
EMERSON ELEC CO                     EQUITY     291011104       181      4,241 SH       DEFINED        4        --        --   4,241
EMERSON ELEC CO                     EQUITY     291011104       115      2,710 SH       DEFINED        5        --        --   2,710
EMERSON ELECTRIC CO.                EQUITY     291011104    12,476    292,862 SH       SOLE           1   292,862        --      --
EMPIRE DIST ELEC CO                 EQUITY     291641108       552     29,459 SH       SOLE           2    29,459        --      --
EMPIRE DIST ELEC CO                 EQUITY     291641108        36      1,900 SH       DEFINED        4        --        --   1,900
EMPLOYERS HLDGS INC                 EQUITY     292218104       646     42,128 SH       SOLE           2    42,128        --      --
EMPLOYERS HOLDINGS INC              EQUITY     292218104       362     23,619 SH       SOLE           1    23,619        --      --
EMS TECHNOLOGIES INC                EQUITY     26873N108       119      8,197 SH       SOLE           1     8,197        --      --
EMS TECHNOLOGIES INC                EQUITY     26873N108       211     14,571 SH       SOLE           2    14,571        --      --
EMULEX CORP                         EQUITY     292475209       738     67,751 SH       SOLE           2    67,751        --      --
ENBRIDGE ENERGY MANAGEMENT L        EQUITY     29250X103         4         66 SH       DEFINED        4        --        --      66
ENBRIDGE ENERGY PARTNERS L P        EQUITY     29250R106       189      3,515 SH       DEFINED        4        --        --   3,515
ENBRIDGE ENERGY PARTNERS L P        EQUITY     29250R106       403      7,500 SH       DEFINED        5        --        --   7,500
ENBRIDGE INC                        EQUITY     29250N105     1,676     36,126 SH       OTHER          1        --    36,126      --
ENBRIDGE INC                        EQUITY     29250N105         4         77 SH       DEFINED        4        --        --      77
ENCANA CORP                         EQUITY     292505104     6,543    201,074 SH       OTHER          1        --   201,074      --
ENCANA CORP                         EQUITY     292505104        39      1,192 SH       DEFINED        5        --        --   1,192
ENCORE AQUISITION CO                EQUITY     29255W100     6,034    125,659 SH       SOLE           2   125,659        --      --
ENCORE CAP GROUP INC                EQUITY     292554102       191     11,001 SH       SOLE           2    11,001        --      --
ENCORE WIRE CORP                    EQUITY     292562105       213     10,125 SH       SOLE           1    10,125        --      --
ENCORE WIRE CORP                    EQUITY     292562105       368     17,487 SH       SOLE           2    17,487        --      --
ENDEAVOUR INTL CORP                 EQUITY     29259G101       100     92,989 SH       SOLE           2    92,989        --      --
ENDO PHARMACEUTICALS                EQUITY     29264F205     4,385    213,707 SH       SOLE           1   213,707        --      --
ENDO PHARMACEUTICALS HLDGS          EQUITY     29264F205     5,447    265,582 SH       SOLE           2   265,582        --      --
ENDOLOGIX INC                       EQUITY     29266S106       208     39,437 SH       SOLE           2    39,437        --      --
ENDOLOGIX INC                       EQUITY     29266S106       923    174,800 SH       SOLE           3   174,800        --      --
ENDURANCE SPECIALTY HLDGS LT        EQUITY     G30397106         2         58 SH       DEFINED        4        --        --      58
ENDURANCE SPECIALTY HLDGS LT        EQUITY     G30397106         5        125 SH       DEFINED        5        --        --     125





                                                                                            
ENDURANCE SPECIALTY HOLDIN          EQUITY     G30397106        46      1,232 SH       SOLE           2     1,232        --      --
ENER1 INC                           EQUITY     29267A203       264     41,653 SH       SOLE           2    41,653        --      --
ENER1 INC                           EQUITY     29267A203        13      2,000 SH       DEFINED        5        --        --   2,000
ENERGEN CORP                        EQUITY     29265N108     7,606    162,515 SH       SOLE           2   162,515        --      --
ENERGEN CORP                        EQUITY     29265N108         2         43 SH       DEFINED        5        --        --      43
ENERGIZER HLDGS INC                 EQUITY     29266R108     9,649    157,452 SH       SOLE           2   157,452        --      --
ENERGY CONVERSION DEVICES           EQUITY     292659109       395     37,365 SH       SOLE           2    37,365        --      --
ENERGY CONVERSION DEVICES IN        EQUITY     292659109       640     60,590 SH       DEFINED        4        --        --  60,590
ENERGY INCOME & GROWTH FD           EQUITY     292697109        46      1,963 SH       DEFINED        4        --        --   1,963
ENERGY INCOME & GROWTH FD           EQUITY     292697109        14        600 SH       DEFINED        5        --        --     600
ENERGY PARTNERS LTD                 EQUITY     29270U303    12,731  1,488,991 SH       SOLE           1 1,488,991        --      --
ENERGY RECOVERY INC                 EQUITY     29270J100       189     27,404 SH       SOLE           2    27,404        --      --
ENERGY SELECT SECTOR SPDR FUND      EQUITY     81369Y506       872     15,300 SH       SOLE           1    15,300        --      --
ENERGY SOLUTIONS INC                EQUITY     292756202       524     61,673 SH       SOLE           2    61,673        --      --
ENERGY TRANSFER EQUITY L P          EQUITY     29273V100        20        666 SH       DEFINED        5        --        --     666
ENERGY TRANSFER EQUITY LP           EQUITY     29273V100     6,650    217,466 SH       SOLE           1   217,466        --      --
ENERGY TRANSFER PRTNRS L P          EQUITY     29273R109       520     11,564 SH       DEFINED        4        --        --  11,564
ENERGY TRANSFER PRTNRS L P          EQUITY     29273R109       857     19,055 SH       DEFINED        5        --        --  19,055
ENERGYSOLUTIONS INC                 EQUITY     292756202         1        154 SH       DEFINED        5        --        --     154
ENERNOC INC                         EQUITY     292764107       348     11,460 SH       SOLE           2    11,460        --      --
ENERNOC INC                         EQUITY     292764107         5        150 SH       DEFINED        5        --        --     150
ENERPLUS RES FD                     EQUITY     29274D604       708     30,845 SH       DEFINED        4        --        --  30,845
ENERPLUS RES FD                     EQUITY     29274D604        32      1,380 SH       DEFINED        5        --        --   1,380
ENERPLUS RESOURCES FUND             EQUITY     29274D604     1,456     63,248 SH       OTHER          1        --    63,248      --
ENERSIS S A                         EQUITY     29274F104        37      1,600 SH       DEFINED        5        --        --   1,600
ENERSIS SA ADR                      EQUITY     29274F104     6,736    294,676 SH       SOLE           1   294,676        --      --
ENERSYS                             EQUITY     29275Y102       721     32,957 SH       SOLE           2    32,957        --      --
ENERSYS                             EQUITY     29275Y102         2        100 SH       DEFINED        5        --        --     100
ENGLOBAL CORP                       EQUITY     293306106        48     15,183 SH       SOLE           2    15,183        --      --
ENGLOBAL CORP                       EQUITY     293306106         2        600 SH       DEFINED        5        --        --     600
ENI S P A                           EQUITY     26874R108         8        161 SH       DEFINED        5        --        --     161
ENNIS INC                           EQUITY     293389102       355     21,142 SH       SOLE           2    21,142        --      --
ENPRO INDS INC                      EQUITY     29355X107       505     19,117 SH       SOLE           2    19,117        --      --
ENPRO INDUSTRIES INC                EQUITY     29355X107       283     10,732 SH       SOLE           1    10,732        --      --
ENSIGN GROUP INC                    EQUITY     29358P101       138      8,978 SH       SOLE           2     8,978        --      --
ENSTAR GROUP LTD   D                EQUITY     G3075P101       398      5,449 SH       SOLE           2     5,449        --      --
ENTEGRIS INC                        EQUITY     29362U104       561    106,247 SH       SOLE           2   106,247        --      --
ENTERGY ARKANSAS INC                EQUITY     29364G103       312      3,818 SH       SOLE           1     3,818        --      --
ENTERGY CORP NEW                    EQUITY     29364G103    11,158    136,335 SH       SOLE           2   136,335        --      --
ENTERGY CORP NEW                    EQUITY     29364G103        54        656 SH       DEFINED        4        --        --     656
ENTEROMEDICS INC                    EQUITY     29365M109         8     14,994 SH       SOLE           2    14,994        --      --
ENTERPRISE BANCORP INC MAS          EQUITY     293668109        45      4,123 SH       SOLE           2     4,123        --      --
ENTERPRISE FINL SVCS CORP           EQUITY     293712105        72      9,288 SH       SOLE           2     9,288        --      --
ENTERPRISE PRODS PARTNERS L         EQUITY     293792107       154      4,909 SH       DEFINED        4        --        --   4,909
ENTERPRISE PRODS PARTNERS L         EQUITY     293792107       686     21,831 SH       DEFINED        5        --        --  21,831
ENTERRA ENERGY TR                   EQUITY     29381P102         4      2,000 SH       DEFINED        5        --        --   2,000
ENTERTAINMENT PPTYS TR              EQUITY     29380T105     1,419     40,223 SH       SOLE           2    40,223        --      --
ENTERTAINMENT PROPERTIES TRUST      EQUITY     29380T105       764     21,663 SH       SOLE           1    21,663        --      --
ENTROPIC COMMUNICATIONS IN          EQUITY     29384R105       132     43,109 SH       SOLE           2    43,109        --      --
ENZO BIOCHEM INC                    EQUITY     294100102       170     31,612 SH       SOLE           2    31,612        --      --
ENZO BIOCHEM, INC.                  EQUITY     294100102        95     17,685 SH       SOLE           1    17,685        --      --
ENZON PHARMACEUTICALS INC           EQUITY     293904108       390     37,002 SH       SOLE           2    37,002        --      --
EOG RESOURCES INC                   EQUITY     26875P101     2,539     26,097 SH       SOLE           1    26,097        --      --
EOG RESOURCES INC                   EQUITY     26875P101    11,179    114,830 SH       SOLE           2   114,830        --      --
EPICOR SOFTWARE CORP                EQUITY     29426L108       343     45,050 SH       SOLE           2    45,050        --      --
EPICOR SOFTWARE CORPORATION         EQUITY     29426L108       186     24,366 SH       SOLE           1    24,366        --      --
EPIQ SYS INC                        EQUITY     26882D109       434     31,010 SH       SOLE           2    31,010        --      --
EPIQ SYS INC                        EQUITY     26882D109         6        400 SH       DEFINED        5        --        --     400
EPIQ SYSTEMS INC                    EQUITY     26882D109       242     17,302 SH       SOLE           1    17,302        --      --
EPLUS INC                           EQUITY     294268107        50      3,012 SH       SOLE           2     3,012        --      --
EPOCH HLDG CORP                     EQUITY     29428R103       108     10,381 SH       SOLE           2    10,381        --      --
EQT CORP                            EQUITY     26884L109       116      2,646 SH       SOLE           1     2,646        --      --
EQT CORP                            EQUITY     26884L109     4,288     97,621 SH       SOLE           2    97,621        --      --
EQT CORP                            EQUITY     26884L109       220      5,000 SH       DEFINED        5        --        --   5,000
EQUIFAX INC                         EQUITY     294429105     1,451     46,960 SH       SOLE           2    46,960        --      --
EQUIFAX INC                         EQUITY     294429105         4        141 SH       DEFINED        4        --        --     141
EQUIFAX, INC.                       EQUITY     294429105        79      2,547 SH       SOLE           1     2,547        --      --
EQUINIX INC                         EQUITY     29444U502     9,325     87,847 SH       SOLE           2    87,847        --      --
EQUITY LIFESTYLE PPTYS INC          EQUITY     29472R108     1,041     20,636 SH       SOLE           2    20,636        --      --
EQUITY LIFESTYLE PROPERTIES INC     EQUITY     29472R108        36        706 SH       SOLE           1       706        --      --
EQUITY ONE                          EQUITY     294752100        17      1,050 SH       DEFINED        4        --        --   1,050
EQUITY ONE                          EQUITY     294752100        19      1,200 SH       DEFINED        5        --        --   1,200
EQUITY ONE INC                      EQUITY     294752100     1,621    100,218 SH       SOLE           2   100,218        --      --
EQUITY RESIDENTIAL                  EQUITY     29476L107     2,260     66,905 SH       SOLE           1    66,905        --      --
EQUITY RESIDENTIAL                  EQUITY     29476L107     4,476    132,451 SH       SOLE           2   132,451        --      --
EQUITY RESIDENTIAL                  EQUITY     29476L107        36      1,060 SH       DEFINED        4        --        --   1,060
ERESEARCH TECHNOLOGY INC            EQUITY     29481V108       245     40,687 SH       SOLE           2    40,687        --      --
ERESEARCHTECHNOLOGY IN              EQUITY     29481V108       134     22,314 SH       SOLE           1    22,314        --      --
ERESEARCHTECHNOLOGY INC             EQUITY     29481V108         8      1,350 SH       DEFINED        5        --        --   1,350
ERICSSON L M TEL CO                 EQUITY     294821608         1        146 SH       DEFINED        5        --        --     146
ERIE INDTY CO                       EQUITY     29530P102        27        693 SH       SOLE           2       693        --      --
ESB FINL CORP                       EQUITY     26884F102        99      7,506 SH       SOLE           2     7,506        --      --
ESCO ELECTRONICS CORP               EQUITY     296315104       505     14,086 SH       SOLE           1    14,086        --      --
ESCO TECHNOLOGIES INC               EQUITY     296315104         1         30 SH       DEFINED        4        --        --      30
ESCO TECHNOLOGIES INC               EQUITY     296315104       901     25,126 SH       SOLE           2    25,126        --      --
ESSA BANCORP INC                    EQUITY     29667D104       145     12,414 SH       SOLE           2    12,414        --      --
ESSEX PROPERTY TRUST                EQUITY     297178105     5,515     65,932 SH       SOLE           2    65,932        --      --
ESSEX PROPERTY TRUST, INC.          EQUITY     297178105        67        799 SH       SOLE           1       799        --      --
ESTEE LAUDER COMPANIES-CL A         EQUITY     518439104    10,663    220,482 SH       SOLE           1   220,482        --      --
ESTERLINE TECHNOLOGIES COR          EQUITY     297425100     1,159     28,433 SH       SOLE           2    28,433        --      --
ESTERLINE TECHNOLOGIES CORP.        EQUITY     297425100       651     15,971 SH       SOLE           1    15,971        --      --
ETFS GOLD TR                        EQUITY     26922Y105        31        280 SH       DEFINED        4        --        --     280
ETFS GOLD TR                        EQUITY     26922Y105        11        100 SH       DEFINED        5        --        --     100
ETFS SILVER TR                      EQUITY     26922X107        17      1,000 SH       DEFINED        5        --        --   1,000
ETHAN ALLEN INTERIOR                EQUITY     297602104       187     13,968 SH       SOLE           1    13,968        --      --
ETHAN ALLEN INTERIORS INC           EQUITY     297602104       319     23,737 SH       SOLE           2    23,737        --      --
EURONET WORLDWIDE INC               EQUITY     298736109     1,016     46,305 SH       SOLE           1    46,305        --      --
EURONET WORLDWIDE INC               EQUITY     298736109       872     39,736 SH       SOLE           2    39,736        --      --
EURONET WORLDWIDE INC               EQUITY     298736109       248     11,304 SH       SOLE           3    11,304        --      --
EV ENERGY PARTNERS LP               EQUITY     26926V107         6        200 SH       DEFINED        4        --        --     200
EV ENERGY PARTNERS LP               EQUITY     26926V107         7        228 SH       DEFINED        5        --        --     228
EV3 INC                             EQUITY     26928A200       601     45,071 SH       SOLE           1    45,071        --      --
EV3 INC                             EQUITY     26928A200       811     60,801 SH       SOLE           2    60,801        --      --
EVERCORE PARTNERS INC               EQUITY     29977A105       359     11,825 SH       SOLE           2    11,825        --      --
EVEREST RE GROUP LTD                EQUITY     G3223R108         5         64 SH       DEFINED        5        --        --      64





                                                                                            
EVEREST REINSURANCE GROUP           EQUITY     G3223R108    11,706    136,628 SH       SOLE           2   136,628        --      --
EVERGREEN ENERGY INC NEW            EQUITY     30024B104        37    106,520 SH       SOLE           2   106,520        --      --
EVERGREEN GBL DIVID OPP FUND        EQUITY     30024H101        12      1,166 SH       DEFINED        5        --        --   1,166
EVERGREEN INCOME ADVANTAGE F        EQUITY     30023Y105        75      7,923 SH       DEFINED        4        --        --   7,923
EVERGREEN INCOME ADVANTAGE F        EQUITY     30023Y105         7        716 SH       DEFINED        5        --        --     716
EVERGREEN INTL BALANCED INCO        EQUITY     30024R109         2        175 SH       DEFINED        5        --        --     175
EVERGREEN MULTI SECT INC FUN        EQUITY     30024Y104        11        755 SH       DEFINED        5        --        --     755
EVERGREEN SOLAR INC                 EQUITY     30033R108       232    153,395 SH       SOLE           2   153,395        --      --
EVERGREEN SOLAR INC                 EQUITY     30033R108         3      1,900 SH       DEFINED        5        --        --   1,900
EVERGREEN UTLS & HIGH INCM F        EQUITY     30034Q109         5        350 SH       DEFINED        4        --        --     350
EVERGREEN UTLS & HIGH INCM F        EQUITY     30034Q109        32      2,159 SH       DEFINED        5        --        --   2,159
EW SCRIPPS CO                       EQUITY     811054402       108     15,538 SH       SOLE           1    15,538        --      --
EXACT SCIENCES CORP                 EQUITY     30063P105         3      1,000 SH       DEFINED        5        --        --   1,000
EXACTECH INC                        EQUITY   3.0064E+113       115      6,642 SH       SOLE           2     6,642        --      --
EXAR CORP 1                         EQUITY     300645108       248     34,871 SH       SOLE           2    34,871        --      --
EXAR CORP.                          EQUITY     300645108       165     23,250 SH       SOLE           1    23,250        --      --
EXCO RES INC                        EQUITY     269279402        62      2,942 SH       SOLE           2     2,942        --      --
EXCO RESOURCES INC                  EQUITY     269279402    87,485  4,120,810 SH       SOLE           1 4,120,810        --      --
EXCO RESOURCES INC                  EQUITY     269279402     3,492    164,500 SH       SOLE           3   164,500        --      --
EXELIXIS INC                        EQUITY     30161Q104       641     86,952 SH       SOLE           2    86,952        --      --
EXELIXIS INC                        EQUITY     30161Q104        15      2,000 SH       DEFINED        4        --        --   2,000
EXELON CORP                         EQUITY     30161N101    15,753    322,350 SH       SOLE           1   322,350        --      --
EXELON CORP                         EQUITY     30161N101    15,719    321,599 SH       SOLE           2   321,599        --      --
EXELON CORP                         EQUITY     30161N101       241      4,936 SH       DEFINED        4        --        --   4,936
EXELON CORP                         EQUITY     30161N101       141      2,887 SH       DEFINED        5        --        --   2,887
EXIDE TECHNOLOGIES FORMERL          EQUITY     302051206       292     40,999 SH       SOLE           2    40,999        --      --
EXLSERVICE HLDGS INC                EQUITY     302081104       221     12,191 SH       SOLE           2    12,191        --      --
EXPEDIA INC                         EQUITY     30212P105     2,113     82,122 SH       SOLE           1    82,122        --      --
EXPEDIA INC DEL                     EQUITY     30212P105     3,195    124,180 SH       SOLE           2   124,180        --      --
EXPEDITORS INTERNATIONAL OF WA      EQUITY     302130109       149      4,284 SH       SOLE           1     4,284        --      --
EXPEDITORS INTL WA INC              EQUITY     302130109     4,372    125,836 SH       SOLE           2   125,836        --      --
EXPEDITORS INTL WASH INC            EQUITY     302130109       134      3,853 SH       DEFINED        4        --        --   3,853
EXPEDITORS INTL WASH INC            EQUITY     302130109       223      6,407 SH       DEFINED        5        --        --   6,407
EXPONENT INC                        EQUITY     30214U102       203      7,283 SH       SOLE           1     7,283        --      --
EXPONENT INC                        EQUITY     30214U102       364     13,059 SH       SOLE           2    13,059        --      --
EXPRESS SCRIPTS INC                 EQUITY     302182100    17,168    198,509 SH       SOLE           2   198,509        --      --
EXPRESS SCRIPTS INC                 EQUITY     302182100        17        201 SH       DEFINED        4        --        --     201
EXPRESS SCRIPTS INC                 EQUITY     302182100        36        411 SH       DEFINED        5        --        --     411
EXPRESS SCRIPTS, INC.               EQUITY     302182100    37,946    438,890 SH       SOLE           1   438,890        --      --
EXPRESS SCRIPTS, INC.               EQUITY     302182100     1,590     18,400 SH       SOLE           3    18,400        --      --
EXPRESSJET HOLDINGS INC             FIXED
                                      INCOME   30218UAB4         2          2 PRN      DEFINED        5        --        --       2
EXTERRAN HLDGS INC                  EQUITY     30225X103     3,029    141,228 SH       SOLE           2   141,228        --      --
EXTRA SPACE STORAGE INC             EQUITY     30225T102       533     46,143 SH       SOLE           1    46,143        --      --
EXTRA SPACE STORAGE INC             EQUITY     30225T102       955     82,705 SH       SOLE           2    82,705        --      --
EXTREME NETWORKS INC                EQUITY     30226D106       208     72,533 SH       SOLE           2    72,533        --      --
EXXON MOBIL CORP                    EQUITY     30231G102   120,160  1,761,777 SH       SOLE           2 1,761,777        --      --
EXXON MOBIL CORP                    EQUITY     30231G102     1,395     20,461 SH       DEFINED        4        --        --  20,461
EXXON MOBIL CORP                    EQUITY     30231G102     7,822    114,702 SH       DEFINED        5        --        -- 114,702
EXXON MOBIL CORP.                   EQUITY     30231G102    72,147  1,058,034 SH       SOLE           1 1,058,034        --      --
EZCORP INC                          EQUITY     302301106     1,287     74,800 SH       SOLE           1    74,800        --      --
EZCORP INC                          EQUITY     302301106       754     43,790 SH       SOLE           2    43,790        --      --
EZCORP INC                          EQUITY     302301106       996     57,900 SH       SOLE           3    57,900        --      --
F M C CORP                          EQUITY     302491303        15        265 SH       DEFINED        4        --        --     265
F M C CORP                          EQUITY     302491303         3         60 SH       DEFINED        5        --        --      60
F N B CORP PA                       EQUITY     302520101       632     93,093 SH       SOLE           2    93,093        --      --
F5 NETWORKS INC                     EQUITY     315616102       152      2,862 SH       SOLE           1     2,862        --      --
F5 NETWORKS INC                     EQUITY     315616102     9,465    178,646 SH       SOLE           2   178,646        --      --
F5 NETWORKS INC                     EQUITY     315616102        19        359 SH       DEFINED        4        --        --     359
F5 NETWORKS INC                     EQUITY     315616102       552     10,420 SH       DEFINED        5        --        --  10,420
FACET BIOTECH CORP                  EQUITY     30303Q103       353     20,053 SH       SOLE           2    20,053        --      --
FACTSET RESH SYS INC                EQUITY     303075105     6,252     94,913 SH       SOLE           2    94,913        --      --
FACTSET RESH SYS INC                EQUITY     303075105       336      5,100 SH       DEFINED        5        --        --   5,100
FAIR ISAAC CORPORATION              EQUITY     303250104     3,145    147,606 SH       SOLE           2   147,606        --      --
FAIRCHILD SEMICONDUCTOR IN          EQUITY     303726103     2,802    280,473 SH       SOLE           2   280,473        --      --
FALCONSTOR SOFTWARE INC             EQUITY     306137100       114     28,079 SH       SOLE           2    28,079        --      --
FAMILY DLR STORES INC               EQUITY     307000109     1,362     48,956 SH       SOLE           2    48,956        --      --
FAMILY DLR STORES INC               EQUITY     307000109       243      8,746 SH       DEFINED        4        --        --   8,746
FAMILY DLR STORES INC               EQUITY     307000109        18        633 SH       DEFINED        5        --        --     633
FAMILY DOLLAR STORES, INC.          EQUITY     307000109     1,313     47,188 SH       SOLE           1    47,188        --      --
FARMER BROS CO                      EQUITY     307675108       108      5,462 SH       SOLE           2     5,462        --      --
FARMERS CAP BK CORP                 EQUITY     309562106        54      5,244 SH       SOLE           2     5,244        --      --
FARO TECHNOLOGIES INC               EQUITY     311642102       183      8,520 SH       SOLE           1     8,520        --      --
FARO TECHNOLOGIES INC               EQUITY     311642102       342     15,944 SH       SOLE           2    15,944        --      --
FASTENAL CO                         EQUITY     311900104     2,270     54,486 SH       SOLE           2    54,486        --      --
FASTENAL CO                         EQUITY     311900104       448     10,768 SH       DEFINED        4        --        --  10,768
FASTENAL CO                         EQUITY     311900104        33        798 SH       DEFINED        5        --        --     798
FASTENAL CO.                        EQUITY     311900104       111      2,667 SH       SOLE           1     2,667        --      --
FASTENAL CO.                        EQUITY     311900104     3,710     89,100 SH       SOLE           3    89,100        --      --
FBL FINL GROUP INC                  EQUITY     30239F106       196     10,582 SH       SOLE           2    10,582        --      --
FBR CAP MKTS CORP                   EQUITY     30247C301        91     14,792 SH       SOLE           2    14,792        --      --
FEDERAL HOME LN MTG CORP            EQUITY     313400301         4      3,000 SH       DEFINED        4        --        --   3,000
FEDERAL HOME LN MTG CORP            EQUITY     313400301        13      8,603 SH       DEFINED        5        --        --   8,603
FEDERAL MOGUL CORP                  EQUITY     313549404        10        573 SH       SOLE           2       573        --      --
FEDERAL NATL MTG ASSN               EQUITY     313586109         4      3,000 SH       DEFINED        4        --        --   3,000
FEDERAL NATL MTG ASSN               EQUITY     313586109        13     10,630 SH       DEFINED        5        --        --  10,630
FEDERAL REALTY INVS TRUST           EQUITY     313747206        74      1,100 SH       SOLE           1     1,100        --      --
FEDERAL REALTY INVT TR              EQUITY     313747206         7        100 SH       DEFINED        5        --        --     100
FEDERAL RLTY INVT TR                EQUITY     313747206     9,373    138,404 SH       SOLE           2   138,404        --      --
FEDERAL SIGNAL CORP                 EQUITY     313855108       894    148,477 SH       SOLE           2   148,477        --      --
FEDERATED INVESTORS                 EQUITY     314211103       725     26,353 SH       SOLE           1    26,353        --      --
FEDERATED INVS INC PA               EQUITY     314211103       849     30,837 SH       SOLE           2    30,837        --      --
FEDERATED INVS INC PA               EQUITY     314211103         2         88 SH       DEFINED        4        --        --      88
FEDEX CORP                          EQUITY     31428X106     8,638    103,514 SH       SOLE           2   103,514        --      --
FEDEX CORP                          EQUITY     31428X106        37        438 SH       DEFINED        4        --        --     438
FEDEX CORP                          EQUITY     31428X106        18        220 SH       DEFINED        5        --        --     220
FEDEX CORPORATION                   EQUITY     31428X106       528      6,322 SH       SOLE           1     6,322        --      --
FEI CO                              EQUITY     30241L109       837     35,829 SH       SOLE           2    35,829        --      --
FEI COMPANY                         EQUITY     30241L109       468     20,044 SH       SOLE           1    20,044        --      --
FELCOR LODGING TR INC               EQUITY     31430F101       190     52,842 SH       SOLE           2    52,842        --      --
FEMALE HEALTH CO                    EQUITY     314462102        61     12,967 SH       SOLE           2    12,967        --      --
FERRELLGAS PARTNERS L.P.            EQUITY     315293100       320     15,154 SH       DEFINED        4        --        --  15,154
FERRO CORP                          EQUITY     315405100       579     70,284 SH       SOLE           2    70,284        --      --
FGX INTERNATIONAL HOLDINGS          EQUITY     G3396L102       233     11,909 SH       SOLE           2    11,909        --      --
FIDELITY COMWLTH TR                 EQUITY     315912808        27        300 SH       DEFINED        5        --        --     300
FIDELITY NATL FINL INC              EQUITY     31620R105     7,017    521,319 SH       SOLE           2   521,319        --      --





                                                                                            
FIDELITY NAT'L INFO SVCS INC        EQUITY     31620M106     1,021     43,557 SH       SOLE           1    43,557        --      --
FIDELITY NATL INFORMATION           EQUITY     31620M106     4,225    180,234 SH       SOLE           2   180,234        --      --
FIDUCIARY CLAYMORE MLP OPP F        EQUITY     31647Q106     1,419     79,103 SH       DEFINED        4        --        --  79,103
FIDUCIARY CLAYMORE MLP OPP F        EQUITY     31647Q106        38      2,102 SH       DEFINED        5        --        --   2,102
FIFTH STREET FINANCE CORP           EQUITY     31678A103       287     26,724 SH       SOLE           2    26,724        --      --
FIFTH THIRD BANCORP                 EQUITY     316773100       442     45,298 SH       SOLE           1    45,298        --      --
FIFTH THIRD BANCORP                 EQUITY     316773100     2,785    285,610 SH       SOLE           2   285,610        --      --
FIFTH THIRD BANCORP                 EQUITY     316773100         3        339 SH       DEFINED        4        --        --     339
FIFTH THIRD BANCORP                 EQUITY     316773100        78      7,967 SH       DEFINED        5        --        --   7,967
FINANCIAL FED CORP                  EQUITY     317492106       681     24,774 SH       SOLE           2    24,774        --      --
FINANCIAL FEDERAL CORP.             EQUITY     317492106     1,208     43,925 SH       SOLE           1    43,925        --      --
FINANCIAL INSTNS INC                EQUITY     317585404       104      8,826 SH       SOLE           2     8,826        --      --
FINISAR CORP                        EQUITY     31787A507         6        674 SH       DEFINED        5        --        --     674
FINISH LINE INC                     EQUITY     317923100       533     42,455 SH       SOLE           2    42,455        --      --
FINISH LINE INC                     EQUITY     317923100         4        300 SH       DEFINED        5        --        --     300
FINISH LINE, INC.                   EQUITY     317923100     1,271    101,267 SH       SOLE           1   101,267        --      --
FINISH LINE, INC.                   EQUITY     317923100     1,182     94,200 SH       SOLE           3    94,200        --      --
FIRST ACCEP CORP                    EQUITY     318457108        27     13,729 SH       SOLE           2    13,729        --      --
FIRST AMERICAN CORP                 EQUITY     318522307     7,536    227,590 SH       SOLE           2   227,590        --      --
FIRST AMERN CORP CALIF              EQUITY     318522307        23        700 SH       DEFINED        5        --        --     700
FIRST BANCORP INC ME                EQUITY     31866P102       110      7,113 SH       SOLE           2     7,113        --      --
FIRST BANCORP N C                   EQUITY     318910106       168     12,025 SH       SOLE           2    12,025        --      --
FIRST BANCORP N C                   EQUITY     318910106        23      1,650 SH       DEFINED        4        --        --   1,650
FIRST BANCORP P R                   EQUITY     318672102       175     76,282 SH       SOLE           2    76,282        --      --
FIRST BANCORP/PUERTO RICO           EQUITY     318672102        94     40,730 SH       SOLE           1    40,730        --      --
FIRST BUSEY CORP                    EQUITY     319383105       153     39,287 SH       SOLE           2    39,287        --      --
FIRST CA FINL GROUP INC             EQUITY     319395109        13      4,609 SH       SOLE           2     4,609        --      --
FIRST CASH FINANCIAL SERVI          EQUITY     31942D107       499     22,496 SH       SOLE           2    22,496        --      --
FIRST CASH FINL SVCS INC            EQUITY     31942D107       312     14,049 SH       SOLE           1    14,049        --      --
FIRST CASH FINL SVCS INC            EQUITY     31942D107       834     37,600 SH       SOLE           3    37,600        --      --
FIRST CMNTY BANCSHARES INC          EQUITY     31983A103       138     11,492 SH       SOLE           2    11,492        --      --
FIRST COMMONWEALTH FINANCIAL        EQUITY     319829107       189     40,633 SH       SOLE           1    40,633        --      --
FIRST COMWLTH FINL CORP PA          EQUITY     319829107       373     80,116 SH       SOLE           2    80,116        --      --
FIRST CTZNS BANCSHARES INC          EQUITY     31946M103        28        170 SH       SOLE           2       170        --      --
FIRST DEFIANCE FINL CORP            EQUITY     32006W106        75      6,630 SH       SOLE           2     6,630        --      --
FIRST FINANCIAL BANCORP             EQUITY     320209109       344     23,593 SH       SOLE           1    23,593        --      --
FIRST FINANCIAL BANKSHARES          EQUITY     32020R109       601     11,090 SH       SOLE           1    11,090        --      --
FIRST FINANCIAL NORTHWEST           EQUITY     32022K102        98     14,920 SH       SOLE           2    14,920        --      --
FIRST FINL BANCORP                  EQUITY     320209109       702     48,230 SH       SOLE           2    48,230        --      --
FIRST FINL BANKSHARES INC           EQUITY     32020R109     1,080     19,919 SH       SOLE           2    19,919        --      --
FIRST FINL CORP IND                 EQUITY     320218100       294      9,643 SH       SOLE           2     9,643        --      --
FIRST FINL HLDGS INC                EQUITY     320239106       169     12,983 SH       SOLE           2    12,983        --      --
FIRST FINL SVC CORP                 EQUITY     32022D108        30      3,298 SH       SOLE           2     3,298        --      --
FIRST HORIZON NATIONAL CORP         EQUITY     320517105        60      4,485 SH       SOLE           1     4,485        --      --
FIRST HORIZON NATL CORP             EQUITY     320517105     1,934    144,302 SH       SOLE           2   144,302        --      --
FIRST HORIZON NATL CORP             EQUITY     320517105        25      1,833 SH       DEFINED        4        --        --   1,833
FIRST INDL RLTY TR INC              EQUITY     32054K103       226     43,189 SH       SOLE           2    43,189        --      --
FIRST INDUSTRIAL REALITY TRUST      EQUITY     32054K103         3        510 SH       SOLE           1       510        --      --
FIRST LONG IS CORP                  EQUITY     320734106       111      4,414 SH       SOLE           2     4,414        --      --
FIRST MARBLEHEAD CORP               EQUITY     320771108       107     50,444 SH       SOLE           2    50,444        --      --
FIRST MERCHANTS CORP                EQUITY     320817109       102     17,200 SH       SOLE           2    17,200        --      --
FIRST MERCURY FINL CORP             EQUITY     320841109       160     11,673 SH       SOLE           2    11,673        --      --
FIRST MIDWEST BANCORP INC           EQUITY     320867104       571     52,464 SH       SOLE           2    52,464        --      --
FIRST MIDWEST BANCORP, INC.         EQUITY     320867104       320     29,413 SH       SOLE           1    29,413        --      --
FIRST NIAGARA FINL GP INC           EQUITY     33582V108        28      2,021 SH       DEFINED        4        --        --   2,021
FIRST NIAGARA FINL GP INC           EQUITY     33582V108        10        729 SH       DEFINED        5        --        --     729
FIRST NIAGARA FINL GROUP I          EQUITY     33582V108     5,922    425,751 SH       SOLE           2   425,751        --      --
FIRST POTOMAC RLTY TR               EQUITY     33610F109       309     24,544 SH       SOLE           2    24,544        --      --
FIRST POTOMAC RLTY TR               EQUITY     33610F109       426     33,889 SH       DEFINED        4        --        --  33,889
FIRST SOLAR INC                     EQUITY     336433107       134        988 SH       SOLE           1       988        --      --
FIRST SOLAR INC                     EQUITY     336433107     3,335     24,620 SH       SOLE           2    24,620        --      --
FIRST SOLAR INC                     EQUITY     336433107         5         36 SH       DEFINED        4        --        --      36
FIRST SOLAR INC                     EQUITY     336433107        81        599 SH       DEFINED        5        --        --     599
FIRST SOUTH BACORP INC VA           EQUITY     33646W100        69      6,657 SH       SOLE           2     6,657        --      --
FIRST TR ABERDEEN GLBL OPP F        EQUITY     337319107         3        200 SH       DEFINED        4        --        --     200
FIRST TR ABERDEEN GLBL OPP F        EQUITY     337319107     1,084     67,626 SH       DEFINED        5        --        --  67,626
FIRST TR ENHANCED EQTY INC F        EQUITY     337318109        23      2,000 SH       DEFINED        5        --        --   2,000
FIRST TR EXCHANGE TRADED FD         EQUITY     33734X101       252     16,717 SH       DEFINED        4        --        --  16,717
FIRST TR EXCHANGE TRADED FD         EQUITY     33734X135       323     25,986 SH       DEFINED        4        --        --  25,986
FIRST TR EXCHANGE TRADED FD         EQUITY     33734X168       481     25,524 SH       DEFINED        4        --        --  25,524
FIRST TR EXCHANGE TRADED FD         EQUITY   3.3733E+306       627     24,932 SH       DEFINED        4        --        --  24,932
FIRST TR EXCHANGE TRADED FD         EQUITY     33733E401     1,415     80,150 SH       DEFINED        4        --        --  80,150
FIRST TR EXCHANGE TRADED FD         EQUITY   3.3733E+306         9        350 SH       DEFINED        5        --        --     350
FIRST TR ISE REVERE NAT GAS         EQUITY     33734J102        70      4,005 SH       DEFINED        4        --        --   4,005
FIRST TR ISE REVERE NAT GAS         EQUITY     33734J102       118      6,700 SH       DEFINED        5        --        --   6,700
FIRST TR MULTI CP VAL ALPHA         EQUITY     33733C108        70      2,960 SH       DEFINED        4        --        --   2,960
FIRST TR NASDAQ100 TECH INDE        EQUITY     337345102       472     22,274 SH       DEFINED        4        --        --  22,274
FIRST TR S&P REIT INDEX FD          EQUITY     33734G108         7        625 SH       DEFINED        4        --        --     625
FIRST TR STRTGC HIGH INCM FD        EQUITY     337347108         3      1,050 SH       DEFINED        4        --        --   1,050
FIRST TR STRTGC HIGH INCM FD        EQUITY     337347108         9      3,000 SH       DEFINED        5        --        --   3,000
FIRST TR VALUE LINE 100 ETF         EQUITY     33735G107         1        122 SH       DEFINED        5        --        --     122
FIRST TR VALUE LINE DIVID IN        EQUITY     33734H106        27      2,000 SH       DEFINED        5        --        --   2,000
FIRSTENERGY CORP                    EQUITY     337932107     4,685    100,858 SH       SOLE           2   100,858        --      --
FIRSTENERGY CORP                    EQUITY     337932107        16        350 SH       DEFINED        4        --        --     350
FIRSTENERGY CORP                    EQUITY     337932107        33        700 SH       DEFINED        5        --        --     700
FIRSTENERGY CORP.                   EQUITY     337932107       286      6,162 SH       SOLE           1     6,162        --      --
FIRSTMERIT CORP                     EQUITY     337915102     5,825    289,228 SH       SOLE           2   289,228        --      --
FIRSTSERVICE CORP                   EQUITY     33761N109       343     17,956 SH       OTHER          1        --    17,956      --
FISERV INC                          EQUITY     337738108     4,075     84,026 SH       SOLE           2    84,026        --      --
FISERV INC                          EQUITY     337738108         3         65 SH       DEFINED        4        --        --      65
FISERV INC                          EQUITY     337738108        27        567 SH       DEFINED        5        --        --     567
FISERV, INC.                        EQUITY     337738108       151      3,112 SH       SOLE           1     3,112        --      --
FISHER COMMUNICATIONS INC           EQUITY     337756209        77      4,746 SH       SOLE           2     4,746        --      --
FLAGSTAR BANCORP INC                EQUITY     337930101        33     54,705 SH       SOLE           2    54,705        --      --
FLAGSTONE REINSURANCE HLD           EQUITY     G3529T105       350     31,957 SH       SOLE           2    31,957        --      --
FLAHERTY & CRMN/CLYMR PFD SE        EQUITY     338478100       395     28,300 SH       DEFINED        5        --        --  28,300
FLAHERTY & CRMRN CLYMRE T R         EQUITY     338479108        23      1,577 SH       DEFINED        5        --        --   1,577
FLAHERTY & CRUMRINE PFD INC         EQUITY     338480106     2,076    198,319 SH       DEFINED        4        --        -- 198,319
FLANDERS CORP                       EQUITY     338494107        60     13,447 SH       SOLE           2    13,447        --      --
FLEXTRONICS INTERNATIONAL           EQUITY     Y2573F102     2,023    276,754 SH       SOLE           2   276,754        --      --
FLEXTRONICS INTL LTD                EQUITY     Y2573F102         2        294 SH       DEFINED        4        --        --     294
FLIR SYS INC                        EQUITY     302445101     2,033     62,105 SH       SOLE           2    62,105        --      --
FLIR SYS INC                        EQUITY     302445101        15        455 SH       DEFINED        4        --        --     455
FLIR SYS INC                        EQUITY     302445101       173      5,278 SH       DEFINED        5        --        --   5,278
FLIR SYSTEMS INC (USD)              EQUITY     302445101       505     15,441 SH       SOLE           1    15,441        --      --





                                                                                            
FLOTEK INDS INC DEL                 EQUITY     343389102        46     34,500 SH       DEFINED        4        --        --  34,500
FLOW INTL CORP                      EQUITY     343468104     1,779    577,690 SH       SOLE           2   577,690        --      --
FLOWERS COM INC                     EQUITY     68243Q106        57     21,410 SH       SOLE           2    21,410        --      --
FLOWERS FOODS INC                   EQUITY     343498101     4,150    174,675 SH       SOLE           2   174,675        --      --
FLOWERS FOODS INC                   EQUITY     343498101         2        105 SH       DEFINED        4        --        --     105
FLOWERS FOODS INC                   EQUITY     343498101         4        155 SH       DEFINED        5        --        --     155
FLOWSERVE CORP                      EQUITY     34354P105     2,772     29,313 SH       SOLE           2    29,313        --      --
FLOWSERVE CORP                      EQUITY     34354P105         3         29 SH       DEFINED        5        --        --      29
FLOWSERVE CORP.                     EQUITY     34354P105       107      1,130 SH       SOLE           1     1,130        --      --
FLUOR CORP                          EQUITY     343412102       163      3,617 SH       SOLE           1     3,617        --      --
FLUOR CORP NEW                      EQUITY     343412102     2,826     62,752 SH       SOLE           2    62,752        --      --
FLUOR CORP NEW                      EQUITY     343412102         2         48 SH       DEFINED        5        --        --      48
FLUSHING FINL CORP                  EQUITY     343873105       277     24,599 SH       SOLE           2    24,599        --      --
FMC CORP                            EQUITY     302491303     1,411     25,291 SH       SOLE           2    25,291        --      --
FMC CORP.                           EQUITY     302491303    32,411    581,068 SH       SOLE           1   581,068        --      --
FMC CORP.                           EQUITY     302491303     1,648     29,555 SH       SOLE           3    29,555        --      --
FMC TECHNOLOGIES INC                EQUITY     30249U101     2,072     35,828 SH       SOLE           1    35,828        --      --
FMC TECHNOLOGIES INC                EQUITY     30249U101     3,445     59,547 SH       SOLE           2    59,547        --      --
FNB CORP PA                         EQUITY     302520101        33      4,799 SH       DEFINED        5        --        --   4,799
FOOT LOCKER INC                     EQUITY     344849104       683     61,300 SH       SOLE           1    61,300        --      --
FOOT LOCKER INC                     EQUITY     344849104     7,375    662,069 SH       SOLE           2   662,069        --      --
FORCE PROTECTION INC                EQUITY     345203202        16      3,150 SH       DEFINED        5        --        --   3,150
FORCE PROTN INC                     EQUITY     345203202     7,631  1,464,639 SH       SOLE           2 1,464,639        --      --
FORD MOTOR CO.                      EQUITY     345370860     4,168    416,811 SH       SOLE           1   416,811        --      --
FORD MTR CO CAP TR II               EQUITY     345395206       309      7,750 SH       DEFINED        5        --        --   7,750
FORD MTR CO DEL                     EQUITY     345370860    10,923  1,092,326 SH       SOLE           2 1,092,326        --      --
FORD MTR CO DEL                     EQUITY     345370860       384     38,416 SH       DEFINED        4        --        --  38,416
FORD MTR CO DEL                     EQUITY     345370860       642     64,227 SH       DEFINED        5        --        --  64,227
FOREST CITY ENTERPRISES IN          EQUITY     345550107        35      3,000 SH       SOLE           2     3,000        --      --
FOREST LABORATORIES, INC.           EQUITY     345838106     6,953    216,539 SH       SOLE           1   216,539        --      --
FOREST LABS INC                     EQUITY     345838106     4,358    135,671 SH       SOLE           2   135,671        --      --
FOREST LABS INC                     EQUITY     345838106         7        203 SH       DEFINED        5        --        --     203
FOREST OIL CORP                     EQUITY     346091705     5,643    253,615 SH       SOLE           2   253,615        --      --
FORESTAR GROUP INC                  EQUITY     346233109       755     34,335 SH       SOLE           2    34,335        --      --
FORESTAR GROUP INC                  EQUITY     346233109         4        166 SH       DEFINED        5        --        --     166
FORESTAR REAL ESTATE GROUP INC      EQUITY     346233109       418     19,006 SH       SOLE           1    19,006        --      --
FORMFACTOR INC                      EQUITY     346375108       877     40,306 SH       SOLE           2    40,306        --      --
FORRESTER RESEARCH, INC.            EQUITY     346563109       204      7,845 SH       SOLE           1     7,845        --      --
FORRESTER RESH INC                  EQUITY     346563109       385     14,833 SH       SOLE           2    14,833        --      --
FORTINET INC                        EQUITY   3.4959E+113       179     10,197 SH       SOLE           2    10,197        --      --
FORTUNE BRANDS INC                  EQUITY     349631101     2,331     53,963 SH       SOLE           2    53,963        --      --
FORTUNE BRANDS INC                  EQUITY     349631101         5        110 SH       DEFINED        4        --        --     110
FORTUNE BRANDS INC                  EQUITY     349631200         4         14 SH       DEFINED        5        --        --      14
FORTUNE BRANDS INC                  EQUITY     349631101        22        501 SH       DEFINED        5        --        --     501
FORTUNE BRANDS, INC.                EQUITY     349631101       131      3,032 SH       SOLE           1     3,032        --      --
FORWARD AIR CORP                    EQUITY     349853101       384     15,331 SH       SOLE           1    15,331        --      --
FORWARD AIR CORP                    EQUITY     349853101       694     27,711 SH       SOLE           2    27,711        --      --
FOSSIL INC                          EQUITY     349882100     4,890    145,714 SH       SOLE           2   145,714        --      --
FOSSIL, INC.                        EQUITY     349882100       933     27,800 SH       SOLE           1    27,800        --      --
FOSSIL, INC.                        EQUITY     349882100     4,125    122,900 SH       SOLE           3   122,900        --      --
FOSTER L B CO                       EQUITY     350060109       247      8,283 SH       SOLE           2     8,283        --      --
FOSTER WHEELER AG                   EQUITY     H27178104       232      7,897 SH       SOLE           2     7,897        --      --
FOSTER WHEELER AG                   EQUITY     H27178104       176      5,980 SH       DEFINED        5        --        --   5,980
FOX CHASE BANCORP INC               EQUITY     35137P106        42      4,400 SH       SOLE           2     4,400        --      --
FPIC INS GROUP INC                  EQUITY     302563101       223      5,767 SH       SOLE           2     5,767        --      --
FPL GROUP INC                       EQUITY     302571104    13,303    251,851 SH       SOLE           2   251,851        --      --
FPL GROUP INC                       EQUITY     302571104        36        673 SH       DEFINED        4        --        --     673
FPL GROUP INC                       EQUITY     302571104        58      1,102 SH       DEFINED        5        --        --   1,102
FPL GROUP, INC.                     EQUITY     302571104       441      8,347 SH       SOLE           1     8,347        --      --
FRANCE TELECOM                      EQUITY     35177Q105        15        600 SH       DEFINED        5        --        --     600
FRANKLIN COVEY CO                   EQUITY     353469109        66     10,416 SH       SOLE           2    10,416        --      --
FRANKLIN ELEC INC                   EQUITY     353514102       548     18,839 SH       SOLE           2    18,839        --      --
FRANKLIN RES INC                    EQUITY     354613101     6,819     64,729 SH       SOLE           2    64,729        --      --
FRANKLIN RES INC                    EQUITY     354613101         9         90 SH       DEFINED        4        --        --      90
FRANKLIN RES INC                    EQUITY     354613101         6         52 SH       DEFINED        5        --        --      52
FRANKLIN RESOURCES, INC.            EQUITY     354613101     1,342     12,734 SH       SOLE           1    12,734        --      --
FRANKLIN STR PPTYS CORP             EQUITY     35471R106       936     64,052 SH       SOLE           2    64,052        --      --
FRANKLIN STREET PPTYS CORP          EQUITY     35471R106        15      1,009 SH       DEFINED        5        --        --   1,009
FRANKLIN STREET PROPERTIES CORP     EQUITY     35471R106       489     33,503 SH       SOLE           1    33,503        --      --
FRANKLIN TEMPLETON LTD DUR I        EQUITY     35472T101        15      1,270 SH       DEFINED        4        --        --   1,270
FRANKLIN UNVL TR                    EQUITY     355145103        12      2,005 SH       DEFINED        5        --        --   2,005
FREDS INC                           EQUITY     356108100       391     38,327 SH       SOLE           2    38,327        --      --
FRED'S INC.                         EQUITY     356108100       219     21,494 SH       SOLE           1    21,494        --      --
FREEPORT MCMORAN COPPER +           EQUITY     35671D857    17,374    216,336 SH       SOLE           2   216,336        --      --
FREEPORT-MCMORAN COPPER & GO        EQUITY     35671D857        15        190 SH       DEFINED        4        --        --     190
FREEPORT-MCMORAN COPPER & GO        EQUITY     35671D782       132      1,151 SH       DEFINED        5        --        --   1,151
FREEPORT-MCMORAN COPPER & GO        EQUITY     35671D857       349      4,351 SH       DEFINED        5        --        --   4,351
FREEPORT-MCMORAN COPPER & GOLD
  COMMON                            EQUITY     35671D857     7,740     96,396 SH       SOLE           1    96,396        --      --
FREIGHTCAR AMER INC                 EQUITY     357023100       193      9,739 SH       SOLE           2     9,739        --      --
FRESH DEL MONTE PRODUCE             EQUITY     G36738105       740     33,483 SH       SOLE           2    33,483        --      --
FRISCHS RESTAURANTS INC             EQUITY     358748101        43      1,815 SH       SOLE           2     1,815        --      --
FRONTEER DEV GROUP INC              EQUITY     35903Q106         2        500 SH       DEFINED        5        --        --     500
FRONTIER COMMUNICATIONS CO          EQUITY     35906A108     2,656    340,069 SH       SOLE           2   340,069        --      --
FRONTIER COMMUNICATIONS CORP        EQUITY     35906A108        49      6,306 SH       SOLE           1     6,306        --      --
FRONTIER COMMUNICATIONS CORP        EQUITY     35906A108        94     12,041 SH       DEFINED        4        --        --  12,041
FRONTIER COMMUNICATIONS CORP        EQUITY     35906A108        29      3,739 SH       DEFINED        5        --        --   3,739
FRONTIER DEV GROUP INC              EQUITY     35903Q106     2,080    529,302 SH       SOLE           2   529,302        --      --
FRONTIER FINL CORP WASH             EQUITY     35907K204         9      2,574 SH       DEFINED        5        --        --   2,574
FRONTIER OIL CORP                   EQUITY     35914P105     2,847    236,434 SH       SOLE           2   236,434        --      --
FRONTIER OIL CORP                   EQUITY     35914P105        31      2,565 SH       DEFINED        5        --        --   2,565
FRONTLINE LTD                       EQUITY     G3682E127        41      1,485 SH       SOLE           2     1,485        --      --
FRONTLINE LTD                       EQUITY     G3682E127         9        330 SH       DEFINED        4        --        --     330
FRONTLINE LTD                       EQUITY     G3682E127        76      2,769 SH       DEFINED        5        --        --   2,769
FTI CONSULTING INC                  EQUITY     302941109    15,747    333,900 SH       SOLE           2   333,900        --      --
FUEL SYS SOLUTIONS INC              EQUITY     35952W103       461     11,187 SH       SOLE           2    11,187        --      --
FUEL TECH INC                       EQUITY     359523107       118     14,443 SH       SOLE           2    14,443        --      --
FUEL TECH INC                       EQUITY     359523107        12      1,450 SH       DEFINED        4        --        --   1,450
FUEL TECH INC                       EQUITY     359523107       116     14,200 SH       DEFINED        5        --        --  14,200
FUELCELL ENERGY INC                 EQUITY     35952H106       224     59,615 SH       SOLE           2    59,615        --      --
FULLER H B CO                       EQUITY     359694106     1,058     46,519 SH       SOLE           2    46,519        --      --
FULTON FINL CORP PA                 EQUITY     360271100     3,477    398,739 SH       SOLE           2   398,739        --      --
FULTON FINL CORP PA                 EQUITY     360271100        74      8,521 SH       DEFINED        4        --        --   8,521
FULTON FINL CORP PA                 EQUITY     360271100        17      2,000 SH       DEFINED        5        --        --   2,000
FUQI INTERNATIONAL INC              EQUITY     36102A207        63      3,500 SH       DEFINED        5        --        --   3,500
FUQI INTL INC                       EQUITY     36102A207       179      9,997 SH       SOLE           2     9,997        --      --





                                                                                            
FURMANITE CORP                      EQUITY     361086101       114     29,900 SH       SOLE           2    29,900        --      --
FURNITURE BRANDS INTL INC           EQUITY     360921100       185     33,899 SH       SOLE           2    33,899        --      --
FURNITURE BRANDS INTL INC           EQUITY     360921100         5      1,000 SH       DEFINED        4        --        --   1,000
FUSHI COPPERWELD INC                EQUITY   3.6113E+111     3,654    361,021 SH       SOLE           2   361,021        --      --
FX ENERGY INC                       EQUITY     302695101        99     34,677 SH       SOLE           2    34,677        --      --
G & K SERVICES, INC. CLASS A        EQUITY     361268105       251      9,985 SH       SOLE           1     9,985        --      --
G + K SERVICES                      EQUITY     361268105       445     17,717 SH       SOLE           2    17,717        --      --
G III APPAREL GROUP LTD             EQUITY     36237H101       231     10,651 SH       SOLE           2    10,651        --      --
GABELLI DIVD & INCOME TR            EQUITY     36242H104        33      2,500 SH       DEFINED        5        --        --   2,500
GABELLI EQUITY TR INC               EQUITY     362397101         2        472 SH       DEFINED        4        --        --     472
GABELLI EQUITY TR INC               EQUITY     362397101        12      2,325 SH       DEFINED        5        --        --   2,325
GABELLI GLB GLD NAT RES & IN        EQUITY     36244N109        13        791 SH       DEFINED        4        --        --     791
GABELLI GLB GLD NAT RES & IN        EQUITY     36244N109         9        533 SH       DEFINED        5        --        --     533
GABELLI HLTHCARE & WELLNESS         EQUITY     36246K103        14      2,116 SH       DEFINED        5        --        --   2,116
GABELLI UTIL TR                     EQUITY     36240A101        32      3,594 SH       DEFINED        5        --        --   3,594
GAFISA S A                          EQUITY     362607301        81      2,500 SH       DEFINED        4        --        --   2,500
GAIAM INC                           EQUITY     36268Q103       101     13,161 SH       SOLE           2    13,161        --      --
GALLAGHER ARTHUR J & CO             EQUITY     363576109        39      1,722 SH       DEFINED        4        --        --   1,722
GALLAGHER ARTHUR J + CO             EQUITY     363576109     5,169    229,617 SH       SOLE           2   229,617        --      --
GALLAGHER, ARTHUR J & CO            EQUITY     363576109    11,840    526,000 SH       SOLE           1   526,000        --      --
GAMCO INVS INC                      EQUITY     361438104       281      5,825 SH       SOLE           2     5,825        --      --
GAMESTOP CORP NEW                   EQUITY     36467W109    16,761    763,935 SH       SOLE           2   763,935        --      --
GAMESTOP CORP NEW                   EQUITY     36467W109       426     19,433 SH       DEFINED        5        --        --  19,433
GAMESTOP CORP-CL A                  EQUITY     36467W109        73      3,332 SH       SOLE           1     3,332        --      --
GAMMON GOLD INC                     EQUITY     36467T106       228     20,709 SH       OTHER          1        --    20,709      --
GANDER MTN CO                       EQUITY     36471P108        21      4,209 SH       SOLE           2     4,209        --      --
GANNETT CO., INC.                   EQUITY     364730101        71      4,770 SH       SOLE           1     4,770        --      --
GANNETT INC                         EQUITY     364730101     1,257     84,617 SH       SOLE           2    84,617        --      --
GAP INC                             EQUITY     364760108     3,928    187,447 SH       SOLE           2   187,447        --      --
GAP INC DEL                         EQUITY     364760108        60      2,887 SH       DEFINED        4        --        --   2,887
GAP INC DEL                         EQUITY     364760108        16        774 SH       DEFINED        5        --        --     774
GAP, INC.                           EQUITY     364760108     9,389    448,159 SH       SOLE           1   448,159        --      --
GARDNER DENVER INC                  EQUITY     365558105       373      8,772 SH       SOLE           2     8,772        --      --
GARDNER DENVER INC                  EQUITY     365558105         4        100 SH       DEFINED        4        --        --     100
GARDNER DENVER, INC.                EQUITY     365558105     1,172     27,547 SH       SOLE           1    27,547        --      --
GARMIN LTD                          EQUITY     G37260109       413     13,442 SH       SOLE           2    13,442        --      --
GARMIN LTD                          EQUITY     G37260109         2         79 SH       DEFINED        4        --        --      79
GARMIN LTD                          EQUITY     G37260109        23        733 SH       DEFINED        5        --        --     733
GARTNER INC                         EQUITY     366651107     3,299    182,893 SH       SOLE           2   182,893        --      --
GATX CORPORATION                    EQUITY     361448103     2,997    104,259 SH       SOLE           2   104,259        --      --
GAYLORD ENTMT CO NEW                EQUITY     367905106       640     32,388 SH       SOLE           2    32,388        --      --
GAYLORD ENTMT CO NEW                EQUITY     367905106         1         75 SH       DEFINED        4        --        --      75
GCI, INC.                           EQUITY     369385109       153     23,949 SH       SOLE           1    23,949        --      --
GEEKNET INC                         EQUITY     36846Q104         5      4,000 SH       DEFINED        4        --        --   4,000
GEN PROBE INC NEW                   EQUITY     36866T103     4,755    110,847 SH       SOLE           2   110,847        --      --
GENCO SHIPPING & TRADING LTD        EQUITY     Y2685T107        22      1,003 SH       DEFINED        5        --        --   1,003
GENCO SHIPPING + TRADING L          EQUITY     Y2685T107       471     21,032 SH       SOLE           2    21,032        --      --
GENCORP INC                         EQUITY     368682100       338     48,293 SH       SOLE           2    48,293        --      --
GENCORP, INC.                       EQUITY     368682100       189     26,933 SH       SOLE           1    26,933        --      --
GENERAL AMERN INVS INC              EQUITY     368802104         3        113 SH       DEFINED        4        --        --     113
GENERAL CABLE CORP                  EQUITY     369300108        43      1,457 SH       SOLE           2     1,457        --      --
GENERAL CABLE CORP DEL NEW          EQUITY     369300108         4        150 SH       DEFINED        4        --        --     150
GENERAL CABLE CORP DEL NEW          EQUITY     369300108         6        200 SH       DEFINED        5        --        --     200
GENERAL CABLE CORP.                 EQUITY     369300108       330     11,220 SH       SOLE           1    11,220        --      --
GENERAL COMMUNICATION INC           EQUITY     369385109       259     40,604 SH       SOLE           2    40,604        --      --
GENERAL DYNAMICS CORP               EQUITY     369550108    15,073    221,075 SH       SOLE           2   221,075        --      --
GENERAL DYNAMICS CORP               EQUITY     369550108        42        620 SH       DEFINED        4        --        --     620
GENERAL DYNAMICS CORP               EQUITY     369550108        32        475 SH       DEFINED        5        --        --     475
GENERAL DYNAMICS CORP.              EQUITY     369550108     4,338     63,639 SH       SOLE           1    63,639        --      --
GENERAL ELEC CO                     EQUITY     369604103    63,102  4,170,633 SH       SOLE           2 4,170,633        --      --
GENERAL ELECTRIC CO                 EQUITY     369604103    20,971  1,386,034 SH       SOLE           1 1,386,034        --      --
GENERAL ELECTRIC CO                 EQUITY     369604103     1,069     70,662 SH       DEFINED        4        --        --  70,662
GENERAL ELECTRIC CO                 EQUITY     369604103     2,684    177,375 SH       DEFINED        5        --        -- 177,375
GENERAL MARITIME CORP NEW           EQUITY     Y2693R101       278     39,836 SH       SOLE           2    39,836        --      --
GENERAL MARITIME CORP NEW           EQUITY     Y2693R101       129     18,419 SH       DEFINED        4        --        --  18,419
GENERAL MARITIME CORP NEW           EQUITY     Y2693R101       168     24,005 SH       DEFINED        5        --        --  24,005
GENERAL MILLS, INC.                 EQUITY     370334104     7,402    104,535 SH       SOLE           1   104,535        --      --
GENERAL MLS INC                     EQUITY     370334104    10,658    150,479 SH       SOLE           2   150,479        --      --
GENERAL MLS INC                     EQUITY     370334104       196      2,762 SH       DEFINED        4        --        --   2,762
GENERAL MLS INC                     EQUITY     370334104       898     12,686 SH       DEFINED        5        --        --  12,686
GENERAL MOLY INC                    EQUITY     370373102       108     52,030 SH       SOLE           2    52,030        --      --
GENERAL MOLY INC                    EQUITY     370373102         8      4,000 SH       DEFINED        5        --        --   4,000
GENERAL STEEL HOLDINGS INC          EQUITY     370853103         4      1,000 SH       DEFINED        4        --        --   1,000
GENERAL STL HLDGS INC               EQUITY     370853103        64     14,586 SH       SOLE           2    14,586        --      --
GENESCO INC                         EQUITY     371532102       596     21,705 SH       SOLE           2    21,705        --      --
GENESCO, INC.                       EQUITY     371532102       332     12,077 SH       SOLE           1    12,077        --      --
GENESEE + WYO INC                   EQUITY     371559105       990     30,323 SH       SOLE           2    30,323        --      --
GENESIS ENERGY L P                  EQUITY     371927104         8        400 SH       DEFINED        4        --        --     400
GENESIS LEASE LTD                   EQUITY     37183T107         4        400 SH       DEFINED        4        --        --     400
GENESIS LEASE LTD                   EQUITY     37183T107        63      7,100 SH       DEFINED        5        --        --   7,100
GENOMIC HEALTH INC                  EQUITY     37244C101       225     11,489 SH       SOLE           2    11,489        --      --
GENOMIC HEALTH INC                  EQUITY     37244C101        29      1,500 SH       DEFINED        5        --        --   1,500
GENOPTIX INC                        EQUITY     37243V100       323      9,083 SH       SOLE           1     9,083        --      --
GENOPTIX INC                        EQUITY     37243V100       574     16,169 SH       SOLE           2    16,169        --      --
GENPACT LTD                         EQUITY     G3922B107        17      1,172 SH       SOLE           2     1,172        --      --
GENTEX CORP                         EQUITY     371901109     5,549    310,843 SH       SOLE           2   310,843        --      --
GENTIVA HEALTH SERVICES             EQUITY     37247A102       425     15,731 SH       SOLE           1    15,731        --      --
GENTIVA HEALTH SVCS INC             EQUITY     37247A102       750     27,759 SH       SOLE           2    27,759        --      --
GENUINE PARTS CO                    EQUITY     372460105     5,123    134,958 SH       SOLE           2   134,958        --      --
GENUINE PARTS CO                    EQUITY     372460105         4         96 SH       DEFINED        4        --        --      96
GENUINE PARTS CO.                   EQUITY     372460105     5,517    145,326 SH       SOLE           1   145,326        --      --
GENWORTH FINANCIAL INC-CL A         EQUITY     37247D106       592     52,136 SH       SOLE           1    52,136        --      --
GENWORTH FINANCIAL INC-CL A         EQUITY     37247D106     2,801    246,800 SH       SOLE           3   246,800        --      --
GENWORTH FINL INC                   EQUITY     37247D106     3,968    349,606 SH       SOLE           2   349,606        --      --
GENWORTH FINL INC                   EQUITY     37247D106         2        200 SH       DEFINED        4        --        --     200
GENWORTH FINL INC                   EQUITY     37247D106        53      4,703 SH       DEFINED        5        --        --   4,703
GENZYME CORP                        EQUITY     372917104       262      5,356 SH       SOLE           1     5,356        --      --
GENZYME CORP                        EQUITY     372917104     6,483    132,239 SH       SOLE           2   132,239        --      --
GENZYME CORP                        EQUITY     372917104         7        136 SH       DEFINED        4        --        --     136
GENZYME CORP                        EQUITY     372917104         2         50 SH       DEFINED        5        --        --      50
GEO GROUP INC                       EQUITY     36159R103       603     27,570 SH       SOLE           1    27,570        --      --
GEO GROUP INC                       EQUITY     36159R103     1,072     48,976 SH       SOLE           2    48,976        --      --
GEOEYE INC                          EQUITY     37250W108     5,793    207,800 SH       SOLE           1   207,800        --      --
GEOEYE INC                          EQUITY     37250W108       423     15,158 SH       SOLE           2    15,158        --      --
GEOKINETICS INC                     EQUITY     372910307        46      4,797 SH       SOLE           2     4,797        --      --





                                                                                            
GEORESOURCES INC                    EQUITY     372476101       581     42,500 SH       SOLE           1    42,500        --      --
GEORESOURCES INC                    EQUITY     372476101        98      7,173 SH       SOLE           2     7,173        --      --
GEORESOURCES INC                    EQUITY     372476101       806     59,000 SH       SOLE           3    59,000        --      --
GERBER SCIENTIFIC INC               EQUITY     373730100        18      3,539 SH       SOLE           2     3,539        --      --
GERBER SCIENTIFIC, INC.             EQUITY     373730100        68     13,533 SH       SOLE           1    13,533        --      --
GERDAU AMERISTEEL CORP              EQUITY     37373P105       778     94,525 SH       OTHER          1        --    94,525      --
GERDAU S A                          EQUITY     373737105        51      2,991 SH       DEFINED        5        --        --   2,991
GERDAU SA                           EQUITY     373737105     3,339    196,020 SH       SOLE           1   196,020        --      --
GERMAN AMERN BANCORP INC            EQUITY     373865104       147      9,045 SH       SOLE           2     9,045        --      --
GERON CORP                          EQUITY     374163103       404     72,743 SH       SOLE           2    72,743        --      --
GERON CORP                          EQUITY     374163103        28      4,996 SH       DEFINED        5        --        --   4,996
GETTY RLTY CORP NEW                 EQUITY     374297109       336     14,282 SH       SOLE           2    14,282        --      --
GFI GROUP INC                       EQUITY     361652209       242     52,989 SH       SOLE           2    52,989        --      --
GIBRALTAR INDS INC                  EQUITY     374689107       413     26,278 SH       SOLE           2    26,278        --      --
GIBRALTAR INDS INC                  EQUITY     374689107         3        203 SH       DEFINED        5        --        --     203
GIBRALTAR INDUSTRIES INC            EQUITY     374689107       254     16,177 SH       SOLE           1    16,177        --      --
GIGAMEDIA LTD                       EQUITY     Y2711Y104        96     29,250 SH       DEFINED        5        --        --  29,250
GILDAN ACTIVEWEAR INC               EQUITY     375916103        87      3,532 SH       OTHER          1        --     3,532      --
GILEAD SCIENCES INC                 EQUITY     375558103    36,114    834,237 SH       SOLE           2   834,237        --      --
GILEAD SCIENCES INC                 EQUITY     375558103        40        914 SH       DEFINED        4        --        --     914
GILEAD SCIENCES INC                 EQUITY     375558103       113      2,602 SH       DEFINED        5        --        --   2,602
GILEAD SCIENCES, INC.               EQUITY     375558103     8,285    191,474 SH       SOLE           1   191,474        --      --
GLACIER BANCORP  INC                EQUITY     37637Q105       808     58,899 SH       SOLE           2    58,899        --      --
GLACIER BANCORP, INC.               EQUITY     37637Q105       454     33,074 SH       SOLE           1    33,074        --      --
GLADSTONE CAP CORP                  EQUITY     376535100       133     17,226 SH       SOLE           2    17,226        --      --
GLADSTONE CAPITAL CORP              EQUITY     376535100       266     34,576 SH       DEFINED        4        --        --  34,576
GLADSTONE COML CORP                 EQUITY     376536108        94      6,995 SH       SOLE           2     6,995        --      --
GLADSTONE COMMERCIAL CORP           EQUITY     376536108        12        927 SH       SOLE           1       927        --      --
GLADSTONE INVT CORP                 EQUITY     376546107        82     18,036 SH       SOLE           2    18,036        --      --
GLATFELTER                          EQUITY     377316104       452     37,181 SH       SOLE           2    37,181        --      --
GLAXOSMITHKLINE PLC                 EQUITY     37733W105        36        842 SH       DEFINED        4        --        --     842
GLAXOSMITHKLINE PLC                 EQUITY     37733W105       129      3,046 SH       DEFINED        5        --        --   3,046
GLG PARTNERS INC                    EQUITY     37929X107        12      3,872 SH       SOLE           2     3,872        --      --
GLIMCHER RLTY TR                    EQUITY     379302102       136     50,399 SH       SOLE           2    50,399        --      --
GLOBAL CASH ACCESS HLDGS I          EQUITY     378967103       229     30,612 SH       SOLE           2    30,612        --      --
GLOBAL CASH ACCESS HLDGS INC        EQUITY     378967103         2        300 SH       DEFINED        4        --        --     300
GLOBAL CROSSING LTD                 EQUITY     G3921A175       338     23,703 SH       SOLE           2    23,703        --      --
GLOBAL DEFENSE TECHNOLOGY           EQUITY     37950B107        62      3,754 SH       SOLE           2     3,754        --      --
GLOBAL HIGH INCOME FUND INC         EQUITY     37933G108        29      2,358 SH       DEFINED        5        --        --   2,358
GLOBAL INDUSTRIES INC               EQUITY     379336100       581     81,490 SH       SOLE           2    81,490        --      --
GLOBAL PAYMENTS INC.                EQUITY     37940X102       780     14,477 SH       SOLE           1    14,477        --      --
GLOBAL PMTS INC                     EQUITY     37940X102     9,839    182,682 SH       SOLE           2   182,682        --      --
GLOBAL SOURCES LTD                  EQUITY     G39300101        83     13,208 SH       SOLE           2    13,208        --      --
GLOBAL TRAFFIC NETWORK INC          EQUITY     37947B103       567    136,657 SH       SOLE           3   136,657        --      --
GLOBE SPECIALTY METALS INC          EQUITY     37954N206         2        200 SH       DEFINED        5        --        --     200
GLOBECOMM SYS INC                   EQUITY     37956X103       133     17,023 SH       SOLE           2    17,023        --      --
GMX RES INC                         EQUITY     38011M108       350     25,498 SH       SOLE           2    25,498        --      --
GMX RES INC                         EQUITY     38011M108        10        700 SH       DEFINED        4        --        --     700
GMX RESOURCES INC                   EQUITY     38011M108       772     56,200 SH       SOLE           1    56,200        --      --
GMX RESOURCES INC                   EQUITY     38011M108       897     65,300 SH       SOLE           3    65,300        --      --
GOLAR LNG LIMITED                   EQUITY     G9456A100       339     26,414 SH       SOLE           2    26,414        --      --
GOLAR LNG LTD BERMUDA               EQUITY     G9456A100         3        200 SH       DEFINED        5        --        --     200
GOLD FIELDS LTD NEW                 EQUITY     38059T106         3        210 SH       DEFINED        4        --        --     210
GOLDCORP INC NEW                    EQUITY     380956409        48      1,218 SH       DEFINED        4        --        --   1,218
GOLDCORP INC NEW                    EQUITY     380956409         4        100 SH       DEFINED        5        --        --     100
GOLDCORP INC.                       EQUITY     380956409     4,226    107,057 SH       OTHER          1        --   107,057      --
GOLDMAN SACHS GROUP INC             EQUITY     38141G104    21,041    124,622 SH       SOLE           1   124,622        --      --
GOLDMAN SACHS GROUP INC             EQUITY     38141G104    45,056    266,897 SH       SOLE           2   266,897        --      --
GOLDMAN SACHS GROUP INC             EQUITY     38141G104        60        355 SH       DEFINED        4        --        --     355
GOLDMAN SACHS GROUP INC             EQUITY     38141G104       277      1,641 SH       DEFINED        5        --        --   1,641
GOODRICH CORP                       EQUITY     382388106     2,786     43,347 SH       SOLE           2    43,347        --      --
GOODRICH CORP.                      EQUITY     382388106       768     11,949 SH       SOLE           1    11,949        --      --
GOODRICH PETE CORP                  EQUITY     382410405       487     20,005 SH       SOLE           2    20,005        --      --
GOODYEAR TIRE & RUBBER CO.          EQUITY     382550101     1,102     78,143 SH       SOLE           1    78,143        --      --
GOODYEAR TIRE & RUBR CO             EQUITY     382550101         3        201 SH       DEFINED        5        --        --     201
GOODYEAR TIRE AND RUBBER            EQUITY     382550101     1,198     84,951 SH       SOLE           2    84,951        --      --
GOOGLE INC                          EQUITY     38259P508    43,146     69,592 SH       SOLE           1    69,592        --      --
GOOGLE INC                          EQUITY     38259P508   120,007    193,547 SH       SOLE           2   193,547        --      --
GOOGLE INC                          EQUITY     38259P508       128        206 SH       DEFINED        4        --        --     206
GOOGLE INC                          EQUITY     38259P508       480        774 SH       DEFINED        5        --        --     774
GORMAN RUPP CO                      EQUITY     383082104       324     11,723 SH       SOLE           2    11,723        --      --
GOVERNMENT PROPERTIES INCO          EQUITY     38376A103       216      9,391 SH       SOLE           2     9,391        --      --
GP STRATEGIES CORP                  EQUITY     36225V104        97     12,874 SH       SOLE           2    12,874        --      --
GPO TELEVISA SA ADR-REPR 20         EQUITY     40049J206     2,907    140,030 SH       SOLE           1   140,030        --      --
GRACE W R + CO DEL NEW              EQUITY     38388F108     1,494     58,943 SH       SOLE           2    58,943        --      --
GRACO INC                           EQUITY     384109104     3,871    135,476 SH       SOLE           2   135,476        --      --
GRACO INC                           EQUITY     384109104        11        400 SH       DEFINED        5        --        --     400
GRAFTECH INTERNATIONAL LTD          EQUITY     384313102     1,003     64,500 SH       SOLE           1    64,500        --      --
GRAFTECH INTERNATIONAL LTD          EQUITY     384313102       249     16,000 SH       SOLE           3    16,000        --      --
GRAFTECH INTL LTD                   EQUITY     384313102     1,528     98,233 SH       SOLE           2    98,233        --      --
GRAFTECH INTL LTD                   EQUITY     384313102         8        500 SH       DEFINED        5        --        --     500
GRAHAM CORP                         EQUITY     384556106       171      8,250 SH       SOLE           2     8,250        --      --
GRAHAM CORP                         EQUITY     384556106        18        890 SH       DEFINED        5        --        --     890
GRAINGER W W INC                    EQUITY     384802104     3,627     37,446 SH       SOLE           2    37,446        --      --
GRAINGER W W INC                    EQUITY     384802104         3         28 SH       DEFINED        5        --        --      28
GRAMERCY CAP CORP                   EQUITY     384871109        90     34,793 SH       SOLE           2    34,793        --      --
GRAN TIERRA ENERGY INC              EQUITY     38500T101       954    166,407 SH       SOLE           2   166,407        --      --
GRAN TIERRA ENERGY INC              EQUITY     38500T101        49      8,600 SH       DEFINED        4        --        --   8,600
GRANDCANYON ED INC                  EQUITY     38526M106       245     12,892 SH       SOLE           2    12,892        --      --
GRANITE CONSTR INC                  EQUITY     387328107     3,470    103,089 SH       SOLE           2   103,089        --      --
GRAPHIC PACKAGING HLDG CO           EQUITY     388689101       317     91,229 SH       SOLE           2    91,229        --      --
GRAPHIC PACKAGING HLDG CO           EQUITY     388689101        37     10,700 SH       DEFINED        4        --        --  10,700
GRAY TELEVISION INC                 EQUITY     389375106         3      2,000 SH       DEFINED        5        --        --   2,000
GREAT ATLANTIC & PAC TEA INC        EQUITY     390064103        18      1,500 SH       DEFINED        5        --        --   1,500
GREAT ATLANTIC & PACIFIC TEA CO     EQUITY     390064103       184     15,630 SH       SOLE           1    15,630        --      --
GREAT ATLANTIC + PAC TEA            EQUITY     390064103       372     31,565 SH       SOLE           2    31,565        --      --
GREAT LAKES DREDGE                  EQUITY     390607109       212     32,683 SH       SOLE           2    32,683        --      --
GREAT PLAINS ENERGY INC             EQUITY     391164100     5,937    306,174 SH       SOLE           2   306,174        --      --
GREAT PLAINS ENERGY INC             EQUITY     391164100         6        310 SH       DEFINED        4        --        --     310
GREAT PLAINS ENERGY INC             EQUITY     391164100         6        300 SH       DEFINED        5        --        --     300
GREAT SOUTHN BANCORP INC            EQUITY     390905107       175      8,200 SH       SOLE           2     8,200        --      --
GREAT WOLF RESORTS INC              EQUITY     391523107        54     22,698 SH       SOLE           2    22,698        --      --
GREATBATCH INC                      EQUITY     39153L106       237     12,333 SH       SOLE           1    12,333        --      --
GREATBATCH INC                      EQUITY     39153L106       427     22,193 SH       SOLE           2    22,193        --      --
GREATBATCH INC                      EQUITY     39153L106         8        425 SH       DEFINED        5        --        --     425





                                                                                            
GREATER CHINA FD INC                EQUITY     39167B102         2        125 SH       DEFINED        5        --        --     125
GREEN MTN COFFEE ROASTERS           EQUITY     393122106     6,417     78,771 SH       SOLE           2    78,771        --      --
GREEN MTN COFFEE ROASTERS IN        EQUITY     393122106        18        220 SH       DEFINED        4        --        --     220
GREEN PLAINS RENEWABLE ENE          EQUITY     393222104       113      7,597 SH       SOLE           2     7,597        --      --
GREENBRIER COS INC                  EQUITY     393657101       142     13,653 SH       SOLE           2    13,653        --      --
GREENHAVEN CONT CMDTY INDEX         EQUITY     395258106     1,080     41,040 SH       DEFINED        4        --        --  41,040
GREENHAVEN CONT CMDTY INDEX         EQUITY     395258106        11        401 SH       DEFINED        5        --        --     401
GREENHILL & CO INC                  EQUITY     395259104       876     10,922 SH       SOLE           1    10,922        --      --
GREENHILL + CO INC                  EQUITY     395259104       264      3,289 SH       SOLE           2     3,289        --      --
GREENLIGHT CAPITAL RE LTD           EQUITY     G4095J109       542     23,002 SH       SOLE           2    23,002        --      --
GREIF INC                           EQUITY     397624107     4,190     77,623 SH       SOLE           2    77,623        --      --
GREIF INC                           EQUITY     397624107         7        137 SH       DEFINED        5        --        --     137
GREIF INC CL A                      EQUITY     397624107       102      1,883 SH       SOLE           1     1,883        --      --
GRIFFIN LD AND NURSERIES I          EQUITY     398231100        78      2,669 SH       SOLE           2     2,669        --      --
GRIFFON CORP                        EQUITY     398433102       509     41,683 SH       SOLE           2    41,683        --      --
GRIFFON CORP.                       EQUITY     398433102       289     23,662 SH       SOLE           1    23,662        --      --
GROUP 1 AUTOMOTIVE INC              EQUITY     398905109       654     23,058 SH       SOLE           2    23,058        --      --
GROUP 1 AUTOMOTIVE, INC.            EQUITY     398905109       368     12,994 SH       SOLE           1    12,994        --      --
GRUPO AEROPORTUARIO DEL SURE        EQUITY   4.0051E+206         3         50 SH       DEFINED        4        --        --      50
GRUPO AEROPORTUARIO DEL SURE        EQUITY   4.0051E+206       240      4,638 SH       DEFINED        5        --        --   4,638
GSE SYS INC                         EQUITY     36227K106        85     15,455 SH       SOLE           2    15,455        --      --
GSI COMM INC                        EQUITY     36238G102       629     24,768 SH       SOLE           2    24,768        --      --
GSI COMMERCE INC                    EQUITY     36238G102       520     20,500 SH       SOLE           1    20,500        --      --
GSI COMMERCE INC                    EQUITY     36238G102       127      5,000 SH       SOLE           3     5,000        --      --
GSI TECHNOLOGY INC                  EQUITY     36241U106        67     15,058 SH       SOLE           2    15,058        --      --
GT SOLAR INTL INC                   EQUITY    3.623E+212       143     25,711 SH       SOLE           2    25,711        --      --
GT SOLAR INTL INC                   EQUITY    3.623E+212         3        500 SH       DEFINED        4        --        --     500
GTX INC DEL                         EQUITY     40052B108        65     15,588 SH       SOLE           2    15,588        --      --
GUARANTY BANCORP INC                EQUITY     40075T102        57     42,855 SH       SOLE           2    42,855        --      --
GUESS INC                           EQUITY     401617105     5,535    130,860 SH       SOLE           2   130,860        --      --
GUESS? INC                          EQUITY     401617105     1,167     27,600 SH       SOLE           1    27,600        --      --
GUESS? INC                          EQUITY     401617105     4,073     96,300 SH       SOLE           3    96,300        --      --
GULF IS FABRICATION INC             EQUITY     402307102       252     12,000 SH       SOLE           2    12,000        --      --
GULF ISLAND FABRICATION, INC.       EQUITY     402307102       159      7,564 SH       SOLE           1     7,564        --      --
GULFMARK OFFSHORE INC               EQUITY     402629109       526     18,587 SH       SOLE           2    18,587        --      --
GULFMARK OFFSHORE INC               EQUITY     402629109        11        400 SH       DEFINED        5        --        --     400
GULFPORT ENERGY CORP                EQUITY     402635304       245     21,430 SH       SOLE           2    21,430        --      --
GYMBOREE CORP                       EQUITY     403777105     1,219     28,032 SH       SOLE           2    28,032        --      --
GYMBOREE CORP.                      EQUITY     403777105     1,358     31,204 SH       SOLE           1    31,204        --      --
GYMBOREE CORP.                      EQUITY     403777105       165      3,800 SH       SOLE           3     3,800        --      --
H & Q HEALTHCARE FD                 EQUITY     404052102         6        537 SH       DEFINED        5        --        --     537
H + E EQUIP SVCS INC                EQUITY     404030108       234     22,301 SH       SOLE           2    22,301        --      --
H J HEINZ CO.                       EQUITY     423074103       273      6,384 SH       SOLE           1     6,384        --      --
H.B. FULLER CO.                     EQUITY     359694106       591     25,977 SH       SOLE           1    25,977        --      --
HACKETT GROUP INC                   EQUITY     404609109        87     31,461 SH       SOLE           2    31,461        --      --
HAEMONETICS CORP MASS               EQUITY     405024100     1,353     24,528 SH       SOLE           2    24,528        --      --
HAEMONETICS CORP.                   EQUITY     405024100       752     13,630 SH       SOLE           1    13,630        --      --
HAIN CELESTIAL GROUP INC            EQUITY     405217100       372     21,883 SH       SOLE           1    21,883        --      --
HAIN CELESTIAL GROUP INC            EQUITY     405217100       663     38,958 SH       SOLE           2    38,958        --      --
HAIN CELESTIAL GROUP INC            EQUITY     405217100         5        270 SH       DEFINED        5        --        --     270
HALLIBURTON CO                      EQUITY     406216101    15,868    527,372 SH       SOLE           2   527,372        --      --
HALLIBURTON CO                      EQUITY     406216101        54      1,782 SH       DEFINED        4        --        --   1,782
HALLIBURTON CO                      EQUITY     406216101        81      2,700 SH       DEFINED        5        --        --   2,700
HALLIBURTON CO.                     EQUITY     406216101     3,858    128,225 SH       SOLE           1   128,225        --      --
HALLMARK FINL SVCS INC              EQUITY     40624Q203        61      7,720 SH       SOLE           2     7,720        --      --
HALOZYME THERAPEUTICS INC           EQUITY     40637H109       324     55,260 SH       SOLE           2    55,260        --      --
HALOZYME THERAPEUTICS INC           EQUITY     40637H109       392     66,700 SH       SOLE           3    66,700        --      --
HAMPTON RDS BANKSHARES INC          EQUITY     409321106        26     15,062 SH       SOLE           2    15,062        --      --
HANCOCK HLDG CO                     EQUITY     410120109     1,186     27,076 SH       SOLE           2    27,076        --      --
HANCOCK HOLDING CO.                 EQUITY     410120109       662     15,103 SH       SOLE           1    15,103        --      --
HANCOCK JOHN PATRIOT PREM II        EQUITY     41013T105       453     45,511 SH       DEFINED        5        --        --  45,511
HANCOCK JOHN PFD INCOME FD          EQUITY     41013W108        51      3,000 SH       DEFINED        5        --        --   3,000
HANCOCK JOHN PFD INCOME FD I        EQUITY     41021P103        15      1,000 SH       DEFINED        5        --        --   1,000
HANESBRANDS INC                     EQUITY     410345102     5,171    214,479 SH       SOLE           2   214,479        --      --
HANESBRANDS INC                     EQUITY     410345102        26      1,071 SH       DEFINED        5        --        --   1,071
HANGER ORTHOPEDIC GROUP             EQUITY     41043F208       235     17,003 SH       SOLE           1    17,003        --      --
HANGER ORTHOPEDIC GROUP             EQUITY     41043F208       347     25,065 SH       SOLE           2    25,065        --      --
HANMI FINL CORP                     EQUITY     410495105        33     27,481 SH       SOLE           1    27,481        --      --
HANMI FINL CORP                     EQUITY     410495105         9      7,204 SH       SOLE           2     7,204        --      --
HANOVER COMPRESSOR CO               FIXED
                                      INCOME   410768AE5         9         10 PRN      DEFINED        5        --        --      10
HANOVER INS GROUP INC               EQUITY     410867105     5,034    113,301 SH       SOLE           2   113,301        --      --
HANOVER INS GROUP INC               EQUITY     410867105         3         65 SH       DEFINED        4        --        --      65
HANSEN MED INC                      EQUITY     411307101        63     20,701 SH       SOLE           2    20,701        --      --
HANSEN NAT CORP                     EQUITY     411310105     6,165    160,539 SH       SOLE           2   160,539        --      --
HANSEN NAT CORP                     EQUITY     411310105        37        958 SH       DEFINED        4        --        --     958
HANSEN NAT CORP                     EQUITY     411310105        10        270 SH       DEFINED        5        --        --     270
HARBIN ELEC INC                     EQUITY     41145W109       252     12,285 SH       SOLE           2    12,285        --      --
HARLEY DAVIDSON INC                 EQUITY     412822108     2,829    112,233 SH       SOLE           2   112,233        --      --
HARLEY DAVIDSON INC                 EQUITY     412822108         6        255 SH       DEFINED        4        --        --     255
HARLEY DAVIDSON INC                 EQUITY     412822108        76      3,026 SH       DEFINED        5        --        --   3,026
HARLEY-DAVIDSON                     EQUITY     412822108       119      4,730 SH       SOLE           1     4,730        --      --
HARLEYSVILLE GROUP INC              EQUITY     412824104       342     10,760 SH       SOLE           2    10,760        --      --
HARLEYSVILLE NATL CORP PA           EQUITY     412850109       227     35,211 SH       SOLE           2    35,211        --      --
HARMAN INTL INDS INC NEW            EQUITY     413086109     1,242     35,206 SH       SOLE           2    35,206        --      --
HARMAN INT'L INDUSTRIES, INC.       EQUITY     413086109        49      1,396 SH       SOLE           1     1,396        --      --
HARMONIC INC                        EQUITY     413160102     4,931    778,933 SH       SOLE           2   778,933        --      --
HARMONIC INC                        EQUITY     413160102        19      3,000 SH       DEFINED        5        --        --   3,000
HARMONIC INC.                       EQUITY     413160102       326     51,585 SH       SOLE           1    51,585        --      --
HARRIS & HARRIS GROUP INC           EQUITY     413833104         2        400 SH       DEFINED        4        --        --     400
HARRIS + HARRIS GROUP INC           EQUITY     413833104       115     25,203 SH       SOLE           2    25,203        --      --
HARRIS CORP DEL                     EQUITY     413875105     2,203     46,321 SH       SOLE           2    46,321        --      --
HARRIS CORP DEL                     EQUITY     413875105        19        397 SH       DEFINED        5        --        --     397
HARRIS CORP.                        EQUITY     413875105     1,277     26,866 SH       SOLE           1    26,866        --      --
HARRIS STRATEX NETWORKS             EQUITY     41457P106       333     48,184 SH       SOLE           2    48,184        --      --
HARRY WINSTON DIAMOND CORP          EQUITY     41587B100       228     23,985 SH       OTHER          1        --    23,985      --
HARSCO CORP                         EQUITY     415864107     5,842    181,271 SH       SOLE           2   181,271        --      --
HARSCO CORP                         EQUITY     415864107         2         65 SH       DEFINED        5        --        --      65
HARSCO CORP.                        EQUITY     415864107     2,957     91,754 SH       SOLE           1    91,754        --      --
HARTE HANKS INC                     EQUITY     416196103     1,253    116,194 SH       SOLE           2   116,194        --      --
HARTFORD FINANCIAL SVCS GR          EQUITY     416515104     4,184    179,864 SH       SOLE           2   179,864        --      --
HARTFORD FINANCIAL SVCS GROUP       EQUITY     416515104     1,089     46,807 SH       SOLE           1    46,807        --      --
HARTFORD FINL SVCS GROUP INC        EQUITY     416515104       127      5,469 SH       DEFINED        4        --        --   5,469
HARTFORD FINL SVCS GROUP INC        EQUITY     416515104       306     13,136 SH       DEFINED        5        --        --  13,136
HARVARD BIOSCIENCE INC              EQUITY     416906105        72     20,043 SH       SOLE           2    20,043        --      --
HARVEST NAT RES INC                 EQUITY     41754V103       143     26,950 SH       SOLE           2    26,950        --      --





                                                                                            
HASBRO INC                          EQUITY     418056107         1         33 SH       DEFINED        4        --        --      33
HASBRO INC                          EQUITY     418056107     1,416     44,148 SH       SOLE           2    44,148        --      --
HASBRO INC                          EQUITY     418056107         3        100 SH       DEFINED        5        --        --     100
HASBRO, INC.                        EQUITY     418056107        81      2,524 SH       SOLE           1     2,524        --      --
HATTERAS FINL CORP                  EQUITY     41902R103       827     29,563 SH       SOLE           2    29,563        --      --
HATTERAS FINL CORP                  EQUITY     41902R103       239      8,561 SH       DEFINED        4        --        --   8,561
HATTERAS FINL CORP                  EQUITY     41902R103        68      2,430 SH       DEFINED        5        --        --   2,430
HAVERTY FURNITURE COMPANIES         EQUITY     419596101       138     10,036 SH       SOLE           1    10,036        --      --
HAVERTY FURNITURE COS INC           EQUITY     419596101       235     17,091 SH       SOLE           2    17,091        --      --
HAWAIIAN ELEC INDS INC              EQUITY     419870100     4,353    208,270 SH       SOLE           2   208,270        --      --
HAWAIIAN ELEC INDUSTRIES            EQUITY     419870100        17        800 SH       DEFINED        4        --        --     800
HAWAIIAN ELEC INDUSTRIES            EQUITY     419870100         4        200 SH       DEFINED        5        --        --     200
HAWAIIAN HLDGS INC                  EQUITY     419879101       295     42,150 SH       SOLE           2    42,150        --      --
HAWK CORP                           EQUITY     420089104        79      4,479 SH       SOLE           2     4,479        --      --
HAWKINS INC                         EQUITY     420261109       155      7,119 SH       SOLE           2     7,119        --      --
HAYNES INTERNATIONAL INV            EQUITY     420877201     5,665    171,876 SH       SOLE           1   171,876        --      --
HAYNES INTL INC                     EQUITY     420877201       324      9,833 SH       SOLE           2     9,833        --      --
HCC INS HLDGS INC                   EQUITY     404132102     7,128    254,852 SH       SOLE           2   254,852        --      --
HCC INSURANCE HOLDINGS, INC.        EQUITY     404132102     2,292     81,954 SH       SOLE           1    81,954        --      --
HCP INC                             EQUITY     40414L109       148      4,844 SH       SOLE           1     4,844        --      --
HCP INC                             EQUITY     40414L109     4,512    147,626 SH       SOLE           2   147,626        --      --
HCP INC                             EQUITY     40414L109        44      1,446 SH       DEFINED        4        --        --   1,446
HCP INC                             EQUITY     40414L109       343     11,244 SH       DEFINED        5        --        --  11,244
HDFC BANK LTD                       EQUITY     40415F101         2         16 SH       DEFINED        5        --        --      16
HDFC BANK LTD-ADR                   EQUITY     40415F101    30,698    235,990 SH       SOLE           1   235,990        --      --
HEADWATERS INC                      EQUITY     42210P102       211     32,335 SH       SOLE           1    32,335        --      --
HEADWATERS INC                      EQUITY     42210P102       376     57,673 SH       SOLE           2    57,673        --      --
HEALTH CARE REIT INC                EQUITY     42217K106     2,241     50,537 SH       SOLE           2    50,537        --      --
HEALTH CARE REIT INC                EQUITY     42217K106         2         46 SH       DEFINED        4        --        --      46
HEALTH CARE REIT INC                EQUITY     42217K106        11        240 SH       DEFINED        5        --        --     240
HEALTH CARE REIT, INC.              EQUITY     42217K106       102      2,293 SH       SOLE           1     2,293        --      --
HEALTH GRADES INC                   EQUITY     42218Q102        83     19,417 SH       SOLE           2    19,417        --      --
HEALTH MANAGEMENT ASSOC.            EQUITY     421933102       943    129,700 SH       SOLE           1   129,700        --      --
HEALTH MANAGEMENT ASSOC.            EQUITY     421933102       233     32,000 SH       SOLE           3    32,000        --      --
HEALTH MGMT ASSOC                   EQUITY     421933102     4,071    559,981 SH       SOLE           2   559,981        --      --
HEALTH NET INC                      EQUITY     42222G108     5,478    235,210 SH       SOLE           2   235,210        --      --
HEALTHCARE REALTY TRUST, INC.       EQUITY     421946104       680     31,684 SH       SOLE           1    31,684        --      --
HEALTHCARE RLTY TR                  EQUITY     421946104     1,219     56,791 SH       SOLE           2    56,791        --      --
HEALTHCARE RLTY TR                  EQUITY     421946104         4        170 SH       DEFINED        4        --        --     170
HEALTHCARE SVCS GROUP INC           EQUITY     421906108       890     41,468 SH       SOLE           2    41,468        --      --
HEALTHCARE SVCS GRP IN              EQUITY     421906108       497     23,145 SH       SOLE           1    23,145        --      --
HEALTHSOUTH CORP                    EQUITY     421924309     1,431     76,216 SH       SOLE           2    76,216        --      --
HEALTHSPRING INC                    EQUITY     42224N101       463     26,270 SH       SOLE           1    26,270        --      --
HEALTHSPRING INC                    EQUITY     42224N101       825     46,860 SH       SOLE           2    46,860        --      --
HEALTHWAYS INC                      EQUITY     422245100       328     17,886 SH       SOLE           1    17,886        --      --
HEALTHWAYS INC                      EQUITY     422245100       592     32,269 SH       SOLE           2    32,269        --      --
HEARTLAND EXPRESS INC               EQUITY     422347104       742     48,577 SH       SOLE           2    48,577        --      --
HEARTLAND EXPRESS, INC.             EQUITY     422347104       428     28,025 SH       SOLE           1    28,025        --      --
HEARTLAND FINL USA INC              EQUITY     42234Q102       155     10,781 SH       SOLE           2    10,781        --      --
HEARTLAND PAYMENT SYSTEMS IN        EQUITY     42235N108       264     20,112 SH       SOLE           1    20,112        --      --
HEARTLAND PMT SYS INC               EQUITY     42235N108       471     35,862 SH       SOLE           2    35,862        --      --
HEARTWARE INTERNATIONAL IN          EQUITY     422368100       178      5,023 SH       SOLE           2     5,023        --      --
HECKMANN CORP                       EQUITY     422680108       362     72,487 SH       SOLE           2    72,487        --      --
HECLA MNG CO                        EQUITY     422704106     1,194    193,259 SH       SOLE           2   193,259        --      --
HECLA MNG CO                        EQUITY     422704205         2         40 SH       DEFINED        4        --        --      40
HECLA MNG CO                        EQUITY     422704106        37      6,050 SH       DEFINED        5        --        --   6,050
HEICO CORP NEW                      EQUITY     422806109       836     18,868 SH       SOLE           2    18,868        --      --
HEIDRICK & STRUGGLES INT'L          EQUITY     422819102       282      9,033 SH       SOLE           1     9,033        --      --
HEIDRICK + STRUGGLES INTL           EQUITY     422819102       508     16,252 SH       SOLE           2    16,252        --      --
HEINZ H J CO                        EQUITY     423074103    19,733    461,464 SH       SOLE           2   461,464        --      --
HEINZ H J CO                        EQUITY     423074103        73      1,703 SH       DEFINED        4        --        --   1,703
HEINZ H J CO                        EQUITY     423074103       355      8,293 SH       DEFINED        5        --        --   8,293
HELEN OF TROY LTD                   EQUITY     G4388N106       700     28,605 SH       SOLE           2    28,605        --      --
HELIOS HIGH YIELD FD                EQUITY     42328Q109       365     46,573 SH       DEFINED        5        --        --  46,573
HELIOS TOTAL RETURN FD INC          EQUITY     42327V109         5      1,040 SH       DEFINED        5        --        --   1,040
HELIX ENERGY SOLUTIONS GRO          EQUITY     42330P107     2,443    207,924 SH       SOLE           2   207,924        --      --
HELMERICH & PAYNE INC               EQUITY     423452101         9        235 SH       DEFINED        4        --        --     235
HELMERICH AND PAYNE INC             EQUITY     423452101     9,514    238,577 SH       SOLE           2   238,577        --      --
HEMISPHERX BIOPHARMA INC            EQUITY     42366C103        56    100,892 SH       SOLE           2   100,892        --      --
HEMISPHERX BIOPHARMA INC            EQUITY     42366C103         3      4,500 SH       DEFINED        4        --        --   4,500
HENRY JACK & ASSOC INC              EQUITY     426281101        35      1,500 SH       DEFINED        5        --        --   1,500
HENRY JACK + ASSOC INC              EQUITY     426281101     5,959    257,747 SH       SOLE           2   257,747        --      --
HERBALIFE LTD                       EQUITY     G4412G101        48      1,192 SH       SOLE           2     1,192        --      --
HERCULES OFFSHORE INC               EQUITY     427093109       448     93,649 SH       SOLE           2    93,649        --      --
HERCULES TECH GROWTH CAP INC        EQUITY     427096508       472     45,465 SH       DEFINED        4        --        --  45,465
HERCULES TECH GROWTH CAP INC        EQUITY     427096508       288     27,683 SH       DEFINED        5        --        --  27,683
HERCULES TECHNOLOGY GROWTH          EQUITY     427096508       300     28,857 SH       SOLE           2    28,857        --      --
HERITAGE CRYSTAL CLEAN INC          EQUITY     42726M106        22      2,087 SH       SOLE           2     2,087        --      --
HERITAGE FINL CORP WASH             EQUITY     42722X106       103      7,499 SH       SOLE           2     7,499        --      --
HERITAGE FINL GROUP                 EQUITY     42725U109        12      1,632 SH       SOLE           2     1,632        --      --
HERLEY INDUSTRIES INC               EQUITY     427398102       154     11,076 SH       SOLE           2    11,076        --      --
HERSHA HOSPITALITY TR               EQUITY     427825104       128     40,732 SH       SOLE           2    40,732        --      --
HERSHEY CO                          EQUITY     427866108         3         80 SH       DEFINED        4        --        --      80
HERSHEY CO                          EQUITY     427866108        19        537 SH       DEFINED        5        --        --     537
HERSHEY CO / THE                    EQUITY     427866108     4,583    128,032 SH       SOLE           2   128,032        --      --
HERTZ GLOBAL HLDGS INC              EQUITY     42805T105        63      5,324 SH       SOLE           2     5,324        --      --
HESS CORP                           EQUITY     42809H107     1,637     27,058 SH       SOLE           1    27,058        --      --
HESS CORP                           EQUITY     42809H107    11,356    187,696 SH       SOLE           2   187,696        --      --
HESS CORP                           EQUITY     42809H107         6        100 SH       DEFINED        4        --        --     100
HEWITT ASSOCS INC                   EQUITY     42822Q100     7,930    187,640 SH       SOLE           2   187,640        --      --
HEWITT ASSOCS INC                   EQUITY     42822Q100         3         76 SH       DEFINED        4        --        --      76
HEWLETT PACKARD CO                  EQUITY     428236103    95,856  1,860,150 SH       SOLE           2 1,860,150        --      --
HEWLETT PACKARD CO                  EQUITY     428236103       132      2,557 SH       DEFINED        4        --        --   2,557
HEWLETT PACKARD CO                  EQUITY     428236103       302      5,864 SH       DEFINED        5        --        --   5,864
HEWLETT PACKARD CO.                 EQUITY     428236103    64,486  1,251,250 SH       SOLE           1 1,251,250        --      --
HEWLETT PACKARD CO.                 EQUITY     428236103     1,617     31,400 SH       SOLE           3    31,400        --      --
HEXCEL CORP NEW                     EQUITY     428291108     1,024     78,859 SH       SOLE           2    78,859        --      --
HEXCEL CORP NEW                     EQUITY     428291108         1        100 SH       DEFINED        4        --        --     100
HEXCEL CORP NEW                     EQUITY     428291108         1        109 SH       DEFINED        5        --        --     109
HHGREGG INC                         EQUITY     42833L108       591     26,830 SH       SOLE           1    26,830        --      --
HHGREGG INC                         EQUITY     42833L108       229     10,398 SH       SOLE           2    10,398        --      --
HHGREGG INC                         EQUITY     42833L108       698     31,700 SH       SOLE           3    31,700        --      --
HI TECH PHARMACAL CO INC            EQUITY     42840B101       197      7,017 SH       SOLE           2     7,017        --      --
HIBBETT SPORTS INC                  EQUITY     428567101       602     27,361 SH       SOLE           2    27,361        --      --
HIBBETT SPORTS INC.                 EQUITY     428567101       334     15,168 SH       SOLE           1    15,168        --      --





                                                                                            
HIBBETT SPORTS INC.                 EQUITY     428567101       614     27,900 SH       SOLE           3    27,900        --      --
HICKORY TECH CORP                   EQUITY     429060106        94     10,653 SH       SOLE           2    10,653        --      --
HIGHLAND CR STRATEGIES FD           EQUITY     43005Q107         4        569 SH       DEFINED        5        --        --     569
HIGHWOODS PPTYS INC                 EQUITY     431284108     7,229    216,762 SH       SOLE           2   216,762        --      --
HIGHWOODS PPTYS INC                 EQUITY     431284108         5        150 SH       DEFINED        5        --        --     150
HILL INTL INC                       EQUITY     431466101       127     20,304 SH       SOLE           2    20,304        --      --
HILL ROM HLDGS                      EQUITY     431475102     3,398    141,658 SH       SOLE           2   141,658        --      --
HILLENBRAND INC                     EQUITY     431571108       622     33,009 SH       SOLE           1    33,009        --      --
HILLENBRAND INC                     EQUITY     431571108     5,182    275,065 SH       SOLE           2   275,065        --      --
HILLTOP HLDGS INC                   EQUITY     432748101       377     32,377 SH       SOLE           2    32,377        --      --
HITACHI LIMITED                     EQUITY     433578507         3        100 SH       DEFINED        4        --        --     100
HITTE MICROWAVE CORP                EQUITY     43365Y104       835     20,497 SH       SOLE           2    20,497        --      --
HITTITE MICROWAVE CORP              EQUITY     43365Y104       461     11,318 SH       SOLE           1    11,318        --      --
HMS HLDGS CORP                      EQUITY     40425J101     1,205     24,744 SH       SOLE           2    24,744        --      --
HMS HOLDINGS CORP                   EQUITY     40425J101     1,403     28,825 SH       SOLE           1    28,825        --      --
HMS HOLDINGS CORP                   EQUITY     40425J101       184      3,788 SH       SOLE           3     3,788        --      --
HNI CORP                            EQUITY     404251100     3,793    137,261 SH       SOLE           2   137,261        --      --
HOLLY CORP                          EQUITY     435758305       169      6,598 SH       SOLE           2     6,598        --      --
HOLLY CORP.                         EQUITY     435758305       563     21,949 SH       SOLE           1    21,949        --      --
HOLLY ENERGY PARTNERS L P           EQUITY     435763107         3         80 SH       DEFINED        4        --        --      80
HOLLYWOOD PARK, INC.                EQUITY     723456109       288     32,075 SH       SOLE           1    32,075        --      --
HOLOGIC INC                         EQUITY     436440101       165     11,386 SH       SOLE           1    11,386        --      --
HOLOGIC INC                         EQUITY     436440101    13,945    961,747 SH       SOLE           2   961,747        --      --
HOLOGIC INC                         EQUITY     436440101         2        107 SH       DEFINED        4        --        --     107
HOME BANCORP INC                    EQUITY   4.3689E+111        89      7,292 SH       SOLE           2     7,292        --      --
HOME BANCSHARES INC                 EQUITY     436893200       410     17,047 SH       SOLE           2    17,047        --      --
HOME BANCSHARES INC/CONWAY AR       EQUITY     436893200       251     10,418 SH       SOLE           1    10,418        --      --
HOME DEPOT INC                      EQUITY     437076102    23,224    802,767 SH       SOLE           2   802,767        --      --
HOME DEPOT INC                      EQUITY     437076102       175      6,056 SH       DEFINED        4        --        --   6,056
HOME DEPOT INC                      EQUITY     437076102       609     21,045 SH       DEFINED        5        --        --  21,045
HOME DEPOT, INC.                    EQUITY     437076102     3,232    111,731 SH       SOLE           1   111,731        --      --
HOME DIAGNOSTICS INC DEL            EQUITY     437080104        58      9,440 SH       SOLE           2     9,440        --      --
HOME FED BANCORP INC MD             EQUITY     43710G105       182     13,640 SH       SOLE           2    13,640        --      --
HOME PROPERTIES INC                 EQUITY     437306103     1,507     31,595 SH       SOLE           2    31,595        --      --
HOME PROPERTIES INC                 EQUITY     437306103         5        100 SH       DEFINED        5        --        --     100
HOME PROPERTIES INC.                EQUITY     437306103       853     17,874 SH       SOLE           1    17,874        --      --
HONDA MOTOR LTD                     EQUITY     438128308        20        600 SH       DEFINED        4        --        --     600
HONDA MOTOR LTD                     EQUITY     438128308        20        600 SH       DEFINED        5        --        --     600
HONEYWELL INTERNATIONAL INC.        EQUITY     438516106     1,261     32,179 SH       SOLE           1    32,179        --      --
HONEYWELL INTL INC                  EQUITY     438516106     9,837    250,752 SH       SOLE           2   250,752        --      --
HONEYWELL INTL INC                  EQUITY     438516106       140      3,579 SH       DEFINED        4        --        --   3,579
HONEYWELL INTL INC                  EQUITY     438516106       366      9,333 SH       DEFINED        5        --        --   9,333
HOOKER FURNITURE CORP               EQUITY     439038100       109      8,799 SH       SOLE           2     8,799        --      --
HORACE MANN EDUCATORS CORP          EQUITY     440327104     1,495    119,595 SH       SOLE           2   119,595        --      --
HORIZON LINES INC                   EQUITY     44044K101       137     24,649 SH       SOLE           2    24,649        --      --
HORMEL FOODS CORP                   EQUITY     440452100       961     24,989 SH       SOLE           2    24,989        --      --
HORMEL FOODS CORP                   EQUITY     440452100       155      4,040 SH       DEFINED        4        --        --   4,040
HORMEL FOODS CORP.                  EQUITY     440452100     3,679     95,675 SH       SOLE           1    95,675        --      --
HORNBECK OFFSHORE SERVICES          EQUITY     440543106       283     12,161 SH       SOLE           1    12,161        --      --
HORNBECK OFFSHORE SVCS INC          EQUITY     440543106       511     21,951 SH       SOLE           2    21,951        --      --
HORSEHEAD HLDG CORP                 EQUITY     440694305       451     35,388 SH       SOLE           2    35,388        --      --
HOSPIRA INC                         EQUITY     441060100     3,295     64,617 SH       SOLE           1    64,617        --      --
HOSPIRA INC                         EQUITY     441060100     3,924     76,944 SH       SOLE           2    76,944        --      --
HOSPIRA INC                         EQUITY     441060100        27        539 SH       DEFINED        5        --        --     539
HOSPITALITY PPTYS TR                EQUITY     44106M102     6,620    279,200 SH       SOLE           2   279,200        --      --
HOSPITALITY PPTYS TR                EQUITY     44106M102        12        500 SH       DEFINED        4        --        --     500
HOSPITALITY PPTYS TR                EQUITY     44106M102       421     17,766 SH       DEFINED        5        --        --  17,766
HOST HOTELS & RESORTS INC           EQUITY     44107P104       231     19,791 SH       SOLE           1    19,791        --      --
HOST HOTELS + RESORTS INC           EQUITY     44107P104     3,383    289,886 SH       SOLE           2   289,886        --      --
HOT TOPIC INC                       EQUITY     441339108       151     23,775 SH       SOLE           1    23,775        --      --
HOT TOPIC INC                       EQUITY     441339108     5,335    838,808 SH       SOLE           2   838,808        --      --
HOUSTON WIRE CABLE CO               EQUITY     44244K109       172     14,415 SH       SOLE           2    14,415        --      --
HOVNANIAN ENTERPRISES INC           EQUITY     442487203       163     42,358 SH       SOLE           2    42,358        --      --
HOVNANIAN ENTERPRISES INC           EQUITY     442487203        22      5,806 SH       DEFINED        4        --        --   5,806
HOVNANIAN ENTERPRISES INC           EQUITY     442487203       273     71,000 SH       DEFINED        5        --        --  71,000
HQ SUSTAINABLE MARTITIME            EQUITY     40426A208        61      8,704 SH       SOLE           2     8,704        --      --
HRPT PPTYS TR                       EQUITY     40426W101        40      6,173 SH       SOLE           2     6,173        --      --
HRPT PPTYS TR                       EQUITY     40426W101       358     55,359 SH       DEFINED        4        --        --  55,359
HRPT PPTYS TR                       EQUITY     40426W101         6      1,000 SH       DEFINED        5        --        --   1,000
HRPT PROPERTIES TRUST               EQUITY     40426W101       615     95,056 SH       SOLE           1    95,056        --      --
HSBC HLDGS PLC                      EQUITY     404280406       111      1,941 SH       DEFINED        4        --        --   1,941
HSBC HLDGS PLC                      EQUITY     404280406        15        260 SH       DEFINED        5        --        --     260
HSBC HLDGS PLC                      EQUITY     404280604        30      1,425 SH       DEFINED        5        --        --   1,425
HSBC HOLDINGS PLC                   FIXED
                                      INCOME   404280604     3,367    157,400 PRN      SOLE           1   157,400        --      --
HSBC USA INC                        EQUITY     4042EP602       277     30,005 SH       DEFINED        5        --        --  30,005
HSN INC                             EQUITY     404303109       422     20,903 SH       SOLE           1    20,903        --      --
HSN INC DEL                         EQUITY     404303109       767     37,995 SH       SOLE           2    37,995        --      --
HUANENG PWR INTL INC                EQUITY     443304100         4        200 SH       DEFINED        4        --        --     200
HUANENG PWR INTL INC                EQUITY     443304100         9        380 SH       DEFINED        5        --        --     380
HUB GROUP INC                       EQUITY     443320106     3,640    135,664 SH       SOLE           2   135,664        --      --
HUB GROUP INC-CL A                  EQUITY     443320106       541     20,209 SH       SOLE           1    20,209        --      --
HUBBELL INC                         EQUITY     443510201    11,282    238,512 SH       SOLE           2   238,512        --      --
HUBBELL INC                         EQUITY     443510201         4         82 SH       DEFINED        4        --        --      82
HUBBELL INC. CLASS B                EQUITY     443510201       170      3,600 SH       SOLE           1     3,600        --      --
HUDSON CITY BANCORP                 EQUITY     443683107     3,366    245,140 SH       SOLE           1   245,140        --      --
HUDSON CITY BANCORP                 EQUITY     443683107        20      1,438 SH       DEFINED        4        --        --   1,438
HUDSON CITY BANCORP                 EQUITY     443683107        79      5,749 SH       DEFINED        5        --        --   5,749
HUDSON CITY BANCORP INC             EQUITY     443683107     3,539    257,721 SH       SOLE           2   257,721        --      --
HUGHES COMMUNICATIONS INC           EQUITY     444398101       189      7,270 SH       SOLE           2     7,270        --      --
HUGOTON RTY TR TEX                  EQUITY     444717102        21      1,330 SH       DEFINED        4        --        --   1,330
HUMAN GENOME SCIENCES INC           EQUITY     444903108     4,570    149,350 SH       SOLE           2   149,350        --      --
HUMAN GENOME SCIENCES INC           EQUITY     444903108       253      8,264 SH       DEFINED        5        --        --   8,264
HUMANA INC                          EQUITY     444859102     3,387     77,160 SH       SOLE           2    77,160        --      --
HUMANA, INC.                        EQUITY     444859102     1,363     31,048 SH       SOLE           1    31,048        --      --
HUNT J B TRANS SVCS INC             EQUITY     445658107     6,624    205,269 SH       SOLE           2   205,269        --      --
HUNT J B TRANS SVCS INC             EQUITY     445658107         3         83 SH       DEFINED        5        --        --      83
HUNTINGTON BANCSHARES INC           EQUITY     446150104     1,215    332,997 SH       SOLE           2   332,997        --      --
HUNTINGTON BANCSHARES INC           EQUITY     446150104         2        469 SH       DEFINED        4        --        --     469
HUNTINGTON BANCSHARES INC           EQUITY     446150104        29      7,900 SH       DEFINED        5        --        --   7,900
HUNTINGTON BANCSHARES INC           EQUITY     446150401        43         50 SH       DEFINED        5        --        --      50
HUNTINGTON BANCSHARES, INC.         EQUITY     446150104        53     14,448 SH       SOLE           1    14,448        --      --
HUNTSMAN CORP                       EQUITY     447011107     5,863    519,353 SH       SOLE           2   519,353        --      --
HURCO CO INC                        EQUITY     447324104        78      5,245 SH       SOLE           2     5,245        --      --
HURON CONSULTING GRP INC            EQUITY     447462102     3,898    169,181 SH       SOLE           2   169,181        --      --
HUTCHINSON TECHNOLOGY INC           EQUITY     448407106        34      3,282 SH       SOLE           2     3,282        --      --





                                                                                            
HUTCHINSON TECHNOLOGY, INC.         EQUITY     448407106       129     12,537 SH       SOLE           1    12,537        --      --
HYATT HOTELS CORP CL A              EQUITY     448579102        28        940 SH       SOLE           2       940        --      --
I2 TECHNOLOGIES INC                 EQUITY     465754208       252     13,164 SH       SOLE           2    13,164        --      --
I2 TECHNOLOGIES INC                 EQUITY     465754208         9        488 SH       DEFINED        5        --        --     488
IAC INTERACTIVECORP                 EQUITY     44919P508        49      2,382 SH       SOLE           2     2,382        --      --
IAMGOLD CORPORATION                 EQUITY     450913108       270     17,138 SH       OTHER          1        --    17,138      --
IBERIABANK CORP                     EQUITY     450828108       904     16,801 SH       SOLE           2    16,801        --      --
IBERIABANK CORP                     EQUITY     450828108         1         26 SH       DEFINED        4        --        --      26
ICF INTERNATIONAL INC               EQUITY     44925C103       667     24,874 SH       SOLE           1    24,874        --      --
ICF INTERNATIONAL INC               EQUITY     44925C103       778     29,048 SH       SOLE           3    29,048        --      --
ICF INTL INC                        EQUITY     44925C103       193      7,193 SH       SOLE           2     7,193        --      --
ICICI BK LTD                        EQUITY     45104G104         4        100 SH       DEFINED        4        --        --     100
ICICI BK LTD                        EQUITY     45104G104        11        280 SH       DEFINED        5        --        --     280
ICO INC NEW                         EQUITY     449293109       165     22,511 SH       SOLE           2    22,511        --      --
ICONIX BRAND GROUP INC              EQUITY     451055107       479     37,791 SH       SOLE           1    37,791        --      --
ICONIX BRAND GROUP INC              EQUITY     451055107       864     68,275 SH       SOLE           2    68,275        --      --
ICT GROUP INC                       EQUITY     44929Y101       122      7,482 SH       SOLE           2     7,482        --      --
ICU MEDICAL INC                     EQUITY     44930G107       443     12,170 SH       SOLE           2    12,170        --      --
ICU MEDICAL, INC.                   EQUITY     44930G107       247      6,785 SH       SOLE           1     6,785        --      --
ICX TECHNOLOGIES INC                EQUITY     44934T105        89      9,344 SH       SOLE           2     9,344        --      --
IDACORP INC                         EQUITY     451107106     4,623    144,710 SH       SOLE           2   144,710        --      --
IDENIX PHARMACEUTICALS INC          EQUITY     45166R204        55     25,464 SH       SOLE           2    25,464        --      --
IDERA PHARMACEUTICALS INC           EQUITY     45168K306        91     17,661 SH       SOLE           2    17,661        --      --
IDEX CORP                           EQUITY     45167R104     5,684    182,475 SH       SOLE           2   182,475        --      --
IDEXX LABORATORIES, INC.            EQUITY     45168D104        27        511 SH       SOLE           1       511        --      --
IDEXX LABS INC                      EQUITY     45168D104     7,063    132,159 SH       SOLE           2   132,159        --      --
IDEXX LABS INC                      EQUITY     45168D104         3         50 SH       DEFINED        4        --        --      50
IESI-BFC LTD                        EQUITY     44951D108     1,082     67,518 SH       OTHER          1        --    67,518      --
IGATE CORP                          EQUITY     45169U105       185     18,549 SH       SOLE           2    18,549        --      --
IGATE CORP                          EQUITY     45169U105         7        700 SH       DEFINED        5        --        --     700
IHS INC                             EQUITY     451734107        51        930 SH       SOLE           2       930        --      --
IHS INC                             EQUITY     451734107         3         57 SH       DEFINED        4        --        --      57
IHS INC-CLASS A                     EQUITY     451734107     1,891     34,500 SH       SOLE           3    34,500        --      --
II VI INC                           EQUITY     902104108       758     23,821 SH       SOLE           2    23,821        --      --
II-VI INC                           EQUITY     902104108       418     13,146 SH       SOLE           1    13,146        --      --
ILLINOIS TOOL WKS INC               EQUITY     452308109     7,732    161,061 SH       SOLE           2   161,061        --      --
ILLINOIS TOOL WKS INC               EQUITY     452308109         3         61 SH       DEFINED        4        --        --      61
ILLINOIS TOOL WKS INC               EQUITY     452308109        35        721 SH       DEFINED        5        --        --     721
ILLINOIS TOOL WORKS, INC.           EQUITY     452308109     5,163    107,594 SH       SOLE           1   107,594        --      --
ILLUMINA INC                        EQUITY     452327109       298      9,733 SH       SOLE           2     9,733        --      --
ILLUMINA INC                        EQUITY     452327109        12        400 SH       DEFINED        4        --        --     400
IMATION CORP                        EQUITY     45245A107       212     24,260 SH       SOLE           2    24,260        --      --
IMERGENT INC                        EQUITY     45247Q100        39      6,397 SH       SOLE           2     6,397        --      --
IMMERSION CORP                      EQUITY     452521107       104     22,837 SH       SOLE           2    22,837        --      --
IMMUCOR CORP                        EQUITY     452526106     4,338    214,336 SH       SOLE           2   214,336        --      --
IMMUNOGEN INC                       EQUITY     45253H101       366     46,608 SH       SOLE           2    46,608        --      --
IMMUNOMEDICS INC                    EQUITY     452907108       171     53,335 SH       SOLE           2    53,335        --      --
IMPAX LABORATORIES INC              EQUITY     45256B101       674     49,548 SH       SOLE           2    49,548        --      --
IMPAX LABORATORIES INC              EQUITY     45256B101     1,141     83,800 SH       SOLE           3    83,800        --      --
IMPERIAL OIL LTD                    EQUITY     453038408     4,676    120,534 SH       OTHER          1        --   120,534      --
IMPERIAL SUGAR CO NEW               EQUITY     453096208       174      9,974 SH       SOLE           2     9,974        --      --
IMS HEALTH INC                      EQUITY     449934108     1,362     64,668 SH       SOLE           2    64,668        --      --
IMS HEALTH INC                      EQUITY     449934108         2         84 SH       DEFINED        5        --        --      84
IMS HEALTH, INC.                    EQUITY     449934108        77      3,679 SH       SOLE           1     3,679        --      --
INCONTACT INC                       EQUITY   4.5336E+113        65     22,114 SH       SOLE           2    22,114        --      --
INCYTE CORP                         EQUITY     45337C102       686     75,300 SH       SOLE           1    75,300        --      --
INCYTE CORP                         EQUITY     45337C102     7,298    801,072 SH       SOLE           2   801,072        --      --
INCYTE CORP                         EQUITY     45337C102       169     18,600 SH       SOLE           3    18,600        --      --
INCYTE CORP                         EQUITY     45337C102         2        200 SH       DEFINED        5        --        --     200
INDEPENDENCE HLDG CO NEW            EQUITY     453440307        31      5,314 SH       SOLE           2     5,314        --      --
INDEPENDENT BANK CORP MASS          EQUITY     453836108         4        200 SH       DEFINED        5        --        --     200
INDEPENDENT BANK CORP MICH          EQUITY     453838104         7     10,000 SH       DEFINED        5        --        --  10,000
INDEPENDENT BANK CORP.
   -MASSACHUSETTS                   EQUITY     453836108       234     11,234 SH       SOLE           1    11,234        --      --
INDEPENDENT BK CORP MASS            EQUITY     453836108       418     20,024 SH       SOLE           2    20,024        --      --
INDEXIQ ETF TR                      EQUITY     45409B107        27      1,000 SH       DEFINED        4        --        --   1,000
INDIA FD INC                        EQUITY     454089103         3        100 SH       DEFINED        4        --        --     100
INERGY L P                          EQUITY     456615103        11        306 SH       DEFINED        4        --        --     306
INERGY L P                          EQUITY     456615103         5        150 SH       DEFINED        5        --        --     150
INFINERA CORP                       EQUITY     45667G103       608     68,576 SH       SOLE           2    68,576        --      --
INFINITY PHARMACEUTICALS I          EQUITY     45665G303        90     14,635 SH       SOLE           2    14,635        --      --
INFINITY PPTY + CAS CORP            EQUITY     45665Q103       533     13,112 SH       SOLE           2    13,112        --      --
INFINITY PROPERTY & CASUALTY        EQUITY     45665Q103       297      7,301 SH       SOLE           1     7,301        --      --
INFOGROUP INC                       EQUITY     45670G108       224     27,899 SH       SOLE           2    27,899        --      --
INFORMATICA CORP                    EQUITY     45666Q102     7,010    271,078 SH       SOLE           2   271,078        --      --
INFORMATICA CORP                    EQUITY     45666Q102        16        622 SH       DEFINED        4        --        --     622
INFORMATION SVCS GROUP INC          EQUITY     45675Y104        61     19,385 SH       SOLE           2    19,385        --      --
INFOSPACE INC                       EQUITY     45678T300       163     18,989 SH       SOLE           1    18,989        --      --
INFOSPACE INC                       EQUITY     45678T300       288     33,556 SH       SOLE           2    33,556        --      --
INFOSYS TECHNOLOGIES LTD            EQUITY     456788108         3         48 SH       DEFINED        5        --        --      48
INFOSYS TECHNOLOGIES SP AD          EQUITY     456788108       358      6,483 SH       SOLE           2     6,483        --      --
INFOSYS TECHNOLOGIES-SP ADR         EQUITY     456788108    31,428    568,590 SH       SOLE           1   568,590        --      --
ING CLARION GLB RE EST INCM         EQUITY     44982G104        14      2,253 SH       DEFINED        4        --        --   2,253
ING CLARION GLB RE EST INCM         EQUITY     44982G104       620     97,380 SH       DEFINED        5        --        --  97,380
ING GLBL ADV & PREM OPP FUND        EQUITY     44982N109        27      2,000 SH       DEFINED        4        --        --   2,000
ING GLOBAL EQTY DIV & PREM O        EQUITY   4.5684E+111        28      2,300 SH       DEFINED        4        --        --   2,300
ING GLOBAL EQTY DIV & PREM O        EQUITY   4.5684E+111       195     16,013 SH       DEFINED        5        --        --  16,013
ING GROEP N V                       EQUITY     456837103        47      4,800 SH       DEFINED        4        --        --   4,800
ING GROEP N V                       EQUITY     456837103        42      4,273 SH       DEFINED        5        --        --   4,273
ING PRIME RATE TR                   EQUITY     44977W106         5      1,000 SH       DEFINED        4        --        --   1,000
ING PRIME RATE TR                   EQUITY     44977W106         6      1,154 SH       DEFINED        5        --        --   1,154
ING RISK MANAGED NAT RES FD         EQUITY     449810100         7        400 SH       DEFINED        4        --        --     400
ING RISK MANAGED NAT RES FD         EQUITY     449810100         7        400 SH       DEFINED        5        --        --     400
INGERSOLL-RAND PLC                  EQUITY     G47791101         5        150 SH       DEFINED        4        --        --     150
INGERSOLL-RAND PLC                  EQUITY     G47791101       128      3,592 SH       DEFINED        5        --        --   3,592
INGLES MKTS INC                     EQUITY     457030104       157     10,392 SH       SOLE           2    10,392        --      --
INGRAM MICRO INC                    EQUITY     457153104     6,459    370,135 SH       SOLE           2   370,135        --      --
INLAND REAL ESTATE CORP             EQUITY     457461200       275     33,684 SH       SOLE           1    33,684        --      --
INLAND REAL ESTATE CORP             EQUITY     457461200       549     67,320 SH       SOLE           2    67,320        --      --
INLAND REAL ESTATE CORP             EQUITY     457461200        15      1,900 SH       DEFINED        4        --        --   1,900
INLAND REAL ESTATE CORP             EQUITY     457461200        57      7,002 SH       DEFINED        5        --        --   7,002
INNERWORKINGS INC                   EQUITY     45773Y105       119     20,088 SH       SOLE           2    20,088        --      --
INNODATA ISOGEN INC                 EQUITY     457642205        97     17,499 SH       SOLE           2    17,499        --      --
INNOPHOS HLDGS INC                  EQUITY     45774N108       324     14,072 SH       SOLE           2    14,072        --      --
INNOPHOS HOLDINGS INC               EQUITY     45774N108       339     14,758 SH       SOLE           1    14,758        --      --
INNOPHOS HOLDINGS INC               EQUITY     45774N108         5        200 SH       DEFINED        4        --        --     200





                                                                                            
INNOSPEC INC                        EQUITY     45768S105       195     19,305 SH       SOLE           2    19,305        --      --
INOVIO BIOMEDICAL CORP              EQUITY     45773H102         9      8,000 SH       DEFINED        4        --        --   8,000
INSIGHT ENTERPRISES INC             EQUITY     45765U103       501     43,898 SH       SOLE           2    43,898        --      --
INSIGHT ENTERPRISES, INC.           EQUITY     45765U103       281     24,630 SH       SOLE           1    24,630        --      --
INSITUFORM TECHNOLOGIES IN          EQUITY     457667103       845     37,185 SH       SOLE           2    37,185        --      --
INSITUFORM TECHNOLOGIES, INC.
  CLASS A                           EQUITY     457667103       474     20,870 SH       SOLE           1    20,870        --      --
INSMED INC                          EQUITY     457669208        79    102,083 SH       SOLE           2   102,083        --      --
INSPIRE PHAMACEUTICAL INC           EQUITY     457733103       277     50,133 SH       SOLE           2    50,133        --      --
INSTEEL INDS INC                    EQUITY     45774W108       186     14,316 SH       SOLE           2    14,316        --      --
INSULET CORP COM                    EQUITY     45784P101       411     28,755 SH       SOLE           2    28,755        --      --
INSWEB CORP                         EQUITY     45809K202        30      9,194 SH       SOLE           1     9,194        --      --
INTEGRA LIFESCIENCES CORP           EQUITY     457985208       672     18,261 SH       SOLE           2    18,261        --      --
INTEGRA LIFESCIENCES HOLDINGS       EQUITY     457985208       400     10,852 SH       SOLE           1    10,852        --      --
INTEGRAL SYS INC MD                 EQUITY     45810H107       143     16,567 SH       SOLE           2    16,567        --      --
INTEGRAL SYSTEMS INC/MD             EQUITY     45810H107        80      9,240 SH       SOLE           1     9,240        --      --
INTEGRATED DEVICE TECHNOLO          EQUITY     458118106     2,430    375,560 SH       SOLE           2   375,560        --      --
INTEGRATED ELECTRICAL SVCS          EQUITY   4.5811E+305        28      4,859 SH       SOLE           2     4,859        --      --
INTEGRYS ENERGY GROUP INC           EQUITY     45822P105        65      1,537 SH       SOLE           1     1,537        --      --
INTEGRYS ENERGY GROUP INC           EQUITY     45822P105     1,150     27,384 SH       SOLE           2    27,384        --      --
INTEGRYS ENERGY GROUP INC           EQUITY     45822P105         2         44 SH       DEFINED        4        --        --      44
INTEGRYS ENERGY GROUP INC           EQUITY     45822P105       147      3,490 SH       DEFINED        5        --        --   3,490
INTEL CORP                          EQUITY     458140100    62,040  3,040,779 SH       SOLE           2 3,040,779        --      --
INTEL CORP                          EQUITY     458140100       286     14,044 SH       DEFINED        4        --        --  14,044
INTEL CORP                          EQUITY     458140100     2,583    126,603 SH       DEFINED        5        --        -- 126,603
INTEL CORP.                         EQUITY     458140100    27,334  1,339,884 SH       SOLE           1 1,339,884        --      --
INTELLICHECK MOBILISA INC           EQUITY     45817G102         6      1,500 SH       DEFINED        5        --        --   1,500
INTER PARFUMS INC                   EQUITY     458334109       141     11,614 SH       SOLE           2    11,614        --      --
INTERACTIVE BROKERS GROUP           EQUITY     45841N107        20      1,133 SH       SOLE           2     1,133        --      --
INTERACTIVE DATA CORP               EQUITY     45840J107        21        849 SH       SOLE           2       849        --      --
INTERACTIVE INTELLIGENCE I          EQUITY     45839M103       190     10,304 SH       SOLE           2    10,304        --      --
INTERCLICK INC                      EQUITY     458483203     1,092    208,700 SH       SOLE           3   208,700        --      --
INTERCLICK INC                      EQUITY     458483203        21      4,000 SH       DEFINED        4        --        --   4,000
INTERCONTINENTAL HTLS GRP PL        EQUITY     45857P301         1         82 SH       DEFINED        5        --        --      82
INTERCONTINENTALEXCHANGE I          EQUITY     45865V100     3,685     32,801 SH       SOLE           2    32,801        --      --
INTERCONTINENTALEXCHANGE INC        EQUITY     45865V100         1         10 SH       DEFINED        4        --        --      10
INTERCONTINENTALEXCHANGE INC        EQUITY     45865V100       166      1,476 SH       SOLE           1     1,476        --      --
INTERCONTINENTALEXCHANGE INC        EQUITY     45865V100        45        400 SH       DEFINED        5        --        --     400
INTERDIGITAL INC                    EQUITY     45867G101         4        150 SH       DEFINED        4        --        --     150
INTERDIGITAL INC                    EQUITY     45867G101         4        150 SH       DEFINED        5        --        --     150
INTERDIGITAL INC PA                 EQUITY     45867G101       948     35,704 SH       SOLE           2    35,704        --      --
INTERFACE INC                       EQUITY     458665106       395     47,557 SH       SOLE           2    47,557        --      --
INTERFACE, INC. CLASS A             EQUITY     458665106       251     30,218 SH       SOLE           1    30,218        --      --
INTERLINE BRANDS INC                EQUITY     458743101       458     26,508 SH       SOLE           2    26,508        --      --
INTERMEC INC                        EQUITY     458786100       343     26,709 SH       SOLE           1    26,709        --      --
INTERMEC INC                        EQUITY     458786100       742     57,665 SH       SOLE           2    57,665        --      --
INTERMUNE INC                       EQUITY     45884X103       407     31,196 SH       SOLE           2    31,196        --      --
INTERNAP NETWORK SVCS CORP          EQUITY     45885A300       195     41,471 SH       SOLE           2    41,471        --      --
INTERNATIONAL ASSETS HLDG           EQUITY     459028106       153     10,550 SH       SOLE           2    10,550        --      --
INTERNATIONAL BANCSHARES C          EQUITY     459044103     3,000    158,489 SH       SOLE           2   158,489        --      --
INTERNATIONAL BUSINESS MAC          EQUITY     459200101    75,152    573,832 SH       SOLE           2   573,832        --      --
INTERNATIONAL BUSINESS MACHINES
  CORP                              EQUITY     459200101    38,736    295,922 SH       SOLE           1   295,922        --      --
INTERNATIONAL BUSINESS MACHS        EQUITY     459200101     1,431     10,931 SH       DEFINED        4        --        --  10,931
INTERNATIONAL BUSINESS MACHS        EQUITY     459200101     1,114      8,508 SH       DEFINED        5        --        --   8,508
INTERNATIONAL COAL GROUP I          EQUITY     45928H106       286     74,165 SH       SOLE           2    74,165        --      --
INTERNATIONAL GAME TECHNOL          EQUITY     459902102     1,955    104,164 SH       SOLE           2   104,164        --      --
INTERNATIONAL GAME TECHNOLOG        EQUITY     459902102        16        850 SH       DEFINED        5        --        --     850
INTERNATIONAL GAME TECHNOLOGY       EQUITY     459902102       113      6,001 SH       SOLE           1     6,001        --      --
INTERNATIONAL PAPER CO              EQUITY     460146103     6,160    229,954 SH       SOLE           2   229,954        --      --
INTERNATIONAL PAPER CO.             EQUITY     460146103    11,028    411,789 SH       SOLE           1   411,789        --      --
INTERNATIONAL RECTIFIER CO          EQUITY     460254105     3,563    161,060 SH       SOLE           2   161,060        --      --
INTERNATIONAL RECTIFIER CORP        EQUITY     460254105        18        820 SH       DEFINED        4        --        --     820
INTERNATIONAL RECTIFIER CORP        EQUITY     460254105        17        750 SH       DEFINED        5        --        --     750
INTERNATIONAL SHIPHOLDING           EQUITY     460321201       139      4,484 SH       SOLE           2     4,484        --      --
INTERNATIONAL SHIPHOLDING CO        EQUITY     460321201         3        101 SH       DEFINED        4        --        --     101
INTERNATIONAL SPEEDWAY COR          EQUITY     460335201     1,970     69,237 SH       SOLE           2    69,237        --      --
INTERNATIONAL SPEEDWAY CORP         EQUITY     460335201         3        100 SH       DEFINED        5        --        --     100
INTERNET ARCHITECTURE HOLDR         EQUITY     46060A107         5        100 SH       DEFINED        5        --        --     100
INTERNET BRANDS INC                 EQUITY     460608102       152     19,404 SH       SOLE           1    19,404        --      --
INTERNET BRANDS INC                 EQUITY     460608102       175     22,387 SH       SOLE           2    22,387        --      --
INTERNET CAP GROUP INC              EQUITY     46059C205       199     29,994 SH       SOLE           2    29,994        --      --
INTERNET CAP GROUP INC              EQUITY     46059C205         2        300 SH       DEFINED        5        --        --     300
INTEROIL CORP                       EQUITY     460951106        38        499 SH       OTHER          1        --       499      --
INTERPUBLIC GROUP CORP              EQUITY     460690100     1,173    159,004 SH       SOLE           1   159,004        --      --
INTERPUBLIC GROUP COS INC           EQUITY     460690100     1,524    206,552 SH       SOLE           2   206,552        --      --
INTERSIL CORP                       EQUITY     46069S109     4,252    277,165 SH       SOLE           2   277,165        --      --
INTERVAL LEISURE GROUP INC          EQUITY     46113M108       261     20,939 SH       SOLE           1    20,939        --      --
INTERVAL LEISURE GROUP INC          EQUITY     46113M108       472     37,874 SH       SOLE           2    37,874        --      --
INTERVAL LEISURE GROUP INC          EQUITY     46113M108         2        179 SH       DEFINED        4        --        --     179
INTEVAC INC                         EQUITY     461148108       134     11,678 SH       SOLE           1    11,678        --      --
INTEVAC INC                         EQUITY     461148108       241     21,011 SH       SOLE           2    21,011        --      --
INTL PAPER CO                       EQUITY     460146103        57      2,123 SH       DEFINED        4        --        --   2,123
INTL PAPER CO                       EQUITY     460146103        16        585 SH       DEFINED        5        --        --     585
INT'L. FLAVORS & FRAGRANCES,        EQUITY     459506101        66      1,596 SH       SOLE           1     1,596        --      --
INTREPID POTASH INC                 EQUITY     46121Y102        24        818 SH       SOLE           2       818        --      --
INTREPID POTASH INC                 EQUITY     46121Y102     2,870     98,400 SH       SOLE           3    98,400        --      --
INTRNTNL FLAVRS + FRAGRNCS          EQUITY     459506101     2,028     49,291 SH       SOLE           2    49,291        --      --
INTUIT                              EQUITY     461202103     4,126    134,299 SH       SOLE           2   134,299        --      --
INTUIT                              EQUITY     461202103         6        203 SH       DEFINED        5        --        --     203
INTUIT, INC.                        EQUITY     461202103       197      6,404 SH       SOLE           1     6,404        --      --
INTUITIVE SURGICAL INC              EQUITY     46120E602       606      1,996 SH       SOLE           1     1,996        --      --
INTUITIVE SURGICAL INC              EQUITY     46120E602     5,713     18,828 SH       SOLE           2    18,828        --      --
INTUITIVE SURGICAL INC              EQUITY     46120E602     4,946     16,300 SH       SOLE           3    16,300        --      --
INTUITIVE SURGICAL INC              EQUITY     46120E602        25         83 SH       DEFINED        4        --        --      83
INTUITIVE SURGICAL INC              EQUITY     46120E602        62        203 SH       DEFINED        5        --        --     203
INVACARE CORP                       EQUITY     461203101       702     28,140 SH       SOLE           2    28,140        --      --
INVACARE CORP.                      EQUITY     461203101       432     17,339 SH       SOLE           1    17,339        --      --
INVENTIV HEALTH INC                 EQUITY   4.6122E+109       290     17,916 SH       SOLE           1    17,916        --      --
INVENTIV HEALTH INC                 EQUITY   4.6122E+109       518     32,043 SH       SOLE           2    32,043        --      --
INVERNESS MED INNOVATIONS           EQUITY     46126P304       514      3,578 SH       SOLE           2     3,578        --      --
INVERNESS MEDICAL INNOVATION        EQUITY     46126P106     2,345     56,500 SH       SOLE           3    56,500        --      --
INVESCO LTD                         EQUITY     G491BT108    13,041    555,181 SH       SOLE           2   555,181        --      --
INVESCO LTD                         EQUITY     G491BT108         5        225 SH       DEFINED        5        --        --     225
INVESCO MORTGAGE CAPITAL            EQUITY     46131B100       164      7,200 SH       SOLE           2     7,200        --      --
INVESTMENT TECHNOLOGY GROU          EQUITY     46145F105       145      7,351 SH       SOLE           2     7,351        --      --
INVESTMENT TECHNOLOGY GROUP         EQUITY     46145F105       458     23,252 SH       SOLE           1    23,252        --      --





                                                                                            
INVESTMENT TECHNOLOGY GRP NE        EQUITY     46145F105         1         72 SH       DEFINED        5        --        --      72
INVESTORS BANCORP INC               EQUITY     46146P102       420     38,402 SH       SOLE           2    38,402        --      --
INVESTORS REAL ESTATE TR            EQUITY     461730103       537     59,620 SH       SOLE           2    59,620        --      --
INVESTORS REAL ESTATE TRUST         EQUITY     461730103        11      1,270 SH       SOLE           1     1,270        --      --
ION GEOPHYSICAL CORP                EQUITY     462044108       373     63,029 SH       SOLE           1    63,029        --      --
ION GEOPHYSICAL CORP                EQUITY     462044108       612    103,355 SH       SOLE           2   103,355        --      --
IOWA TELECOMM SERVICES INC          EQUITY     462594201        60      3,592 SH       DEFINED        5        --        --   3,592
IOWA TELECOMMUNICATION SVC          EQUITY     462594201       525     31,326 SH       SOLE           2    31,326        --      --
IOWA TELECOMMUNICATIONS SERV        EQUITY     462594201       293     17,499 SH       SOLE           1    17,499        --      --
IPASS INC                           EQUITY     46261V108        43     41,127 SH       SOLE           2    41,127        --      --
IPASS INC                           EQUITY     46261V108         2      1,500 SH       DEFINED        5        --        --   1,500
IPC THE HOSPITALIST CO INC          EQUITY     44984A105       827     24,877 SH       SOLE           1    24,877        --      --
IPC THE HOSPITALIST CO INC          EQUITY     44984A105       500     15,050 SH       SOLE           2    15,050        --      --
IPC THE HOSPITALIST CO INC          EQUITY     44984A105       735     22,100 SH       SOLE           3    22,100        --      --
IPG PHOTONICS CORP                  EQUITY     44980X109       316     18,864 SH       SOLE           2    18,864        --      --
IRIS INTL INC                       EQUITY     46270W105       181     14,646 SH       SOLE           2    14,646        --      --
IROBOT CORP                         EQUITY     462726100       279     15,861 SH       SOLE           2    15,861        --      --
IRON MOUNTAIN INC.                  EQUITY     462846106        83      3,657 SH       SOLE           1     3,657        --      --
IRON MTN INC PA                     EQUITY     462846106     2,446    107,434 SH       SOLE           2   107,434        --      --
ISHARES COMEX GOLD TR               EQUITY     464285105     3,157     29,402 SH       DEFINED        4        --        --  29,402
ISHARES COMEX GOLD TR               EQUITY     464285105       190      1,767 SH       DEFINED        5        --        --   1,767
ISHARES DOW JONES US BROKER DEALERS
  INDEX FUND                        EQUITY     464288794       568     20,192 SH       SOLE           1    20,192        --      --
ISHARES INC                         EQUITY     464286673         5        400 SH       DEFINED        4        --        --     400
ISHARES INC                         EQUITY     464286871         5        300 SH       DEFINED        4        --        --     300
ISHARES INC                         EQUITY     464286756         6        236 SH       DEFINED        4        --        --     236
ISHARES INC                         EQUITY     464286665         8        200 SH       DEFINED        4        --        --     200
ISHARES INC                         EQUITY     464286608         9        228 SH       DEFINED        4        --        --     228
ISHARES INC                         EQUITY     464286848         9        910 SH       DEFINED        4        --        --     910
ISHARES INC                         EQUITY     464286202        11        580 SH       DEFINED        4        --        --     580
ISHARES INC                         EQUITY     464286731        18      1,395 SH       DEFINED        4        --        --   1,395
ISHARES INC                         EQUITY     464286509        29      1,115 SH       DEFINED        4        --        --   1,115
ISHARES INC                         EQUITY     464286657        83      1,800 SH       DEFINED        4        --        --   1,800
ISHARES INC                         EQUITY     464286624       175      4,107 SH       DEFINED        4        --        --   4,107
ISHARES INC                         EQUITY     464286715       300      5,562 SH       DEFINED        4        --        --   5,562
ISHARES INC                         EQUITY     464286780       413      7,382 SH       DEFINED        4        --        --   7,382
ISHARES INC                         EQUITY     464286103       552     24,149 SH       DEFINED        4        --        --  24,149
ISHARES INC                         EQUITY     464286772     1,104     23,180 SH       DEFINED        4        --        --  23,180
ISHARES INC                         EQUITY     464286400     1,361     18,241 SH       DEFINED        4        --        --  18,241
ISHARES INC                         EQUITY     464286632         3         50 SH       DEFINED        5        --        --      50
ISHARES INC                         EQUITY     464286202         4        200 SH       DEFINED        5        --        --     200
ISHARES INC                         EQUITY     464286509        17        627 SH       DEFINED        5        --        --     627
ISHARES INC                         EQUITY     464286673        33      2,850 SH       DEFINED        5        --        --   2,850
ISHARES INC                         EQUITY     464286103        40      1,769 SH       DEFINED        5        --        --   1,769
ISHARES INC                         EQUITY     464286871        42      2,654 SH       DEFINED        5        --        --   2,654
ISHARES INC                         EQUITY     464286806        60      2,684 SH       DEFINED        5        --        --   2,684
ISHARES INC                         EQUITY     464286848        78      7,976 SH       DEFINED        5        --        --   7,976
ISHARES INC                         EQUITY     464286657       184      4,020 SH       DEFINED        5        --        --   4,020
ISHARES INC                         EQUITY     464286772       214      4,485 SH       DEFINED        5        --        --   4,485
ISHARES INC                         EQUITY     464286665       332      8,021 SH       DEFINED        5        --        --   8,021
ISHARES INC                         EQUITY     464286400       749     10,041 SH       DEFINED        5        --        --  10,041
ISHARES MSCI CANADA INDEX FUND      EQUITY     464286509     1,550     58,878 SH       SOLE           1    58,878        --      --
ISHARES MSCI EAFE INDEX FUND        EQUITY     464287465     4,069     73,600 SH       SOLE           1    73,600        --      --
ISHARES MSCI EMERGING MARKETS INDEX
  FUND                              EQUITY     464287234   317,268  7,645,020 SH       SOLE           1 7,645,020        --      --
ISHARES RUSSELL 1000 GROWTH INDEX
  FUND                              EQUITY     464287614     1,316     26,400 SH       SOLE           1    26,400        --      --
ISHARES RUSSELL 1000 VALUE INDEX
  FUND                              EQUITY     464287598     2,512     43,770 SH       SOLE           1    43,770        --      --
ISHARES S&P GSCI COMMODITY I        EQUITY     46428R107        73      2,294 SH       DEFINED        5        --        --   2,294
ISHARES S&P SMALLCAP 600 INDEX FUND EQUITY     464287804     2,441     44,600 SH       SOLE           1    44,600        --      --
ISHARES S+P 500 GROWTH IND          EQUITY     464287309     1,916     32,700 SH       SOLE           2    32,700        --      --
ISHARES S+P 500 INDEX FUND          EQUITY     464287200       190      1,700 SH       SOLE           2     1,700        --      --
ISHARES S+P 500 VALUE INDE          EQUITY     464287408     2,401     45,300 SH       SOLE           2    45,300        --      --
ISHARES SILVER TRUST                EQUITY     46428Q109     1,657    100,184 SH       DEFINED        4        --        -- 100,184
ISHARES SILVER TRUST                EQUITY     46428Q109       232     14,040 SH       DEFINED        5        --        --  14,040
ISHARES SILVER TRUST CALL           OPTION     46428Q909         1         10     CALL DEFINED        5        --        --      10
ISHARES TR                          EQUITY     464289883         1         43 SH       DEFINED        4        --        --      43
ISHARES TR                          EQUITY     464287614    26,742    542,683 SH       SOLE           2   542,683        --      --
ISHARES TR                          EQUITY     464288638         3         25 SH       DEFINED        4        --        --      25
ISHARES TR                          EQUITY     464288604         3         44 SH       DEFINED        4        --        --      44
ISHARES TR                          EQUITY     464288307         3         46 SH       DEFINED        4        --        --      46
ISHARES TR                          EQUITY     464288406         4         65 SH       DEFINED        4        --        --      65
ISHARES TR                          EQUITY     464288778         4        210 SH       DEFINED        4        --        --     210
ISHARES TR                          EQUITY     464288620         7         65 SH       DEFINED        4        --        --      65
ISHARES TR                          EQUITY     464288711        11        220 SH       DEFINED        4        --        --     220
ISHARES TR                          EQUITY     464288653        11        100 SH       DEFINED        4        --        --     100
ISHARES TR                          EQUITY     464288760        11        215 SH       DEFINED        4        --        --     215
ISHARES TR                          EQUITY     464288828        15        300 SH       DEFINED        4        --        --     300
ISHARES TR                          EQUITY     464288877        16        317 SH       DEFINED        4        --        --     317
ISHARES TR                          EQUITY     464288869        22        570 SH       DEFINED        4        --        --     570
ISHARES TR                          EQUITY     464288851        27        500 SH       DEFINED        4        --        --     500
ISHARES TR                          EQUITY     464288794        56      1,976 SH       DEFINED        4        --        --   1,976
ISHARES TR                          EQUITY     464288570        62      1,448 SH       DEFINED        4        --        --   1,448
ISHARES TR                          EQUITY     464288182        75      1,345 SH       DEFINED        4        --        --   1,345
ISHARES TR                          EQUITY     464289875       109      3,874 SH       DEFINED        4        --        --   3,874
ISHARES TR                          EQUITY     464288679       149      1,355 SH       DEFINED        4        --        --   1,355
ISHARES TR                          EQUITY     464288885       150      2,716 SH       DEFINED        4        --        --   2,716
ISHARES TR                          EQUITY     464288372       155      4,554 SH       DEFINED        4        --        --   4,554
ISHARES TR                          EQUITY     464288836       161      2,786 SH       DEFINED        4        --        --   2,786
ISHARES TR                          EQUITY     464288745       164      3,732 SH       DEFINED        4        --        --   3,732
ISHARES TR                          EQUITY     464288117       165      1,604 SH       DEFINED        4        --        --   1,604
ISHARES TR                          EQUITY     464288661       174      1,581 SH       DEFINED        4        --        --   1,581
ISHARES TR                          EQUITY     464288695       178      2,867 SH       DEFINED        4        --        --   2,867
ISHARES TR                          EQUITY     464288281       220      2,160 SH       DEFINED        4        --        --   2,160
ISHARES TR                          EQUITY     464288737       472      8,341 SH       DEFINED        4        --        --   8,341
ISHARES TR                          EQUITY     464288646       488      4,690 SH       DEFINED        4        --        --   4,690
ISHARES TR                          EQUITY     464288166       710      6,600 SH       DEFINED        4        --        --   6,600
ISHARES TR                          EQUITY     464288505       786     11,141 SH       DEFINED        4        --        --  11,141
ISHARES TR                          EQUITY     464288273     1,277     35,652 SH       DEFINED        4        --        --  35,652
ISHARES TR                          EQUITY     464288414     1,628     15,841 SH       DEFINED        4        --        --  15,841
ISHARES TR                          EQUITY     464288513     2,175     24,764 SH       DEFINED        4        --        --  24,764
ISHARES TR                          EQUITY     464288687     3,771    102,762 SH       DEFINED        4        --        -- 102,762
ISHARES TR                          EQUITY     464288224         7        300 SH       DEFINED        5        --        --     300
ISHARES TR                          EQUITY     464288851         7        136 SH       DEFINED        5        --        --     136
ISHARES TR                          EQUITY     464288406        10        149 SH       DEFINED        5        --        --     149
ISHARES TR                          EQUITY     464288174        10        250 SH       DEFINED        5        --        --     250
ISHARES TR                          EQUITY     464288620        10        100 SH       DEFINED        5        --        --     100
ISHARES TR                          EQUITY     464288604        10        158 SH       DEFINED        5        --        --     158





                                                                                            
ISHARES TR                          EQUITY     464288109        12        226 SH       DEFINED        5        --        --     226
ISHARES TR                          EQUITY     464288794        13        450 SH       DEFINED        5        --        --     450
ISHARES TR                          EQUITY     464288745        13        300 SH       DEFINED        5        --        --     300
ISHARES TR                          EQUITY     464288844        14        322 SH       DEFINED        5        --        --     322
ISHARES TR                          EQUITY     464288208        15        224 SH       DEFINED        5        --        --     224
ISHARES TR                          EQUITY     464288828        15        320 SH       DEFINED        5        --        --     320
ISHARES TR                          EQUITY     464288273        18        500 SH       DEFINED        5        --        --     500
ISHARES TR                          EQUITY     464288182        19        340 SH       DEFINED        5        --        --     340
ISHARES TR                          EQUITY     464288729        19        436 SH       DEFINED        5        --        --     436
ISHARES TR                          EQUITY     464288836        23        400 SH       DEFINED        5        --        --     400
ISHARES TR                          EQUITY     464288737        28        502 SH       DEFINED        5        --        --     502
ISHARES TR                          EQUITY     464288703        30        453 SH       DEFINED        5        --        --     453
ISHARES TR                          EQUITY     464288695        33        523 SH       DEFINED        5        --        --     523
ISHARES TR                          EQUITY     464288752        37      3,092 SH       DEFINED        5        --        --   3,092
ISHARES TR                          EQUITY     464288505        40        571 SH       DEFINED        5        --        --     571
ISHARES TR                          EQUITY     464288885        42        755 SH       DEFINED        5        --        --     755
ISHARES TR                          EQUITY     464288810        50        950 SH       DEFINED        5        --        --     950
ISHARES TR                          EQUITY     464289883        62      2,282 SH       DEFINED        5        --        --   2,282
ISHARES TR                          EQUITY     464288869        77      1,984 SH       DEFINED        5        --        --   1,984
ISHARES TR                          EQUITY     464288414        79        770 SH       DEFINED        5        --        --     770
ISHARES TR                          EQUITY     464289875        85      3,000 SH       DEFINED        5        --        --   3,000
ISHARES TR                          EQUITY     464288307        99      1,304 SH       DEFINED        5        --        --   1,304
ISHARES TR                          EQUITY     464288448       104      3,322 SH       DEFINED        5        --        --   3,322
ISHARES TR                          EQUITY     464288638       127      1,233 SH       DEFINED        5        --        --   1,233
ISHARES TR                          EQUITY     464288661       148      1,345 SH       DEFINED        5        --        --   1,345
ISHARES TR                          EQUITY     464288679       171      1,550 SH       DEFINED        5        --        --   1,550
ISHARES TR                          EQUITY     464288646       232      2,233 SH       DEFINED        5        --        --   2,233
ISHARES TR                          EQUITY     464288117       240      2,333 SH       DEFINED        5        --        --   2,333
ISHARES TR                          EQUITY     464288281       246      2,413 SH       DEFINED        5        --        --   2,413
ISHARES TR                          EQUITY     464288711       292      6,092 SH       DEFINED        5        --        --   6,092
ISHARES TR                          EQUITY     464288372       402     11,800 SH       DEFINED        5        --        --  11,800
ISHARES TR                          EQUITY     464288539       434     29,498 SH       DEFINED        5        --        --  29,498
ISHARES TR                          EQUITY     464288877       488      9,690 SH       DEFINED        5        --        --   9,690
ISHARES TR                          EQUITY     464288513     1,491     16,971 SH       DEFINED        5        --        --  16,971
ISHARES TR                          EQUITY     464288687     6,955    189,518 SH       DEFINED        5        --        -- 189,518
ISHARES TR INDEX                    EQUITY     464287325         2         35 SH       DEFINED        4        --        --      35
ISHARES TR INDEX                    EQUITY     464287549         3         50 SH       DEFINED        4        --        --      50
ISHARES TR INDEX                    EQUITY     464287556         3         37 SH       DEFINED        4        --        --      37
ISHARES TR INDEX                    EQUITY     464287523         7        136 SH       DEFINED        4        --        --     136
ISHARES TR INDEX                    EQUITY     464287408         7        127 SH       DEFINED        4        --        --     127
ISHARES TR INDEX                    EQUITY     464287713         8        396 SH       DEFINED        4        --        --     396
ISHARES TR INDEX                    EQUITY     464287333         8        182 SH       DEFINED        4        --        --     182
ISHARES TR INDEX                    EQUITY     464287788        10        186 SH       DEFINED        4        --        --     186
ISHARES TR INDEX                    EQUITY     464287770        10        190 SH       DEFINED        4        --        --     190
ISHARES TR INDEX                    EQUITY     464287572        11        180 SH       DEFINED        4        --        --     180
ISHARES TR INDEX                    EQUITY     464287861        11        292 SH       DEFINED        4        --        --     292
ISHARES TR INDEX                    EQUITY     464287143        12        175 SH       DEFINED        4        --        --     175
ISHARES TR INDEX                    EQUITY     464287879        12        200 SH       DEFINED        4        --        --     200
ISHARES TR INDEX                    EQUITY     464287531        15        565 SH       DEFINED        4        --        --     565
ISHARES TR INDEX                    EQUITY     464287499        17        200 SH       DEFINED        4        --        --     200
ISHARES TR INDEX                    EQUITY     464287648        17        250 SH       DEFINED        4        --        --     250
ISHARES TR INDEX                    EQUITY     464287630        20        340 SH       DEFINED        4        --        --     340
ISHARES TR INDEX                    EQUITY     464287440        20        225 SH       DEFINED        4        --        --     225
ISHARES TR INDEX                    EQUITY     464287838        22        360 SH       DEFINED        4        --        --     360
ISHARES TR INDEX                    EQUITY     464287291        23        403 SH       DEFINED        4        --        --     403
ISHARES TR INDEX                    EQUITY     464287515        24        510 SH       DEFINED        4        --        --     510
ISHARES TR INDEX                    EQUITY     464287887        24        420 SH       DEFINED        4        --        --     420
ISHARES TR INDEX                    EQUITY     464287119        25        419 SH       DEFINED        4        --        --     419
ISHARES TR INDEX                    EQUITY     464287127        26        405 SH       DEFINED        4        --        --     405
ISHARES TR INDEX                    EQUITY     464287812        29        515 SH       DEFINED        4        --        --     515
ISHARES TR INDEX                    EQUITY     464287705        30        455 SH       DEFINED        4        --        --     455
ISHARES TR INDEX                    EQUITY     464287622        31        498 SH       DEFINED        4        --        --     498
ISHARES TR INDEX                    EQUITY     464287697        34        456 SH       DEFINED        4        --        --     456
ISHARES TR INDEX                    EQUITY     464287564        43        823 SH       DEFINED        4        --        --     823
ISHARES TR INDEX                    EQUITY     464287275        45        825 SH       DEFINED        4        --        --     825
ISHARES TR INDEX                    EQUITY     464287796        46      1,394 SH       DEFINED        4        --        --   1,394
ISHARES TR INDEX                    EQUITY     464287374        49      1,418 SH       DEFINED        4        --        --   1,418
ISHARES TR INDEX                    EQUITY     464287101        63      1,230 SH       DEFINED        4        --        --   1,230
ISHARES TR INDEX                    EQUITY     464287168        99      2,257 SH       DEFINED        4        --        --   2,257
ISHARES TR INDEX                    EQUITY     464287846       119      2,150 SH       DEFINED        4        --        --   2,150
ISHARES TR INDEX                    EQUITY     464287762       150      2,352 SH       DEFINED        4        --        --   2,352
ISHARES TR INDEX                    EQUITY     464287150       173      3,441 SH       DEFINED        4        --        --   3,441
ISHARES TR INDEX                    EQUITY     464287309       201      3,472 SH       DEFINED        4        --        --   3,472
ISHARES TR INDEX                    EQUITY     464287341       461     12,913 SH       DEFINED        4        --        --  12,913
ISHARES TR INDEX                    EQUITY     464287804       468      8,547 SH       DEFINED        4        --        --   8,547
ISHARES TR INDEX                    EQUITY     464287614       468      9,387 SH       DEFINED        4        --        --   9,387
ISHARES TR INDEX                    EQUITY     464287481       591     13,030 SH       DEFINED        4        --        --  13,030
ISHARES TR INDEX                    EQUITY     464287606       701      9,026 SH       DEFINED        4        --        --   9,026
ISHARES TR INDEX                    EQUITY     464287739       830     18,084 SH       DEFINED        4        --        --  18,084
ISHARES TR INDEX                    EQUITY     464287655       969     15,524 SH       DEFINED        4        --        --  15,524
ISHARES TR INDEX                    EQUITY     464287473       973     26,330 SH       DEFINED        4        --        --  26,330
ISHARES TR INDEX                    EQUITY     464287184     1,127     26,677 SH       DEFINED        4        --        --  26,677
ISHARES TR INDEX                    EQUITY     464287721     1,269     22,057 SH       DEFINED        4        --        --  22,057
ISHARES TR INDEX                    EQUITY     464287465     1,318     23,840 SH       DEFINED        4        --        --  23,840
ISHARES TR INDEX                    EQUITY     464287598     1,629     28,379 SH       DEFINED        4        --        --  28,379
ISHARES TR INDEX                    EQUITY     464287507     1,936     26,731 SH       DEFINED        4        --        --  26,731
ISHARES TR INDEX                    EQUITY     464287200     2,434     21,770 SH       DEFINED        4        --        --  21,770
ISHARES TR INDEX                    EQUITY     464287432     2,524     28,078 SH       DEFINED        4        --        --  28,078
ISHARES TR INDEX                    EQUITY     464287390     2,926     61,225 SH       DEFINED        4        --        --  61,225
ISHARES TR INDEX                    EQUITY     464287226     3,019     29,252 SH       DEFINED        4        --        --  29,252
ISHARES TR INDEX                    EQUITY     464287234     3,148     75,849 SH       DEFINED        4        --        --  75,849
ISHARES TR INDEX                    EQUITY     464287242     4,014     38,539 SH       DEFINED        4        --        --  38,539
ISHARES TR INDEX                    EQUITY     464287457     4,954     59,720 SH       DEFINED        4        --        --  59,720
ISHARES TR INDEX                    EQUITY     464287176     5,910     56,881 SH       DEFINED        4        --        --  56,881
ISHARES TR INDEX                    EQUITY     464287531         4        150 SH       DEFINED        5        --        --     150
ISHARES TR INDEX                    EQUITY     464287754         6        105 SH       DEFINED        5        --        --     105
ISHARES TR INDEX                    EQUITY     464287861         7        187 SH       DEFINED        5        --        --     187
ISHARES TR INDEX                    EQUITY     464287770         8        150 SH       DEFINED        5        --        --     150
ISHARES TR INDEX                    EQUITY     464287580         9        169 SH       DEFINED        5        --        --     169
ISHARES TR INDEX                    EQUITY     464287192        15        202 SH       DEFINED        5        --        --     202
ISHARES TR INDEX                    EQUITY     464287556        20        239 SH       DEFINED        5        --        --     239
ISHARES TR INDEX                    EQUITY     464287333        21        464 SH       DEFINED        5        --        --     464
ISHARES TR INDEX                    EQUITY     464287101        22        425 SH       DEFINED        5        --        --     425
ISHARES TR INDEX                    EQUITY     464287127        24        377 SH       DEFINED        5        --        --     377
ISHARES TR INDEX                    EQUITY     464287432        29        320 SH       DEFINED        5        --        --     320





                                                                                            
ISHARES TR INDEX                    EQUITY     464287721        32        550 SH       DEFINED        5        --        --     550
ISHARES TR INDEX                    EQUITY     464287325        38        736 SH       DEFINED        5        --        --     736
ISHARES TR INDEX                    EQUITY     464287887        46        810 SH       DEFINED        5        --        --     810
ISHARES TR INDEX                    EQUITY     464287788        47        906 SH       DEFINED        5        --        --     906
ISHARES TR INDEX                    EQUITY     464287762        48        745 SH       DEFINED        5        --        --     745
ISHARES TR INDEX                    EQUITY     464287119        48        821 SH       DEFINED        5        --        --     821
ISHARES TR INDEX                    EQUITY     464287408        53      1,002 SH       DEFINED        5        --        --   1,002
ISHARES TR INDEX                    EQUITY     464287150        56      1,116 SH       DEFINED        5        --        --   1,116
ISHARES TR INDEX                    EQUITY     464287697        57        760 SH       DEFINED        5        --        --     760
ISHARES TR INDEX                    EQUITY     464287796        58      1,742 SH       DEFINED        5        --        --   1,742
ISHARES TR INDEX                    EQUITY     464287671        67      1,645 SH       DEFINED        5        --        --   1,645
ISHARES TR INDEX                    EQUITY     464287705        81      1,230 SH       DEFINED        5        --        --   1,230
ISHARES TR INDEX                    EQUITY     464287440        86        967 SH       DEFINED        5        --        --     967
ISHARES TR INDEX                    EQUITY     464287879        93      1,593 SH       DEFINED        5        --        --   1,593
ISHARES TR INDEX                    EQUITY     464287309        99      1,712 SH       DEFINED        5        --        --   1,712
ISHARES TR INDEX                    EQUITY     464287515       106      2,271 SH       DEFINED        5        --        --   2,271
ISHARES TR INDEX                    EQUITY     464287341       129      3,607 SH       DEFINED        5        --        --   3,607
ISHARES TR INDEX                    EQUITY     464287838       130      2,164 SH       DEFINED        5        --        --   2,164
ISHARES TR INDEX                    EQUITY     464287630       135      2,329 SH       DEFINED        5        --        --   2,329
ISHARES TR INDEX                    EQUITY     464287275       135      2,475 SH       DEFINED        5        --        --   2,475
ISHARES TR INDEX                    EQUITY     464287648       150      2,205 SH       DEFINED        5        --        --   2,205
ISHARES TR INDEX                    EQUITY     464287606       222      2,858 SH       DEFINED        5        --        --   2,858
ISHARES TR INDEX                    EQUITY     464287143       263      4,000 SH       DEFINED        5        --        --   4,000
ISHARES TR INDEX                    EQUITY     464287291       275      4,917 SH       DEFINED        5        --        --   4,917
ISHARES TR INDEX                    EQUITY     464287374       279      8,132 SH       DEFINED        5        --        --   8,132
ISHARES TR INDEX                    EQUITY     464287812       285      5,131 SH       DEFINED        5        --        --   5,131
ISHARES TR INDEX                    EQUITY     464287499       287      3,478 SH       DEFINED        5        --        --   3,478
ISHARES TR INDEX                    EQUITY     464287481       314      6,936 SH       DEFINED        5        --        --   6,936
ISHARES TR INDEX                    EQUITY     464287184       345      8,175 SH       DEFINED        5        --        --   8,175
ISHARES TR INDEX                    EQUITY     464287473       350      9,461 SH       DEFINED        5        --        --   9,461
ISHARES TR INDEX                    EQUITY     464287739       386      8,409 SH       DEFINED        5        --        --   8,409
ISHARES TR INDEX                    EQUITY     464287655       466      7,461 SH       DEFINED        5        --        --   7,461
ISHARES TR INDEX                    EQUITY     464287507       491      6,777 SH       DEFINED        5        --        --   6,777
ISHARES TR INDEX                    EQUITY     464287200       536      4,798 SH       DEFINED        5        --        --   4,798
ISHARES TR INDEX                    EQUITY     464287614       606     12,164 SH       DEFINED        5        --        --  12,164
ISHARES TR INDEX                    EQUITY     464287846       622     11,224 SH       DEFINED        5        --        --  11,224
ISHARES TR INDEX                    EQUITY     464287564       655     12,478 SH       DEFINED        5        --        --  12,478
ISHARES TR INDEX                    EQUITY     464287804       741     13,545 SH       DEFINED        5        --        --  13,545
ISHARES TR INDEX                    EQUITY     464287457       911     10,982 SH       DEFINED        5        --        --  10,982
ISHARES TR INDEX                    EQUITY     464287242     1,054     10,118 SH       DEFINED        5        --        --  10,118
ISHARES TR INDEX                    EQUITY     464287689     1,095     16,768 SH       DEFINED        5        --        --  16,768
ISHARES TR INDEX                    EQUITY     464287168     1,097     24,979 SH       DEFINED        5        --        --  24,979
ISHARES TR INDEX                    EQUITY     464287598     1,271     22,145 SH       DEFINED        5        --        --  22,145
ISHARES TR INDEX                    EQUITY     464287390     1,476     30,884 SH       DEFINED        5        --        --  30,884
ISHARES TR INDEX                    EQUITY     464287226     1,929     18,689 SH       DEFINED        5        --        --  18,689
ISHARES TR INDEX                    EQUITY     464287465     2,063     37,321 SH       DEFINED        5        --        --  37,321
ISHARES TR INDEX                    EQUITY     464287234     2,106     50,737 SH       DEFINED        5        --        --  50,737
ISHARES TR INDEX                    EQUITY     464287176     3,263     31,409 SH       DEFINED        5        --        --  31,409
ISILON SYS INC                      EQUITY     46432L104       145     21,107 SH       SOLE           2    21,107        --      --
ISIS PHARMACEUTICALS                EQUITY     464330109       844     76,069 SH       SOLE           2    76,069        --      --
ISIS PHARMACEUTICALS INC            EQUITY     464330109        21      1,900 SH       DEFINED        4        --        --   1,900
ISIS PHARMACEUTICALS INC            EQUITY     464330109         9        855 SH       DEFINED        5        --        --     855
ISLE CAPRI CASINOS INC              EQUITY     464592104        95     12,665 SH       SOLE           2    12,665        --      --
ISRAMCO INC                         EQUITY     465141406        63        879 SH       SOLE           2       879        --      --
ISTA PHARMACEUTICALS INC            EQUITY     45031X204       124     27,129 SH       SOLE           2    27,129        --      --
ISTAR FINL INC                      EQUITY     45031U101       208     81,371 SH       SOLE           2    81,371        --      --
ISTAR FINL INC                      EQUITY     45031U101         4      1,400 SH       DEFINED        4        --        --   1,400
ISTAR FINL INC                      EQUITY     45031U101         7      2,902 SH       DEFINED        5        --        --   2,902
ITAU UNIBANCO BANCO MULTIPLO SA     EQUITY     465562106    76,152  3,334,141 SH       SOLE           1 3,334,141        --      --
ITAU UNIBANCO HLDG SA               EQUITY     465562106        16        715 SH       DEFINED        5        --        --     715
ITC HLDGS CORP                      EQUITY     465685105         1         23 SH       DEFINED        4        --        --      23
ITC HLDGS CORP                      EQUITY     465685105        50        968 SH       SOLE           2       968        --      --
ITC HLDGS CORP                      EQUITY     465685105        43        820 SH       DEFINED        5        --        --     820
ITRON INC                           EQUITY     465741106     6,115     90,499 SH       SOLE           2    90,499        --      --
ITRON INC                           EQUITY     465741106       698     10,326 SH       DEFINED        4        --        --  10,326
ITRON INC                           EQUITY     465741106         7        100 SH       DEFINED        5        --        --     100
ITT CORP NEW                        EQUITY     450911102     3,235     64,982 SH       SOLE           2    64,982        --      --
ITT CORPORATION                     EQUITY     450911102     4,730     95,088 SH       SOLE           1    95,088        --      --
ITT EDL SVCS INC                    EQUITY     45068B109     6,732     70,156 SH       SOLE           2    70,156        --      --
ITT EDUCATIONAL SERVICES INC        EQUITY     45068B109         3         33 SH       DEFINED        5        --        --      33
IVANHOE MINES LTD                   EQUITY     46579N103       110      7,397 SH       OTHER          1        --     7,397      --
IVANHOE MINES LTD                   EQUITY     46579N103         4        261 SH       DEFINED        4        --        --     261
IVANHOE MINES LTD                   EQUITY     46579N103        15      1,000 SH       DEFINED        5        --        --   1,000
IXIA                                EQUITY     45071R109       191     25,640 SH       SOLE           2    25,640        --      --
IXYS CORP DEL                       EQUITY     46600W106       144     19,343 SH       SOLE           2    19,343        --      --
J & J SNACK FOODS CORP              EQUITY     466032109       302      7,547 SH       SOLE           1     7,547        --      --
J + J SNACK FOODS CORP              EQUITY     466032109       542     13,562 SH       SOLE           2    13,562        --      --
J C PENNEY  INC                     EQUITY     708160106     2,467     92,707 SH       SOLE           2    92,707        --      --
J CREW GROUP INC                    EQUITY     46612H402     7,430    166,073 SH       SOLE           2   166,073        --      --
J F CHINA REGION FD INC             EQUITY     46614T107         2        125 SH       DEFINED        5        --        --     125
J.C. PENNEY CO., INC.               EQUITY     708160106     2,236     84,019 SH       SOLE           1    84,019        --      --
J0-ANN STORES INC                   EQUITY     47758P307       516     14,251 SH       SOLE           1    14,251        --      --
J2 GLOBAL COMMUNICATIO              EQUITY   4.6626E+209       486     23,900 SH       SOLE           1    23,900        --      --
J2 GLOBAL COMMUNICATIONS            EQUITY   4.6626E+209       871     42,785 SH       SOLE           2    42,785        --      --
JA SOLAR HOLDINGS CO LTD            EQUITY     466090107        11      2,000 SH       DEFINED        5        --        --   2,000
JABIL CIRCUIT INC                   EQUITY     466313103     1,790    103,030 SH       SOLE           2   103,030        --      --
JABIL CIRCUT, INC.                  EQUITY     466313103       503     28,983 SH       SOLE           1    28,983        --      --
JACK IN THE BOX INC                 EQUITY     466367109     1,076     54,679 SH       SOLE           2    54,679        --      --
JACK IN THE BOX INC.                EQUITY     466367109       605     30,751 SH       SOLE           1    30,751        --      --
JACKSON HEWITT TAX SVC INC          EQUITY     468202106       103     23,519 SH       SOLE           2    23,519        --      --
JACOBS ENGINEERING GROUP, INC.      EQUITY     469814107     1,853     49,275 SH       SOLE           1    49,275        --      --
JACOBS ENGR GROUP INC               EQUITY     469814107     1,638     43,541 SH       SOLE           2    43,541        --      --
JACOBS ENGR GROUP INC DEL           EQUITY     469814107       129      3,442 SH       DEFINED        5        --        --   3,442
JAGUAR MINING INC                   EQUITY     47009M103       593     52,979 SH       SOLE           1    52,979        --      --
JAGUAR MINING INC                   EQUITY     47009M103       692     61,818 SH       SOLE           3    61,818        --      --
JAGUAR MNG INC                      EQUITY     47009M103        16      1,400 SH       DEFINED        4        --        --   1,400
JAKKS PAC INC                       EQUITY   4.7012E+110       324     26,732 SH       SOLE           2    26,732        --      --
JAKKS PACIFIC, INC.                 EQUITY   4.7012E+110       182     14,979 SH       SOLE           1    14,979        --      --
JAMES RIV COAL CO                   EQUITY     470355207       418     22,551 SH       SOLE           2    22,551        --      --
JAMES RIVER COAL CO                 EQUITY     470355207         9        500 SH       DEFINED        5        --        --     500
JANUS CAP GROUP INC                 EQUITY     47102X105     1,148     85,320 SH       SOLE           2    85,320        --      --
JANUS CAPITAL GROUP                 EQUITY     47102X105     1,431    106,420 SH       SOLE           1   106,420        --      --
JANUS CAPITAL GROUP                 EQUITY     47102X105     3,310    246,100 SH       SOLE           3   246,100        --      --
JARDEN CORP                         EQUITY     471109108        76      2,445 SH       SOLE           2     2,445        --      --
JARDEN CORP                         EQUITY     471109108         5        153 SH       DEFINED        4        --        --     153





                                                                                            
JAVELIN PHARMACEUTICALS IN          EQUITY     471894105        56     43,193 SH       SOLE           2    43,193        --      --
JAZZ PHARMACEUTICALS INC            EQUITY     472147107         3        400 SH       DEFINED        5        --        --     400
JDA SOFTWARE GROUP INC              EQUITY     46612K108       715     28,061 SH       SOLE           2    28,061        --      --
JDA SOFTWARE GROUP INC              EQUITY     46612K108        34      1,330 SH       DEFINED        4        --        --   1,330
JDA SOFTWARE GROUP, INC.            EQUITY     46612K108       409     16,073 SH       SOLE           1    16,073        --      --
JDS UNIPHASE CORP                   EQUITY     46612J507        37      4,504 SH       SOLE           1     4,504        --      --
JDS UNIPHASE CORP                   EQUITY     46612J507       925    112,099 SH       SOLE           2   112,099        --      --
JDS UNIPHASE CORP                   EQUITY     46612J507        11      1,333 SH       DEFINED        4        --        --   1,333
JDS UNIPHASE CORP                   EQUITY     46612J507       214     25,969 SH       DEFINED        5        --        --  25,969
JEFFRIES GROUP INC NEW              EQUITY     472319102     6,394    269,439 SH       SOLE           2   269,439        --      --
JETBLUE AIRWAYS CORP                EQUITY     477143101       130     23,838 SH       DEFINED        5        --        --  23,838
JETBLUE AWYS CORP                   EQUITY     477143101     3,640    667,807 SH       SOLE           2   667,807        --      --
JINPAN INTL LTD                     EQUITY     G5138L100         5        112 SH       DEFINED        5        --        --     112
JM SMUCKER CO/THE NEW COM WI        EQUITY     832696405       148      2,404 SH       SOLE           1     2,404        --      --
JMP GROUP INC                       EQUITY     46629U107       116     11,949 SH       SOLE           2    11,949        --      --
JO ANN STORES INC                   EQUITY     47758P307       919     25,369 SH       SOLE           2    25,369        --      --
JO-ANN STORES INC                   EQUITY     47758P307        25        680 SH       DEFINED        5        --        --     680
JOE'S JEANS INC                     EQUITY     47777N101       821    608,200 SH       SOLE           3   608,200        --      --
JOHN BEAN TECHNOLOGIES COR          EQUITY     477839104       449     26,375 SH       SOLE           2    26,375        --      --
JOHN BEAN TECHNOLOGIES CORP         EQUITY     477839104       250     14,691 SH       SOLE           1    14,691        --      --
JOHNSON & JOHNSON                   EQUITY     478160104    20,802    322,955 SH       SOLE           1   322,955        --      --
JOHNSON & JOHNSON                   EQUITY     478160104       752     11,677 SH       DEFINED        4        --        --  11,677
JOHNSON & JOHNSON                   EQUITY     478160104     2,345     36,406 SH       DEFINED        5        --        --  36,406
JOHNSON + JOHNSON                   EQUITY     478160104    75,421  1,170,755 SH       SOLE           2 1,170,755        --      --
JOHNSON CONTROLS, INC.              EQUITY     478366107       369     13,558 SH       SOLE           1    13,558        --      --
JOHNSON CTLS INC                    EQUITY     478366107     6,054    222,260 SH       SOLE           2   222,260        --      --
JOHNSON CTLS INC                    EQUITY     478366107        32      1,166 SH       DEFINED        4        --        --   1,166
JOHNSON CTLS INC                    EQUITY     478366107        16        600 SH       DEFINED        5        --        --     600
JONES APPAREL GROUP INC             EQUITY     480074103     1,120     69,757 SH       SOLE           2    69,757        --      --
JONES LANG LASALLE INC              EQUITY     48020Q107     5,718     94,676 SH       SOLE           2    94,676        --      --
JOS A BANK CLOTHIERS INC            EQUITY     480838101       408      9,682 SH       SOLE           1     9,682        --      --
JOS A BANK CLOTHIERS INC            EQUITY     480838101       739     17,510 SH       SOLE           2    17,510        --      --
JOURNAL COMMUNICATIONS INC          EQUITY     481130102       131     33,550 SH       SOLE           2    33,550        --      --
JOY GLOBAL INC                      EQUITY     481165108    12,216    236,788 SH       SOLE           2   236,788        --      --
JOY GLOBAL INC                      EQUITY     481165108         3         50 SH       DEFINED        4        --        --      50
JOY GLOBAL INC                      EQUITY     481165108        85      1,641 SH       DEFINED        5        --        --   1,641
JPMORGAN CHASE & CO                 EQUITY     46625H365        23        800 SH       DEFINED        4        --        --     800
JPMORGAN CHASE & CO                 EQUITY     46625H100       268      6,437 SH       DEFINED        4        --        --   6,437
JPMORGAN CHASE & CO                 EQUITY     46625H365        52      1,820 SH       DEFINED        5        --        --   1,820
JPMORGAN CHASE & CO                 EQUITY     46625H100       941     22,591 SH       DEFINED        5        --        --  22,591
JPMORGAN CHASE + CO                 EQUITY     46625H100    85,881  2,060,971 SH       SOLE           2 2,060,971        --      --
JPMORGAN CHASE AND CO.              EQUITY     46625H100    43,622  1,046,852 SH       SOLE           1 1,046,852        --      --
JUNIPER NETWORKS INC                EQUITY     48203R104     6,273    235,034 SH       SOLE           2   235,034        --      --
JUNIPER NETWORKS INC                EQUITY     48203R104        88      3,289 SH       DEFINED        5        --        --   3,289
JUNIPER NETWORKS, INC.              EQUITY     48203R104     2,286     85,710 SH       SOLE           1    85,710        --      --
K FED BANCORP                       EQUITY     48246S101        29      3,271 SH       SOLE           2     3,271        --      --
K SWISS INC                         EQUITY     482686102       250     25,185 SH       SOLE           2    25,185        --      --
K TRON INTL INC                     EQUITY     482730108       221      2,029 SH       SOLE           2     2,029        --      --
K V PHARMACEUTICAL COMPANY          EQUITY     482740206       112     30,436 SH       SOLE           2    30,436        --      --
K12 INC                             EQUITY     48273U102       391     19,283 SH       SOLE           2    19,283        --      --
KADANT INC                          EQUITY     48282T104       160     10,019 SH       SOLE           2    10,019        --      --
KAISER ALUM CORP                    EQUITY     483007704       524     12,590 SH       SOLE           2    12,590        --      --
KAMAN CORP                          EQUITY     483548103       567     24,561 SH       SOLE           2    24,561        --      --
KAMAN CORP., CLASS A                EQUITY     483548103       319     13,821 SH       SOLE           1    13,821        --      --
KANSAS CITY LIFE INS CO             EQUITY     484836101       103      3,453 SH       SOLE           2     3,453        --      --
KANSAS CITY SOUTHERN                EQUITY     485170302     7,213    216,682 SH       SOLE           2   216,682        --      --
KANSAS CITY SOUTHERN                EQUITY     485170302     6,069    182,300 SH       SOLE           3   182,300        --      --
KANSAS CITY SOUTHERN                EQUITY     485170302        27        800 SH       DEFINED        5        --        --     800
KAPSTONE PAPER + PKGING CO          EQUITY     48562P103       265     26,857 SH       SOLE           2    26,857        --      --
KAYDON CORP                         EQUITY     486587108     1,137     31,807 SH       SOLE           2    31,807        --      --
KAYDON CORP.                        EQUITY     486587108       632     17,680 SH       SOLE           1    17,680        --      --
KAYNE ANDERSON ENERGY DEV           EQUITY     48660Q102       120      8,253 SH       SOLE           2     8,253        --      --
KAYNE ANDERSON ENERGY DEV CO        EQUITY     48660Q102        39      2,670 SH       DEFINED        4        --        --   2,670
KAYNE ANDERSON MLP INVSMNT C        EQUITY     486606106        20        815 SH       DEFINED        5        --        --     815
KB FINANCIAL GROUP INC-ADR          EQUITY     48241A105    25,835    508,061 SH       SOLE           1   508,061        --      --
KB HOME                             EQUITY     48666K109       362     26,468 SH       SOLE           1    26,468        --      --
KB HOME                             EQUITY     48666K109     2,292    167,527 SH       SOLE           2   167,527        --      --
KBR INC                             EQUITY     48242W106     1,138     59,920 SH       SOLE           1    59,920        --      --
KBR INC                             EQUITY     48242W106     6,895    362,909 SH       SOLE           2   362,909        --      --
KBR INC                             EQUITY     48242W106         3        157 SH       DEFINED        5        --        --     157
KBW INC                             EQUITY     482423100       779     28,461 SH       SOLE           2    28,461        --      --
KEARNY FINL CORP                    EQUITY     487169104       149     14,823 SH       SOLE           2    14,823        --      --
KEITHLEY INSTRS INC                 EQUITY     487584104         9      1,903 SH       SOLE           2     1,903        --      --
KEITHLEY INSTRUMENTS, INC.          EQUITY     487584104        34      7,211 SH       SOLE           1     7,211        --      --
KELLOGG CO                          EQUITY     487836108     8,849    166,306 SH       SOLE           2   166,306        --      --
KELLOGG CO                          EQUITY     487836108        80      1,508 SH       DEFINED        4        --        --   1,508
KELLOGG CO                          EQUITY     487836108       180      3,380 SH       DEFINED        5        --        --   3,380
KELLOGG CO.                         EQUITY     487836108     6,423    120,734 SH       SOLE           1   120,734        --      --
KELLY SERVICES, INC., CLASS A       EQUITY     488152208       170     14,254 SH       SOLE           1    14,254        --      --
KELLY SVCS INC                      EQUITY     488152208       300     25,110 SH       SOLE           2    25,110        --      --
KENDLE INTERNATIONAL INC            EQUITY     48880L107       146      7,987 SH       SOLE           1     7,987        --      --
KENDLE INTL INC                     EQUITY     48880L107       260     14,219 SH       SOLE           2    14,219        --      --
KENEXA CORP                         EQUITY     488879107       240     18,398 SH       SOLE           2    18,398        --      --
KENNAMETAL INC                      EQUITY     489170100     4,774    184,182 SH       SOLE           2   184,182        --      --
KENNAMETAL INC                      EQUITY     489170100        19        723 SH       DEFINED        5        --        --     723
KENSEY NASH CORP                    EQUITY     490057106       150      5,870 SH       SOLE           1     5,870        --      --
KENSEY NASH CORP                    EQUITY     490057106       211      8,265 SH       SOLE           2     8,265        --      --
KENTUCKY FIRST FED BANCORP          EQUITY     491292108        27      2,480 SH       SOLE           2     2,480        --      --
KERYX BIOPHARMACEUTICALS INC        EQUITY     492515101        10      4,000 SH       DEFINED        5        --        --   4,000
KEY ENERGY SERVICES INC             EQUITY     492914106       775     88,200 SH       SOLE           1    88,200        --      --
KEY ENERGY SERVICES INC             EQUITY     492914106     1,950    221,800 SH       SOLE           3   221,800        --      --
KEY ENERGY SVCS INC                 EQUITY     492914106       887    100,953 SH       SOLE           2   100,953        --      --
KEYCORP                             EQUITY     493267108        99     17,759 SH       SOLE           1    17,759        --      --
KEYCORP NEW                         EQUITY     493267108     2,749    495,312 SH       SOLE           2   495,312        --      --
KEYCORP NEW                         EQUITY     493267108         3        580 SH       DEFINED        4        --        --     580
KEYCORP NEW                         EQUITY     493267108        12      2,142 SH       DEFINED        5        --        --   2,142
KEYCORP NEW                         EQUITY     493267405        24        300 SH       DEFINED        5        --        --     300
KEYNOTE SYS INC                     EQUITY     493308100       110     10,054 SH       SOLE           2    10,054        --      --
KFORCE INC                          EQUITY     493732101       292     23,386 SH       SOLE           2    23,386        --      --
KHD HUMBOLDT WEDAG INTL LTD         EQUITY     482462108         6        450 SH       DEFINED        5        --        --     450
KID BRANDS INC                      EQUITY     49375T100        40      9,061 SH       SOLE           1     9,061        --      --
KID BRANDS INC                      EQUITY     49375T100        10      2,382 SH       SOLE           2     2,382        --      --
KID BRANDS INC                      EQUITY     49375T100         8      1,850 SH       DEFINED        4        --        --   1,850
KILROY REALTY CORP.                 EQUITY     49427F108       706     23,010 SH       SOLE           1    23,010        --      --
KILROY RLTY CORP                    EQUITY     49427F108     1,267     41,306 SH       SOLE           2    41,306        --      --





                                                                                            
KIMBALL INTL INC                    EQUITY     494274103       223     26,162 SH       SOLE           2    26,162        --      --
KIMBERLY CLARK CORP                 EQUITY     494368103    17,045    267,494 SH       SOLE           2   267,494        --      --
KIMBERLY CLARK CORP                 EQUITY     494368103       198      3,112 SH       DEFINED        4        --        --   3,112
KIMBERLY CLARK CORP                 EQUITY     494368103       332      5,217 SH       DEFINED        5        --        --   5,217
KIMBERLY-CLARK CORP.                EQUITY     494368103    16,489    258,811 SH       SOLE           1   258,811        --      --
KIMCO REALTY                        EQUITY     49446R109       110      8,122 SH       SOLE           1     8,122        --      --
KIMCO REALTY CORP                   EQUITY     49446R109        36      2,686 SH       DEFINED        4        --        --   2,686
KIMCO RLTY CORP                     EQUITY     49446R109     2,318    171,341 SH       SOLE           2   171,341        --      --
KINDER MORGAN ENERGY PARTNER        EQUITY     494550106       936     15,356 SH       DEFINED        4        --        --  15,356
KINDER MORGAN ENERGY PARTNER        EQUITY     494550106     1,359     22,281 SH       DEFINED        5        --        --  22,281
KINDRED HEALTHCARE INC              EQUITY     494580103     2,203    119,362 SH       SOLE           2   119,362        --      --
KINETIC CONCEPTS INC                EQUITY     49460W208     5,273    140,042 SH       SOLE           2   140,042        --      --
KINETIC CONSEPTS INC                EQUITY     49460W208     4,579    121,617 SH       SOLE           1   121,617        --      --
KING PHARMACEUTICALS INC            EQUITY     495582108     1,093     89,082 SH       SOLE           2    89,082        --      --
KING PHARMACEUTICALS INC            EQUITY     495582108         3        225 SH       DEFINED        4        --        --     225
KING PHARMACEUTICALS, INC.          EQUITY     495582108        61      5,011 SH       SOLE           1     5,011        --      --
KINROSS GOLD                        EQUITY     496902404     4,891    264,795 SH       OTHER          1        --   264,795      --
KINROSS GOLD CORP                   EQUITY     496902404       566     30,756 SH       DEFINED        4        --        --  30,756
KINROSS GOLD CORP                   EQUITY     496902404        44      2,400 SH       DEFINED        5        --        --   2,400
KIRBY CORP                          EQUITY     497266106     4,239    121,712 SH       SOLE           2   121,712        --      --
KIRKLANDS INC                       EQUITY     497498105       176     10,135 SH       SOLE           2    10,135        --      --
KITE REALTY GROUP TRUST             EQUITY     49803T102       125     30,656 SH       SOLE           1    30,656        --      --
KITE RLTY GROUP TR                  EQUITY     49803T102       190     46,646 SH       SOLE           2    46,646        --      --
KLA TENCOR CORP                     EQUITY     482480100     3,569     98,672 SH       SOLE           2    98,672        --      --
KLA-TENCOR CORP.                    EQUITY     482480100       125      3,454 SH       SOLE           1     3,454        --      --
KMG CHEMICALS INC                   EQUITY     482564101       761     50,900 SH       SOLE           3    50,900        --      --
KNIGHT CAP GROUP INC                EQUITY     499005106     1,169     75,935 SH       SOLE           2    75,935        --      --
KNIGHT TRANSN INC                   EQUITY     499064103     1,059     54,885 SH       SOLE           2    54,885        --      --
KNIGHT TRANSN INC                   EQUITY     499064103         3        150 SH       DEFINED        4        --        --     150
KNIGHT TRANSPORTATION INC           EQUITY     499064103       598     31,023 SH       SOLE           1    31,023        --      --
KNIGHTSBRIDGE TANKERS LTD           EQUITY     G5299G106       185     13,968 SH       SOLE           2    13,968        --      --
KNIGHTSBRIDGE TANKERS LTD           EQUITY     G5299G106       170     12,814 SH       DEFINED        4        --        --  12,814
KNOLL INC                           EQUITY     498904200       397     38,408 SH       SOLE           2    38,408        --      --
KNOLOGY INC                         EQUITY     499183804       266     24,259 SH       SOLE           2    24,259        --      --
KNOT INC                            EQUITY     499184109       290     28,763 SH       SOLE           2    28,763        --      --
KNOT INC/THE                        EQUITY     499184109       160     15,883 SH       SOLE           1    15,883        --      --
KODIAK OIL & GAS CORP               EQUITY     50015Q100       596    268,600 SH       SOLE           3   268,600        --      --
KODIAK OIL & GAS CORP               EQUITY     50015Q100       113     50,850 SH       DEFINED        4        --        --  50,850
KOHLBERG CAP CORP                   EQUITY     500233101        68     14,936 SH       SOLE           2    14,936        --      --
KOHLBERG CAPITAL CORP               EQUITY     500233101       257     56,294 SH       DEFINED        4        --        --  56,294
KOHLS CORP                          EQUITY     500255104     8,566    158,717 SH       SOLE           2   158,717        --      --
KOHLS CORP                          EQUITY     500255104        10        179 SH       DEFINED        4        --        --     179
KOHLS CORP                          EQUITY     500255104        24        452 SH       DEFINED        5        --        --     452
KOHLS CORP.                         EQUITY     500255104     6,297    116,758 SH       SOLE           1   116,758        --      --
KONINKLIJKE PHILIPS ELECTRS         EQUITY     500472303         7        248 SH       DEFINED        4        --        --     248
KOPIN CORP                          EQUITY     500600101       269     64,417 SH       SOLE           2    64,417        --      --
KOPIN CORP.                         EQUITY     500600101       147     35,065 SH       SOLE           1    35,065        --      --
KOPPERS HLDGS INC                   EQUITY     50060P106       508     16,692 SH       SOLE           2    16,692        --      --
KOREA ELECTRIC PWR                  EQUITY     500631106         3        196 SH       DEFINED        4        --        --     196
KORN / FERRY INTL                   EQUITY     500643200     2,287    138,631 SH       SOLE           2   138,631        --      --
KRAFT FOODS INC                     EQUITY     50075N104    11,951    439,707 SH       SOLE           1   439,707        --      --
KRAFT FOODS INC                     EQUITY     50075N104    31,844  1,171,586 SH       SOLE           2 1,171,586        --      --
KRAFT FOODS INC                     EQUITY     50075N104       303     11,166 SH       DEFINED        4        --        --  11,166
KRAFT FOODS INC                     EQUITY     50075N104       284     10,452 SH       DEFINED        5        --        --  10,452
KRISPY KREME DOUGHNUTS INC          EQUITY     501014104       141     47,752 SH       SOLE           2    47,752        --      --
KROGER CO                           EQUITY     501044101     4,423    215,446 SH       SOLE           2   215,446        --      --
KROGER CO                           EQUITY     501044101        13        642 SH       DEFINED        4        --        --     642
KROGER CO                           EQUITY     501044101        29      1,429 SH       DEFINED        5        --        --   1,429
KROGER CO.                          EQUITY     501044101       442     21,521 SH       SOLE           1    21,521        --      --
K-SWISS, INC.                       EQUITY     482686102       144     14,519 SH       SOLE           1    14,519        --      --
KULICKE & SOFFA INDUSTRIES          EQUITY     501242101       199     36,953 SH       SOLE           1    36,953        --      --
KULICKE + SOFFA INDS INC            EQUITY     501242101       353     65,535 SH       SOLE           2    65,535        --      --
KVH INDS INC                        EQUITY     482738101       168     11,412 SH       SOLE           2    11,412        --      --
L 1 IDENTITY SOLUTIONS INC          EQUITY     50212A106       458     61,094 SH       SOLE           2    61,094        --      --
L 3 COMMUNICATIONS HLDG CO          EQUITY     502424104     8,919    102,574 SH       SOLE           2   102,574        --      --
L-1 IDENTITY SOLUTIONS INC          EQUITY     50212A106         8      1,100 SH       DEFINED        5        --        --   1,100
L-3 COMMUNICATIONS HLDGS INC        EQUITY     502424104        11        129 SH       DEFINED        4        --        --     129
L-3 COMMUNICATIONS HLDGS INC        EQUITY     502424104        31        359 SH       DEFINED        5        --        --     359
L-3 COMMUNICATIONS HOLDINGS,        EQUITY     502424104        39        451 SH       SOLE           1       451        --      --
LA BARGE INC                        EQUITY     502470107       124     10,301 SH       SOLE           2    10,301        --      --
LA Z BOY INC                        EQUITY     505336107       470     49,292 SH       SOLE           2    49,292        --      --
LABORATORY CORP AMER HLDGS          EQUITY     50540R409     4,560     60,917 SH       SOLE           2    60,917        --      --
LABORATORY CORP AMER HLDGS          EQUITY     50540R409        14        184 SH       DEFINED        4        --        --     184
LABORATORY CORP AMER HLDGS          EQUITY     50540R409        10        139 SH       DEFINED        5        --        --     139
LABORATORY CRP OF AMER HLDGS        EQUITY     50540R409    31,376    419,171 SH       SOLE           1   419,171        --      --
LABORATORY CRP OF AMER HLDGS        EQUITY     50540R409     1,691     22,600 SH       SOLE           3    22,600        --      --
LABRANCHE & CO. INC.                EQUITY     505447102        81     28,369 SH       SOLE           1    28,369        --      --
LABRANCHE + CO INC                  EQUITY     505447102       150     52,664 SH       SOLE           2    52,664        --      --
LACLEDE GAS CO.                     EQUITY     505597104       402     11,898 SH       SOLE           1    11,898        --      --
LACLEDE GROUP INC                   EQUITY     505597104       716     21,204 SH       SOLE           2    21,204        --      --
LACLEDE GROUP INC                   EQUITY     505597104         2         66 SH       DEFINED        5        --        --      66
LADISH COMPANY INC                  EQUITY     505754200       196     12,989 SH       SOLE           2    12,989        --      --
LAKELAND BANCORP INC                EQUITY     511637100       107     16,709 SH       SOLE           2    16,709        --      --
LAKELAND FINANCIAL CORP             EQUITY     511656100       223     12,941 SH       SOLE           2    12,941        --      --
LAKES ENTMT INC                     EQUITY     51206P109        38     15,291 SH       SOLE           2    15,291        --      --
LAM RESEARCH CORP                   EQUITY     512807108        11        270 SH       DEFINED        5        --        --     270
LAM RESEARCH CORP.                  EQUITY     512807108    35,330    900,887 SH       SOLE           1   900,887        --      --
LAM RESEARCH CORP.                  EQUITY     512807108     1,753     44,700 SH       SOLE           3    44,700        --      --
LAM RESH CORP                       EQUITY     512807108    11,556    294,709 SH       SOLE           2   294,709        --      --
LAMAR ADVERTISING CO                EQUITY     512815101     3,752    120,688 SH       SOLE           2   120,688        --      --
LAN AIRLINES S A                    EQUITY     501723100         3        200 SH       DEFINED        5        --        --     200
LANCASTER COLONY CORP               EQUITY     513847103     2,946     59,277 SH       SOLE           2    59,277        --      --
LANCE INC                           EQUITY     514606102       715     27,193 SH       SOLE           2    27,193        --      --
LANCE, INC.                         EQUITY     514606102       449     17,080 SH       SOLE           1    17,080        --      --
LANDAUER INC                        EQUITY     51476K103       550      8,950 SH       SOLE           2     8,950        --      --
LANDAUER, INC.                      EQUITY     51476K103       306      4,982 SH       SOLE           1     4,982        --      --
LANDEC CORP                         EQUITY     514766104       134     21,433 SH       SOLE           2    21,433        --      --
LANDRYS RESTAURANTS INC             EQUITY     51508L103       151      7,107 SH       SOLE           2     7,107        --      --
LANDRY'S RESTAURANTS INC.           EQUITY     51508L103        92      4,332 SH       SOLE           1     4,332        --      --
LANDSTAR SYS INC                    EQUITY     515098101     4,448    114,723 SH       SOLE           2   114,723        --      --
LANNETT CO INC                      EQUITY     516012101        49      8,250 SH       SOLE           2     8,250        --      --
LAS VEGAS SANDS CORP                EQUITY     517834107        98      6,537 SH       SOLE           2     6,537        --      --
LAS VEGAS SANDS CORP                EQUITY     517834107        12        800 SH       DEFINED        4        --        --     800
LAS VEGAS SANDS CORP                EQUITY     517834107       313     20,935 SH       DEFINED        5        --        --  20,935
LASALLE HOTEL PPTYS                 EQUITY     517942108     1,292     60,838 SH       SOLE           2    60,838        --      --





                                                                                            
LASALLE HOTEL PROPERTIES            EQUITY     517942108       717     33,787 SH       SOLE           1    33,787        --      --
LATTICE SEMICONDUCTOR CORP          EQUITY     518415104       254     94,139 SH       SOLE           2    94,139        --      --
LAUDER ESTEE COS INC                EQUITY     518439104     2,359     48,749 SH       SOLE           2    48,749        --      --
LAUDER ESTEE COS INC                EQUITY     518439104         4         88 SH       DEFINED        5        --        --      88
LAUDER ESTEE COS INC                EQUITY     518439104         1         28 SH       DEFINED        4        --        --      28
LAWSON PRODS INC                    EQUITY     520776105        68      3,843 SH       SOLE           2     3,843        --      --
LAWSON PRODUCTS, INC.               EQUITY     520776105        38      2,150 SH       SOLE           1     2,150        --      --
LAWSON SOFTWARE INC NEW             EQUITY     52078P102     4,441    667,820 SH       SOLE           2   667,820        --      --
LAYNE CHRISTENSEN CO                EQUITY     521050104       456     15,889 SH       SOLE           2    15,889        --      --
LAZARD LTD                          EQUITY     G54050102        57      1,490 SH       SOLE           2     1,490        --      --
LAZARD LTD                          EQUITY     G54050102         3         66 SH       DEFINED        4        --        --      66
LAZARD LTD                          EQUITY     G54050102         1         36 SH       DEFINED        5        --        --      36
LAZARD WORLD DIVID & INCOME         EQUITY     521076109         8        750 SH       DEFINED        4        --        --     750
LA-Z-BOY CHAIR CO.                  EQUITY     505336107       262     27,480 SH       SOLE           1    27,480        --      --
LCA VISION INC                      EQUITY     501803308        82     16,065 SH       SOLE           2    16,065        --      --
LCA-VISION INC                      EQUITY     501803308        51      9,990 SH       SOLE           1     9,990        --      --
LEAP WIRELESS INTL INC              EQUITY     521863308         5        279 SH       SOLE           1       279        --      --
LEAP WIRELESS INTL INC              EQUITY     521863308        23      1,312 SH       SOLE           2     1,312        --      --
LEAP WIRELESS INTL INC              EQUITY     521863308         9        500 SH       DEFINED        5        --        --     500
LEAPFROG ENTERPRISES INC            EQUITY     52186N106       108     27,746 SH       SOLE           2    27,746        --      --
LEARNING TREE INTL INC              EQUITY     522015106        73      6,120 SH       SOLE           2     6,120        --      --
LEGACY BANCORP INC                  EQUITY     52463G105        59      6,019 SH       SOLE           2     6,019        --      --
LEGG MASON INC                      EQUITY     524901105     2,580     85,533 SH       SOLE           2    85,533        --      --
LEGG MASON, INC.                    EQUITY     524901105     5,572    184,740 SH       SOLE           1   184,740        --      --
LEGGETT & PLATT, INC.               EQUITY     524660107     1,712     83,943 SH       SOLE           1    83,943        --      --
LEGGETT + PLATT INC                 EQUITY     524660107     1,718     84,194 SH       SOLE           2    84,194        --      --
LENDER PROCESSING SERVICES INC      EQUITY   5.2602E+106       261      6,408 SH       SOLE           1     6,408        --      --
LENDERPROCESSING SVCS INC           EQUITY   5.2602E+106     8,782    215,984 SH       SOLE           2   215,984        --      --
LENNAR CORP                         EQUITY     526057104       738     57,793 SH       SOLE           2    57,793        --      --
LENNAR CORP                         EQUITY     526057104        32      2,500 SH       DEFINED        5        --        --   2,500
LENNAR CORP                         EQUITY     526057104         1        115 SH       DEFINED        4        --        --     115
LENNAR CORP. COM CLASS A            EQUITY     526057104     1,689    132,225 SH       SOLE           1   132,225        --      --
LENNOX INTL INC                     EQUITY     526107107     4,288    109,827 SH       SOLE           2   109,827        --      --
LEUCADIA NATIONAL CORP.             EQUITY     527288104        91      3,837 SH       SOLE           1     3,837        --      --
LEUCADIA NATL CORP                  EQUITY     527288104     2,373     99,754 SH       SOLE           2    99,754        --      --
LEUCADIA NATL CORP                  EQUITY     527288104        29      1,207 SH       DEFINED        5        --        --   1,207
LEVEL 3 COMMUNICATIONS INC          EQUITY     52729N100        71     46,451 SH       SOLE           2    46,451        --      --
LEVEL 3 COMMUNICATIONS INC          FIXED
                                      INCOME   52729NAS9        25         25 PRN      DEFINED        5        --        --      25
LEXICON PHARMACEUTICALS IN          EQUITY     528872104       144     84,950 SH       SOLE           2    84,950        --      --
LEXINGTON REALTY TRUST              EQUITY     529043101       377     61,943 SH       SOLE           1    61,943        --      --
LEXINGTON REALTY TRUST              EQUITY     529043101       570     93,683 SH       SOLE           2    93,683        --      --
LEXMARK INTERNATIONAL GROUP         EQUITY     529771107        41      1,577 SH       SOLE           1     1,577        --      --
LEXMARK INTL INC                    EQUITY     529771107       729     28,072 SH       SOLE           2    28,072        --      --
LEXMARK INTL NEW                    EQUITY     529771107         3        100 SH       DEFINED        4        --        --     100
LHC GROUP INC                       EQUITY     50187A107       269      8,005 SH       SOLE           1     8,005        --      --
LHC GROUP INC                       EQUITY     50187A107       488     14,509 SH       SOLE           2    14,509        --      --
LIBERTY ALL STAR EQUITY FD          EQUITY     530158104        11      2,652 SH       DEFINED        5        --        --   2,652
LIBERTY GLOBAL INC                  EQUITY     530555101       164      7,490 SH       SOLE           2     7,490        --      --
LIBERTY GLOBAL INC                  EQUITY     530555101         3        136 SH       DEFINED        5        --        --     136
LIBERTY GLOBAL INC-A                EQUITY     530555101       288     13,169 SH       SOLE           1    13,169        --      --
LIBERTY MEDIA CORP NEW              EQUITY     53071M104       589     51,635 SH       SOLE           2    51,635        --      --
LIBERTY MEDIA CORP NEW              EQUITY     53071M302         2         78 SH       DEFINED        4        --        --      78
LIBERTY MEDIA CORP NEW              EQUITY     53071M104         4        393 SH       DEFINED        4        --        --     393
LIBERTY MEDIA CORP NEW              FIXED
                                      INCOME   530718AF2         3          3 PRN      DEFINED        4        --        --       3
LIBERTY MEDIA CORP NEW              EQUITY     53071M104         2        150 SH       DEFINED        5        --        --     150
LIBERTY MEDIA CORP NEW              EQUITY     53071M708         1         31 SH       DEFINED        4        --        --      31
LIBERTY MEDIA HOLDING CORP          EQUITY     53071M104       232     21,412 SH       SOLE           1    21,412        --      --
LIBERTY PROPERTY                    EQUITY     531172104     8,161    254,938 SH       SOLE           2   254,938        --      --
LIFE PARTNERS HLDGS INC             EQUITY     53215T106       127      6,001 SH       SOLE           2     6,001        --      --
LIFE TECHNOLOGIES CORP              EQUITY     53217V109       188      3,597 SH       SOLE           1     3,597        --      --
LIFE TECHNOLOGIES CORP              EQUITY     53217V109     4,889     93,601 SH       SOLE           2    93,601        --      --
LIFE TIME FITNESS INC               EQUITY     53217R207     3,126    125,394 SH       SOLE           2   125,394        --      --
LIFEPOINT HOSPITALS INC             EQUITY     53219L109         7        215 SH       DEFINED        4        --        --     215
LIFEPOINT HOSPS INC                 EQUITY     53219L109     4,032    124,008 SH       SOLE           2   124,008        --      --
LIFEWAY FOODS INC                   EQUITY     531914109        47      3,957 SH       SOLE           2     3,957        --      --
LIFEWAY FOODS INC                   EQUITY     531914109        95      8,000 SH       DEFINED        4        --        --   8,000
LIGAND PHARMACEUTICALS INC          EQUITY     53220K207       201     92,551 SH       SOLE           2    92,551        --      --
LIHUA INTERNATIONAL INC             EQUITY     532352101        27      2,540 SH       SOLE           2     2,540        --      --
LILLY ELI & CO                      EQUITY     532457108       117      3,267 SH       DEFINED        4        --        --   3,267
LILLY ELI & CO                      EQUITY     532457108       161      4,516 SH       DEFINED        5        --        --   4,516
LILLY ELI + CO                      EQUITY     532457108    22,752    637,022 SH       SOLE           2   637,022        --      --
LIMELIGHT NETWORKS INC              EQUITY     53261M104       105     26,838 SH       SOLE           2    26,838        --      --
LIMITED BRANDS INC                  EQUITY     532716107     1,815     94,289 SH       SOLE           2    94,289        --      --
LIMITED BRANDS INC                  EQUITY     532716107        24      1,229 SH       DEFINED        4        --        --   1,229
LIMITED BRANDS INC                  EQUITY     532716107        34      1,790 SH       DEFINED        5        --        --   1,790
LIMITED BRANDS, INC.                EQUITY     532716107     1,924    100,021 SH       SOLE           1   100,021        --      --
LIN TV CORP                         EQUITY     532774106        98     21,960 SH       SOLE           2    21,960        --      --
LINCARE HLDGS INC                   EQUITY     532791100     5,707    153,745 SH       SOLE           2   153,745        --      --
LINCOLN EDL SVCS CORP               EQUITY     533535100       171      7,912 SH       SOLE           2     7,912        --      --
LINCOLN ELEC HLDGS INC              EQUITY     533900106     5,143     96,195 SH       SOLE           2    96,195        --      --
LINCOLN NATIONAL CORP.              EQUITY     534187109       152      6,102 SH       SOLE           1     6,102        --      --
LINCOLN NATL CORP IN                EQUITY     534187109     3,351    134,701 SH       SOLE           2   134,701        --      --
LINCOLN NATL CORP IND               EQUITY     534187109         4        150 SH       DEFINED        4        --        --     150
LINCOLN NATL CORP IND               EQUITY     534187109       138      5,561 SH       DEFINED        5        --        --   5,561
LINDSAY CORP                        EQUITY     535555106       264      6,613 SH       SOLE           1     6,613        --      --
LINDSAY CORP                        EQUITY     535555106       470     11,795 SH       SOLE           2    11,795        --      --
LINEAR TECHNOLOGY CORP              EQUITY     535678106     6,958    227,768 SH       SOLE           2   227,768        --      --
LINEAR TECHNOLOGY CORP              EQUITY     535678106        16        516 SH       DEFINED        4        --        --     516
LINEAR TECHNOLOGY CORP.             EQUITY     535678106       941     30,806 SH       SOLE           1    30,806        --      --
LINN ENERGY LLC                     EQUITY     536020100     1,418     50,874 SH       DEFINED        4        --        --  50,874
LINN ENERGY LLC                     EQUITY     536020100       229      8,201 SH       DEFINED        5        --        --   8,201
LIONBRIDGE TECHNOLOGIES IN          EQUITY     536252109       108     46,876 SH       SOLE           2    46,876        --      --
LIQUIDITY SVCS INC                  EQUITY     53635B107       123     12,262 SH       SOLE           2    12,262        --      --
LITHIA MOTORS, INC.                 EQUITY     536797103        93     11,355 SH       SOLE           1    11,355        --      --
LITHIA MTRS INC                     EQUITY     536797103       162     19,767 SH       SOLE           2    19,767        --      --
LITTELFUSE INC                      EQUITY     537008104       669     20,802 SH       SOLE           2    20,802        --      --
LITTELFUSE, INC.                    EQUITY     537008104       372     11,571 SH       SOLE           1    11,571        --      --
LIVE NATION ENTERTAINMENT INC.      EQUITY     538034109       382     44,924 SH       SOLE           1    44,924        --      --
LIVE NATION INC                     EQUITY     538034109       681     80,061 SH       SOLE           2    80,061        --      --
LIVE NATION INC                     EQUITY     538034109         2        259 SH       DEFINED        4        --        --     259
LIVEPERSON INC                      EQUITY     538146101       235     33,709 SH       SOLE           2    33,709        --      --
LIVEPERSON INC                      EQUITY     538146101       976    140,100 SH       SOLE           3   140,100        --      --
LIZ CLAIBORNE INC                   EQUITY     539320101       512     91,015 SH       SOLE           2    91,015        --      --
LIZ CLAIBORNE, INC.                 EQUITY     539320101       287     50,992 SH       SOLE           1    50,992        --      --
LKQ CORP                            EQUITY     501889208     6,248    318,939 SH       SOLE           2   318,939        --      --





                                                                                            
LLOYDS BANKING GROUP PLC            EQUITY     539439109        73     22,299 SH       DEFINED        5        --        --  22,299
LMI AEROSPACE INC                   EQUITY     502079106        93      7,012 SH       SOLE           2     7,012        --      --
LMI AEROSPACE INC                   EQUITY     502079106        45      3,360 SH       DEFINED        4        --        --   3,360
LMP CAP & INCOME FD INC             EQUITY     50208A102        12      1,132 SH       DEFINED        5        --        --   1,132
LO JACK CORP                        EQUITY     539451104        10      2,560 SH       SOLE           2     2,560        --      --
LOCKHEED MARTIN CORP                EQUITY     539830109    14,600    193,762 SH       SOLE           2   193,762        --      --
LOCKHEED MARTIN CORP                EQUITY     539830109         7         87 SH       DEFINED        4        --        --      87
LOCKHEED MARTIN CORP                EQUITY     539830109       103      1,372 SH       DEFINED        5        --        --   1,372
LOCKHEED MARTIN CORP.               EQUITY     539830109    13,365    177,367 SH       SOLE           1   177,367        --      --
LODGENET INTERACTIVE CORP           EQUITY     540211109        91     16,526 SH       SOLE           2    16,526        --      --
LOEWS CORP                          EQUITY     540424108     6,735    185,290 SH       SOLE           2   185,290        --      --
LOEWS CORP                          EQUITY     540424108         2         57 SH       DEFINED        4        --        --      57
LOEWS CORP                          EQUITY     540424108        13        368 SH       DEFINED        5        --        --     368
LOEWS CORP.                         EQUITY     540424108       401     11,040 SH       SOLE           1    11,040        --      --
LOGITECH INTERNATIONAL SA           EQUITY     H50430232       174     10,196 SH       SOLE           2    10,196        --      --
LOGMEIN INC                         EQUITY     54142L109       121      6,059 SH       SOLE           2     6,059        --      --
LO-JACK CORPORATION                 EQUITY     539451104        39      9,738 SH       SOLE           1     9,738        --      --
LONGTOP FINL TECHNOLOGIES LT        EQUITY     54318P108        74      2,000 SH       DEFINED        5        --        --   2,000
LOOPNET INC                         EQUITY     543524300       163     16,446 SH       SOLE           2    16,446        --      --
LORAL SPACE & COMMUNICATIONS LTD    EQUITY     543881106     6,183    195,607 SH       SOLE           1   195,607        --      --
LORAL SPACE + COMMUNICATIO          EQUITY     543881106       276      8,745 SH       SOLE           2     8,745        --      --
LORILLARD INC                       EQUITY     544147101     1,313     16,364 SH       SOLE           1    16,364        --      --
LORILLARD INC                       EQUITY     544147101     9,261    115,431 SH       SOLE           2   115,431        --      --
LORILLARD INC                       EQUITY     544147101         8        100 SH       DEFINED        4        --        --     100
LORILLARD INC                       EQUITY     544147101        26        325 SH       DEFINED        5        --        --     325
LOUISIANA PAC CORP                  EQUITY     546347105     2,658    380,853 SH       SOLE           2   380,853        --      --
LOUISIANA PAC CORP                  EQUITY     546347105        13      1,922 SH       DEFINED        4        --        --   1,922
LOWE'S COMPANIES, INC.              EQUITY     548661107       696     29,744 SH       SOLE           1    29,744        --      --
LOWES COS INC                       EQUITY     548661107    22,657    968,660 SH       SOLE           2   968,660        --      --
LOWES COS INC                       EQUITY     548661107        54      2,309 SH       DEFINED        4        --        --   2,309
LOWES COS INC                       EQUITY     548661107       177      7,560 SH       DEFINED        5        --        --   7,560
LSB INDS INC                        EQUITY     502160104       199     14,087 SH       SOLE           2    14,087        --      --
LSI CORP                            EQUITY     502161102     2,118    352,431 SH       SOLE           2   352,431        --      --
LSI CORP.                           EQUITY     502161102     1,209    201,188 SH       SOLE           1   201,188        --      --
LSI CORPORATION                     EQUITY     502161102        40      6,641 SH       DEFINED        5        --        --   6,641
LSI INDS INC                        EQUITY     50216C108       121     15,346 SH       SOLE           2    15,346        --      --
LTC PROP INC                        EQUITY     502175102       331     12,376 SH       SOLE           1    12,376        --      --
LTC PROPERTIES                      EQUITY     502175102       594     22,196 SH       SOLE           2    22,196        --      --
LUBRIZOL CORP                       EQUITY     549271104    11,226    153,888 SH       SOLE           2   153,888        --      --
LUBRIZOL CORP                       EQUITY     549271104         4         53 SH       DEFINED        4        --        --      53
LUBRIZOL CORP.                      EQUITY     549271104       397      5,441 SH       SOLE           1     5,441        --      --
LUBYS CAFETERIAS INC                EQUITY     549282101        61     16,496 SH       SOLE           2    16,496        --      --
LUFKIN INDS INC                     EQUITY     549764108     1,042     14,229 SH       SOLE           2    14,229        --      --
LUFKIN INDS INC COM                 EQUITY     549764108       576      7,873 SH       SOLE           1     7,873        --      --
LULULEMON ATHLETICA INC             EQUITY     550021109       999     33,205 SH       SOLE           2    33,205        --      --
LULULEMON ATHLETICA INC             EQUITY     550021109         6        185 SH       DEFINED        4        --        --     185
LUMBER LIQUIDATORS INC              EQUITY     55003Q103       220      8,202 SH       SOLE           1     8,202        --      --
LUMBER LIQUIDATORS INC              EQUITY     55003Q103       374     13,970 SH       SOLE           2    13,970        --      --
LUMBER LIQUIDATORS INC              EQUITY     55003Q103         1         50 SH       DEFINED        5        --        --      50
LUMINEX CORP DEL                    EQUITY   5.5027E+106       505     33,828 SH       SOLE           2    33,828        --      --
LYDALL INC                          EQUITY     550819106        12      2,367 SH       SOLE           2     2,367        --      --
LYDALL, INC.                        EQUITY     550819106        47      9,035 SH       SOLE           1     9,035        --      --
M & T BK CORP                       EQUITY     55261F104        23        350 SH       DEFINED        5        --        --     350
M + F WORLDWIDE CORP                EQUITY     552541104       346      8,765 SH       SOLE           2     8,765        --      --
M + T BK CORP                       EQUITY     55261F104     3,211     48,007 SH       SOLE           2    48,007        --      --
M&T BANK CORP.                      EQUITY     55261F104       112      1,675 SH       SOLE           1     1,675        --      --
M.D.C. HOLDINGS INC                 EQUITY     552676108     2,633     84,837 SH       SOLE           2    84,837        --      --
M.D.C. HOLDINGS, INC.               EQUITY     552676108       416     13,400 SH       SOLE           1    13,400        --      --
M/I HOMES INC                       EQUITY     55305B101       103      9,939 SH       SOLE           1     9,939        --      --
M/I HOMES INC                       EQUITY     55305B101       183     17,620 SH       SOLE           2    17,620        --      --
MAC GRAY CORP                       EQUITY     554153106        96      9,359 SH       SOLE           2     9,359        --      --
MACERICH CO                         EQUITY     554382101     7,844    218,194 SH       SOLE           2   218,194        --      --
MACERICH CO                         EQUITY     554382101         7        200 SH       DEFINED        5        --        --     200
MAC-GRAY CORP                       EQUITY     554153106        10      1,000 SH       DEFINED        5        --        --   1,000
MACK CA RLTY CORP                   EQUITY     554489104     6,153    177,994 SH       SOLE           2   177,994        --      --
MACKINAC FINL CORP                  EQUITY     554571109       181     39,080 SH       DEFINED        5        --        --  39,080
MACQUARIE INFRASTR CO LLC           EQUITY     55608B105         4        295 SH       DEFINED        5        --        --     295
MACYS INC                           EQUITY     55616P104     2,822    168,394 SH       SOLE           2   168,394        --      --
MACYS INC                           EQUITY     55616P104         2         94 SH       DEFINED        4        --        --      94
MACYS INC                           EQUITY     55616P104       297     17,743 SH       DEFINED        5        --        --  17,743
MACY'S INC                          EQUITY     55616P104     6,489    387,158 SH       SOLE           1   387,158        --      --
MADDEN STEVEN LTD                   EQUITY     556269108       527     12,775 SH       SOLE           2    12,775        --      --
MADISON CLAYMORE CALL &EQTY         EQUITY     556582104       134     15,026 SH       DEFINED        5        --        --  15,026
MADISON STRTG SECTOR PREM FD        EQUITY     558268108       236     19,308 SH       DEFINED        5        --        --  19,308
MAG SILVER CORP                     EQUITY     55903Q104        10      1,650 SH       DEFINED        4        --        --   1,650
MAGELLAN HEALTH SERVICES INC        EQUITY     559079207       769     18,872 SH       SOLE           1    18,872        --      --
MAGELLAN HEALTH SVCS INC            EQUITY     559079207     1,375     33,768 SH       SOLE           2    33,768        --      --
MAGELLAN HEALTH SVCS INC            EQUITY     559079207         3         75 SH       DEFINED        5        --        --      75
MAGELLAN MIDSTREAM PRTNRS LP        EQUITY     559080106       117      2,692 SH       DEFINED        4        --        --   2,692
MAGELLAN MIDSTREAM PRTNRS LP        EQUITY     559080106        22        500 SH       DEFINED        5        --        --     500
MAGNA INTL INC                      EQUITY     559222401         3         57 SH       DEFINED        4        --        --      57
MAGNA INTL INC A                    EQUITY     559222401       716     14,106 SH       OTHER          1        --    14,106      --
MAGNATEK, INC.                      EQUITY     559424106        26     16,633 SH       SOLE           1    16,633        --      --
MAGNETEK INC                        EQUITY     559424106         7      4,382 SH       SOLE           2     4,382        --      --
MAIDEN HOLDINGS LTD                 EQUITY     G5753U112       298     40,764 SH       SOLE           2    40,764        --      --
MAIDENFORM BRANDS INC               EQUITY     560305104       173     10,350 SH       SOLE           1    10,350        --      --
MAIDENFORM BRANDS INC               EQUITY     560305104       303     18,141 SH       SOLE           2    18,141        --      --
MAIN STR CAP CORP                   EQUITY     56035L104        93      5,777 SH       SOLE           2     5,777        --      --
MAIN STREET CAPITAL CORP            EQUITY     56035L104        16      1,000 SH       DEFINED        4        --        --   1,000
MAINSOURCE FINL GROUP INC           EQUITY     56062Y102        79     16,448 SH       SOLE           2    16,448        --      --
MAJESCO ENTERTAINMENT CO            EQUITY     560690208         4      3,300 SH       DEFINED        4        --        --   3,300
MAKO SURGICAL CORP                  EQUITY     560879108       157     14,149 SH       SOLE           2    14,149        --      --
MANHATTAN ASSOCIATES, INC.          EQUITY     562750109       287     11,921 SH       SOLE           1    11,921        --      --
MANHATTAN ASSOCS INC                EQUITY     562750109       528     21,982 SH       SOLE           2    21,982        --      --
MANITOWOC CO., INC.                 EQUITY     563571108     2,409    241,600 SH       SOLE           3   241,600        --      --
MANITOWOC INC                       EQUITY     563571108        38      3,767 SH       SOLE           2     3,767        --      --
MANITOWOC INC                       EQUITY     563571108         4        400 SH       DEFINED        4        --        --     400
MANITOWOC INC                       EQUITY     563571108       150     15,000 SH       DEFINED        5        --        --  15,000
MANNATECH INC                       EQUITY     563771104        26      8,386 SH       SOLE           1     8,386        --      --
MANNATECH INC                       EQUITY     563771104        47     15,044 SH       SOLE           2    15,044        --      --
MANNKIND CORP                       EQUITY     56400P201       414     47,210 SH       SOLE           2    47,210        --      --
MANPOWER INC WIS                    EQUITY     56418H100     9,688    177,500 SH       SOLE           2   177,500        --      --
MANTECH INTL CORP                   EQUITY     564563104     3,263     67,580 SH       SOLE           2    67,580        --      --
MANULIFE FINANCIAL CORP             EQUITY     56501R106     5,672    307,535 SH       OTHER          1        --   307,535      --
MANULIFE FINL CORP                  EQUITY     56501R106         6        330 SH       DEFINED        4        --        --     330





                                                                                            
MAP PHARMACEUTICALS INC             EQUITY     56509R108        70      7,377 SH       SOLE           2     7,377        --      --
MARATHON OIL CORP                   EQUITY     565849106     1,138     36,467 SH       SOLE           1    36,467        --      --
MARATHON OIL CORP                   EQUITY     565849106    21,783    697,724 SH       SOLE           2   697,724        --      --
MARATHON OIL CORP                   EQUITY     565849106        23        736 SH       DEFINED        4        --        --     736
MARATHON OIL CORP                   EQUITY     565849106        59      1,884 SH       DEFINED        5        --        --   1,884
MARCHEX INC                         EQUITY     56624R108        82     16,089 SH       SOLE           2    16,089        --      --
MARCUS CORP                         EQUITY     566330106       144     11,215 SH       SOLE           1    11,215        --      --
MARCUS CORP                         EQUITY     566330106       248     19,328 SH       SOLE           2    19,328        --      --
MARINE PRODS CORP                   EQUITY     568427108        40      8,078 SH       SOLE           2     8,078        --      --
MARINEMAX INC                       EQUITY     567908108       105     11,422 SH       SOLE           1    11,422        --      --
MARINEMAX INC                       EQUITY     567908108        27      2,987 SH       SOLE           2     2,987        --      --
MARINER ENERGY INC                  EQUITY     56845T305       196     16,846 SH       SOLE           1    16,846        --      --
MARINER ENERGY INC                  EQUITY     56845T305     2,665    229,563 SH       SOLE           2   229,563        --      --
MARKEL CORP                         EQUITY     570535104        94        276 SH       SOLE           2       276        --      --
MARKEL CORP                         EQUITY     570535104         2          6 SH       DEFINED        4        --        --       6
MARKET VECTORS ETF TR               EQUITY     57060U704         3        120 SH       DEFINED        4        --        --     120
MARKET VECTORS ETF TR               EQUITY     57060U407         5        200 SH       DEFINED        4        --        --     200
MARKET VECTORS ETF TR               EQUITY     57060U209        41        950 SH       DEFINED        4        --        --     950
MARKET VECTORS ETF TR               EQUITY     57060U613        54      1,087 SH       DEFINED        4        --        --   1,087
MARKET VECTORS ETF TR               EQUITY     57060U738        75      3,000 SH       DEFINED        4        --        --   3,000
MARKET VECTORS ETF TR               EQUITY     57060U506       218      6,994 SH       DEFINED        4        --        --   6,994
MARKET VECTORS ETF TR               EQUITY     57060U589       221      8,583 SH       DEFINED        4        --        --   8,583
MARKET VECTORS ETF TR               EQUITY     57060U753       373      5,995 SH       DEFINED        4        --        --   5,995
MARKET VECTORS ETF TR               EQUITY     57060U605       986     22,527 SH       DEFINED        4        --        --  22,527
MARKET VECTORS ETF TR               EQUITY     57060U100     1,107     23,961 SH       DEFINED        4        --        --  23,961
MARKET VECTORS ETF TR               EQUITY     57060U308     1,656     26,916 SH       DEFINED        4        --        --  26,916
MARKET VECTORS ETF TR               EQUITY     57060U811         6        370 SH       DEFINED        5        --        --     370
MARKET VECTORS ETF TR               EQUITY     57060U589         8        300 SH       DEFINED        5        --        --     300
MARKET VECTORS ETF TR               EQUITY     57060U753        12        185 SH       DEFINED        5        --        --     185
MARKET VECTORS ETF TR               EQUITY     57060U837        13        370 SH       DEFINED        5        --        --     370
MARKET VECTORS ETF TR               EQUITY     57060U613        16        325 SH       DEFINED        5        --        --     325
MARKET VECTORS ETF TR               EQUITY     57060U506        43      1,375 SH       DEFINED        5        --        --   1,375
MARKET VECTORS ETF TR               EQUITY     57060U407        53      2,100 SH       DEFINED        5        --        --   2,100
MARKET VECTORS ETF TR               EQUITY     57060U605       147      3,350 SH       DEFINED        5        --        --   3,350
MARKET VECTORS ETF TR               EQUITY     57060U100       874     18,909 SH       DEFINED        5        --        --  18,909
MARKETAXESS HLDGS INC               EQUITY     57060D108       360     25,911 SH       SOLE           2    25,911        --      --
MARKWEST ENERGY PARTNERS L P        EQUITY     570759100        13        450 SH       DEFINED        5        --        --     450
MARRIOTT INTERNATIONAL, INC.        EQUITY     571903202       140      5,130 SH       SOLE           1     5,130        --      --
MARRIOTT INTL INC NEW               EQUITY     571903202     2,478     90,894 SH       SOLE           2    90,894        --      --
MARRIOTT INTL INC NEW               EQUITY     571903202       134      4,918 SH       DEFINED        5        --        --   4,918
MARSH & MCLENNAN COMPANIES INC      EQUITY     571748102     1,561     70,683 SH       SOLE           1    70,683        --      --
MARSH & MCLENNAN COS INC            EQUITY     571748102        13        571 SH       DEFINED        5        --        --     571
MARSH + MCLENNAN COS INC            EQUITY     571748102     7,150    323,845 SH       SOLE           2   323,845        --      --
MARSHALL & ILSLEY CORP              EQUITY     571837103       850    155,980 SH       SOLE           1   155,980        --      --
MARSHALL & ILSLEY CORP NEW          EQUITY     571837103         5      1,000 SH       DEFINED        5        --        --   1,000
MARSHALL + ILSLEY CORP NEW          EQUITY     571837103     1,553    285,030 SH       SOLE           2   285,030        --      --
MARTEK BIOSCIENCES CORP             EQUITY     572901106     8,923    471,093 SH       SOLE           2   471,093        --      --
MARTEK BIOSCIENCES CORP.            EQUITY     572901106       338     17,841 SH       SOLE           1    17,841        --      --
MARTEN TRANS LTD                    EQUITY     573075108       225     12,557 SH       SOLE           2    12,557        --      --
MARTHA STEWART LIVING INC           EQUITY     573083102       107     21,637 SH       SOLE           2    21,637        --      --
MARTIN MARIETTA MATLS INC           EQUITY     573284106     9,013    100,800 SH       SOLE           2   100,800        --      --
MARTIN MIDSTREAM PRTNRS L P         EQUITY     573331105       218      6,938 SH       DEFINED        4        --        --   6,938
MARTIN MIDSTREAM PRTNRS L P         EQUITY     573331105        15        475 SH       DEFINED        5        --        --     475
MARVEL ENTMT INC                    EQUITY     57383T103     5,930    109,647 SH       SOLE           2   109,647        --      --
MARVELL TECHNOLOGY GROUP L          EQUITY     G5876H105     2,870    138,328 SH       SOLE           2   138,328        --      --
MARVELL TECHNOLOGY GROUP LTD        EQUITY     G5876H105        31      1,510 SH       DEFINED        4        --        --   1,510
MARVELL TECHNOLOGY GROUP LTD        EQUITY     G5876H105         4        180 SH       DEFINED        5        --        --     180
MASCO CORP                          EQUITY     574599106     1,762    127,562 SH       SOLE           2   127,562        --      --
MASCO CORP.                         EQUITY     574599106     1,746    126,398 SH       SOLE           1   126,398        --      --
MASIMO CORP                         EQUITY     574795100        16        535 SH       DEFINED        4        --        --     535
MASIMO CORPORATION                  EQUITY     574795100     4,798    157,731 SH       SOLE           2   157,731        --      --
MASSEY ENERGY COMPANY               EQUITY     576206106        73      1,736 SH       SOLE           1     1,736        --      --
MASSEY ENERGY CORP                  EQUITY     576206106     1,259     29,950 SH       SOLE           2    29,950        --      --
MASSEY ENERGY CORP                  EQUITY     576206106         4        100 SH       DEFINED        5        --        --     100
MASTEC INC                          EQUITY     576323109       532     42,543 SH       SOLE           2    42,543        --      --
MASTEC, INC.                        EQUITY     576323109       773     61,800 SH       SOLE           1    61,800        --      --
MASTEC, INC.                        EQUITY     576323109       189     15,100 SH       SOLE           3    15,100        --      --
MASTERCARD INC                      EQUITY     57636Q104       497      1,940 SH       SOLE           1     1,940        --      --
MASTERCARD INC                      EQUITY     57636Q104    10,370     40,500 SH       SOLE           2    40,500        --      --
MASTERCARD INC                      EQUITY     57636Q104         5         20 SH       DEFINED        4        --        --      20
MASTERCARD INC                      EQUITY     57636Q104       228        890 SH       DEFINED        5        --        --     890
MATRIX SERVICE CO                   EQUITY     576853105       150     14,062 SH       SOLE           1    14,062        --      --
MATRIX SVC CO                       EQUITY     576853105       267     25,038 SH       SOLE           2    25,038        --      --
MATRIXX INITIATIVES INC             EQUITY     57685L105        33      7,725 SH       SOLE           2     7,725        --      --
MATTEL INC                          EQUITY     577081102     4,212    210,763 SH       SOLE           2   210,763        --      --
MATTEL INC                          EQUITY     577081102         4        177 SH       DEFINED        4        --        --     177
MATTEL, INC.                        EQUITY     577081102     2,782    139,251 SH       SOLE           1   139,251        --      --
MATTHEWS INTL CORP                  EQUITY     577128101     3,286     92,759 SH       SOLE           2    92,759        --      --
MATTHEWS INTL CORP                  EQUITY     577128101        71      2,000 SH       DEFINED        4        --        --   2,000
MAX CAPITAL GROUP LTD               EQUITY     G6052F103       840     37,689 SH       SOLE           2    37,689        --      --
MAXIM INTEGRATED PRODS INC          EQUITY     57772K101         1         50 SH       DEFINED        5        --        --      50
MAXIM INTEGRATED PRODS INC          EQUITY     57772K101       493     24,284 SH       SOLE           2    24,284        --      --
MAXIM INTEGRATED PRODS INC          EQUITY     57772K101        24      1,166 SH       DEFINED        4        --        --   1,166
MAXIMUS INC                         EQUITY     577933104       839     16,770 SH       SOLE           2    16,770        --      --
MAXIMUS, INC.                       EQUITY     577933104       467      9,341 SH       SOLE           1     9,341        --      --
MAXWELL TECHNOLOGIES INC            EQUITY     577767106       327     18,328 SH       SOLE           2    18,328        --      --
MAXWELL TECHNOLOGIES INC            EQUITY     577767106        59      3,300 SH       DEFINED        5        --        --   3,300
MAXYGEN INC                         EQUITY     577776107       126     20,648 SH       SOLE           2    20,648        --      --
MB FINL INC                         EQUITY     55264U108       809     41,006 SH       SOLE           2    41,006        --      --
MBIA INC                            EQUITY     55262C100        15      3,670 SH       SOLE           2     3,670        --      --
MBIA INC                            EQUITY     55262C100        12      3,071 SH       DEFINED        4        --        --   3,071
MCAFEE INC                          EQUITY     579064106       129      3,191 SH       SOLE           1     3,191        --      --
MCAFEE INC                          EQUITY     579064106     4,435    109,286 SH       SOLE           2   109,286        --      --
MCCORMICK & CO INC                  EQUITY     579780107         1         33 SH       DEFINED        4        --        --      33
MCCORMICK & CO INC                  EQUITY     579780206         7        200 SH       DEFINED        4        --        --     200
MCCORMICK & CO INC                  EQUITY     579780206        29        803 SH       DEFINED        5        --        --     803
MCCORMICK & CO., INC.               EQUITY     579780206        96      2,647 SH       SOLE           1     2,647        --      --
MCCORMICK + CO INC                  EQUITY     579780206     3,230     89,385 SH       SOLE           2    89,385        --      --
MCCORMICK + SCHMICKS SEAFO          EQUITY     579793100        84     12,123 SH       SOLE           2    12,123        --      --
MCDERMOTT INTERNATIONAL INC         EQUITY     580037109     4,812    200,400 SH       SOLE           3   200,400        --      --
MCDERMOTT INTL INC                  EQUITY     580037109       108      4,499 SH       SOLE           2     4,499        --      --
MCDERMOTT INTL INC                  EQUITY     580037109         9        379 SH       DEFINED        4        --        --     379
MCDONALDS CORP                      EQUITY     580135101    46,163    739,250 SH       SOLE           2   739,250        --      --
MCDONALDS CORP                      EQUITY     580135101       281      4,500 SH       DEFINED        4        --        --   4,500
MCDONALDS CORP                      EQUITY     580135101     1,430     22,904 SH       DEFINED        5        --        --  22,904





                                                                                            
MCDONALD'S CORP                     EQUITY     580135101    21,762    348,530 SH       SOLE           1   348,530        --      --
MCG CAP CORP                        EQUITY     58047P107       231     53,403 SH       SOLE           2    53,403        --      --
MCG CAPITAL CORP                    EQUITY     58047P107        17      4,000 SH       DEFINED        5        --        --   4,000
MCGRATH RENTCORP                    EQUITY     580589109       433     19,381 SH       SOLE           2    19,381        --      --
MCGRAW HILL COS INC                 EQUITY     580645109     9,047    269,939 SH       SOLE           2   269,939        --      --
MCGRAW HILL COS INC                 EQUITY     580645109         2         71 SH       DEFINED        4        --        --      71
MCGRAW-HILL, INC.                   EQUITY     580645109     5,241    156,402 SH       SOLE           1   156,402        --      --
MCKESSON CORP                       EQUITY     58155Q103     5,551     88,814 SH       SOLE           2    88,814        --      --
MCKESSON CORP                       EQUITY     58155Q103        13        205 SH       DEFINED        4        --        --     205
MCKESSON CORP                       EQUITY     58155Q103        21        335 SH       DEFINED        5        --        --     335
MCKESSON CORP.                      EQUITY     58155Q103     4,203     67,242 SH       SOLE           1    67,242        --      --
MCMORAN EXPLORATION CO              EQUITY     582411104       497     62,030 SH       SOLE           2    62,030        --      --
MCMORAN EXPLORATION CO              EQUITY     582411104         4        500 SH       DEFINED        5        --        --     500
MDRNA INC                           EQUITY     55276N100         2      2,070 SH       DEFINED        4        --        --   2,070
MDU RES GROUP INC                   EQUITY     552690109    10,025    424,783 SH       SOLE           2   424,783        --      --
MDU RES GROUP INC                   EQUITY     552690109        11        467 SH       DEFINED        4        --        --     467
MDU RES GROUP INC                   EQUITY     552690109        57      2,414 SH       DEFINED        5        --        --   2,414
MEAD JOHNSON NUTRITION CO           EQUITY     582839106       181      4,140 SH       SOLE           1     4,140        --      --
MEAD JOHNSON NUTRITION CO           EQUITY     582839106     3,165     72,411 SH       SOLE           2    72,411        --      --
MEADOWBROOK INS GROUP INC           EQUITY     58319P108       347     46,926 SH       SOLE           2    46,926        --      --
MEADWESTVACO CORP                   EQUITY     583334107     2,126     74,246 SH       SOLE           1    74,246        --      --
MEADWESTVACO CORP                   EQUITY     583334107     1,752     61,146 SH       SOLE           2    61,146        --      --
MEADWESTVACO CORP                   EQUITY     583334107         3         89 SH       DEFINED        4        --        --      89
MEASUREMENT SPECIALTIES IN          EQUITY     583421102       119     11,826 SH       SOLE           2    11,826        --      --
MECHEL                              EQUITY     583840103     2,902    153,000 SH       SOLE           1   153,000        --      --
MEDALLION FINL CORP                 EQUITY     583928106        99     12,153 SH       SOLE           2    12,153        --      --
MEDASSETS INC                       EQUITY     584045108       931     43,900 SH       SOLE           1    43,900        --      --
MEDASSETS INC                       EQUITY     584045108       683     32,210 SH       SOLE           2    32,210        --      --
MEDASSETS INC                       EQUITY     584045108       227     10,700 SH       SOLE           3    10,700        --      --
MEDCATH CORP                        EQUITY     58404W109        75      9,488 SH       SOLE           1     9,488        --      --
MEDCATH CORP                        EQUITY     58404W109       116     14,630 SH       SOLE           2    14,630        --      --
MEDCO HEALTH SOLUTIONS INC          EQUITY     58405U102    25,892    405,138 SH       SOLE           1   405,138        --      --
MEDCO HEALTH SOLUTIONS INC          EQUITY     58405U102    12,747    199,336 SH       SOLE           2   199,336        --      --
MEDCO HEALTH SOLUTIONS INC          EQUITY     58405U102        30        464 SH       DEFINED        4        --        --     464
MEDCO HEALTH SOLUTIONS INC          EQUITY     58405U102       147      2,301 SH       DEFINED        5        --        --   2,301
MEDIACOM COMMUNICATIONS CO          EQUITY     58446K105       143     32,077 SH       SOLE           2    32,077        --      --
MEDICAL ACTION IND INC              EQUITY     58449L100       185     11,534 SH       SOLE           2    11,534        --      --
MEDICAL PPTYS TR INC                EQUITY     58463J304       767     76,729 SH       SOLE           2    76,729        --      --
MEDICAL PPTYS TRUST INC             EQUITY     58463J304        52      5,215 SH       DEFINED        5        --        --   5,215
MEDICAL PROPERTIES TRUST INC        EQUITY     58463J304       389     38,858 SH       SOLE           1    38,858        --      --
MEDICINES CO                        EQUITY     584688105       359     43,077 SH       SOLE           2    43,077        --      --
MEDICIS PHARMACEUTICAL COR          EQUITY     584690309     4,901    181,168 SH       SOLE           2   181,168        --      --
MEDICIS PHARMACEUTICAL CORP         EQUITY     584690309         3        108 SH       DEFINED        4        --        --     108
MEDIDATA SOLUTIONS INC              EQUITY     58471A105     1,997    128,011 SH       SOLE           2   128,011        --      --
MEDIFAST INC                        EQUITY     58470H101       324     10,595 SH       SOLE           2    10,595        --      --
MEDIFAST INC                        EQUITY     58470H101         6        200 SH       DEFINED        4        --        --     200
MEDIVATION INC                      EQUITY     58501N101       889     23,600 SH       SOLE           1    23,600        --      --
MEDIVATION INC                      EQUITY     58501N101       883     23,444 SH       SOLE           2    23,444        --      --
MEDIVATION INC                      EQUITY     58501N101       200      5,300 SH       SOLE           3     5,300        --      --
MEDIVATION INC                      EQUITY     58501N101        19        500 SH       DEFINED        4        --        --     500
MEDNAX INC                          EQUITY     58502B106     1,480     24,624 SH       SOLE           1    24,624        --      --
MEDNAX INC                          EQUITY     58502B106       463      7,709 SH       SOLE           2     7,709        --      --
MEDQUIST INC                        EQUITY     584949101        50      7,485 SH       SOLE           2     7,485        --      --
MEDTRONIC INC                       EQUITY     585055106    31,579    717,817 SH       SOLE           2   717,817        --      --
MEDTRONIC INC                       EQUITY     585055106       172      3,911 SH       DEFINED        4        --        --   3,911
MEDTRONIC INC                       FIXED
                                      INCOME   585055AL0        25         25 PRN      DEFINED        4        --        --      25
MEDTRONIC INC                       EQUITY     585055106        51      1,150 SH       DEFINED        5        --        --   1,150
MEDTRONIC INC                       FIXED
                                      INCOME   585055AM8       350        335 PRN      DEFINED        5        --        --     335
MEDTRONIC, INC.                     EQUITY     585055106    12,281    279,250 SH       SOLE           1   279,250        --      --
MEMC ELECTR MATLS INC               EQUITY     552715104     5,848    429,404 SH       SOLE           2   429,404        --      --
MEMC ELECTR MATLS INC               EQUITY     552715104         3        202 SH       DEFINED        4        --        --     202
MEMC ELECTRONIC MATERIALS, INC      EQUITY     552715104        62      4,525 SH       SOLE           1     4,525        --      --
MEMSIC INC                          EQUITY     586264103        42     12,660 SH       SOLE           2    12,660        --      --
MENS WEARHOUSE INC                  EQUITY     587118100     1,051     49,884 SH       SOLE           2    49,884        --      --
MENS WEARHOUSE, INC.                EQUITY     587118100       585     27,789 SH       SOLE           1    27,789        --      --
MENTOR GRAPHICS CORP                EQUITY     587200106     2,620    296,689 SH       SOLE           2   296,689        --      --
MERCADOLIBRE INC                    EQUITY     58733R102     1,094     21,097 SH       SOLE           2    21,097        --      --
MERCADOLIBRE INC                    EQUITY     58733R102       480      9,257 SH       DEFINED        4        --        --   9,257
MERCER INS GROUP INC                EQUITY     587902107        83      4,563 SH       SOLE           2     4,563        --      --
MERCHANTS BANCSHARES INC            EQUITY     588448100        88      3,903 SH       SOLE           2     3,903        --      --
MERCK & CO INC NEW                  EQUITY     58933Y105       192      5,260 SH       DEFINED        4        --        --   5,260
MERCK & CO INC NEW                  EQUITY     58933Y204        90        350 SH       DEFINED        5        --        --     350
MERCK & CO INC NEW                  EQUITY     58933Y105       145      3,980 SH       DEFINED        5        --        --   3,980
MERCK & CO INC/NJ                   EQUITY     58933Y105    11,726    320,913 SH       SOLE           1   320,913        --      --
MERCK + CO INC NEW                  EQUITY     58933Y105    55,199  1,510,276 SH       SOLE           2 1,510,276        --      --
MERCURY COMPUTER SYS INC            EQUITY     589378108       240     21,803 SH       SOLE           2    21,803        --      --
MERCURY COMPUTER SYSTEMS INC        EQUITY     589378108       137     12,440 SH       SOLE           1    12,440        --      --
MERCURY GEN CORP                    EQUITY     589400100     3,155     80,356 SH       SOLE           2    80,356        --      --
MEREDITH CORP                       EQUITY     589433101        23        746 SH       SOLE           1       746        --      --
MEREDITH CORP                       EQUITY     589433101     6,261    202,955 SH       SOLE           2   202,955        --      --
MEREDITH CORP                       EQUITY     589433101         3         83 SH       DEFINED        4        --        --      83
MERGE HEALTHCARE INC                EQUITY     589499102     5,035  1,498,547 SH       SOLE           2 1,498,547        --      --
MERIDIAN BIOSCIENCE INC             EQUITY     589584101         1         52 SH       DEFINED        4        --        --      52
MERIDIAN BIOSCIENCE INC             EQUITY     589584101       466     21,604 SH       SOLE           1    21,604        --      --
MERIDIAN BIOSCIENCE INC             EQUITY     589584101       836     38,801 SH       SOLE           2    38,801        --      --
MERIDIAN INTST BANCORP INC          EQUITY     58964Q104        69      7,970 SH       SOLE           2     7,970        --      --
MERIT MED SYS INC                   EQUITY     589889104       288     14,950 SH       SOLE           1    14,950        --      --
MERIT MED SYS INC                   EQUITY     589889104       516     26,756 SH       SOLE           2    26,756        --      --
MERITAGE HOME CORP                  EQUITY     59001A102       581     30,059 SH       SOLE           2    30,059        --      --
MERITAGE HOMES CORPORATION          EQUITY     59001A102       330     17,062 SH       SOLE           1    17,062        --      --
MESA AIR GROUP INC                  EQUITY     590479101         1     10,000 SH       DEFINED        5        --        --  10,000
MET PRO CORP                        EQUITY     590876306       127     11,926 SH       SOLE           2    11,926        --      --
METABOLIX INC                       EQUITY     591018809       202     18,266 SH       SOLE           2    18,266        --      --
METABOLIX INC                       EQUITY     591018809         7        650 SH       DEFINED        5        --        --     650
METALICO INC                        EQUITY     591176102       133     27,065 SH       SOLE           2    27,065        --      --
METHODE ELECTRONICS, INC.           EQUITY     591520200       174     20,042 SH       SOLE           1    20,042        --      --
METHODE ELECTRS INC                 EQUITY     591520200       314     36,118 SH       SOLE           2    36,118        --      --
METLIFE INC                         EQUITY     59156R108    18,181    514,326 SH       SOLE           2   514,326        --      --
METLIFE INC                         EQUITY     59156R108         9        241 SH       DEFINED        4        --        --     241
METLIFE INC                         EQUITY     59156R108       149      4,211 SH       DEFINED        5        --        --   4,211
METLIFE, INC.                       EQUITY     59156R108     1,247     35,263 SH       SOLE           1    35,263        --      --
METRO BANCORP INC PA                EQUITY     59161R101        99      7,851 SH       SOLE           2     7,851        --      --
METROPCS COMMUNICATIONS IN          EQUITY     591708102       917    120,204 SH       SOLE           2   120,204        --      --
METROPCS COMMUNICATIONS INC         EQUITY     591708102       427     55,962 SH       SOLE           1    55,962        --      --
METROPOLITAN HEALTH NETWOR          EQUITY     592142103        60     29,958 SH       SOLE           2    29,958        --      --





                                                                                            
METTLER TOLEDO INTL INC             EQUITY     592688105     7,986     76,063 SH       SOLE           2    76,063        --      --
MF GLOBAL LTD                       EQUITY     G60642108       549     79,050 SH       SOLE           2    79,050        --      --
MF GLOBAL LTD                       EQUITY     G60642108        38      5,500 SH       DEFINED        5        --        --   5,500
MFA FINANCIAL INC                   EQUITY     55272X102        21      2,909 SH       SOLE           1     2,909        --      --
MFA FINANCIAL INC                   EQUITY     55272X102     4,843    658,938 SH       SOLE           2   658,938        --      --
MFA FINANCIAL INC                   EQUITY     55272X102         1        201 SH       DEFINED        4        --        --     201
MFS CALIF INSD MUN FD               EQUITY     59318C106        26      2,315 SH       DEFINED        5        --        --   2,315
MFS GOVT MKTS INCOME TR             EQUITY     552939100         7      1,000 SH       DEFINED        5        --        --   1,000
MFS INTER INCOME TR                 EQUITY     55273C107        25      3,700 SH       DEFINED        4        --        --   3,700
MFS INTER INCOME TR                 EQUITY     55273C107        42      6,300 SH       DEFINED        5        --        --   6,300
MFS MULTIMARKET INCOME TR           EQUITY     552737108         5        700 SH       DEFINED        4        --        --     700
MFS MUN INCOME TR                   EQUITY     552738106         2        307 SH       DEFINED        4        --        --     307
MFS MUN INCOME TR                   EQUITY     552738106         3        512 SH       DEFINED        5        --        --     512
MFS SPL VALUE TR                    EQUITY   5.5274E+106         6        839 SH       DEFINED        5        --        --     839
MGE ENERGY INC                      EQUITY     55277P104       674     18,858 SH       SOLE           2    18,858        --      --
MGIC INVT CORP WIS                  EQUITY     552848103       591    102,183 SH       SOLE           2   102,183        --      --
MGM MIRAGE                          EQUITY     552953101         3        300 SH       DEFINED        4        --        --     300
MGM MIRAGE                          EQUITY     552953101        37      4,100 SH       DEFINED        5        --        --   4,100
MGM MIRAGE INC                      EQUITY     552953101        44      4,873 SH       SOLE           2     4,873        --      --
MICREL INC                          EQUITY     594793101       353     43,024 SH       SOLE           2    43,024        --      --
MICREL, INC.                        EQUITY     594793101       188     22,917 SH       SOLE           1    22,917        --      --
MICROCHIP TECHNOLOGY INC            EQUITY     595017104     3,903    134,288 SH       SOLE           2   134,288        --      --
MICROCHIP TECHNOLOGY, INC.          EQUITY     595017104     1,563     53,816 SH       SOLE           1    53,816        --      --
MICROMET INC                        EQUITY     59509C105       312     46,849 SH       SOLE           2    46,849        --      --
MICRON TECHNOLOGY INC               EQUITY     595112103     3,200    302,982 SH       SOLE           2   302,982        --      --
MICRON TECHNOLOGY INC               EQUITY     595112103        22      2,105 SH       DEFINED        5        --        --   2,105
MICRON TECHNOLOGY, INC.             EQUITY     595112103     2,441    231,151 SH       SOLE           1   231,151        --      --
MICROS SYS INC                      EQUITY     594901100     5,572    179,561 SH       SOLE           2   179,561        --      --
MICROS SYSTEMS, INC.                EQUITY     594901100        57      1,828 SH       SOLE           1     1,828        --      --
MICROSEMI CORP                      EQUITY     595137100     1,381     77,811 SH       SOLE           2    77,811        --      --
MICROSEMI CORP.                     EQUITY     595137100       776     43,713 SH       SOLE           1    43,713        --      --
MICROSOFT CORP                      EQUITY     594918104   136,060  4,460,426 SH       SOLE           2 4,460,426        --      --
MICROSOFT CORP                      EQUITY     594918104       837     27,467 SH       DEFINED        4        --        --  27,467
MICROSOFT CORP                      EQUITY     594918104     1,807     59,276 SH       DEFINED        5        --        --  59,276
MICROSOFT CORP.                     EQUITY     594918104    29,810    977,971 SH       SOLE           1   977,971        --      --
MICROSTRATEGY INC                   EQUITY     594972408       695      7,392 SH       SOLE           2     7,392        --      --
MICROTUNE INC DEL                   EQUITY     59514P109        96     42,551 SH       SOLE           2    42,551        --      --
MICROVISION INC DEL                 EQUITY     594960106         6      2,000 SH       DEFINED        5        --        --   2,000
MICROVISION INC WASH                EQUITY     594960106       230     72,410 SH       SOLE           2    72,410        --      --
MICRUS CORP                         EQUITY     59518V102       193     12,866 SH       SOLE           2    12,866        --      --
MID AMER APT CMNTYS INC             EQUITY     59522J103     1,309     27,106 SH       SOLE           2    27,106        --      --
MID-AMERICA APT. COMMUNITIES        EQUITY     59522J103       779     16,142 SH       SOLE           1    16,142        --      --
MIDAS INC                           EQUITY     595626102       114     13,455 SH       SOLE           2    13,455        --      --
MIDAS, INC.                         EQUITY     595626102       351     41,553 SH       SOLE           1    41,553        --      --
MIDCAP SPDR TR                      EQUITY     595635103       441      3,348 SH       DEFINED        4        --        --   3,348
MIDCAP SPDR TR                      EQUITY     595635103        86        654 SH       DEFINED        5        --        --     654
MIDDLEBROOK PHARMACEUTICAL          EQUITY     596087106        15     29,740 SH       SOLE           2    29,740        --      --
MIDDLEBY CORP                       EQUITY     596278101         1         26 SH       DEFINED        5        --        --      26
MIDDLEBY CORP                       EQUITY     596278101       654     13,333 SH       SOLE           2    13,333        --      --
MIDDLESEX WATER CO                  EQUITY     596680108         5        300 SH       DEFINED        4        --        --     300
MIDDLESEX WTR CO                    EQUITY     596680108       193     10,969 SH       SOLE           2    10,969        --      --
MIDSOUTH BANCORP INC                EQUITY     598039105        52      3,743 SH       SOLE           2     3,743        --      --
MILLER HERMAN INC                   EQUITY     600544100     2,698    168,836 SH       SOLE           2   168,836        --      --
MILLER INDS INC TENN                EQUITY     600551204        93      8,221 SH       SOLE           2     8,221        --      --
MILLER INDS INC TENN                EQUITY     600551204         6        500 SH       DEFINED        4        --        --     500
MILLICOM INTERNATIONALCELL          EQUITY     L6388F110       461      6,251 SH       SOLE           2     6,251        --      --
MILLICOM INTL CELLULAR S A          EQUITY     L6388F110        16        215 SH       DEFINED        4        --        --     215
MILLICOM INTL CELLULAR S A          EQUITY     L6388F110         3         41 SH       DEFINED        5        --        --      41
MILLIPORE CORP                      EQUITY     601073109     1,402     19,374 SH       SOLE           2    19,374        --      --
MILLIPORE CORP.                     EQUITY     601073109        82      1,130 SH       SOLE           1     1,130        --      --
MINDRAY MEDICAL INTL LTD            EQUITY     602675100         4        114 SH       DEFINED        5        --        --     114
MINE SAFETY APPLIANCES CO           EQUITY     602720104     2,371     89,382 SH       SOLE           2    89,382        --      --
MINEFINDERS LTD CALL                OPTION     602900902         1         15     CALL DEFINED        5        --        --      15
MINERALS TECHNOLOGIES INC           EQUITY     603158106     3,110     57,096 SH       SOLE           2    57,096        --      --
MIPS TECHNOLOGIES INC COM           EQUITY     604567107       161     36,763 SH       SOLE           2    36,763        --      --
MIRANT CORP                         EQUITY     60467R100     6,453    422,600 SH       SOLE           1   422,600        --      --
MIRANT CORP NEW                     EQUITY     60467R100        61      4,009 SH       SOLE           2     4,009        --      --
MISSION WEST PPTYS INC MD           EQUITY     605203108       104     14,425 SH       SOLE           2    14,425        --      --
MISTRAS GROUP INC                   EQUITY     60649T107       123      8,157 SH       SOLE           2     8,157        --      --
MITSUBISHI UFJ FINL GROUP IN        EQUITY     606822104         2        338 SH       DEFINED        4        --        --     338
MITSUBISHI UFJ FINL GROUP IN        EQUITY     606822104         8      1,525 SH       DEFINED        5        --        --   1,525
MKS INSTRS INC                      EQUITY     55306N104       822     47,212 SH       SOLE           2    47,212        --      --
MKS INSTRUMENTS, INC.               EQUITY     55306N104       462     26,573 SH       SOLE           1    26,573        --      --
MOBILE MINI INC                     EQUITY     60740F105       478     33,960 SH       SOLE           2    33,960        --      --
MOBILE MINI INC.                    EQUITY     60740F105       266     18,881 SH       SOLE           1    18,881        --      --
MOBILE TELESYSTEMS-SP ADR           EQUITY     607409109    22,636    462,850 SH       SOLE           1   462,850        --      --
MODINE MFG CO                       EQUITY     607828100       453     38,227 SH       SOLE           2    38,227        --      --
MODUSLINK GLOBAL SOLUTIONS          EQUITY     60786L107       351     37,317 SH       SOLE           2    37,317        --      --
MOHAWK INDS INC                     EQUITY     608190104     6,043    126,959 SH       SOLE           2   126,959        --      --
MOLECULAR INSIGHT PHARMCEU          EQUITY     60852M104        31     13,853 SH       SOLE           2    13,853        --      --
MOLEX INC                           EQUITY     608554101     1,599     74,197 SH       SOLE           2    74,197        --      --
MOLEX, INC.                         EQUITY     608554101     6,452    299,412 SH       SOLE           1   299,412        --      --
MOLINA HEALTHCARE INC               EQUITY     60855R100       163      7,131 SH       SOLE           1     7,131        --      --
MOLINA HEALTHCARE INC               EQUITY     60855R100       290     12,670 SH       SOLE           2    12,670        --      --
MOLSON COORS BREWING CO             EQUITY     60871R209       143      3,174 SH       SOLE           1     3,174        --      --
MOLSON COORS BREWING CO             EQUITY     60871R209     2,512     55,615 SH       SOLE           2    55,615        --      --
MOLSON COORS BREWING CO             EQUITY     60871R209         8        174 SH       DEFINED        4        --        --     174
MOLSON COORS BREWING CO             EQUITY     60871R209        15        325 SH       DEFINED        5        --        --     325
MOMENTA PHARMACEUTICALS IN          EQUITY     60877T100       404     32,056 SH       SOLE           2    32,056        --      --
MONARCH CASINO & RESOR              EQUITY     609027107        49      6,059 SH       SOLE           1     6,059        --      --
MONARCH CASINO + RESORT IN          EQUITY     609027107        72      8,882 SH       SOLE           2     8,882        --      --
MONEYGRAM INTL INC                  EQUITY     60935Y109       194     67,411 SH       SOLE           2    67,411        --      --
MONMOUTH REAL ESTATE INVT           EQUITY     609720107       132     17,800 SH       SOLE           2    17,800        --      --
MONOLITHIC POWER SYSTEMS INC        EQUITY     609839105       890     37,147 SH       SOLE           3    37,147        --      --
MONOLITHIC PWR SYS INC              EQUITY     609839105       663     27,662 SH       SOLE           2    27,662        --      --
MONOTYPE IMAGING HOLDINGS           EQUITY     61022P100       160     17,697 SH       SOLE           2    17,697        --      --
MONOTYPE IMAGING HOLDINGS IN        EQUITY     61022P100         2        200 SH       DEFINED        4        --        --     200
MONRO MUFFLER BRAKE IN              EQUITY     610236101       349     10,426 SH       SOLE           1    10,426        --      --
MONRO MUFFLER BRAKE INC             EQUITY     610236101       548     16,399 SH       SOLE           2    16,399        --      --
MONSANTO CO                         EQUITY     61166W101     1,405     17,187 SH       SOLE           1    17,187        --      --
MONSANTO CO NEW                     EQUITY     61166W101    25,929    317,079 SH       SOLE           2   317,079        --      --
MONSANTO CO NEW                     EQUITY     61166W101       111      1,355 SH       DEFINED        4        --        --   1,355
MONSANTO CO NEW                     EQUITY     61166W101        74        903 SH       DEFINED        5        --        --     903
MONSTER WORLDWIDE INC               EQUITY     611742107        44      2,544 SH       SOLE           1     2,544        --      --
MONSTER WORLDWIDE INC               EQUITY     611742107       969     55,657 SH       SOLE           2    55,657        --      --





                                                                                            
MONTPELIER RE HOLDINGS LTD          EQUITY     G62185106     1,221     70,518 SH       SOLE           2    70,518        --      --
MOODYS CORP                         EQUITY     615369105     1,932     72,066 SH       SOLE           2    72,066        --      --
MOODYS CORP                         EQUITY     615369105        29      1,092 SH       DEFINED        5        --        --   1,092
MOODY'S CORP.                       EQUITY     615369105     1,458     54,421 SH       SOLE           1    54,421        --      --
MOOG INC                            EQUITY     615394202     1,268     43,373 SH       SOLE           2    43,373        --      --
MOOG INC.                           EQUITY     615394202       711     24,338 SH       SOLE           1    24,338        --      --
MORGAN STANLEY                      EQUITY     617446448     3,968    134,066 SH       SOLE           1   134,066        --      --
MORGAN STANLEY                      EQUITY     617446448    18,357    620,168 SH       SOLE           2   620,168        --      --
MORGAN STANLEY                      EQUITY     61745P668         4        350 SH       DEFINED        4        --        --     350
MORGAN STANLEY                      EQUITY     61745P791         9        640 SH       DEFINED        4        --        --     640
MORGAN STANLEY                      EQUITY     61745P866        18      1,320 SH       DEFINED        4        --        --   1,320
MORGAN STANLEY                      EQUITY     61745P437         5        606 SH       DEFINED        5        --        --     606
MORGAN STANLEY                      EQUITY     61745P866         7        526 SH       DEFINED        5        --        --     526
MORGAN STANLEY                      EQUITY     61745P668        18      1,444 SH       DEFINED        5        --        --   1,444
MORGAN STANLEY                      EQUITY     617446448        20        685 SH       DEFINED        5        --        --     685
MORGAN STANLEY                      EQUITY     61745P734        65      5,415 SH       DEFINED        5        --        --   5,415
MORGAN STANLEY EM MKTS DM DE        EQUITY     617477104        47      3,450 SH       DEFINED        5        --        --   3,450
MORGAN STANLEY EMER MKTS DEB        EQUITY     61744H105        11      1,080 SH       DEFINED        5        --        --   1,080
MORGAN STANLEY INDIA INVS FD        EQUITY     61745C105       260     11,514 SH       DEFINED        5        --        --  11,514
MORGANS HOTEL GROUP CO              EQUITY     61748W108        80     17,738 SH       SOLE           2    17,738        --      --
MORNINGSTAR INC                     EQUITY     617700109        18        367 SH       SOLE           2       367        --      --
MOSAIC CO                           EQUITY     61945A107        18        300 SH       DEFINED        4        --        --     300
MOSAIC CO                           EQUITY     61945A107       124      2,070 SH       DEFINED        5        --        --   2,070
MOTOROLA INC                        EQUITY     620076109     5,936    764,999 SH       SOLE           2   764,999        --      --
MOTOROLA INC                        EQUITY     620076109         5        647 SH       DEFINED        4        --        --     647
MOTOROLA INC                        EQUITY     620076109       236     30,416 SH       DEFINED        5        --        --  30,416
MOTOROLA, INC.                      EQUITY     620076109     5,608    722,645 SH       SOLE           1   722,645        --      --
MOVADO GROUP INC                    EQUITY     624580106       153     15,734 SH       SOLE           2    15,734        --      --
MOVADO GROUP, INC.                  EQUITY     624580106        93      9,585 SH       SOLE           1     9,585        --      --
MOVE INC                            EQUITY     62458M108       209    125,970 SH       SOLE           2   125,970        --      --
MPS GROUP INC                       EQUITY     553409103     2,638    192,000 SH       SOLE           1   192,000        --      --
MPS GROUP INC                       EQUITY     553409103     3,899    283,734 SH       SOLE           2   283,734        --      --
MSC INDL DIRECT INC                 EQUITY     553530106     4,660     99,150 SH       SOLE           2    99,150        --      --
MSCI INC                            EQUITY     55354G100     7,418    233,263 SH       SOLE           2   233,263        --      --
MSCI INC                            EQUITY     55354G100         2         60 SH       DEFINED        4        --        --      60
MTS SYS CORP                        EQUITY     553777103       460     16,016 SH       SOLE           2    16,016        --      --
MTS SYSTEMS CORP.                   EQUITY     553777103       255      8,856 SH       SOLE           1     8,856        --      --
MUELLER INDS INC                    EQUITY     624756102     1,890    196,627 SH       SOLE           2   196,627        --      --
MUELLER INDUSTRIES, INC.            EQUITY     624756102       502     20,206 SH       SOLE           1    20,206        --      --
MUELLER WATER PRODUCTS INC          EQUITY     624758108        10      1,862 SH       SOLE           1     1,862        --      --
MUELLER WTR PRODS INC               EQUITY     624758108       653    125,624 SH       SOLE           2   125,624        --      --
MUELLER WTR PRODS INC               EQUITY     624758108        12      2,300 SH       DEFINED        4        --        --   2,300
MULTI COLOR CORP                    EQUITY     625383104       103      8,455 SH       SOLE           2     8,455        --      --
MULTI FINELINE ELECTRONIX           EQUITY     62541B101       228      8,027 SH       SOLE           2     8,027        --      --
MULTIMEDIA GAMES INC                EQUITY     625453105        87     14,489 SH       SOLE           1    14,489        --      --
MULTIMEDIA GAMES INC                EQUITY     625453105       154     25,588 SH       SOLE           2    25,588        --      --
MURPHY OIL CORP                     EQUITY     626717102     7,647    141,082 SH       SOLE           2   141,082        --      --
MURPHY OIL CORP                     EQUITY     626717102         3         47 SH       DEFINED        4        --        --      47
MURPHY OIL CORP.                    EQUITY     626717102       380      7,011 SH       SOLE           1     7,011        --      --
MVC CAP INC                         EQUITY     553829102       208     17,664 SH       SOLE           2    17,664        --      --
MWI VETERINARY SUPPLY INC           EQUITY     55402X105       245      6,497 SH       SOLE           1     6,497        --      --
MWI VETERINARY SUPPLY INC           EQUITY     55402X105       396     10,513 SH       SOLE           2    10,513        --      --
MWI VETERINARY SUPPLY INC           EQUITY     55402X105        11        300 SH       DEFINED        5        --        --     300
MYERS IND INC                       EQUITY     628464109       270     29,692 SH       SOLE           2    29,692        --      --
MYERS INDUSTRIES, INC.              EQUITY     628464109       138     15,148 SH       SOLE           1    15,148        --      --
MYLAN INC                           EQUITY     628530107    16,020    869,176 SH       SOLE           2   869,176        --      --
MYLAN INC                           EQUITY     628530107         6        300 SH       DEFINED        4        --        --     300
MYLAN INC                           EQUITY     628530206       104         90 SH       DEFINED        5        --        --      90
MYLAN INC                           EQUITY     628530107       137      7,410 SH       DEFINED        5        --        --   7,410
MYLAN INC.                          EQUITY     628530107     3,692    200,350 SH       SOLE           1   200,350        --      --
MYR GROUP INC DEL                   EQUITY     55405W104       254     14,074 SH       SOLE           2    14,074        --      --
MYRIAD GENETICS INC                 EQUITY     62855J104        49      1,860 SH       SOLE           2     1,860        --      --
MYRIAD PHARMACEUTICALS              EQUITY     62856H107        98     19,502 SH       SOLE           2    19,502        --      --
NABI BIOPHARMACEUTICALS             EQUITY     629519109       206     42,048 SH       SOLE           2    42,048        --      --
NABORS INDS INC                     FIXED
                                      INCOME   629568AP1         3          3 PRN      DEFINED        5        --        --       3
NABORS INDUSTRIES LTD               EQUITY     G6359F103     3,241    147,988 SH       SOLE           2   147,988        --      --
NABORS INDUSTRIES LTD               EQUITY     G6359F103        11        500 SH       DEFINED        4        --        --     500
NACCO INDS INC                      EQUITY     629579103       218      4,380 SH       SOLE           2     4,380        --      --
NALCO HLDG CO                       EQUITY     62985Q101        69      2,712 SH       SOLE           2     2,712        --      --
NAM TAI ELECTRS INC                 EQUITY     629865205        21      4,000 SH       DEFINED        5        --        --   4,000
NANOMETRICS INC.                    EQUITY     630077105       674     59,500 SH       SOLE           3    59,500        --      --
NANOSPHERE INC                      EQUITY     63009F105        67     10,456 SH       SOLE           2    10,456        --      --
NARA BANCORP INC                    EQUITY     63080P105       197     17,379 SH       SOLE           1    17,379        --      --
NARA BANCORP INC                    EQUITY     63080P105       357     31,516 SH       SOLE           2    31,516        --      --
NASB FINL INC                       EQUITY     628968109        66      2,815 SH       SOLE           2     2,815        --      --
NASDAQ OMX GROUP INC                EQUITY     631103108     6,942    350,238 SH       SOLE           2   350,238        --      --
NASDAQ OMX GROUP INC                EQUITY     631103108         9        440 SH       DEFINED        4        --        --     440
NASDAQ OMX GROUP/THE                EQUITY     631103108     1,071     54,025 SH       SOLE           1    54,025        --      --
NASDAQ PREM INCM & GRW FD IN        EQUITY     63110R105        38      2,648 SH       DEFINED        4        --        --   2,648
NASDAQ PREM INCM & GRW FD IN        EQUITY     63110R105        38      2,663 SH       DEFINED        5        --        --   2,663
NASH FINCH CO                       EQUITY     631158102       455     12,277 SH       SOLE           2    12,277        --      --
NASHFINCH CO.                       EQUITY     631158102       256      6,892 SH       SOLE           1     6,892        --      --
NATIONAL BANKSHARES INC VA          EQUITY     634865109       160      5,660 SH       SOLE           2     5,660        --      --
NATIONAL BEVERAGE CORP              EQUITY     635017106       123      8,868 SH       SOLE           2     8,868        --      --
NATIONAL CINEMEDIA INC              EQUITY     635309107       570     34,404 SH       SOLE           2    34,404        --      --
NATIONAL FINANCIAL PARTNERS         EQUITY     63607P208       180     22,196 SH       SOLE           1    22,196        --      --
NATIONAL FINL PARTNERS COR          EQUITY     63607P208       319     39,422 SH       SOLE           2    39,422        --      --
NATIONAL FUEL GAS CO N J            EQUITY     636180101     9,105    182,095 SH       SOLE           2   182,095        --      --
NATIONAL FUEL GAS CO N J            EQUITY     636180101        99      1,980 SH       DEFINED        5        --        --   1,980
NATIONAL GRID PLC                   EQUITY     636274300        11        200 SH       DEFINED        5        --        --     200
NATIONAL HEALTH INVS INC            EQUITY     63633D104       784     21,201 SH       SOLE           2    21,201        --      --
NATIONAL HEALTH INVS INC            EQUITY     63633D104        14        385 SH       DEFINED        5        --        --     385
NATIONAL HEALTHCARE CORP            EQUITY     635906100       236      6,532 SH       SOLE           2     6,532        --      --
NATIONAL INSTRS CORP                EQUITY     636518102     3,770    128,024 SH       SOLE           2   128,024        --      --
NATIONAL INSTRS CORP                EQUITY     636518102         6        200 SH       DEFINED        4        --        --     200
NATIONAL INTST CORP                 EQUITY     63654U100        85      4,989 SH       SOLE           2     4,989        --      --
NATIONAL OILWELL VARCO INC          EQUITY     637071101     4,756    107,862 SH       SOLE           1   107,862        --      --
NATIONAL OILWELL VARCO INC          EQUITY     637071101     8,467    191,967 SH       SOLE           2   191,967        --      --
NATIONAL OILWELL VARCO INC          EQUITY     637071101        12        277 SH       DEFINED        4        --        --     277
NATIONAL OILWELL VARCO INC          EQUITY     637071101       513     11,644 SH       DEFINED        5        --        --  11,644
NATIONAL PENN BANCSHARES I          EQUITY     637138108       700    120,891 SH       SOLE           2   120,891        --      --
NATIONAL PENN BANCSHARES INC        EQUITY     637138108       190     32,753 SH       DEFINED        4        --        --  32,753
NATIONAL PENN BANCSHARES, INC.      EQUITY     637138108       391     67,465 SH       SOLE           1    67,465        --      --
NATIONAL PRESTO INDS INC            EQUITY     637215104       501      4,588 SH       SOLE           2     4,588        --      --
NATIONAL PRESTO INDUSTRIES          EQUITY     637215104       277      2,540 SH       SOLE           1     2,540        --      --





                                                                                            
NATIONAL RESH CORP                  EQUITY     637372103        28      1,354 SH       SOLE           2     1,354        --      --
NATIONAL RETAIL PPTYS INC           EQUITY     637417106     1,631     76,864 SH       SOLE           2    76,864        --      --
NATIONAL RETAIL PROPERTIES I        EQUITY     637417106       634     29,856 SH       DEFINED        4        --        --  29,856
NATIONAL RETAIL PROPERTIES INC      EQUITY     637417106       902     42,513 SH       SOLE           1    42,513        --      --
NATIONAL SEMICONDUCTOR COR          EQUITY     637640103     1,980    128,878 SH       SOLE           2   128,878        --      --
NATIONAL SEMICONDUCTOR CORP         EQUITY     637640103         2        100 SH       DEFINED        5        --        --     100
NATIONAL SEMICONDUCTOR CORP.        EQUITY     637640103        74      4,787 SH       SOLE           1     4,787        --      --
NATIONAL WESTN LIFE INS CO          EQUITY     638522102       320      1,842 SH       SOLE           2     1,842        --      --
NATIONWIDE HEALTH PPTYS IN          EQUITY     638620104     8,910    253,255 SH       SOLE           2   253,255        --      --
NATIONWIDE HEALTH PROPERTIES        EQUITY     638620104        73      2,069 SH       SOLE           1     2,069        --      --
NATURAL GAS SVCS GROUP INC          EQUITY     63886Q109       186      9,879 SH       SOLE           2     9,879        --      --
NATURAL RESOURCE PARTNERS L         EQUITY     63900P103         7        300 SH       DEFINED        4        --        --     300
NATURAL RESOURCE PARTNERS L         EQUITY     63900P103         5        200 SH       DEFINED        5        --        --     200
NATUS MED INC DEL                   EQUITY     639050103       397     26,844 SH       SOLE           2    26,844        --      --
NATUS MEDICAL INC                   EQUITY     639050103       222     15,024 SH       SOLE           1    15,024        --      --
NAUTILUS INC                        EQUITY     63910B102        22     11,056 SH       SOLE           1    11,056        --      --
NAUTILUS INC                        EQUITY     63910B102         6      2,897 SH       SOLE           2     2,897        --      --
NAVIGANT CONSULTING CO              EQUITY     63935N107     5,605    377,207 SH       SOLE           2   377,207        --      --
NAVIGATORS GROUP INC                EQUITY     638904102       337      7,162 SH       SOLE           1     7,162        --      --
NAVIGATORS GROUP INC                EQUITY     638904102       569     12,076 SH       SOLE           2    12,076        --      --
NAVIOS MARITIME HOLDINGS INC        EQUITY     Y62196103        79     13,000 SH       DEFINED        5        --        --  13,000
NAVISTAR INTL CORP INC              EQUITY   6.3934E+112     1,346     34,822 SH       SOLE           2    34,822        --      --
NAVISTAR INTL CORP NEW              EQUITY   6.3934E+112     1,054     27,275 SH       DEFINED        4        --        --  27,275
NBT BANCORP INC                     EQUITY     628778102       668     32,802 SH       SOLE           2    32,802        --      --
NBT BANCORP, INC.                   EQUITY     628778102       373     18,324 SH       SOLE           1    18,324        --      --
NBTY INC                            EQUITY     628782104     6,068    139,375 SH       SOLE           2   139,375        --      --
NBTY INC                            EQUITY     628782104         6        129 SH       DEFINED        5        --        --     129
NCI BLDG SYS INC                    EQUITY     628852105       156     86,308 SH       SOLE           2    86,308        --      --
NCI BUILDING SYSTEMS, INC.          EQUITY     628852105        88     48,392 SH       SOLE           1    48,392        --      --
NCI INC                             EQUITY     62886K104       147      5,306 SH       SOLE           2     5,306        --      --
NCR CORP NEW                        EQUITY   6.2886E+112     3,994    358,870 SH       SOLE           2   358,870        --      --
NCR CORP NEW                        EQUITY   6.2886E+112         9        830 SH       DEFINED        5        --        --     830
NEENAH PAPER INC                    EQUITY     640079109       110      7,866 SH       SOLE           1     7,866        --      --
NEENAH PAPER INC                    EQUITY     640079109       196     14,026 SH       SOLE           2    14,026        --      --
NEKTAR THERAPEUTICS                 EQUITY     640268108       705     75,601 SH       SOLE           2    75,601        --      --
NELNET INC                          EQUITY     64031N108       271     15,735 SH       SOLE           2    15,735        --      --
NEOGEN CORP                         EQUITY     640491106       278     11,781 SH       SOLE           1    11,781        --      --
NEOGEN CORP                         EQUITY     640491106       472     19,998 SH       SOLE           2    19,998        --      --
NESS TECHNOLOGIES INC               EQUITY     64104X108       155     31,611 SH       SOLE           2    31,611        --      --
NET 1 UEPS TECHNOLOGIES IN          EQUITY     64107N206       493     25,375 SH       SOLE           2    25,375        --      --
NET 1 UEPS TECHNOLOGIES INC         EQUITY     64107N206         4        200 SH       DEFINED        4        --        --     200
NETAPP INC                          EQUITY     64110D104       765     22,264 SH       SOLE           1    22,264        --      --
NETAPP INC                          EQUITY     64110D104     6,260    181,998 SH       SOLE           2   181,998        --      --
NETAPP INC                          EQUITY     64110D104     2,941     85,600 SH       SOLE           3    85,600        --      --
NETEZZA CORP                        EQUITY     64111N101       485     50,000 SH       SOLE           1    50,000        --      --
NETEZZA CORP                        EQUITY     64111N101       374     38,514 SH       SOLE           2    38,514        --      --
NETEZZA CORP                        EQUITY     64111N101       760     78,400 SH       SOLE           3    78,400        --      --
NETFLIX COM INC                     EQUITY     64110L106     5,364     97,271 SH       SOLE           2    97,271        --      --
NETFLIX INC                         EQUITY     64110L106         6        100 SH       DEFINED        5        --        --     100
NETFLIX INC CALL                    OPTION     64110L906        15          9     CALL DEFINED        5        --        --       9
NETGEAR INC                         EQUITY     64111Q104       397     18,322 SH       SOLE           1    18,322        --      --
NETGEAR INC                         EQUITY     64111Q104       715     32,946 SH       SOLE           2    32,946        --      --
NETGEAR INC                         EQUITY     64111Q104        11        500 SH       DEFINED        4        --        --     500
NETLOGIC MICROSYSTEMS INC           EQUITY     64118B100       683     14,760 SH       SOLE           2    14,760        --      --
NETLOGIC MICROSYSTEMS INC           EQUITY     64118B100         9        200 SH       DEFINED        4        --        --     200
NETLOGIC MICROSYSTEMS INC           EQUITY     64118B100        75      1,623 SH       DEFINED        5        --        --   1,623
NETSCOUT SYS INC                    EQUITY     64115T104       365     24,912 SH       SOLE           2    24,912        --      --
NETSCOUT SYSTEMS INC                EQUITY     64115T104       264     18,075 SH       SOLE           1    18,075        --      --
NETSUITE INC                        EQUITY     64118Q107       218     13,628 SH       SOLE           2    13,628        --      --
NETWORK EQUIP TECHNOLOGIES          EQUITY     641208103       113     28,000 SH       SOLE           2    28,000        --      --
NETWORK EQUIPMENT TECH.             EQUITY     641208103        64     15,853 SH       SOLE           1    15,853        --      --
NEUBERGER BERMAN INTER MUNI         EQUITY     64124P101         2        150 SH       DEFINED        4        --        --     150
NEURALSTEM INC                      EQUITY     64127R302        21     12,000 SH       DEFINED        4        --        --  12,000
NEUROCRINE BIOSCIENCES INC          EQUITY     64125C109        87     31,902 SH       SOLE           2    31,902        --      --
NEUROGESX INC                       EQUITY     641252101        65      8,438 SH       SOLE           2     8,438        --      --
NEUSTAR INC                         EQUITY     64126X201     3,865    167,739 SH       SOLE           2   167,739        --      --
NEUSTAR INC-CLASS A                 EQUITY     64126X201     1,100     47,722 SH       SOLE           1    47,722        --      --
NEUTRAL TANDEM INC                  EQUITY     64128B108     1,378     60,554 SH       SOLE           1    60,554        --      --
NEUTRAL TANDEM INC                  EQUITY     64128B108    11,657    512,415 SH       SOLE           2   512,415        --      --
NEUTRAL TANDEM INC                  EQUITY     64128B108       205      9,000 SH       SOLE           3     9,000        --      --
NEUTRAL TANDEM INC                  EQUITY     64128B108         2        100 SH       DEFINED        4        --        --     100
NEW AMER HIGH INCOME FD INC         EQUITY     641876800       198     21,921 SH       DEFINED        5        --        --  21,921
NEW GERMANY FD INC                  EQUITY     644465106         6        500 SH       DEFINED        5        --        --     500
NEW GOLD INC                        EQUITY     644535106     2,602    720,456 SH       OTHER          1        --   720,456      --
NEW JERSEY RES                      EQUITY     646025106        13        350 SH       DEFINED        5        --        --     350
NEW JERSEY RES CORP                 EQUITY     646025106     1,506     40,260 SH       SOLE           2    40,260        --      --
NEW JERSEY RESOURCES CORP.          EQUITY     646025106     1,325     35,420 SH       SOLE           1    35,420        --      --
NEW ORIENTAL ED & TECH GRP I        EQUITY     647581107     1,033     13,662 SH       DEFINED        4        --        --  13,662
NEW ORIENTAL ED & TECH GRP I        EQUITY     647581107         8        100 SH       DEFINED        5        --        --     100
NEW YORK + CO INC                   EQUITY     649295102        88     20,469 SH       SOLE           2    20,469        --      --
NEW YORK CMNTY BANCORP INC          EQUITY     649445103    13,661    941,467 SH       SOLE           2   941,467        --      --
NEW YORK CMNTY BANCORP INC          EQUITY     649445103       188     12,960 SH       DEFINED        4        --        --  12,960
NEW YORK CMNTY BANCORP INC          EQUITY     649445103        40      2,730 SH       DEFINED        5        --        --   2,730
NEW YORK TIMES CO                   EQUITY     650111107       585     47,303 SH       SOLE           2    47,303        --      --
NEW YORK TIMES CO. CLASS  A         EQUITY     650111107        29      2,342 SH       SOLE           1     2,342        --      --
NEWALLIANCE BANCSHARES INC          EQUITY     650203102     3,899    324,631 SH       SOLE           2   324,631        --      --
NEWCASTLE INVT CORP                 EQUITY     65105M108         5      2,500 SH       DEFINED        5        --        --   2,500
NEWELL RUBBERMAID INC               EQUITY     651229106     1,988    132,441 SH       SOLE           2   132,441        --      --
NEWELL RUBBERMAID INC               EQUITY     651229106         9        593 SH       DEFINED        4        --        --     593
NEWELL RUBBERMAID, INC.             EQUITY     651229106       264     17,561 SH       SOLE           1    17,561        --      --
NEWFIELD EXPL CO                    EQUITY     651290108    14,504    300,728 SH       SOLE           2   300,728        --      --
NEWFIELD EXPL CO                    EQUITY     651290108        25        517 SH       DEFINED        4        --        --     517
NEWFIELD EXPLORATION                EQUITY     651290108       716     14,849 SH       SOLE           1    14,849        --      --
NEWMARKET CORP                      EQUITY     651587107       711      6,197 SH       SOLE           1     6,197        --      --
NEWMARKET CORP                      EQUITY     651587107     1,132      9,867 SH       SOLE           2     9,867        --      --
NEWMONT MINING CORP                 EQUITY     651639106         7        149 SH       DEFINED        4        --        --     149
NEWMONT MINING CORP                 EQUITY     651639106        12        246 SH       DEFINED        5        --        --     246
NEWMONT MINING CORP HLDG CO         EQUITY     651639106     1,393     29,448 SH       SOLE           1    29,448        --      --
NEWMONT MNG CORP                    EQUITY     651639106     7,620    161,006 SH       SOLE           2   161,006        --      --
NEWPARK RES INC                     EQUITY     651718504       306     72,419 SH       SOLE           2    72,419        --      --
NEWPARK RES INC                     EQUITY     651718504         1        340 SH       DEFINED        5        --        --     340
NEWPORT CORP                        EQUITY     651824104       178     19,347 SH       SOLE           1    19,347        --      --
NEWPORT CORP                        EQUITY     651824104       318     34,625 SH       SOLE           2    34,625        --      --
NEWS CORP                           EQUITY   6.5248E+108     1,134     82,830 SH       SOLE           1    82,830        --      --
NEWS CORP                           EQUITY   6.5248E+108    14,303  1,044,531 SH       SOLE           2 1,044,531        --      --





                                                                                            
NEWS CORP                           EQUITY   6.5248E+108         3        230 SH       DEFINED        4        --        --     230
NEWS CORP                           EQUITY   6.5248E+108        11        780 SH       DEFINED        5        --        --     780
NEWSTAR FINANCIAL INC               EQUITY     65251F105        89     22,605 SH       SOLE           2    22,605        --      --
NEWTEK BUSINESS SERVICES INC        EQUITY     652526104     1,255  1,280,683 SH       SOLE           1 1,280,683        --      --
NEXEN INC                           EQUITY     65334H102       457     19,010 SH       OTHER          1        --    19,010      --
NEXEN INC                           EQUITY     65334H102         2         92 SH       DEFINED        4        --        --      92
NFJ DIVID INT & PREM STRTGY         EQUITY     65337H109         8        555 SH       DEFINED        4        --        --     555
NFJ DIVID INT & PREM STRTGY         EQUITY     65337H109       293     19,894 SH       DEFINED        5        --        --  19,894
NGAS RESOURCES INC                  EQUITY     62912T103         2      1,030 SH       DEFINED        4        --        --   1,030
NGP CAP RES CO                      EQUITY     62912R107       144     17,667 SH       SOLE           2    17,667        --      --
NIC INC                             EQUITY     62914B100       376     41,168 SH       SOLE           2    41,168        --      --
NIC INC                             EQUITY     62914B100       615     67,300 SH       SOLE           3    67,300        --      --
NIC INC                             EQUITY     62914B100        91     10,000 SH       DEFINED        5        --        --  10,000
NICHOLAS APPLEGATE CV&INC FD        EQUITY     65370G109        20      2,341 SH       DEFINED        4        --        --   2,341
NICHOLAS APPLEGATE CV&INC FD        EQUITY     65370G109        35      4,071 SH       DEFINED        5        --        --   4,071
NICHOLAS APPLEGATE EQT CONV         EQUITY     65370K100        23      1,400 SH       DEFINED        5        --        --   1,400
NICHOLAS-APPLEGATE CV & INC         EQUITY     65370F101     3,358    362,210 SH       DEFINED        4        --        -- 362,210
NICHOLAS-APPLEGATE CV & INC         EQUITY     65370F101       388     41,857 SH       DEFINED        5        --        --  41,857
NICHOLAS-APPLGT INTL & PRM S        EQUITY     65370C108         8        500 SH       DEFINED        4        --        --     500
NICOR INC                           EQUITY     654086107     3,720     88,368 SH       SOLE           2    88,368        --      --
NICOR INC                           EQUITY     654086107        11        264 SH       DEFINED        5        --        --     264
NICOR, INC.                         EQUITY     654086107        38        910 SH       SOLE           1       910        --      --
NIGHTHAWK RADIOLOGY HLDGS           EQUITY     65411N105        70     15,346 SH       SOLE           2    15,346        --      --
NIGHTHAWK RADIOLOGY HLDGS IN        EQUITY     65411N105       131     29,000 SH       DEFINED        5        --        --  29,000
NII HLDGS INC                       EQUITY     62913F201       477     14,205 SH       SOLE           2    14,205        --      --
NII HLDGS INC                       EQUITY     62913F201         4        130 SH       DEFINED        4        --        --     130
NII HLDGS INC                       EQUITY     62913F201        13        400 SH       DEFINED        5        --        --     400
NIKE INC                            EQUITY     654106103    10,928    165,399 SH       SOLE           2   165,399        --      --
NIKE INC                            EQUITY     654106103        26        392 SH       DEFINED        4        --        --     392
NIKE INC                            EQUITY     654106103        28        429 SH       DEFINED        5        --        --     429
NIKE, INC. CLASS  B                 EQUITY     654106103     1,306     19,766 SH       SOLE           1    19,766        --      --
NIPPON TELEG & TEL CORP             EQUITY     654624105         4        214 SH       DEFINED        4        --        --     214
NISOURCE INC                        EQUITY     65473P105     3,815    248,037 SH       SOLE           2   248,037        --      --
NISOURCE INC                        EQUITY     65473P105         2        153 SH       DEFINED        4        --        --     153
NISOURCE INC                        EQUITY     65473P105        15      1,000 SH       DEFINED        5        --        --   1,000
NISOURCE, INC.                      EQUITY     65473P105        86      5,576 SH       SOLE           1     5,576        --      --
NIVS INTELLIMEDIA TECHNOLO          EQUITY     62914U108        17      6,679 SH       SOLE           2     6,679        --      --
NL INDS INC                         EQUITY     629156407        39      5,558 SH       SOLE           2     5,558        --      --
NOBEL LEARNING CMNTYS INC           EQUITY     654889104        25      3,334 SH       SOLE           2     3,334        --      --
NOBEL LEARNING CMNTYS INC           EQUITY     654889104         2        234 SH       DEFINED        4        --        --     234
NOBLE CORPORATION BAAR              EQUITY     H5833N103         9        230 SH       DEFINED        4        --        --     230
NOBLE CORPORATION BAAR              EQUITY     H5833N103     1,223     30,053 SH       DEFINED        5        --        --  30,053
NOBLE ENERGY INC                    EQUITY     655044105     7,017     98,503 SH       SOLE           2    98,503        --      --
NOBLE ENERGY INC                    EQUITY     655044105         4         59 SH       DEFINED        4        --        --      59
NOBLE ENERGYINC                     EQUITY     655044105       249      3,497 SH       SOLE           1     3,497        --      --
NOKIA CORP                          EQUITY     654902204        23      1,827 SH       DEFINED        4        --        --   1,827
NOKIA CORP                          EQUITY     654902204       160     12,465 SH       DEFINED        5        --        --  12,465
NORDIC AMERICAN TANKER SHI          EQUITY     G65773106     1,034     34,475 SH       SOLE           2    34,475        --      --
NORDIC AMERICAN TANKER SHIPP        EQUITY     G65773106        35      1,170 SH       DEFINED        4        --        --   1,170
NORDIC AMERICAN TANKER SHIPP        EQUITY     G65773106       796     26,529 SH       DEFINED        5        --        --  26,529
NORDSON CORP                        EQUITY     655663102     6,273    102,539 SH       SOLE           2   102,539        --      --
NORDSTROM INC                       EQUITY     655664100     2,719     72,308 SH       SOLE           2    72,308        --      --
NORDSTROM INC                       EQUITY     655664100         7        196 SH       DEFINED        4        --        --     196
NORDSTROM INC                       EQUITY     655664100        50      1,322 SH       DEFINED        5        --        --   1,322
NORDSTROM, INC.                     EQUITY     655664100     1,259     33,515 SH       SOLE           1    33,515        --      --
NORFOLK SOUTHERN CORP               EQUITY     655844108     1,604     30,597 SH       SOLE           1    30,597        --      --
NORFOLK SOUTHERN CORP               EQUITY     655844108        12        227 SH       DEFINED        4        --        --     227
NORFOLK SOUTHERN CORP               EQUITY     655844108        86      1,648 SH       DEFINED        5        --        --   1,648
NORFOLK SOUTHN CORP                 EQUITY     655844108     9,425    179,757 SH       SOLE           2   179,757        --      --
NORTH AMERN GALVANIZING             EQUITY     65686Y109        50     10,380 SH       SOLE           2    10,380        --      --
NORTH EUROPEAN OIL RTY TR           EQUITY     659310106        14        450 SH       DEFINED        4        --        --     450
NORTHEAST CMNTY BANKCORP I          EQUITY     664112109        32      4,807 SH       SOLE           2     4,807        --      --
NORTHEAST UTILITIES                 EQUITY     664397106        91      3,537 SH       SOLE           1     3,537        --      --
NORTHEAST UTILS                     EQUITY     664397106     6,934    268,863 SH       SOLE           2   268,863        --      --
NORTHEAST UTILS                     EQUITY     664397106         3        105 SH       DEFINED        5        --        --     105
NORTHERN DYNASTY MINERALS LT        EQUITY     66510M204        10      1,213 SH       DEFINED        4        --        --   1,213
NORTHERN OIL AND GAS INC            EQUITY     665531109       346     29,222 SH       SOLE           2    29,222        --      --
NORTHERN TR CORP                    EQUITY     665859104         6        108 SH       DEFINED        5        --        --     108
NORTHERN TRUST CORP                 EQUITY     665859104     6,175    117,834 SH       SOLE           2   117,834        --      --
NORTHERN TRUST CORP.                EQUITY     665859104       256      4,888 SH       SOLE           1     4,888        --      --
NORTHFIELD BANCORP INC NEW          EQUITY     66611L105       214     15,821 SH       SOLE           2    15,821        --      --
NORTHFIELD BANCORP INC NEW          EQUITY     66611L105        49      3,600 SH       DEFINED        5        --        --   3,600
NORTHGATE MINERALS CORP             EQUITY     666416102         7      2,250 SH       DEFINED        5        --        --   2,250
NORTHRIM BANCORP INC                EQUITY     666762109        87      5,172 SH       SOLE           2     5,172        --      --
NORTHROP GRUMMAN CORP               EQUITY     666807102    10,878    194,777 SH       SOLE           2   194,777        --      --
NORTHROP GRUMMAN CORP               EQUITY     666807102         6        100 SH       DEFINED        4        --        --     100
NORTHROP GRUMMAN CORP               EQUITY     666807102       417      7,467 SH       DEFINED        5        --        --   7,467
NORTHROP GRUMMAN CORP.              EQUITY     666807102       537      9,616 SH       SOLE           1     9,616        --      --
NORTHSTAR RLTY FIN CORP             EQUITY     66704R100       186     54,189 SH       SOLE           2    54,189        --      --
NORTHWEST NAT GAS CO                EQUITY     667655104     1,144     25,397 SH       SOLE           2    25,397        --      --
NORTHWEST NAT GAS CO                EQUITY     667655104        98      2,185 SH       DEFINED        4        --        --   2,185
NORTHWEST NATURAL GAS CO.           EQUITY     667655104       638     14,157 SH       SOLE           1    14,157        --      --
NORTHWEST PIPE CO                   EQUITY     667746101       203      7,544 SH       SOLE           2     7,544        --      --
NORTHWESTERN CORP                   EQUITY     668074305       487     18,700 SH       SOLE           1    18,700        --      --
NORTHWESTERN CORP                   EQUITY     668074305       764     29,355 SH       SOLE           2    29,355        --      --
NORWOOD FIN CORP                    EQUITY     669549107        44      1,530 SH       SOLE           2     1,530        --      --
NOVAMED EYECARE INC                 EQUITY     66986W108        63     16,313 SH       SOLE           2    16,313        --      --
NOVARTIS A G                        EQUITY     66987V109        99      1,828 SH       DEFINED        4        --        --   1,828
NOVARTIS A G                        EQUITY     66987V109       169      3,099 SH       DEFINED        5        --        --   3,099
NOVATEL WIRELESS INC                EQUITY     66987M604       130     16,324 SH       SOLE           1    16,324        --      --
NOVATEL WIRELESS INC                EQUITY     66987M604       233     29,193 SH       SOLE           2    29,193        --      --
NOVAVAX INC                         EQUITY     670002104       156     58,523 SH       SOLE           2    58,523        --      --
NOVAVAX INC                         EQUITY     670002104        10      3,700 SH       DEFINED        5        --        --   3,700
NOVELL INC                          EQUITY     670006105     7,544  1,817,896 SH       SOLE           2 1,817,896        --      --
NOVELL, INC .                       EQUITY     670006105       615    148,260 SH       SOLE           1   148,260        --      --
NOVELLUS SYS INC                    EQUITY     670008101       800     34,264 SH       SOLE           2    34,264        --      --
NOVELLUS SYS INC                    EQUITY     670008101         9        400 SH       DEFINED        5        --        --     400
NOVELLUS SYSTEMS, INC.              EQUITY     670008101       741     31,740 SH       SOLE           1    31,740        --      --
NOVO-NORDISK A S                    EQUITY     670100205        10        164 SH       DEFINED        5        --        --     164
NPS PHARMACEUTICALS INC             EQUITY     62936P103       132     38,804 SH       SOLE           2    38,804        --      --
NRG ENERGY INC                      EQUITY     629377508    11,551    489,236 SH       SOLE           1   489,236        --      --
NRG ENERGY INC                      EQUITY     629377508       177      7,488 SH       SOLE           2     7,488        --      --
NRG ENERGY INC                      EQUITY     629377508        12        495 SH       DEFINED        5        --        --     495
NSTAR                               EQUITY   6.7019E+111       859     23,331 SH       SOLE           1    23,331        --      --
NSTAR                               EQUITY   6.7019E+111     8,906    242,012 SH       SOLE           2   242,012        --      --





                                                                                            
NSTAR                               EQUITY   6.7019E+111        53      1,450 SH       DEFINED        5        --        --   1,450
NSTAR                               EQUITY   6.7019E+111         1         40 SH       DEFINED        4        --        --      40
NTELOS HLDGS CORP                   EQUITY     67020Q107       440     24,665 SH       SOLE           2    24,665        --      --
NTN BUZZTIME INC                    EQUITY     629410309        21     45,639 SH       SOLE           1    45,639        --      --
NTT DOCOMO INC                      EQUITY     62942M201         5        348 SH       DEFINED        5        --        --     348
NU SKIN ENTERPRISES INC             EQUITY     67018T105     1,085     40,374 SH       SOLE           2    40,374        --      --
NUANCE COMMUNICATIONS INC           EQUITY     67020Y100     2,507    161,332 SH       SOLE           2   161,332        --      --
NUANCE COMMUNICATIONS INC           EQUITY     67020Y100        15        965 SH       DEFINED        4        --        --     965
NUANCE COMMUNICATIONS INC           EQUITY     67020Y100         8        500 SH       DEFINED        5        --        --     500
NUCOR CORP                          EQUITY     670346105     4,843    103,794 SH       SOLE           2   103,794        --      --
NUCOR CORP                          EQUITY     670346105        84      1,808 SH       DEFINED        4        --        --   1,808
NUCOR CORP                          EQUITY     670346105        69      1,482 SH       DEFINED        5        --        --   1,482
NUCOR CORP.                         EQUITY     670346105     1,468     31,463 SH       SOLE           1    31,463        --      --
NUSTAR ENERGY LP                    EQUITY     67058H102       304      5,421 SH       DEFINED        4        --        --   5,421
NUSTAR ENERGY LP                    EQUITY     67058H102        79      1,400 SH       DEFINED        5        --        --   1,400
NUSTAR GP HOLDINGS LLC              EQUITY     67059L102        21        790 SH       DEFINED        4        --        --     790
NUTRACEUTICAL INTL CORP             EQUITY     67060Y101       110      8,900 SH       SOLE           2     8,900        --      --
NUTRI SYS INC NEW                   EQUITY     67069D108       917     29,432 SH       SOLE           2    29,432        --      --
NUTRI SYS INC NEW                   EQUITY     67069D108         4        124 SH       DEFINED        4        --        --     124
NUTRI SYS INC NEW                   EQUITY     67069D108         7        235 SH       DEFINED        5        --        --     235
NUTRI/SYSTEM INC                    EQUITY     67069D108       510     16,377 SH       SOLE           1    16,377        --      --
NUVASIVE INC                        EQUITY     670704105       952     29,776 SH       SOLE           2    29,776        --      --
NUVEEN ARIZ DIVID ADVANTAGE         EQUITY     67071P107        41      3,136 SH       DEFINED        5        --        --   3,136
NUVEEN CALIF MUN VALUE FD           EQUITY     67062C107         8        900 SH       DEFINED        4        --        --     900
NUVEEN CORE EQUITY ALPHA FUN        EQUITY     67090X107        31      2,545 SH       DEFINED        5        --        --   2,545
NUVEEN DIV ADVANTAGE MUN FD         EQUITY     67070F100        25      1,760 SH       DEFINED        4        --        --   1,760
NUVEEN DIVERSIFIED DIV INCM         EQUITY     6706EP105        16      1,614 SH       DEFINED        5        --        --   1,614
NUVEEN EQTY PRM OPPORTUNITYF        EQUITY     6706EM102         7        500 SH       DEFINED        4        --        --     500
NUVEEN EQTY PRM OPPORTUNITYF        EQUITY     6706EM102        47      3,566 SH       DEFINED        5        --        --   3,566
NUVEEN EQUITY PREM ADV FD           EQUITY     6706ET107         1        100 SH       DEFINED        4        --        --     100
NUVEEN EQUITY PREM ADV FD           EQUITY     6706ET107         3        250 SH       DEFINED        5        --        --     250
NUVEEN EQUITY PREM INCOME FD        EQUITY     6706ER101        10        750 SH       DEFINED        5        --        --     750
NUVEEN FLOATING RATE INCOME         EQUITY     67072T108         4        400 SH       DEFINED        5        --        --     400
NUVEEN FLTNG RTE INCM OPP FD        EQUITY     6706EN100         5        500 SH       DEFINED        4        --        --     500
NUVEEN GA DIV ADV MUN FD 2          EQUITY     67072B107        10        733 SH       DEFINED        5        --        --     733
NUVEEN GA PREM INCOME MUN FD        EQUITY     67060F102        36      2,660 SH       DEFINED        4        --        --   2,660
NUVEEN GBL VL OPPORTUNITIES         EQUITY     6706EH103        22      1,262 SH       DEFINED        5        --        --   1,262
NUVEEN GLB GOVT ENHANCED IN         EQUITY     67073C104        26      1,489 SH       DEFINED        5        --        --   1,489
NUVEEN INSD CA PREM INCOME 2        EQUITY     67061U108         7        560 SH       DEFINED        5        --        --     560
NUVEEN INSD MUN OPPORTUNITY         EQUITY     670984103        24      1,800 SH       DEFINED        4        --        --   1,800
NUVEEN INSD PREM INCOME MUN         EQUITY     6706D8104        31      2,500 SH       DEFINED        4        --        --   2,500
NUVEEN INSD PREM INCOME MUN         EQUITY     6706D8104        14      1,150 SH       DEFINED        5        --        --   1,150
NUVEEN INSD QUALITY MUN FD I        EQUITY     67062N103         8        605 SH       DEFINED        4        --        --     605
NUVEEN MICH QUALITY INCOME M        EQUITY     670979103         7        535 SH       DEFINED        5        --        --     535
NUVEEN MULT CURR ST GV INCM         EQUITY     67090N109        14        895 SH       DEFINED        5        --        --     895
NUVEEN MULTI STRAT INC & GR         EQUITY     67073B106        57      7,600 SH       DEFINED        4        --        --   7,600
NUVEEN MULTI STRAT INC & GR         EQUITY     67073B106        10      1,275 SH       DEFINED        5        --        --   1,275
NUVEEN MULTI STRAT INC GR FD        EQUITY     67073D102       275     35,733 SH       DEFINED        4        --        --  35,733
NUVEEN MULTI STRAT INC GR FD        EQUITY     67073D102       147     19,165 SH       DEFINED        5        --        --  19,165
NUVEEN MUN VALUE FD INC             EQUITY     670928100        32      3,311 SH       DEFINED        5        --        --   3,311
NUVEEN N C DIV ADV FD 2             EQUITY     67071D104        87      5,845 SH       DEFINED        4        --        --   5,845
NUVEEN N C PREM INCOME MUN F        EQUITY     67060P100       114      8,000 SH       DEFINED        4        --        --   8,000
NUVEEN NC DIV ADV MUN FD 3          EQUITY     67072D103       136      9,000 SH       DEFINED        4        --        --   9,000
NUVEEN NC DIVID ADVANTAGE MU        EQUITY     67069N106       187     11,750 SH       DEFINED        4        --        --  11,750
NUVEEN NY DIVID ADVNTG MUN F        EQUITY     67066X107         3        250 SH       DEFINED        5        --        --     250
NUVEEN OHIO QUALITY INCOME M        EQUITY     670980101         8        519 SH       DEFINED        4        --        --     519
NUVEEN PERFORMANCE PLUS MUN         EQUITY     67062P108         6        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         6        415 SH       DEFINED        4        --        --     415
NUVEEN PREM INCOME MUN FD 2         EQUITY     67063W102        27      2,000 SH       DEFINED        5        --        --   2,000
NUVEEN PREMIER INSD MUN INCO        EQUITY     670987106       439     31,650 SH       DEFINED        4        --        --  31,650
NUVEEN PREMIER INSD MUN INCO        EQUITY     670987106        11        826 SH       DEFINED        5        --        --     826
NUVEEN QUALITY INCOME MUN FD        EQUITY     670977107        10        757 SH       DEFINED        4        --        --     757
NUVEEN QUALITY INCOME MUN FD        EQUITY     670977107        99      7,300 SH       DEFINED        5        --        --   7,300
NUVEEN QUALITY PFD INCOME FD        EQUITY     67072C105        14      1,885 SH       DEFINED        4        --        --   1,885
NUVEEN QUALITY PFD INCOME FD        EQUITY     67072C105         7      1,000 SH       DEFINED        5        --        --   1,000
NUVEEN QUALITY PFD INCOME FD        EQUITY     67071S101        44      6,666 SH       DEFINED        5        --        --   6,666
NUVEEN SELECT TAX FREE INCM         EQUITY     67063X100         3        189 SH       DEFINED        4        --        --     189
NUVEEN SELECT TAX FREE INCM         EQUITY     67062F100        13        846 SH       DEFINED        5        --        --     846
NUVEEN SR INCOME FD                 EQUITY     67067Y104         5        657 SH       DEFINED        5        --        --     657
NV ENERGY INC                       EQUITY     67073Y106     6,569    530,622 SH       SOLE           2   530,622        --      --
NVE CORP                            EQUITY     629445206       158      3,814 SH       SOLE           2     3,814        --      --
NVE CORP                            EQUITY     629445206         8        200 SH       DEFINED        5        --        --     200
NVIDIA CORP                         EQUITY     67066G104       209     11,214 SH       SOLE           1    11,214        --      --
NVIDIA CORP                         EQUITY     67066G104     5,123    274,238 SH       SOLE           2   274,238        --      --
NVIDIA CORP                         EQUITY     67066G104        22      1,179 SH       DEFINED        4        --        --   1,179
NVIDIA CORP                         EQUITY     67066G104       197     10,540 SH       DEFINED        5        --        --  10,540
NVR INC                             EQUITY     62944T105     9,562     13,454 SH       SOLE           2    13,454        --      --
NXSTAGE MEDICAL INC COM             EQUITY     67072V103       157     18,794 SH       SOLE           2    18,794        --      --
NYMAGIC INC                         EQUITY     629484106        65      3,914 SH       SOLE           2     3,914        --      --
NYSE EURONEXT                       EQUITY     629491101     1,489     58,873 SH       SOLE           1    58,873        --      --
NYSE EURONEXT                       EQUITY     629491101     3,689    145,758 SH       SOLE           2   145,758        --      --
NYSE EURONEXT                       EQUITY     629491101       109      4,303 SH       DEFINED        4        --        --   4,303
NYSE EURONEXT                       EQUITY     629491101        23        900 SH       DEFINED        5        --        --     900
O CHARLEYS INC                      EQUITY     670823103       110     16,793 SH       SOLE           2    16,793        --      --
O REILLY AUTOMOTIVE INC             EQUITY     686091109     2,126     55,737 SH       SOLE           2    55,737        --      --
O REILLY AUTOMOTIVE INC             EQUITY     686091109         2         65 SH       DEFINED        4        --        --      65
O REILLY AUTOMOTIVE INC             EQUITY     686091109        50      1,310 SH       DEFINED        5        --        --   1,310
OBAGI MEDICAL PRODUCTS INC          EQUITY     67423R108       169     14,100 SH       SOLE           2    14,100        --      --
OCCIDENTAL PETE CORP                EQUITY     674599105    37,111    456,014 SH       SOLE           2   456,014        --      --
OCCIDENTAL PETE CORP DEL            EQUITY     674599105       124      1,525 SH       DEFINED        4        --        --   1,525
OCCIDENTAL PETE CORP DEL            EQUITY     674599105       246      3,027 SH       DEFINED        5        --        --   3,027
OCCIDENTAL PETROLEUM CORP.          EQUITY     674599105     2,848     35,015 SH       SOLE           1    35,015        --      --
OCEANEERING INTL INC                EQUITY     675232102     7,237    123,672 SH       SOLE           2   123,672        --      --
OCEANEERING INTL INC                EQUITY     675232102         3         50 SH       DEFINED        5        --        --      50
OCEANFIRST FINL CORP                EQUITY     675234108       121     10,697 SH       SOLE           2    10,697        --      --
O'CHARLEY'S INC.                    EQUITY     670823103        66     10,067 SH       SOLE           1    10,067        --      --
OCLARO INC                          EQUITY     67555N107         3      2,256 SH       DEFINED        5        --        --   2,256
OCULUS INNOVATIVE SCIENCES I        EQUITY     67575P108        10      5,380 SH       DEFINED        4        --        --   5,380
OCWEN FINL CORP                     EQUITY     675746309       446     46,589 SH       SOLE           2    46,589        --      --
ODYSSEY HEALTHCARE INC              EQUITY     67611V101       273     17,531 SH       SOLE           1    17,531        --      --
ODYSSEY HEALTHCARE INC              EQUITY     67611V101       492     31,547 SH       SOLE           2    31,547        --      --
ODYSSEY MARINE EXPLORATION          EQUITY     676118102        68     47,889 SH       SOLE           2    47,889        --      --
ODYSSEY MARINE EXPLORATION I        EQUITY     676118102         4      2,748 SH       DEFINED        5        --        --   2,748
OFFICE DEPOT INC                    EQUITY     676220106       812    125,929 SH       SOLE           2   125,929        --      --





                                                                                            
OFFICE DEPOT INC                    EQUITY     676220106       122     18,946 SH       DEFINED        5        --        --  18,946
OFFICE DEPOT, INC.                  EQUITY     676220106       296     45,929 SH       SOLE           1    45,929        --      --
OFFICE DEPOT, INC.                  EQUITY     676220106     3,240    502,400 SH       SOLE           3   502,400        --      --
OFFICEMAX INC                       EQUITY     67622P101       517     40,747 SH       SOLE           1    40,747        --      --
OFFICEMAX INC DEL                   EQUITY     67622P101       927     73,036 SH       SOLE           2    73,036        --      --
OGE ENERGY CORP                     EQUITY     670837103     8,083    219,101 SH       SOLE           2   219,101        --      --
OGE ENERGY CORP                     EQUITY     670837103        10        271 SH       DEFINED        5        --        --     271
OHIO VY BANC CORP                   EQUITY     677719106        72      3,254 SH       SOLE           2     3,254        --      --
OIL DRI CORP AMER                   EQUITY     677864100        65      4,199 SH       SOLE           2     4,199        --      --
OIL DRI CORP AMER                   EQUITY     677864100         4        250 SH       DEFINED        4        --        --     250
OIL STATES INTERNATIONAL INC        EQUITY     678026105     1,968     50,078 SH       SOLE           1    50,078        --      --
OIL STATES INTL INC                 EQUITY     678026105       329      8,376 SH       SOLE           2     8,376        --      --
OIL SVC HOLDRS TR                   EQUITY     678002106       273      2,300 SH       DEFINED        4        --        --   2,300
OILSANDS QUEST INC                  EQUITY     678046103       209    181,466 SH       SOLE           2   181,466        --      --
OLD DOMINION FREIGHT LINE           EQUITY     679580100       457     14,899 SH       SOLE           1    14,899        --      --
OLD DOMINION FREIGHT LINE           EQUITY     679580100       818     26,649 SH       SOLE           2    26,649        --      --
OLD MUTUAL CLAYMORE LNG SHT         EQUITY     68003N103        23      2,711 SH       DEFINED        5        --        --   2,711
OLD NATL BANCORP                    EQUITY     680033107       582     46,789 SH       SOLE           1    46,789        --      --
OLD NATL BANCORP IND                EQUITY     680033107     1,037     83,458 SH       SOLE           2    83,458        --      --
OLD POINT FINL CORP                 EQUITY     680194107        25      1,639 SH       SOLE           2     1,639        --      --
OLD REP INTL CORP                   EQUITY     680223104     5,467    544,526 SH       SOLE           2   544,526        --      --
OLD SECOND BANCORP INC DEL          EQUITY     680277100        60      8,752 SH       SOLE           2     8,752        --      --
OLIN CORP                           EQUITY     680665205     4,188    239,050 SH       SOLE           2   239,050        --      --
OLIN CORP                           EQUITY     680665205         4        200 SH       DEFINED        5        --        --     200
OLYMPIC STEEL INC                   EQUITY     68162K106       158      4,848 SH       SOLE           1     4,848        --      --
OLYMPIC STL INC                     EQUITY     68162K106       282      8,665 SH       SOLE           2     8,665        --      --
OM GROUP INC                        EQUITY     670872100       515     16,401 SH       SOLE           1    16,401        --      --
OM GROUP INC                        EQUITY     670872100       918     29,260 SH       SOLE           2    29,260        --      --
OM GROUP INC                        EQUITY     670872100         2         50 SH       DEFINED        4        --        --      50
OM GROUP INC                        EQUITY     670872100         3        100 SH       DEFINED        5        --        --     100
OMEGA HEALTHCARE INVESTORS          EQUITY     681936100        28      1,446 SH       SOLE           1     1,446        --      --
OMEGA HEALTHCARE INVESTORS          EQUITY     681936100     5,007    257,415 SH       SOLE           2   257,415        --      --
OMEGA HEALTHCARE INVS INC           EQUITY     681936100         8        400 SH       DEFINED        5        --        --     400
OMEGA NAVIGATION ENTERPRISES        EQUITY     Y6476R105        65     20,787 SH       DEFINED        4        --        --  20,787
OMEGA NAVIGATION ENTERPRISES        EQUITY     Y6476R105         2        650 SH       DEFINED        5        --        --     650
OMEGA PROTEIN CORP                  EQUITY     68210P107        67     15,285 SH       SOLE           2    15,285        --      --
OMEGA PROTEIN CORP                  EQUITY     68210P107        74     17,000 SH       DEFINED        4        --        --  17,000
OMERGA FLEX INC                     EQUITY     682095104        32      2,250 SH       SOLE           2     2,250        --      --
OMEROS CORP                         EQUITY     682143102        39      5,574 SH       SOLE           2     5,574        --      --
OMNICARE INC                        EQUITY     681904108    20,836    861,697 SH       SOLE           2   861,697        --      --
OMNICARE INC                        EQUITY     681904108         2         77 SH       DEFINED        5        --        --      77
OMNICARE INC                        FIXED
                                      INCOME   681904AL2         2          2 PRN      DEFINED        5        --        --       2
OMNICELL INC                        EQUITY     68213N109       198     16,973 SH       SOLE           1    16,973        --      --
OMNICELL INC                        EQUITY     68213N109       354     30,288 SH       SOLE           2    30,288        --      --
OMNICOM GROUP                       EQUITY     681919106     5,772    147,366 SH       SOLE           2   147,366        --      --
OMNICOM GROUP INC                   EQUITY     681919106         3         78 SH       DEFINED        4        --        --      78
OMNICOM GROUP, INC.                 EQUITY     681919106     4,100    104,723 SH       SOLE           1   104,723        --      --
OMNIVISION TECHNOLOGIES IN          EQUITY     682128103       594     40,883 SH       SOLE           2    40,883        --      --
OMNIVISION TECHNOLOGIES INC         EQUITY     682128103        10        700 SH       DEFINED        4        --        --     700
OMNOVA SOLUTIONS INC                EQUITY     682129101       219     35,804 SH       SOLE           2    35,804        --      --
ON ASSIGNMENT INC                   EQUITY     682159108       138     19,234 SH       SOLE           1    19,234        --      --
ON ASSIGNMENT INC                   EQUITY     682159108       247     34,588 SH       SOLE           2    34,588        --      --
ON SEMICONDUCTOR CORP               EQUITY     682189105        73      8,274 SH       SOLE           2     8,274        --      --
ON SEMICONDUCTOR CORP               EQUITY     682189105         3        304 SH       DEFINED        5        --        --     304
ON SEMICONDUCTOR CORPORATION        EQUITY     682189105       369     41,783 SH       SOLE           1    41,783        --      --
ON SEMICONDUCTOR CORPORATION        EQUITY     682189105     2,687    304,700 SH       SOLE           3   304,700        --      --
ONCOGENEX PHARMACEUTICALS           EQUITY     68230A106        79      3,555 SH       SOLE           2     3,555        --      --
ONEBEACON INSURANCE GROUP           EQUITY     G67742109        10        710 SH       SOLE           2       710        --      --
ONEBEACON INSURANCE GROUP LT        EQUITY     G67742109         2        125 SH       DEFINED        5        --        --     125
ONEOK INC NEW                       EQUITY     682680103    10,646    238,862 SH       SOLE           2   238,862        --      --
ONEOK INC NEW                       EQUITY     682680103         3         74 SH       DEFINED        4        --        --      74
ONEOK INC NEW                       EQUITY     682680103       280      6,277 SH       DEFINED        5        --        --   6,277
ONEOK PARTNERS LP                   EQUITY     68268N103        50        800 SH       DEFINED        4        --        --     800
ONEOK PARTNERS LP                   EQUITY     68268N103       191      3,070 SH       DEFINED        5        --        --   3,070
ONEOK, INC.                         EQUITY     682680103       189      4,241 SH       SOLE           1     4,241        --      --
ONLINE RES CORP                     EQUITY     68273G101       109     20,749 SH       SOLE           2    20,749        --      --
ONYX PHARMACEUTICALS INC            EQUITY     683399109     1,479     50,414 SH       SOLE           2    50,414        --      --
OPEN JT STK CO-VIMPEL COMMUN        EQUITY     68370R109         2        100 SH       DEFINED        4        --        --     100
OPEN TEXT CORP                      EQUITY     683715106        49      1,195 SH       OTHER          1        --     1,195      --
OPENTABLE INC                       EQUITY     68372A104        62      2,453 SH       SOLE           2     2,453        --      --
OPENWAVE SYS INC                    EQUITY     683718308       155     68,047 SH       SOLE           2    68,047        --      --
OPKO HEALTH INC                     EQUITY     68375N103        65     35,705 SH       SOLE           2    35,705        --      --
OPLINK COMMUNICATIONS INC           EQUITY     68375Q403       274     16,723 SH       SOLE           2    16,723        --      --
OPNET TECHNOLOGIES INC              EQUITY     683757108       130     10,701 SH       SOLE           2    10,701        --      --
OPNEXT INC                          EQUITY     68375V105        43     22,709 SH       SOLE           2    22,709        --      --
OPPENHEIMER HLDGS INC               EQUITY     683797104       256      7,718 SH       SOLE           2     7,718        --      --
OPPENHEIMER HOLDINGS INC            EQUITY     683797104     1,313     39,512 SH       SOLE           1    39,512        --      --
OPPENHEIMER HOLDINGS INC            EQUITY     683797104     1,548     46,588 SH       SOLE           3    46,588        --      --
OPTIMER PHARMACEUTICALS IN          EQUITY     68401H104       264     23,394 SH       SOLE           2    23,394        --      --
OPTIONSXPRESS HLDGS INC             EQUITY     684010101       626     40,496 SH       SOLE           2    40,496        --      --
OPTIONSXPRESS HLDGS INC             EQUITY     684010101         2        100 SH       DEFINED        5        --        --     100
OPTIONSXPRESS HOLDINGS INC          EQUITY     684010101       349     22,587 SH       SOLE           1    22,587        --      --
ORACLE CORP                         EQUITY     68389X105    69,135  2,816,179 SH       SOLE           2 2,816,179        --      --
ORACLE CORP                         EQUITY     68389X105       274     11,178 SH       DEFINED        4        --        --  11,178
ORACLE CORP                         EQUITY     68389X105       491     20,013 SH       DEFINED        5        --        --  20,013
ORACLE CORP.                        EQUITY     68389X105    13,123    534,927 SH       SOLE           1   534,927        --      --
ORASURE TECHNOLOGIES INC            EQUITY     68554V108       190     37,469 SH       SOLE           2    37,469        --      --
ORASURE TECHNOLOGIES INC            EQUITY     68554V108         1        295 SH       DEFINED        5        --        --     295
ORBCOMM INC                         EQUITY     68555P100        22      8,217 SH       SOLE           1     8,217        --      --
ORBITAL SCIENCES CORP               EQUITY     685564106       825     54,073 SH       SOLE           2    54,073        --      --
ORBITAL SCIENCES CORP               FIXED
                                      INCOME   685564AN6         2          2 PRN      DEFINED        5        --        --       2
ORBITAL SCIENCES CORP.              EQUITY     685564106       722     47,303 SH       SOLE           1    47,303        --      --
ORBITZ WORLDWIDE INC                EQUITY     68557K109       218     29,757 SH       SOLE           2    29,757        --      --
ORCHIDS PAPER PRODS CO DEL          EQUITY     68572N104        89      4,464 SH       SOLE           2     4,464        --      --
O'REILLY AUTOMOTIVE, INC.           EQUITY     686091109    26,115    684,921 SH       SOLE           1   684,921        --      --
O'REILLY AUTOMOTIVE, INC.           EQUITY     686091109     1,571     41,200 SH       SOLE           3    41,200        --      --
OREXIGEN THERAPEUTICS INC           EQUITY     686164104       161     21,696 SH       SOLE           2    21,696        --      --
OREXIGEN THERAPEUTICS INC           EQUITY     686164104       408     54,900 SH       SOLE           3    54,900        --      --
ORIENT EXPRESS HOTELS LTD           EQUITY     G67743107       636     62,763 SH       SOLE           2    62,763        --      --
ORIENTAL FINL GROUP INC             EQUITY     68618W100       214     19,789 SH       SOLE           2    19,789        --      --
ORIGIN AGRITECH LIMITED             EQUITY     G67828106         8        700 SH       DEFINED        4        --        --     700
ORION ENERGY SYS                    EQUITY     686275108        63     14,245 SH       SOLE           2    14,245        --      --
ORION MARINE GROUP INC              EQUITY     68628V308     1,425     67,661 SH       SOLE           1    67,661        --      --
ORION MARINE GROUP INC              EQUITY     68628V308       460     21,859 SH       SOLE           2    21,859        --      --
ORION MARINE GROUP INC              EQUITY     68628V308     1,662     78,939 SH       SOLE           3    78,939        --      --





                                                                                            
ORITANI FINL CORP                   EQUITY     686323106       113      8,256 SH       SOLE           2     8,256        --      --
ORLEANS HOMEBUILDERS INC            EQUITY     686588104        62     36,450 SH       DEFINED        5        --        --  36,450
ORMAT TECHNOLOGIES INC              EQUITY     686688102        15        399 SH       SOLE           2       399        --      --
ORRSTOWN FINL SVCS INC              EQUITY     687380105       146      4,183 SH       SOLE           2     4,183        --      --
ORTHOFIX INTERNATIONAL NV           EQUITY     N6748L102       433     13,971 SH       SOLE           2    13,971        --      --
ORTHOVITA INC                       EQUITY     68750U102       190     54,008 SH       SOLE           2    54,008        --      --
OSHKOSH CORP                        EQUITY     688239201     7,495    202,411 SH       SOLE           2   202,411        --      --
OSHKOSH CORP                        EQUITY     688239201         6        150 SH       DEFINED        4        --        --     150
OSHKOSH CORP CL B                   EQUITY     688239201     4,541    122,621 SH       SOLE           1   122,621        --      --
OSI PHARMACEUTICALS INC             EQUITY     671040103     4,060    130,855 SH       SOLE           2   130,855        --      --
OSI PHARMACEUTICALS INC             EQUITY     671040103        16        500 SH       DEFINED        4        --        --     500
OSI SYS INC                         EQUITY     671044105       347     12,715 SH       SOLE           2    12,715        --      --
OSIRIS THERAPEUTICS INC             EQUITY     68827R108         7      1,000 SH       DEFINED        5        --        --   1,000
OSIRIS THERAPEUTICS INC NE          EQUITY     68827R108        98     13,682 SH       SOLE           2    13,682        --      --
OSTEOTECH INC                       EQUITY     688582105        31      9,671 SH       SOLE           1     9,671        --      --
OSTEOTECH INC                       EQUITY     688582105         8      2,526 SH       SOLE           2     2,526        --      --
OTELCO INC                          EQUITY     688823202         3        200 SH       DEFINED        5        --        --     200
OTTER TAIL CORP                     EQUITY     689648103       718     28,970 SH       SOLE           2    28,970        --      --
OTTER TAIL CORP                     EQUITY     689648103        34      1,353 SH       DEFINED        5        --        --   1,353
OUTDOOR CHANNEL HLDGS INC           EQUITY     690027206        69     11,879 SH       SOLE           2    11,879        --      --
OVERHILL FARMS INC                  EQUITY     690212105        63     12,925 SH       SOLE           2    12,925        --      --
OVERSEAS SHIPHOLDING GROUP          EQUITY     690368105     2,323     52,863 SH       SOLE           2    52,863        --      --
OVERSEAS SHIPHOLDING GROUP I        EQUITY     690368105        13        300 SH       DEFINED        5        --        --     300
OVERSTOCK COM INC DEL               EQUITY     690370101       174     12,802 SH       SOLE           2    12,802        --      --
OWENS & MINOR INC NEW               EQUITY     690732102        20        460 SH       DEFINED        5        --        --     460
OWENS + MINOR INC NEW               EQUITY     690732102     5,487    127,822 SH       SOLE           2   127,822        --      --
OWENS CORNING INC                   EQUITY     690742101     7,692    300,000 SH       SOLE           1   300,000        --      --
OWENS CORNING NEW                   EQUITY     690742101        53      2,079 SH       SOLE           2     2,079        --      --
OWENS CORNING NEW                   EQUITY     690742101         3        120 SH       DEFINED        5        --        --     120
OWENS ILL INC                       EQUITY     690768403     2,698     82,077 SH       SOLE           2    82,077        --      --
OWENS ILL INC                       EQUITY     690768403         3         91 SH       DEFINED        5        --        --      91
OWENS-ILLINOIS INC                  EQUITY     690768403     4,979    151,483 SH       SOLE           1   151,483        --      --
OWENS-ILLINOIS INC                  EQUITY     690768403     1,558     47,400 SH       SOLE           3    47,400        --      --
OXFORD INDS INC                     EQUITY     691497309       253     12,217 SH       SOLE           2    12,217        --      --
OXFORD INDS INC.                    EQUITY     691497309       153      7,390 SH       SOLE           1     7,390        --      --
OXIGENE INC                         EQUITY     691828107        34     30,098 SH       SOLE           2    30,098        --      --
OYO GEOSPACE                        EQUITY     671074102       141      3,287 SH       SOLE           2     3,287        --      --
P F CHANGS CHINA BISTRO IN          EQUITY     69333Y108       858     22,620 SH       SOLE           2    22,620        --      --
P G & E CORP.                       EQUITY     69331C108       683     15,288 SH       SOLE           1    15,288        --      --
P. F. CHANGS CHINA BISTRO INC.      EQUITY     69333Y108       464     12,245 SH       SOLE           1    12,245        --      --
PACCAR INC                          EQUITY     693718108     6,957    191,806 SH       SOLE           2   191,806        --      --
PACCAR INC                          EQUITY     693718108        18        485 SH       DEFINED        5        --        --     485
PACCAR, INC                         EQUITY     693718108       797     21,973 SH       SOLE           1    21,973        --      --
PACER INTL INC TENN                 EQUITY     69373H106        22      6,868 SH       DEFINED        4        --        --   6,868
PACER INTL INC TN                   EQUITY     69373H106        90     28,533 SH       SOLE           2    28,533        --      --
PACIFIC CAP BANCORP NEW             EQUITY     69404P101        37     38,132 SH       SOLE           2    38,132        --      --
PACIFIC CONTL CORP                  EQUITY     69412V108       172     15,024 SH       SOLE           2    15,024        --      --
PACIFIC SUNWEAR OF CALIF            EQUITY     694873100       214     53,689 SH       SOLE           2    53,689        --      --
PACKAGING CORP AMER                 EQUITY     695156109     5,361    233,007 SH       SOLE           2   233,007        --      --
PACKAGING CORP OF AMERICA           EQUITY     695156109     1,134     49,300 SH       SOLE           1    49,300        --      --
PACKAGING CORP OF AMERICA           EQUITY     695156109     1,535     66,700 SH       SOLE           3    66,700        --      --
PACTIV CORP                         EQUITY     695257105         1         50 SH       DEFINED        5        --        --      50
PACTIV CORP                         EQUITY     695257105     1,514     62,705 SH       SOLE           2    62,705        --      --
PACTIV CORP                         EQUITY     695257105         2         83 SH       DEFINED        4        --        --      83
PACTIV CORPORATION                  EQUITY     695257105     1,415     58,619 SH       SOLE           1    58,619        --      --
PACWEST BANCORP DEL                 EQUITY     695263103     1,781     88,367 SH       SOLE           2    88,367        --      --
PAETEC HLDG CORP                    EQUITY     695459107       416    100,275 SH       SOLE           2   100,275        --      --
PAIN THERAPEUTICS INC               EQUITY     69562K100       152     28,379 SH       SOLE           2    28,379        --      --
PALL CORP                           EQUITY     696429307       428     11,815 SH       SOLE           1    11,815        --      --
PALL CORP                           EQUITY     696429307     1,846     50,989 SH       SOLE           2    50,989        --      --
PALM INC NEW                        EQUITY     696643105     5,066    504,549 SH       SOLE           2   504,549        --      --
PALM INC NEW                        EQUITY     696643105         7        685 SH       DEFINED        4        --        --     685
PALOMAR MED TECHNOLOGIES I          EQUITY     697529303       174     17,276 SH       SOLE           2    17,276        --      --
PALOMAR MED TECHNOLOGIES INC        EQUITY     697529303         2        176 SH       DEFINED        4        --        --     176
PALOMAR MEDICAL TECHNOLOGIES        EQUITY     697529303        98      9,697 SH       SOLE           1     9,697        --      --
PAN AMERICAN SILVER CORP            EQUITY     697900108        52      2,157 SH       OTHER          1        --     2,157      --
PAN AMERICAN SILVER CORP            EQUITY     697900108     3,551    149,160 SH       SOLE           2   149,160        --      --
PAN AMERICAN SILVER CORP            EQUITY     697900108         7        300 SH       DEFINED        5        --        --     300
PANASONIC CORP                      EQUITY     69832A205         3        232 SH       DEFINED        4        --        --     232
PANASONIC CORP                      EQUITY     69832A205        12        850 SH       DEFINED        5        --        --     850
PANERA BREAD CO                     EQUITY     69840W108     4,751     70,946 SH       SOLE           2    70,946        --      --
PANERA BREAD CO                     EQUITY     69840W108        43        645 SH       DEFINED        5        --        --     645
PANERA BREAD COMPANY CL A           EQUITY     69840W108       676     10,100 SH       SOLE           1    10,100        --      --
PANERA BREAD COMPANY CL A           EQUITY     69840W108       167      2,500 SH       SOLE           3     2,500        --      --
PANHANDLE OIL AND GAS INC           EQUITY     698477106       151      5,844 SH       SOLE           2     5,844        --      --
PANHANDLE OIL AND GAS INC           EQUITY     698477106         5        207 SH       DEFINED        4        --        --     207
PANTRY INC                          EQUITY     698657103     6,630    487,855 SH       SOLE           2   487,855        --      --
PAPA JOHNS INTERNATIONAL, INC       EQUITY     698813102       274     11,723 SH       SOLE           1    11,723        --      --
PAPA JOHNS INTL INC                 EQUITY     698813102       488     20,904 SH       SOLE           2    20,904        --      --
PAR PHARMACEUTICAL COMPANIES, INC   EQUITY     69888P106       499     18,425 SH       SOLE           1    18,425        --      --
PAR PHARMACEUTICAL COS INC          EQUITY     69888P106       901     33,304 SH       SOLE           2    33,304        --      --
PAR PHARMACEUTICAL COS INC          EQUITY     69888P106        18        651 SH       DEFINED        4        --        --     651
PAR TECHNOLOGY                      EQUITY     698884103        38      6,638 SH       SOLE           2     6,638        --      --
PARAGON SHIPPING INC                EQUITY     69913R309         3        700 SH       DEFINED        5        --        --     700
PARAMETRIC TECHNOLOGY CORP          EQUITY     699173209     5,851    358,052 SH       SOLE           2   358,052        --      --
PARAMOUNT GOLD AND SILVER           EQUITY     69924P102        92     63,627 SH       SOLE           2    63,627        --      --
PAREXEL INTERNATIONAL CORP.         EQUITY     699462107       436     30,926 SH       SOLE           1    30,926        --      --
PAREXEL INTL CORP                   EQUITY     699462107       778     55,163 SH       SOLE           2    55,163        --      --
PARK ELECTROCHEMICAL CORP           EQUITY     700416209       542     19,610 SH       SOLE           2    19,610        --      --
PARK ELECTROCHEMICAL CORP           EQUITY     700416209         2         65 SH       DEFINED        5        --        --      65
PARK ELECTROCHEMICAL CORP.          EQUITY     700416209       303     10,960 SH       SOLE           1    10,960        --      --
PARK NATL CORP                      EQUITY     700658107       529      8,981 SH       SOLE           2     8,981        --      --
PARK NATL CORP                      EQUITY     700658107       113      1,925 SH       DEFINED        5        --        --   1,925
PARKER DRILLING CO                  EQUITY     701081101       469     94,805 SH       SOLE           2    94,805        --      --
PARKER DRILLING CO                  EQUITY     701081101         1        300 SH       DEFINED        5        --        --     300
PARKER HANNIFIN CORP                EQUITY     701094104     4,890     90,761 SH       SOLE           2    90,761        --      --
PARKER HANNIFIN CORP                EQUITY     701094104        19        352 SH       DEFINED        5        --        --     352
PARKER HANNIFIN CORP.               EQUITY     701094104     1,462     27,138 SH       SOLE           1    27,138        --      --
PARKERVISION INC                    EQUITY     701354102        55     29,899 SH       SOLE           2    29,899        --      --
PARKVALE FINL CORP                  EQUITY     701492100         9      1,250 SH       DEFINED        5        --        --   1,250
PARKWAY PPTYS INC                   EQUITY     70159Q104       431     20,698 SH       SOLE           2    20,698        --      --
PARKWAY PPTYS INC                   EQUITY     70159Q104        16        779 SH       DEFINED        4        --        --     779
PARKWAY PROPERTIES, INC.            EQUITY     70159Q104       242     11,606 SH       SOLE           1    11,606        --      --
PARTNERRE LTD                       EQUITY     G6852T105       149      2,001 SH       SOLE           2     2,001        --      --
PARTNERRE LTD                       EQUITY     G6852T105         5         67 SH       DEFINED        5        --        --      67





                                                                                            
PATRIOT COAL CORP                   EQUITY     70336T104        71      4,564 SH       DEFINED        5        --        --   4,564
PATRIOT COAL CORPORATION            EQUITY     70336T104     3,523    227,848 SH       SOLE           2   227,848        --      --
PATRIOT TRANSN HLDG INC             EQUITY     70337B102        99      1,046 SH       SOLE           2     1,046        --      --
PATTERSON COMPANIES INC             EQUITY     703395103         9        335 SH       DEFINED        4        --        --     335
PATTERSON COS INC                   EQUITY     703395103        53      1,880 SH       SOLE           1     1,880        --      --
PATTERSON COS INC                   EQUITY     703395103     1,108     39,590 SH       SOLE           2    39,590        --      --
PATTERSON UTI ENERGY INC            EQUITY     703481101     5,333    347,447 SH       SOLE           2   347,447        --      --
PATTERSON UTI ENERGY INC            EQUITY     703481101         7        450 SH       DEFINED        5        --        --     450
PAYCHEX INC                         EQUITY     704326107     7,575    247,205 SH       SOLE           2   247,205        --      --
PAYCHEX INC                         EQUITY     704326107        91      2,973 SH       DEFINED        4        --        --   2,973
PAYCHEX INC                         EQUITY     704326107        17        555 SH       DEFINED        5        --        --     555
PAYCHEX, INC.                       EQUITY     704326107     2,035     66,405 SH       SOLE           1    66,405        --      --
PC CONNECTION INC                   EQUITY     69318J100        52      7,712 SH       SOLE           2     7,712        --      --
PC MALL INC                         EQUITY     69323K100        44      8,438 SH       SOLE           2     8,438        --      --
PC TEL INC                          EQUITY     69325Q105       107     18,013 SH       SOLE           2    18,013        --      --
PCM FUND INC                        EQUITY     69323T101       217     27,250 SH       DEFINED        4        --        --  27,250
PCM FUND INC                        EQUITY     69323T101         4        500 SH       DEFINED        5        --        --     500
PC-TEL  INC.                        EQUITY     69325Q105        59     10,025 SH       SOLE           1    10,025        --      --
PDL BIOPHARMA INC                   EQUITY     69329Y104       669     97,587 SH       SOLE           2    97,587        --      --
PDL BIOPHARMA INC                   EQUITY     69329Y104        10      1,500 SH       DEFINED        5        --        --   1,500
PEABODY ENERGY CORP                 EQUITY     704549104       245      5,414 SH       SOLE           1     5,414        --      --
PEABODY ENERGY CORP                 EQUITY     704549104     3,980     87,958 SH       SOLE           2    87,958        --      --
PEABODY ENERGY CORP                 EQUITY     704549104        52      1,160 SH       DEFINED        4        --        --   1,160
PEABODY ENERGY CORP                 EQUITY     704549104        18        408 SH       DEFINED        5        --        --     408
PEAPACK GLADSTONE FINL COR          EQUITY     704699107        90      7,119 SH       SOLE           2     7,119        --      --
PEETS COFFEE & TEA INC              EQUITY     705560100       229      6,877 SH       SOLE           1     6,877        --      --
PEETS COFFEE AND TEA INC            EQUITY     705560100       371     11,128 SH       SOLE           2    11,128        --      --
PEGASYSTEMS INC                     EQUITY     705573103       417     12,262 SH       SOLE           2    12,262        --      --
PENFORD CORP                        EQUITY     707051108        53      6,100 SH       SOLE           1     6,100        --      --
PENFORD CORP                        EQUITY     707051108        14      1,597 SH       SOLE           2     1,597        --      --
PENGROWTH ENERGY TR                 EQUITY     706902509       585     60,705 SH       DEFINED        4        --        --  60,705
PENGROWTH ENERGY TR                 EQUITY     706902509       168     17,430 SH       DEFINED        5        --        --  17,430
PENN NATL GAMING INC                EQUITY     707569109     1,682     61,894 SH       SOLE           2    61,894        --      --
PENN VA CORP                        EQUITY     707882106       925     43,447 SH       SOLE           2    43,447        --      --
PENN VA CORP                        EQUITY     707882106         1         67 SH       DEFINED        5        --        --      67
PENN VA RESOURCES PARTNERS L        EQUITY     707884102         7        330 SH       DEFINED        4        --        --     330
PENN VA RESOURCES PARTNERS L        EQUITY     707884102        27      1,250 SH       DEFINED        5        --        --   1,250
PENN VIRGINIA CORPORATION           EQUITY     707882106       519     24,359 SH       SOLE           1    24,359        --      --
PENN WEST ENERGY TR                 EQUITY     707885109       139      7,921 SH       DEFINED        4        --        --   7,921
PENN WEST ENERGY TR                 EQUITY     707885109       350     19,893 SH       DEFINED        5        --        --  19,893
PENN WEST ENERGY TRUST              EQUITY     707885109       271     15,706 SH       OTHER          1        --    15,706      --
PENNANTPARK INVESTMENT COR          EQUITY     708062104       185     20,722 SH       SOLE           2    20,722        --      --
PENNEY J C INC                      EQUITY     708160106        25        933 SH       DEFINED        5        --        --     933
PENNICHUCK CORP                     EQUITY     708254206        80      3,769 SH       SOLE           2     3,769        --      --
PENNS WOODS BANCORP INC             EQUITY     708430103       102      3,131 SH       SOLE           2     3,131        --      --
PENNSYLVANIA REAL ESTATE I          EQUITY     709102107       314     37,106 SH       SOLE           2    37,106        --      --
PENNSYLVANIA REAL ESTATE INV.       EQUITY     709102107       193     22,840 SH       SOLE           1    22,840        --      --
PENNSYLVANIA RL ESTATE INVT         EQUITY     709102107         1        150 SH       DEFINED        5        --        --     150
PENNYMAC MORTGAGE INVESTME          EQUITY     70931T103       207     12,020 SH       SOLE           2    12,020        --      --
PENSKE AUTOMOTIVE GROUP IN          EQUITY     70959W103        15      1,021 SH       SOLE           2     1,021        --      --
PENSKE AUTOMOTIVE GRP INC           EQUITY     70959W103         2        100 SH       DEFINED        5        --        --     100
PENSON WORLDWIDE INC                EQUITY     709600100       144     15,933 SH       SOLE           2    15,933        --      --
PENTAIR INC                         EQUITY     709631105         1         38 SH       DEFINED        4        --        --      38
PENTAIR INC                         EQUITY     709631105     7,183    222,380 SH       SOLE           2   222,380        --      --
PEOPLES BANCORP INC                 EQUITY     709789101        83      8,542 SH       SOLE           2     8,542        --      --
PEOPLES FINL CORP MISS              EQUITY     71103B102        63      3,091 SH       SOLE           2     3,091        --      --
PEOPLES UNITED FINANCIAL INC        EQUITY     712704105        30      1,785 SH       DEFINED        4        --        --   1,785
PEOPLES UNITED FINANCIAL INC        EQUITY     712704105         3        200 SH       DEFINED        5        --        --     200
PEOPLES UTD FINL INC                EQUITY     712704105     2,086    124,930 SH       SOLE           2   124,930        --      --
PEP BOYS MANNY MOE & JACK           EQUITY     713278109        42      5,000 SH       DEFINED        5        --        --   5,000
PEP BOYS MANNY MOE + JACK           EQUITY     713278109       392     46,314 SH       SOLE           2    46,314        --      --
PEP BOYS-MANNY, MOE & JACK          EQUITY     713278109       211     24,994 SH       SOLE           1    24,994        --      --
PEPCO HLDGS INC                     EQUITY     713291102     3,633    215,605 SH       SOLE           2   215,605        --      --
PEPCO HOLDINGS INC                  EQUITY     713291102        76      4,484 SH       SOLE           1     4,484        --      --
PEPCO HOLDINGS INC                  EQUITY     713291102        75      4,456 SH       DEFINED        4        --        --   4,456
PEPSI BOTTLING                      EQUITY     713409100     1,534     40,909 SH       SOLE           1    40,909        --      --
PEPSI BOTTLING GROUP INC            EQUITY     713409100     3,195     85,193 SH       SOLE           2    85,193        --      --
PEPSIAMERICAS INC                   EQUITY     71343P200     3,713    126,884 SH       SOLE           2   126,884        --      --
PEPSIAMERICAS INC                   EQUITY     71343P200        12        400 SH       DEFINED        4        --        --     400
PEPSICO INC                         EQUITY     713448108    63,854  1,050,003 SH       SOLE           2 1,050,003        --      --
PEPSICO INC                         EQUITY     713448108     1,401     23,042 SH       DEFINED        4        --        --  23,042
PEPSICO INC                         EQUITY     713448108     2,054     33,781 SH       DEFINED        5        --        --  33,781
PEPSICO, INC.                       EQUITY     713448108    52,694    866,548 SH       SOLE           1   866,548        --      --
PEPSICO, INC.                       EQUITY     713448108     3,277     53,900 SH       SOLE           3    53,900        --      --
PEREGRINE PHARMACEUTICALS IN        EQUITY     713661304         6      2,000 SH       DEFINED        4        --        --   2,000
PERFECT WORLD CO LTD                EQUITY     71372U104         8        200 SH       DEFINED        5        --        --     200
PERFICIENT INC                      EQUITY     71375U101       137     16,227 SH       SOLE           1    16,227        --      --
PERFICIENT INC                      EQUITY     71375U101       233     27,655 SH       SOLE           2    27,655        --      --
PERFICIENT INC                      EQUITY     71375U101         4        500 SH       DEFINED        4        --        --     500
PERFICIENT INC                      EQUITY     71375U101         4        500 SH       DEFINED        5        --        --     500
PERICOM SEMICONDUCTOR CORP          EQUITY     713831105       156     13,530 SH       SOLE           1    13,530        --      --
PERICOM SEMICONDUCTOR CORP          EQUITY     713831105       280     24,262 SH       SOLE           2    24,262        --      --
PERKINELMER INC                     EQUITY     714046109       925     44,920 SH       SOLE           2    44,920        --      --
PERKINELMER INC.                    EQUITY     714046109        49      2,363 SH       SOLE           1     2,363        --      --
PERMA FIX ENVIRONMENTAL SV          EQUITY     714157104       100     44,125 SH       SOLE           2    44,125        --      --
PERMA-FIX ENVIRONMENTAL SVCS        EQUITY     714157104        51     22,500 SH       DEFINED        4        --        --  22,500
PERMIAN BASIN RTY TR                EQUITY     714236106        62      4,295 SH       DEFINED        4        --        --   4,295
PERMIAN BASIN RTY TR                EQUITY     714236106       430     29,760 SH       DEFINED        5        --        --  29,760
PERRIGO CO                          EQUITY     714290103     7,229    181,459 SH       SOLE           2   181,459        --      --
PERRIGO CO.                         EQUITY     714290103       434     10,887 SH       SOLE           1    10,887        --      --
PERRY ELLIS INTERNATIONAL           EQUITY     288853104        82      5,467 SH       SOLE           1     5,467        --      --
PERVASIVE SOFTWARE INC              EQUITY     715710109        60     12,544 SH       SOLE           2    12,544        --      --
PETMED EXPRESS COM INC              EQUITY     716382106       393     22,268 SH       SOLE           2    22,268        --      --
PETMED EXPRESS INC                  EQUITY     716382106       213     12,087 SH       SOLE           1    12,087        --      --
PETMED EXPRESS INC                  EQUITY     716382106        31      1,760 SH       DEFINED        5        --        --   1,760
PETROCHINA CO LTD                   EQUITY   7.1646E+104        31        261 SH       DEFINED        5        --        --     261
PETROHAWK ENERGY CORP               EQUITY     716495106       142      5,923 SH       SOLE           2     5,923        --      --
PETROHAWK ENERGY CORP               EQUITY     716495106         6        250 SH       DEFINED        4        --        --     250
PETROLEO BRASILEIRO S.A. ADR        EQUITY     71654V408   137,577  2,885,432 SH       SOLE           1 2,885,432        --      --
PETROLEO BRASILEIRO SA PETRO        EQUITY     71654V101         2         42 SH       DEFINED        4        --        --      42
PETROLEO BRASILEIRO SA PETRO        EQUITY     71654V408       153      3,219 SH       DEFINED        4        --        --   3,219
PETROLEO BRASILEIRO SA PETRO        EQUITY     71654V101         2         45 SH       DEFINED        5        --        --      45
PETROLEO BRASILEIRO SA PETRO        EQUITY     71654V408       635     13,312 SH       DEFINED        5        --        --  13,312
PETROLEUM DEV CORP                  EQUITY     716578109       335     18,399 SH       SOLE           2    18,399        --      --
PETROLEUM DEVELOPMENT CORP          EQUITY     716578109       188     10,318 SH       SOLE           1    10,318        --      --





                                                                                            
PETROQUEST ENERGY INC               EQUITY     716748108       172     28,034 SH       SOLE           1    28,034        --      --
PETROQUEST ENERGY INC               EQUITY     716748108       302     49,204 SH       SOLE           2    49,204        --      --
PETROQUEST ENERGY INC               EQUITY     716748108        34      5,500 SH       DEFINED        5        --        --   5,500
PETSMART INC                        EQUITY     716768106     7,441    278,779 SH       SOLE           2   278,779        --      --
PETSMART INC                        EQUITY     716768106         4        148 SH       DEFINED        5        --        --     148
PETSMART, INC                       EQUITY     716768106       375     14,042 SH       SOLE           1    14,042        --      --
PFIZER INC                          EQUITY     717081103    62,619  3,442,499 SH       SOLE           2 3,442,499        --      --
PFIZER INC                          EQUITY     717081103       342     18,806 SH       DEFINED        4        --        --  18,806
PFIZER INC                          EQUITY     717081103       912     50,140 SH       DEFINED        5        --        --  50,140
PFIZER, INC.                        EQUITY     717081103    27,919  1,534,855 SH       SOLE           1 1,534,855        --      --
PG&E CORP                           EQUITY     69331C108        33        745 SH       DEFINED        4        --        --     745
PG&E CORP                           EQUITY     69331C108        83      1,865 SH       DEFINED        5        --        --   1,865
PG+E CORP                           EQUITY     69331C108    10,766    241,112 SH       SOLE           2   241,112        --      --
PHARMACEUTICAL PROD DEV IN          EQUITY     717124101     6,243    266,341 SH       SOLE           2   266,341        --      --
PHARMASSET INC                      EQUITY     71715N106       354     17,084 SH       SOLE           2    17,084        --      --
PHARMERICA CORP                     EQUITY     71714F104       261     16,430 SH       SOLE           1    16,430        --      --
PHARMERICA CORP                     EQUITY     71714F104       464     29,203 SH       SOLE           2    29,203        --      --
PHARMERICA CORP                     EQUITY     71714F104         3        183 SH       DEFINED        5        --        --     183
PHASE FORWARD INC                   EQUITY     71721R406       351     22,909 SH       SOLE           1    22,909        --      --
PHASE FORWARD INC                   EQUITY     71721R406       634     41,320 SH       SOLE           2    41,320        --      --
PHASE FORWARD INC                   EQUITY     71721R406         2        135 SH       DEFINED        4        --        --     135
PHH CORP                            EQUITY     693320202       716     44,428 SH       SOLE           2    44,428        --      --
PHI INC                             EQUITY     69336T205       224     10,812 SH       SOLE           2    10,812        --      --
PHILIP MORRIS INTERNATIONAL INC     EQUITY     718172109    15,797    327,810 SH       SOLE           1   327,810        --      --
PHILIP MORRIS INTL INC              EQUITY     718172109       476      9,868 SH       DEFINED        4        --        --   9,868
PHILIP MORRIS INTL INC              EQUITY     718172109       983     20,401 SH       DEFINED        5        --        --  20,401
PHILIP MORRIS INTL ORD SHR          EQUITY     718172109    38,356    795,800 SH       SOLE           2   795,800        --      --
PHILIPPINE LONG DISTANCE TEL        EQUITY     718252604         6        113 SH       DEFINED        5        --        --     113
PHILLIPS VAN HEUSEN CORP            EQUITY     718592108     4,741    116,548 SH       SOLE           2   116,548        --      --
PHILLIPS-VAN HEUSEN CORP.           EQUITY     718592108       231      5,680 SH       SOLE           1     5,680        --      --
PHOENIX COS INC NEW                 EQUITY   7.1902E+113       263     94,428 SH       SOLE           2    94,428        --      --
PHOENIX TECHNOLOGIES LTD            EQUITY     719153108        92     33,520 SH       SOLE           2    33,520        --      --
PHOENIX TECHNOLOGIES, LTD.          EQUITY     719153108        51     18,656 SH       SOLE           1    18,656        --      --
PHOTRONICS INC                      EQUITY     719405102       193     43,263 SH       SOLE           2    43,263        --      --
PICO HLDGS INC                      EQUITY     693366205       604     18,457 SH       SOLE           2    18,457        --      --
PICO HLDGS INC                      EQUITY     693366205         3        100 SH       DEFINED        5        --        --     100
PIEDMONT NAT GAS INC                EQUITY     720186105     1,880     70,291 SH       SOLE           2    70,291        --      --
PIEDMONT NAT GAS INC                EQUITY     720186105       230      8,598 SH       DEFINED        4        --        --   8,598
PIEDMONT NATURAL GAS CO., INC.      EQUITY     720186105     1,050     39,241 SH       SOLE           1    39,241        --      --
PIER 1 IMPORTS INC                  EQUITY     720279108       479     94,112 SH       SOLE           2    94,112        --      --
PIER 1 IMPORTS INC                  EQUITY     720279108        14      2,700 SH       DEFINED        5        --        --   2,700
PIKE ELEC CORP                      EQUITY     721283109       126     13,546 SH       SOLE           2    13,546        --      --
PIMCO CORPORATE INCOME FD           EQUITY     72200U100       120      8,665 SH       DEFINED        4        --        --   8,665
PIMCO CORPORATE OPP FD              EQUITY     72201B101       171     11,890 SH       DEFINED        4        --        --  11,890
PIMCO CORPORATE OPP FD              EQUITY     72201B101       128      8,874 SH       DEFINED        5        --        --   8,874
PIMCO ETF TR                        EQUITY     72201R833       200      1,995 SH       DEFINED        4        --        --   1,995
PIMCO FLOATING RATE INCOME F        EQUITY     72201H108        42      3,700 SH       DEFINED        4        --        --   3,700
PIMCO FLOATING RATE INCOME F        EQUITY     72201H108        19      1,700 SH       DEFINED        5        --        --   1,700
PIMCO FLOATING RATE STRTGY F        EQUITY     72201J104        84      8,500 SH       DEFINED        4        --        --   8,500
PIMCO GLOBAL STOCKSPLS INCM         EQUITY     722011103        18      1,000 SH       DEFINED        5        --        --   1,000
PIMCO HIGH INCOME FD                EQUITY     722014107       437     40,234 SH       DEFINED        4        --        --  40,234
PIMCO HIGH INCOME FD                EQUITY     722014107       185     17,078 SH       DEFINED        5        --        --  17,078
PIMCO INCOME OPPORTUNITY FD         EQUITY     72202B100       510     22,810 SH       DEFINED        5        --        --  22,810
PIMCO STRATEGIC GBL GOV FD I        EQUITY     72200X104        41      4,000 SH       DEFINED        4        --        --   4,000
PIMCO STRATEGIC GBL GOV FD I        EQUITY     72200X104        72      6,998 SH       DEFINED        5        --        --   6,998
PINNACLE ENTMT INC                  EQUITY     723456109       516     57,506 SH       SOLE           2    57,506        --      --
PINNACLE FINANCIAL PARTNERS         EQUITY     72346Q104       252     17,689 SH       SOLE           1    17,689        --      --
PINNACLE FINL PARTNERS INC          EQUITY     72346Q104       448     31,531 SH       SOLE           2    31,531        --      --
PINNACLE WEST CAP CORP              EQUITY     723484101     1,327     36,285 SH       SOLE           2    36,285        --      --
PINNACLE WEST CAP CORP              EQUITY     723484101        31        850 SH       DEFINED        4        --        --     850
PINNACLE WEST CAPITAL CORP.         EQUITY     723484101        75      2,042 SH       SOLE           1     2,042        --      --
PIONEER DRILLING CO                 EQUITY     723655106       358     45,315 SH       SOLE           2    45,315        --      --
PIONEER DRILLING COMPANY            EQUITY     723655106       230     29,052 SH       SOLE           1    29,052        --      --
PIONEER DRILLING COMPANY            EQUITY     723655106       593     75,000 SH       SOLE           3    75,000        --      --
PIONEER FLOATING RATE TR            EQUITY     72369J102         8        720 SH       DEFINED        4        --        --     720
PIONEER HIGH INCOME TR              EQUITY     72369H106         6        400 SH       DEFINED        4        --        --     400
PIONEER HIGH INCOME TR              EQUITY     72369H106       226     16,051 SH       DEFINED        5        --        --  16,051
PIONEER NAT RES CO                  EQUITY     723787107     2,940     61,002 SH       SOLE           2    61,002        --      --
PIONEER NAT RES CO                  EQUITY     723787107         3         54 SH       DEFINED        4        --        --      54
PIONEER NAT RES CO                  EQUITY     723787107        10        200 SH       DEFINED        5        --        --     200
PIONEER NATURAL RESOURCES CORP      EQUITY     723787107       112      2,325 SH       SOLE           1     2,325        --      --
PIPER JAFFRAY COS                   EQUITY     724078100       432      8,543 SH       SOLE           1     8,543        --      --
PIPER JAFFRAY COS                   EQUITY     724078100       927     18,326 SH       SOLE           2    18,326        --      --
PITNEY BOWES INC                    EQUITY     724479100     3,232    141,994 SH       SOLE           2   141,994        --      --
PITNEY BOWES INC                    EQUITY     724479100        78      3,435 SH       DEFINED        5        --        --   3,435
PITNEY BOWES, INC.                  EQUITY     724479100     5,213    229,062 SH       SOLE           1   229,062        --      --
PLAINS ALL AMER PIPELINE LP         EQUITY     726503105     5,037     95,312 SH       SOLE           1    95,312        --      --
PLAINS ALL AMERN PIPELINE L         EQUITY     726503105       239      4,524 SH       DEFINED        4        --        --   4,524
PLAINS ALL AMERN PIPELINE L         EQUITY     726503105        76      1,446 SH       DEFINED        5        --        --   1,446
PLAINS EXPL + PRODTN CO             EQUITY     726505100    14,817    535,700 SH       SOLE           2   535,700        --      --
PLAINS EXPLORATION & PRODUCT        EQUITY     726505100       288     10,426 SH       SOLE           1    10,426        --      --
PLANTRONICS INC NEW                 EQUITY     727493108     3,890    149,737 SH       SOLE           2   149,737        --      --
PLATINUM UNDERWRITERS HOLD          EQUITY     G7127P100     1,600     41,792 SH       SOLE           2    41,792        --      --
PLAYBOY ENTERPRISES INC             EQUITY     728117300         1        370 SH       DEFINED        5        --        --     370
PLAYBOY ENTERPRISES INC             EQUITY     728117300        56     17,481 SH       SOLE           2    17,481        --      --
PLEXUS CORP                         EQUITY     729132100     1,077     37,786 SH       SOLE           2    37,786        --      --
PLEXUS CORP.                        EQUITY     729132100       600     21,050 SH       SOLE           1    21,050        --      --
PLUM CREEK TIMBER CO INC            EQUITY     729251108        87      2,291 SH       SOLE           1     2,291        --      --
PLUM CREEK TIMBER CO INC            EQUITY     729251108     3,309     87,614 SH       SOLE           2    87,614        --      --
PLUM CREEK TIMBER CO INC            EQUITY     729251108        59      1,574 SH       DEFINED        4        --        --   1,574
PLUM CREEK TIMBER CO INC            EQUITY     729251108        68      1,803 SH       DEFINED        5        --        --   1,803
PLX TECHNOLOGY INC                  EQUITY     693417107        98     30,233 SH       SOLE           2    30,233        --      --
PMA CAP CORP                        EQUITY     693419202       166     26,311 SH       SOLE           2    26,311        --      --
PMC SIERRA INC                      EQUITY     69344F106     1,239    143,046 SH       SOLE           2   143,046        --      --
PMFG INC                            EQUITY     69345P103       173     10,684 SH       SOLE           2    10,684        --      --
PMFG INC                            EQUITY     69345P103         6        400 SH       DEFINED        5        --        --     400
PMI GROUP INC                       EQUITY     69344M101       150     59,587 SH       SOLE           2    59,587        --      --
PNC FINANCIAL SERVICES              EQUITY     693475105     9,924    187,981 SH       SOLE           1   187,981        --      --
PNC FINL SVCS GROUP INC             EQUITY     693475105    10,506    199,007 SH       SOLE           2   199,007        --      --
PNC FINL SVCS GROUP INC             EQUITY     693475501        11        124 SH       DEFINED        4        --        --     124
PNC FINL SVCS GROUP INC             EQUITY     693475105        21        394 SH       DEFINED        4        --        --     394
PNC FINL SVCS GROUP INC             EQUITY     693475105       123      2,339 SH       DEFINED        5        --        --   2,339
PNM RES INC                         EQUITY     69349H107     3,345    264,456 SH       SOLE           2   264,456        --      --
PNM RES INC                         EQUITY     69349H107        47      3,700 SH       DEFINED        4        --        --   3,700
PNM RES INC                         EQUITY     69349H107         2        130 SH       DEFINED        5        --        --     130





                                                                                            
POLARIS INDS INC                    EQUITY     731068102     1,292     29,602 SH       SOLE           2    29,602        --      --
POLARIS INDS INC                    EQUITY     731068102        12        285 SH       DEFINED        5        --        --     285
POLARIS INDUSTRIES, INC.            EQUITY     731068102       755     17,304 SH       SOLE           1    17,304        --      --
POLO RALPH LAUREN CO                EQUITY     731572103     2,793     34,495 SH       SOLE           1    34,495        --      --
POLO RALPH LAUREN CORP              EQUITY     731572103     1,624     20,038 SH       SOLE           2    20,038        --      --
POLYCOM INC                         EQUITY     73172K104     6,419    257,078 SH       SOLE           2   257,078        --      --
POLYONE CORP                        EQUITY     73179P106       661     88,462 SH       SOLE           2    88,462        --      --
POLYONE CORPORATION                 EQUITY     73179P106       368     49,305 SH       SOLE           1    49,305        --      --
POLYPORE INTERNATIONAL INC          EQUITY     73179V103       220     18,487 SH       SOLE           2    18,487        --      --
PONIARD PHARMACEUTICALS IN          EQUITY     732449301        38     20,868 SH       SOLE           2    20,868        --      --
PONIARD PHARMACEUTICALS INC         EQUITY     732449301         2      1,000 SH       DEFINED        5        --        --   1,000
POOL CORP                           EQUITY     73278L105       501     26,277 SH       SOLE           1    26,277        --      --
POOL CORP                           EQUITY     73278L105       885     46,386 SH       SOLE           2    46,386        --      --
POOL CORPORATION                    EQUITY     73278L105         2        100 SH       DEFINED        5        --        --     100
POPULAR INC                         EQUITY     733174106        40     17,612 SH       SOLE           2    17,612        --      --
POPULAR INC                         EQUITY     733174106         2      1,000 SH       DEFINED        5        --        --   1,000
PORTEC RAIL PRODS INC               EQUITY     736212101        58      5,427 SH       SOLE           2     5,427        --      --
PORTER BANCORP INC                  EQUITY     736233107        35      2,295 SH       SOLE           2     2,295        --      --
PORTFOLIO RECOVERY ASSOCIATE        EQUITY     73640Q105       866     19,298 SH       SOLE           1    19,298        --      --
PORTFOLIO RECOVERY ASSOCIATE        EQUITY     73640Q105       121      2,700 SH       SOLE           3     2,700        --      --
PORTFOLIO RECOVERY ASSOCS           EQUITY     73640Q105       660     14,706 SH       SOLE           2    14,706        --      --
PORTFOLIO RECOVERY ASSOCS IN        EQUITY     73640Q105        12        275 SH       DEFINED        4        --        --     275
PORTLAND GEN ELEC CO                EQUITY     736508847     1,253     61,371 SH       SOLE           2    61,371        --      --
POSCO                               EQUITY     693483109         2         17 SH       DEFINED        4        --        --      17
POSCO                               EQUITY     693483109        26        200 SH       DEFINED        5        --        --     200
POST PPTYS INC                      EQUITY     737464107       909     46,375 SH       SOLE           2    46,375        --      --
POST PROPERTIES, INC.               EQUITY     737464107       474     24,181 SH       SOLE           1    24,181        --      --
POTASH CORP OF SASKATCHEWAN         EQUITY     73755L107     5,184     47,532 SH       OTHER          1        --    47,532      --
POTASH CORP SASK INC                EQUITY     73755L107       868      8,000 SH       SOLE           2     8,000        --      --
POTASH CORP SASK INC                EQUITY     73755L107        22        200 SH       DEFINED        4        --        --     200
POTASH CORP SASK INC                EQUITY     73755L107        37        345 SH       DEFINED        5        --        --     345
POTLATCH CORP NEW                   EQUITY     737630103     3,872    121,464 SH       SOLE           2   121,464        --      --
POWELL INDS INC                     EQUITY     739128106       200      6,352 SH       SOLE           2     6,352        --      --
POWER INTEGRATIONS                  EQUITY     739276103       707     19,452 SH       SOLE           2    19,452        --      --
POWER ONE INC                       EQUITY     739308104       274     62,879 SH       SOLE           2    62,879        --      --
POWERSECURE INTL INC                EQUITY     73936N105       101     14,029 SH       SOLE           2    14,029        --      --
POWERSHARES ACTIVE MNG ETF T        EQUITY     73935B508       478     12,783 SH       DEFINED        4        --        --  12,783
POWERSHARES ACTIVE MNG ETF T        EQUITY     73935B201         5        273 SH       DEFINED        5        --        --     273
POWERSHARES ACTIVE MNG ETF T        EQUITY     73935B409       641     25,442 SH       DEFINED        5        --        --  25,442
POWERSHARES AEROSPACE & DEFENSE
   PORTFOLIO                        EQUITY     73935X690       570     33,400 SH       SOLE           1    33,400        --      --
POWERSHARES DB CMDTY IDX TRA        EQUITY     73935S105        26      1,036 SH       DEFINED        4        --        --   1,036
POWERSHARES DB CMDTY IDX TRA        EQUITY     73935S105       273     11,068 SH       DEFINED        5        --        --  11,068
POWERSHARES DB COMMODITY INDEX
   TRACKING FUND                    EQUITY     73935S105    93,556  3,800,000 SH       SOLE           1 3,800,000        --      --
POWERSHARES DB G10 CURCY HAR        EQUITY     73935Y102       352     14,967 SH       DEFINED        4        --        --  14,967
POWERSHARES DB G10 CURCY HAR        EQUITY     73935Y102        33      1,398 SH       DEFINED        5        --        --   1,398
POWERSHARES ETF TR II               EQUITY     73937B407        15        600 SH       DEFINED        4        --        --     600
POWERSHARES ETF TR II               EQUITY     73937B209        11        250 SH       DEFINED        5        --        --     250
POWERSHARES ETF TRUST               EQUITY     73935X161         6        270 SH       DEFINED        4        --        --     270
POWERSHARES ETF TRUST               EQUITY     73935X740         8        782 SH       DEFINED        4        --        --     782
POWERSHARES ETF TRUST               EQUITY     73935X278         9        356 SH       DEFINED        4        --        --     356
POWERSHARES ETF TRUST               EQUITY     73935X864        10        749 SH       DEFINED        4        --        --     749
POWERSHARES ETF TRUST               EQUITY     73935X674        17        932 SH       DEFINED        4        --        --     932
POWERSHARES ETF TRUST               EQUITY     73935X658        18      1,100 SH       DEFINED        4        --        --   1,100
POWERSHARES ETF TRUST               EQUITY     73935X856        21      1,246 SH       DEFINED        4        --        --   1,246
POWERSHARES ETF TRUST               EQUITY     73935X583        23        474 SH       DEFINED        4        --        --     474
POWERSHARES ETF TRUST               EQUITY     73935X609        24      1,680 SH       DEFINED        4        --        --   1,680
POWERSHARES ETF TRUST               EQUITY     73935X500        30      2,746 SH       DEFINED        4        --        --   2,746
POWERSHARES ETF TRUST               EQUITY     73935X716        32      2,288 SH       DEFINED        4        --        --   2,288
POWERSHARES ETF TRUST               EQUITY     73935X575        37      2,218 SH       DEFINED        4        --        --   2,218
POWERSHARES ETF TRUST               EQUITY     73935X807        38      2,277 SH       DEFINED        4        --        --   2,277
POWERSHARES ETF TRUST               EQUITY     73935X773        72      3,460 SH       DEFINED        4        --        --   3,460
POWERSHARES ETF TRUST               EQUITY     73935X427        76      2,680 SH       DEFINED        4        --        --   2,680
POWERSHARES ETF TRUST               EQUITY     73935X229        79      4,863 SH       DEFINED        4        --        --   4,863
POWERSHARES ETF TRUST               EQUITY     73935X351       232      9,830 SH       DEFINED        4        --        --   9,830
POWERSHARES ETF TRUST               EQUITY     73935X468       236     11,445 SH       DEFINED        4        --        --  11,445
POWERSHARES ETF TRUST               EQUITY     73935X104       375      9,852 SH       DEFINED        4        --        --   9,852
POWERSHARES ETF TRUST               EQUITY     73935X567       512     10,104 SH       DEFINED        4        --        --  10,104
POWERSHARES ETF TRUST               EQUITY     73935X435         2        100 SH       DEFINED        5        --        --     100
POWERSHARES ETF TRUST               EQUITY     73935X633         2        200 SH       DEFINED        5        --        --     200
POWERSHARES ETF TRUST               EQUITY     73935X161         2        100 SH       DEFINED        5        --        --     100
POWERSHARES ETF TRUST               EQUITY     73935X385         2         90 SH       DEFINED        5        --        --      90
POWERSHARES ETF TRUST               EQUITY     73935X369         3        143 SH       DEFINED        5        --        --     143
POWERSHARES ETF TRUST               EQUITY     73935X856         4        270 SH       DEFINED        5        --        --     270
POWERSHARES ETF TRUST               EQUITY     73935X815         5        300 SH       DEFINED        5        --        --     300
POWERSHARES ETF TRUST               EQUITY     73935X682         7        642 SH       DEFINED        5        --        --     642
POWERSHARES ETF TRUST               EQUITY     73935X351         8        320 SH       DEFINED        5        --        --     320
POWERSHARES ETF TRUST               EQUITY     73935X591        11        764 SH       DEFINED        5        --        --     764
POWERSHARES ETF TRUST               EQUITY     73935X104        12        324 SH       DEFINED        5        --        --     324
POWERSHARES ETF TRUST               EQUITY     73935X732        19      1,519 SH       DEFINED        5        --        --   1,519
POWERSHARES ETF TRUST               EQUITY     73935X880        23      1,690 SH       DEFINED        5        --        --   1,690
POWERSHARES ETF TRUST               EQUITY     73935X708        24      1,408 SH       DEFINED        5        --        --   1,408
POWERSHARES ETF TRUST               EQUITY     73935X807        34      2,030 SH       DEFINED        5        --        --   2,030
POWERSHARES ETF TRUST               EQUITY     73935X625        45      2,640 SH       DEFINED        5        --        --   2,640
POWERSHARES ETF TRUST               EQUITY     73935X609        47      3,294 SH       DEFINED        5        --        --   3,294
POWERSHARES ETF TRUST               EQUITY     73935X500        48      4,325 SH       DEFINED        5        --        --   4,325
POWERSHARES ETF TRUST               EQUITY     73935X401        50      2,085 SH       DEFINED        5        --        --   2,085
POWERSHARES ETF TRUST               EQUITY     73935X153        53      2,863 SH       DEFINED        5        --        --   2,863
POWERSHARES ETF TRUST               EQUITY     73935X336        54      4,500 SH       DEFINED        5        --        --   4,500
POWERSHARES ETF TRUST               EQUITY     73935X641        66      4,804 SH       DEFINED        5        --        --   4,804
POWERSHARES ETF TRUST               EQUITY     73935X575        71      4,195 SH       DEFINED        5        --        --   4,195
POWERSHARES ETF TRUST               EQUITY     73935X278       110      4,500 SH       DEFINED        5        --        --   4,500
POWERSHARES ETF TRUST               EQUITY     73935X302       219     28,654 SH       DEFINED        5        --        --  28,654
POWERSHARES ETF TRUST               EQUITY     73935X716       254     18,166 SH       DEFINED        5        --        --  18,166
POWERSHARES ETF TRUST               EQUITY     73935X229       295     18,053 SH       DEFINED        5        --        --  18,053
POWERSHARES ETF TRUST II            EQUITY     73936Q504        20      1,661 SH       DEFINED        4        --        --   1,661
POWERSHARES ETF TRUST II            EQUITY     73936Q702       723     27,050 SH       DEFINED        4        --        --  27,050
POWERSHARES ETF TRUST II            EQUITY     73936Q702         5        200 SH       DEFINED        5        --        --     200
POWERSHARES ETF TRUST II            EQUITY     73936Q603        37      2,900 SH       DEFINED        5        --        --   2,900
POWERSHARES ETF TRUST II            EQUITY     73936Q876        41      1,060 SH       DEFINED        5        --        --   1,060
POWERSHARES GLOBAL ETF FD           EQUITY     73936G308        26      1,190 SH       DEFINED        4        --        --   1,190
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T524         7        250 SH       DEFINED        4        --        --     250
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T573         8        305 SH       DEFINED        4        --        --     305
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T615        29      1,719 SH       DEFINED        4        --        --   1,719
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T557        64      3,537 SH       DEFINED        4        --        --   3,537
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T565        66      4,900 SH       DEFINED        4        --        --   4,900





                                                                                            
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T433       161      6,447 SH       DEFINED        4        --        --   6,447
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T763     1,533     66,609 SH       DEFINED        4        --        --  66,609
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T623         9        500 SH       DEFINED        5        --        --     500
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T524        13        500 SH       DEFINED        5        --        --     500
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T474        19        800 SH       DEFINED        5        --        --     800
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T557        23      1,285 SH       DEFINED        5        --        --   1,285
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T573        47      1,827 SH       DEFINED        5        --        --   1,827
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T615        70      4,200 SH       DEFINED        5        --        --   4,200
POWERSHARES GLOBAL ETF TRUST        EQUITY     73936T565       272     20,050 SH       DEFINED        5        --        --  20,050
POWERSHARES INDIA ETF TR            EQUITY     73935L100        12        525 SH       DEFINED        4        --        --     525
POWERSHARES INDIA ETF TR            EQUITY     73935L100        11        491 SH       DEFINED        5        --        --     491
POWERSHARES QQQ TRUST               EQUITY     73935A104     4,677    102,234 SH       DEFINED        4        --        -- 102,234
POWERSHARES QQQ TRUST               EQUITY     73935A104       835     18,243 SH       DEFINED        5        --        --  18,243
POWERSHS DB MULTI SECT COMM         EQUITY     73936B200        26        685 SH       DEFINED        4        --        --     685
POWERSHS DB MULTI SECT COMM         EQUITY     73936B309       121      4,013 SH       DEFINED        4        --        --   4,013
POWERSHS DB MULTI SECT COMM         EQUITY     73936B507       165      5,978 SH       DEFINED        4        --        --   5,978
POWERSHS DB MULTI SECT COMM         EQUITY     73936B705       785     34,872 SH       DEFINED        4        --        --  34,872
POWERSHS DB MULTI SECT COMM         EQUITY     73936B408     1,139     43,063 SH       DEFINED        4        --        --  43,063
POWERSHS DB MULTI SECT COMM         EQUITY     73936B507        39      1,415 SH       DEFINED        5        --        --   1,415
POWERSHS DB MULTI SECT COMM         EQUITY     73936B200        64      1,694 SH       DEFINED        5        --        --   1,694
POWERSHS DB MULTI SECT COMM         EQUITY     73936B408        87      3,298 SH       DEFINED        5        --        --   3,298
POWERSHS DB MULTI SECT COMM         EQUITY     73936B101        87      3,337 SH       DEFINED        5        --        --   3,337
POWERSHS DB MULTI SECT COMM         EQUITY     73936B705       359     15,974 SH       DEFINED        5        --        --  15,974
POWERSHS DB US DOLLAR INDEX         EQUITY     73936D206        25        908 SH       DEFINED        4        --        --     908
POWERSHS DB US DOLLAR INDEX         EQUITY     73936D107        55      2,374 SH       DEFINED        4        --        --   2,374
POWERSHS DB US DOLLAR INDEX         EQUITY     73936D107       123      5,333 SH       DEFINED        5        --        --   5,333
POWERWAVE TECHNOLOGIES INC          EQUITY     739363109       136    107,806 SH       SOLE           2   107,806        --      --
POZEN INC                           EQUITY     73941U102       128     21,357 SH       SOLE           2    21,357        --      --
POZEN INC                           EQUITY     73941U102         3        500 SH       DEFINED        5        --        --     500
PPG INDS INC                        EQUITY     693506107     3,493     59,644 SH       SOLE           2    59,644        --      --
PPG INDS INC                        EQUITY     693506107        35        600 SH       DEFINED        4        --        --     600
PPG INDS INC                        EQUITY     693506107        56        960 SH       DEFINED        5        --        --     960
PPG INDUSTRIES, INC.                EQUITY     693506107       335      5,716 SH       SOLE           1     5,716        --      --
PPL CORP                            EQUITY     69351T106     4,265    132,013 SH       SOLE           2   132,013        --      --
PPL CORP                            EQUITY     69351T106       962     29,759 SH       DEFINED        4        --        --  29,759
PPL CORP                            EQUITY     69351T106         5        150 SH       DEFINED        5        --        --     150
PPL CORPORATION                     EQUITY     69351T106     5,979    185,040 SH       SOLE           1   185,040        --      --
PRAXAIR INC                         EQUITY     74005P104    13,379    166,531 SH       SOLE           2   166,531        --      --
PRAXAIR INC                         EQUITY     74005P104        20        247 SH       DEFINED        4        --        --     247
PRAXAIR INC                         EQUITY     74005P104        29        359 SH       DEFINED        5        --        --     359
PRAXAIR, INC.                       EQUITY     74005P104     1,938     24,137 SH       SOLE           1    24,137        --      --
PRE PAID LEGAL SVCS INC             EQUITY     740065107       290      7,050 SH       SOLE           2     7,050        --      --
PRE PAID LEGAL SVCS INC             EQUITY     740065107        10        240 SH       DEFINED        4        --        --     240
PRECISION CASTPARTS CORP            EQUITY     740189105     7,894     71,503 SH       SOLE           2    71,503        --      --
PRECISION CASTPARTS CORP            EQUITY     740189105        15        133 SH       DEFINED        5        --        --     133
PRECISION CASTPARTS CORP.           EQUITY     740189105       407      3,692 SH       SOLE           1     3,692        --      --
PRECISION DRILLING TRUST            EQUITY     740215108       494     67,571 SH       OTHER          1        --    67,571      --
PREFORMED LINE PRODS CO             EQUITY     740444104        80      1,823 SH       SOLE           2     1,823        --      --
PREMIERE GLOBAL SVCS INC            EQUITY     740585104     6,335    767,874 SH       SOLE           2   767,874        --      --
PREMIERWEST BANCORP                 EQUITY     740921101        25     17,702 SH       SOLE           2    17,702        --      --
PREPAID LEGAL SERVICES, INC.        EQUITY     740065107       160      3,904 SH       SOLE           1     3,904        --      --
PRESIDENTIAL LIFE CORP              EQUITY     740884101       182     19,894 SH       SOLE           2    19,894        --      --
PRESIDENTIAL LIFE CORP.             EQUITY     740884101       102     11,112 SH       SOLE           1    11,112        --      --
PRESSTEK INC                        EQUITY     741113104         6      3,000 SH       DEFINED        5        --        --   3,000
PRESTIGE BRANDS HLDGS INC           EQUITY     74112D101       217     27,655 SH       SOLE           2    27,655        --      --
PRICE T ROWE GROUP INC              EQUITY     74144T108     6,061    113,773 SH       SOLE           2   113,773        --      --
PRICE T ROWE GROUP INC              EQUITY     74144T108         4         77 SH       DEFINED        5        --        --      77
PRICELINE COM INC                   EQUITY     741503403     4,561     20,856 SH       SOLE           2    20,856        --      --
PRICELINE COM INC                   EQUITY     741503403         4         19 SH       DEFINED        5        --        --      19
PRICELINE.COM INC                   EQUITY     741503403       194        888 SH       SOLE           1       888        --      --
PRICESMART INC                      EQUITY     741511109       267     13,048 SH       SOLE           2    13,048        --      --
PRIDE INTERNATIONAL INC             EQUITY     74153Q102    12,578    394,181 SH       SOLE           2   394,181        --      --
PRIMEDIA INC                        EQUITY     74157K846        49     13,636 SH       SOLE           2    13,636        --      --
PRIMEENERGY CORP                    EQUITY   7.4158E+108        17        457 SH       SOLE           2       457        --      --
PRIMORIS SVCS CORP                  EQUITY     74164F103        53      6,658 SH       SOLE           2     6,658        --      --
PRIMUS GUARANTY LTD                 EQUITY     G72457107        46     15,109 SH       SOLE           2    15,109        --      --
PRINCETON REVIEW INC                EQUITY     742352107        48     11,898 SH       SOLE           2    11,898        --      --
PRINCIPAL FINANCIAL GROUP           EQUITY     74251V102       819     34,059 SH       SOLE           1    34,059        --      --
PRINCIPAL FINANCIAL GROUP           EQUITY     74251V102     3,480    144,702 SH       SOLE           2   144,702        --      --
PRINCIPAL FINANCIAL GROUP           EQUITY     74251V102     2,188     91,000 SH       SOLE           3    91,000        --      --
PRINCIPAL FINANCIAL GROUP IN        EQUITY     74251V102         6        251 SH       DEFINED        5        --        --     251
PRIVATEBANCORP INC                  EQUITY     742962103       282     31,425 SH       SOLE           1    31,425        --      --
PRIVATEBANKCORP INC                 EQUITY     742962103       462     51,504 SH       SOLE           2    51,504        --      --
PROASSURANCE CORP                   EQUITY     74267C106         1         25 SH       DEFINED        4        --        --      25
PROASSURANCE CORP                   EQUITY     74267C106     1,696     31,577 SH       SOLE           2    31,577        --      --
PROASSURANCE CORPORATION            EQUITY     74267C106       935     17,399 SH       SOLE           1    17,399        --      --
PROCTER & GAMBLE CO                 EQUITY     742718109     1,781     29,376 SH       DEFINED        4        --        --  29,376
PROCTER & GAMBLE CO                 EQUITY     742718109     1,453     23,960 SH       DEFINED        5        --        --  23,960
PROCTER & GAMBLE CO.                EQUITY     742718109    18,728    308,898 SH       SOLE           1   308,898        --      --
PROCTER AND GAMBLE CO               EQUITY     742718109    92,944  1,532,721 SH       SOLE           2 1,532,721        --      --
PROGENICS PHAARMACEUTICALS          EQUITY     743187106        97     21,843 SH       SOLE           2    21,843        --      --
PROGRESS ENERGY INC                 EQUITY     743263105     4,109    100,196 SH       SOLE           2   100,196        --      --
PROGRESS ENERGY INC                 EQUITY     743263105        46      1,129 SH       DEFINED        4        --        --   1,129
PROGRESS ENERGY INC                 EQUITY     743263105        88      2,145 SH       DEFINED        5        --        --   2,145
PROGRESS ENERGY INC.                EQUITY     743263105       232      5,656 SH       SOLE           1     5,656        --      --
PROGRESS SOFTWARE CORP              EQUITY     743312100     1,117     38,234 SH       SOLE           2    38,234        --      --
PROGRESS SOFTWARE CORP.             EQUITY     743312100       625     21,405 SH       SOLE           1    21,405        --      --
PROGRESSIVE CORP OHIO               EQUITY     743315103     6,485    360,481 SH       SOLE           2   360,481        --      --
PROGRESSIVE CORP OHIO               EQUITY     743315103        26      1,445 SH       DEFINED        5        --        --   1,445
PROGRESSIVE CORP.                   EQUITY     743315103     4,046    224,930 SH       SOLE           1   224,930        --      --
PROLOGIS                            EQUITY     743410102       333     24,288 SH       SOLE           1    24,288        --      --
PROLOGIS                            EQUITY     743410102     3,436    250,730 SH       SOLE           2   250,730        --      --
PROLOGIS                            EQUITY     743410102         4        300 SH       DEFINED        4        --        --     300
PROS HLDGS INC                      EQUITY     74346Y103       161     15,572 SH       SOLE           2    15,572        --      --
PROSHARES TR                        EQUITY     74347R503         1         25 SH       DEFINED        5        --        --      25
PROSHARES TR                        EQUITY     74347R826     5,394    121,700 SH       SOLE           2   121,700        --      --
PROSHARES TR                        EQUITY     74347R776         2         50 SH       DEFINED        4        --        --      50
PROSHARES TR                        EQUITY     74347R552         2        300 SH       DEFINED        4        --        --     300
PROSHARES TR                        EQUITY     74347R313         2         44 SH       DEFINED        4        --        --      44
PROSHARES TR                        EQUITY     74347R677         3        504 SH       DEFINED        4        --        --     504
PROSHARES TR                        EQUITY     74347R487         6        188 SH       DEFINED        4        --        --     188
PROSHARES TR                        EQUITY     74347R305         6        133 SH       DEFINED        4        --        --     133
PROSHARES TR                        EQUITY     74347R404         6        144 SH       DEFINED        4        --        --     144
PROSHARES TR                        EQUITY     74347R735         7        150 SH       DEFINED        4        --        --     150
PROSHARES TR                        EQUITY     74347X849        10        200 SH       DEFINED        4        --        --     200





                                                                                            
PROSHARES TR                        EQUITY     74347R701        15        285 SH       DEFINED        4        --        --     285
PROSHARES TR                        EQUITY     74347R800        15        337 SH       DEFINED        4        --        --     337
PROSHARES TR                        EQUITY     74347R875        21      1,128 SH       DEFINED        4        --        --   1,128
PROSHARES TR                        EQUITY     74347R503        50        942 SH       DEFINED        4        --        --     942
PROSHARES TR                        EQUITY     74347R743        65     11,503 SH       DEFINED        4        --        --  11,503
PROSHARES TR                        EQUITY     74347R206        69      1,152 SH       DEFINED        4        --        --   1,152
PROSHARES TR                        EQUITY     74347R586       148     11,586 SH       DEFINED        4        --        --  11,586
PROSHARES TR                        EQUITY     74347R826       203      4,584 SH       DEFINED        4        --        --   4,584
PROSHARES TR                        EQUITY     74347R230       243      5,475 SH       DEFINED        4        --        --   5,475
PROSHARES TR                        EQUITY     74347R602       257      5,894 SH       DEFINED        4        --        --   5,894
PROSHARES TR                        EQUITY     74347R297       625     12,540 SH       DEFINED        4        --        --  12,540
PROSHARES TR                        EQUITY     74347R867       983     33,370 SH       DEFINED        4        --        --  33,370
PROSHARES TR                        EQUITY     74347R107     1,503     39,317 SH       DEFINED        4        --        --  39,317
PROSHARES TR                        EQUITY     74347R883     2,009     57,305 SH       DEFINED        4        --        --  57,305
PROSHARES TR                        EQUITY     74347R818         2         50 SH       DEFINED        5        --        --      50
PROSHARES TR                        EQUITY     74347R636         2         50 SH       DEFINED        5        --        --      50
PROSHARES TR                        EQUITY     74347R602         4        100 SH       DEFINED        5        --        --     100
PROSHARES TR                        EQUITY     74347R230         4        100 SH       DEFINED        5        --        --     100
PROSHARES TR                        EQUITY     74347R321         5        600 SH       DEFINED        5        --        --     600
PROSHARES TR                        EQUITY     74347R354         7        600 SH       DEFINED        5        --        --     600
PROSHARES TR                        EQUITY     74347R552         8      1,000 SH       DEFINED        5        --        --   1,000
PROSHARES TR                        EQUITY     74347R792         8        295 SH       DEFINED        5        --        --     295
PROSHARES TR                        EQUITY     74347R628        10        397 SH       DEFINED        5        --        --     397
PROSHARES TR                        EQUITY     74347R875        29      1,500 SH       DEFINED        5        --        --   1,500
PROSHARES TR                        EQUITY     74347R743        37      6,500 SH       DEFINED        5        --        --   6,500
PROSHARES TR                        EQUITY     74347R297        39        780 SH       DEFINED        5        --        --     780
PROSHARES TR                        EQUITY     74347R701        54      1,035 SH       DEFINED        5        --        --   1,035
PROSHARES TR                        EQUITY     74347R404        65      1,550 SH       DEFINED        5        --        --   1,550
PROSHARES TR                        EQUITY     74347R719        67      1,940 SH       DEFINED        5        --        --   1,940
PROSHARES TR                        EQUITY     74347R867        74      2,500 SH       DEFINED        5        --        --   2,500
PROSHARES TR                        EQUITY     74347R107       264      6,895 SH       DEFINED        5        --        --   6,895
PROSHARES TR                        EQUITY     74347R883       366     10,455 SH       DEFINED        5        --        --  10,455
PROSHARES TR                        EQUITY     74347R537     1,193     30,663 SH       DEFINED        5        --        --  30,663
PROSHARES TR                        EQUITY     74347R305     1,279     29,188 SH       DEFINED        5        --        --  29,188
PROSHARES TR                        EQUITY     74347R206     1,527     25,666 SH       DEFINED        5        --        --  25,666
PROSHARES TR                        EQUITY     74347R776     1,712     53,106 SH       DEFINED        5        --        --  53,106
PROSHARES TR                        EQUITY     74347R693     1,745     33,014 SH       DEFINED        5        --        --  33,014
PROSHARES TR II                     EQUITY     74347W841         4         76 SH       DEFINED        4        --        --      76
PROSHARES TR II                     EQUITY     74347W874        15        500 SH       DEFINED        4        --        --     500
PROSHARES TR II                     EQUITY     74347W882       481     25,725 SH       DEFINED        4        --        --  25,725
PROSHARES TR II                     EQUITY     74347W601       525     11,760 SH       DEFINED        4        --        --  11,760
PROSHARES TR II                     EQUITY     74347W700         4        400 SH       DEFINED        5        --        --     400
PROSHARES TR II                     EQUITY     74347W601        45      1,000 SH       DEFINED        5        --        --   1,000
PROSPECT CAPITAL CORP               EQUITY     74348T102       607     51,408 SH       SOLE           2    51,408        --      --
PROSPECT CAPITAL CORPORATION        EQUITY     74348T102       341     28,848 SH       DEFINED        4        --        --  28,848
PROSPECT CAPITAL CORPORATION        EQUITY     74348T102        25      2,150 SH       DEFINED        5        --        --   2,150
PROSPERITY BANCSHARES INC           EQUITY     743606105     1,001     24,723 SH       SOLE           1    24,723        --      --
PROSPERITY BANCSHARES INC           EQUITY     743606105     1,788     44,182 SH       SOLE           2    44,182        --      --
PROTALIX BIOTHERAPEUTICS I          EQUITY     74365A101       187     28,255 SH       SOLE           2    28,255        --      --
PROTECTIVE LIFE CORP                EQUITY     743674103     5,222    315,542 SH       SOLE           2   315,542        --      --
PROVIDENCE SVC CORP                 EQUITY     743815102       136      8,620 SH       SOLE           2     8,620        --      --
PROVIDENT ENERGY TR                 EQUITY     74386K104       732    108,862 SH       DEFINED        4        --        -- 108,862
PROVIDENT ENERGY TR                 EQUITY     74386K104       168     25,013 SH       DEFINED        5        --        --  25,013
PROVIDENT ENERGY TRUST              EQUITY     74386K104       940    139,792 SH       OTHER          1        --   139,792      --
PROVIDENT FINACIAL SERVICE          EQUITY     74386T105       521     48,876 SH       SOLE           2    48,876        --      --
PROVIDENT NEW YORK BANCORP          EQUITY     744028101       239     28,274 SH       SOLE           2    28,274        --      --
PRUDENTIAL BANCORP INC PA           EQUITY     744319104        29      3,055 SH       SOLE           2     3,055        --      --
PRUDENTIAL FINANCIAL INC            EQUITY     744320102       617     12,400 SH       SOLE           1    12,400        --      --
PRUDENTIAL FINL INC                 EQUITY     744320102     9,654    193,943 SH       SOLE           2   193,943        --      --
PRUDENTIAL FINL INC                 EQUITY     744320102        66      1,334 SH       DEFINED        4        --        --   1,334
PRUDENTIAL FINL INC                 EQUITY     744320102        21        427 SH       DEFINED        5        --        --     427
PRUDENTIAL PLC                      EQUITY     74435K204         6        304 SH       DEFINED        5        --        --     304
PS BUSINESS PARKS INC               EQUITY     69360J107       498      9,946 SH       SOLE           1     9,946        --      --
PS BUSINESS PKS INC CA              EQUITY     69360J107       858     17,142 SH       SOLE           2    17,142        --      --
PSEG ENERGY HOLDINGS                EQUITY     744573106    12,401    372,948 SH       SOLE           1   372,948        --      --
PSS WORLD MED INC                   EQUITY     69366A100     1,284     56,880 SH       SOLE           2    56,880        --      --
PSS WORLD MED INC                   EQUITY     69366A100        60      2,670 SH       DEFINED        4        --        --   2,670
PSS WORLD MEDICAL, INC              EQUITY     69366A100       719     31,796 SH       SOLE           1    31,796        --      --
PSYCHIATRIC SOLUTIONS INC           EQUITY     74439H108     3,630    171,736 SH       SOLE           2   171,736        --      --
PUBLIC STORAGE                      EQUITY     74460D109     4,601     56,466 SH       SOLE           2    56,466        --      --
PUBLIC STORAGE                      EQUITY     74460D729         3        100 SH       DEFINED        4        --        --     100
PUBLIC STORAGE                      EQUITY     74460D109       134      1,641 SH       DEFINED        4        --        --   1,641
PUBLIC STORAGE                      EQUITY     74460D109        36        441 SH       DEFINED        5        --        --     441
PUBLIC STORAGE                      EQUITY     74460D109       260      3,194 SH       SOLE           1     3,194        --      --
PUBLIC SVC ENTERPRISE GROU          EQUITY     744573106     5,564    167,330 SH       SOLE           2   167,330        --      --
PUBLIC SVC ENTERPRISE GROUP         EQUITY     744573106       197      5,935 SH       DEFINED        4        --        --   5,935
PUBLIC SVC ENTERPRISE GROUP         EQUITY     744573106       196      5,882 SH       DEFINED        5        --        --   5,882
PULTE HOMES INC                     EQUITY     745867101         1        100 SH       DEFINED        5        --        --     100
PULTE HOMES INC                     EQUITY     745867101     1,137    113,722 SH       SOLE           2   113,722        --      --
PULTE HOMES INC.                    EQUITY     745867101        64      6,384 SH       SOLE           1     6,384        --      --
PUTMAN HIGH INCOME SEC FUND         EQUITY     746779107        22      3,050 SH       DEFINED        4        --        --   3,050
PUTNAM MANAGED MUN INCOM TR         EQUITY     746823103        62      9,309 SH       DEFINED        5        --        --   9,309
PUTNAM MUN OPPORTUNITIES TR         EQUITY     746922103         4        354 SH       DEFINED        4        --        --     354
PUTNAM PREMIER INCOME TR            EQUITY     746853100        19      3,100 SH       DEFINED        4        --        --   3,100
PUTNAM PREMIER INCOME TR            EQUITY     746853100       767    125,164 SH       DEFINED        5        --        -- 125,164
PZENA INVT MGMT INC                 EQUITY     74731Q103        51      6,292 SH       SOLE           2     6,292        --      --
QAD INC                             EQUITY     74727D108        63     10,249 SH       SOLE           2    10,249        --      --
QC HLDGS INC                        EQUITY     74729T101        13      2,796 SH       SOLE           2     2,796        --      --
QIAGEN N V                          EQUITY     N72482107         6        259 SH       DEFINED        5        --        --     259
QIAGEN NV                           EQUITY     N72482107       311     13,912 SH       SOLE           2    13,912        --      --
QIAO XING UNIVERSAL TELEPHON        EQUITY     G7303A109         1        500 SH       DEFINED        4        --        --     500
QIAO XING UNIVERSAL TELEPHON        EQUITY     G7303A109       140     64,125 SH       DEFINED        5        --        --  64,125
QLOGIC CORP                         EQUITY     747277101     1,300     68,892 SH       SOLE           2    68,892        --      --
QLOGIC CORP                         EQUITY     747277101         3        146 SH       DEFINED        4        --        --     146
QLOGIC CORP.                        EQUITY     747277101        44      2,322 SH       SOLE           1     2,322        --      --
QUAKER CHEM CORP COM                EQUITY     747316107       123      5,943 SH       SOLE           1     5,943        --      --
QUAKER CHEMICAL                     EQUITY     747316107       218     10,538 SH       SOLE           2    10,538        --      --
QUALCOMM INC                        EQUITY     747525103    69,024  1,491,727 SH       SOLE           2 1,491,727        --      --
QUALCOMM INC                        EQUITY     747525103       210      4,534 SH       DEFINED        4        --        --   4,534
QUALCOMM INC                        EQUITY     747525103       455      9,840 SH       DEFINED        5        --        --   9,840
QUALCOMM, INC.                      EQUITY     747525103    84,162  1,818,963 SH       SOLE           1 1,818,963        --      --
QUALCOMM, INC.                      EQUITY     747525103     3,331     72,000 SH       SOLE           3    72,000        --      --
QUALITY SYSTEMS                     EQUITY     747582104     1,376     21,914 SH       SOLE           2    21,914        --      --
QUALITY SYSTEMS INC                 EQUITY     747582104     1,106     17,604 SH       SOLE           1    17,604        --      --
QUALITY SYSTEMS INC                 EQUITY     747582104       113      1,800 SH       SOLE           3     1,800        --      --





                                                                                            
QUANEX BLDG PRODS CORP              EQUITY     747619104       612     36,047 SH       SOLE           2    36,047        --      --
QUANEX BUILDING PRODUCTS CORP       EQUITY     747619104       341     20,097 SH       SOLE           1    20,097        --      --
QUANTA SERVICES INC                 EQUITY   7.4762E+106    10,530    505,256 SH       SOLE           1   505,256        --      --
QUANTA SERVICES INC                 EQUITY   7.4762E+106     1,565     75,107 SH       SOLE           2    75,107        --      --
QUANTA SERVICES INC                 EQUITY   7.4762E+106     1,632     78,300 SH       SOLE           3    78,300        --      --
QUANTUM CORP                        EQUITY     747906204       503    171,702 SH       SOLE           2   171,702        --      --
QUANTUM CORP                        EQUITY     747906204         1        500 SH       DEFINED        4        --        --     500
QUEST CAP CORP NEW                  EQUITY     74835U109         2      2,000 SH       DEFINED        5        --        --   2,000
QUEST DIAGNOSTICS INC               EQUITY     74834L100     4,116     68,144 SH       SOLE           2    68,144        --      --
QUEST DIAGNOSTICS INC               EQUITY     74834L100         4         58 SH       DEFINED        4        --        --      58
QUEST DIAGNOSTICS INC               EQUITY     74834L100        21        350 SH       DEFINED        5        --        --     350
QUEST DIAGNOSTICS, INC.             EQUITY     74834L100       189      3,133 SH       SOLE           1     3,133        --      --
QUEST SOFTWARE INC                  EQUITY     74834T103     3,484    189,336 SH       SOLE           2   189,336        --      --
QUESTAR CORP                        EQUITY     748356102     4,736    113,912 SH       SOLE           2   113,912        --      --
QUESTAR CORP                        EQUITY     748356102        12        300 SH       DEFINED        4        --        --     300
QUESTAR CORP                        EQUITY     748356102       108      2,592 SH       DEFINED        5        --        --   2,592
QUESTAR CORP.                       EQUITY     748356102       146      3,517 SH       SOLE           1     3,517        --      --
QUESTCOR PHARMACEUTICALS I          EQUITY     74835Y101       223     46,883 SH       SOLE           2    46,883        --      --
QUICKLOGIC CORP                     EQUITY     74837P108         8      4,000 SH       DEFINED        5        --        --   4,000
QUICKSILVER RES INC                 EQUITY     74837R104     4,006    266,919 SH       SOLE           2   266,919        --      --
QUICKSILVER RESOURCES INC           EQUITY     74837R104        15      1,000 SH       DEFINED        4        --        --   1,000
QUICKSILVER RESOURCES INC           EQUITY     74837R104       283     18,859 SH       DEFINED        5        --        --  18,859
QUICKSILVER, INC.                   EQUITY     74838C106       139     69,023 SH       SOLE           1    69,023        --      --
QUIDEL CORP                         EQUITY     74838J101       290     21,041 SH       SOLE           2    21,041        --      --
QUIKSILVER INC                      EQUITY     74838C106       248    122,704 SH       SOLE           2   122,704        --      --
QUIKSILVER INC                      EQUITY     74838C106        18      9,048 SH       DEFINED        5        --        --   9,048
QWEST COMMUNICATIONS INTERNATIONAL
   INC                              EQUITY     749121109     2,241    532,328 SH       SOLE           1   532,328        --      --
QWEST COMMUNICATIONS INTL           EQUITY     749121109     4,439  1,054,302 SH       SOLE           2 1,054,302        --      --
QWEST COMMUNICATIONS INTL IN        EQUITY     749121109         6      1,359 SH       DEFINED        4        --        --   1,359
QWEST COMMUNICATIONS INTL IN        EQUITY     749121109        29      6,855 SH       DEFINED        5        --        --   6,855
R. R. DONNELLEY AND SONS CO.        EQUITY     257867101     3,747    168,236 SH       SOLE           1   168,236        --      --
RACKSPACE HOSTING INC               EQUITY     750086100     1,131     54,236 SH       SOLE           2    54,236        --      --
RADIAN GROUP INC                    EQUITY     750236101       489     66,901 SH       SOLE           2    66,901        --      --
RADIAN GROUP INC                    EQUITY     750236101        10      1,400 SH       DEFINED        4        --        --   1,400
RADIANT SYS INC                     EQUITY     75025N102       273     26,282 SH       SOLE           2    26,282        --      --
RADIANT SYSTEMS, INC.               EQUITY     75025N102       151     14,548 SH       SOLE           1    14,548        --      --
RADIOSHACK CORP                     EQUITY     750438103       874     44,816 SH       SOLE           2    44,816        --      --
RADIOSHACK CORP.                    EQUITY     750438103        49      2,526 SH       SOLE           1     2,526        --      --
RADISYS CORP                        EQUITY     750459109       214     22,405 SH       SOLE           2    22,405        --      --
RADISYS CORP.                       EQUITY     750459109       121     12,683 SH       SOLE           1    12,683        --      --
RADNET INC                          EQUITY     750491102        49     23,824 SH       SOLE           2    23,824        --      --
RAE SYS INC                         EQUITY     75061P102        36     33,164 SH       SOLE           2    33,164        --      --
RAILAMERICA INC                     EQUITY     750753402     1,683    137,967 SH       SOLE           2   137,967        --      --
RAIT FINANCIAL TRUST                EQUITY     749227104        69     53,027 SH       SOLE           2    53,027        --      --
RAIT FINANCIAL TRUST                EQUITY     749227104         3      2,300 SH       DEFINED        5        --        --   2,300
RALCORP HLDGS INC NEW               EQUITY     751028101    14,545    243,589 SH       SOLE           2   243,589        --      --
RALCORP HLDGS INC NEW               EQUITY     751028101        10        160 SH       DEFINED        5        --        --     160
RAMBUS INC DEL                      EQUITY     750917106        49      2,021 SH       SOLE           2     2,021        --      --
RAMBUS INC DEL                      EQUITY     750917106       278     11,375 SH       DEFINED        5        --        --  11,375
RAMCO GERSHENSON PPTYS TR           EQUITY     751452202       202     21,223 SH       SOLE           2    21,223        --      --
RANDGOLD RES LTD                    EQUITY     752344309        40        500 SH       DEFINED        5        --        --     500
RANGE RES CORP                      EQUITY     75281A109     4,044     81,079 SH       SOLE           2    81,079        --      --
RANGE RES CORP                      EQUITY     75281A109         2         31 SH       DEFINED        4        --        --      31
RANGE RES CORP                      EQUITY     75281A109         5        100 SH       DEFINED        5        --        --     100
RANGE RESOURCES CORP                EQUITY     75281A109       159      3,191 SH       SOLE           1     3,191        --      --
RASER TECHNOLOGIES INC              EQUITY     754055101        66     53,262 SH       SOLE           2    53,262        --      --
RASER TECHNOLOGIES INC              EQUITY     754055101         4      3,000 SH       DEFINED        5        --        --   3,000
RAVEN INDS INC                      EQUITY     754212108       416     13,079 SH       SOLE           2    13,079        --      --
RAYMOND JAMES FINANCIAL IN          EQUITY     754730109     5,310    223,410 SH       SOLE           2   223,410        --      --
RAYMOND JAMES FINANCIAL INC         EQUITY     754730109        14        598 SH       DEFINED        4        --        --     598
RAYONIER INC                        EQUITY     754907103     7,573    179,616 SH       SOLE           2   179,616        --      --
RAYONIER INC                        EQUITY     754907103         5        110 SH       DEFINED        4        --        --     110
RAYONIER INC                        EQUITY     754907103        27        650 SH       DEFINED        5        --        --     650
RAYONIER, INC.                      EQUITY     754907103        73      1,725 SH       SOLE           1     1,725        --      --
RAYTHEON CO                         EQUITY     755111507    17,627    342,147 SH       SOLE           2   342,147        --      --
RAYTHEON CO                         EQUITY     755111507       153      2,979 SH       DEFINED        4        --        --   2,979
RAYTHEON CO                         EQUITY     755111507        89      1,723 SH       DEFINED        5        --        --   1,723
RAYTHEON CO.                        EQUITY     755111507    11,870    230,404 SH       SOLE           1   230,404        --      --
RBC BEARINGS INC                    EQUITY     75524B104       431     17,731 SH       SOLE           2    17,731        --      --
RC2 CORP                            EQUITY     749388104       168     11,408 SH       SOLE           1    11,408        --      --
RC2 CORP                            EQUITY     749388104       302     20,444 SH       SOLE           2    20,444        --      --
RCN CORP                            EQUITY     749361200        13      1,185 SH       SOLE           1     1,185        --      --
RCN CORP                            EQUITY     749361200       323     29,791 SH       SOLE           2    29,791        --      --
READING INTL INC                    EQUITY     755408101        57     14,146 SH       SOLE           2    14,146        --      --
REALNETWORKS INC                    EQUITY     75605L104       251     67,747 SH       SOLE           2    67,747        --      --
REALTY INCOME CORP                  EQUITY     756109104     6,118    236,130 SH       SOLE           2   236,130        --      --
REALTY INCOME CORP                  EQUITY     756109104       873     33,684 SH       DEFINED        4        --        --  33,684
REALTY INCOME CORP                  EQUITY     756109104       760     29,327 SH       DEFINED        5        --        --  29,327
REAVES UTIL INCOME FD               EQUITY     756158101        26      1,425 SH       DEFINED        4        --        --   1,425
RED HAT INC                         EQUITY     756577102     2,644     85,543 SH       SOLE           2    85,543        --      --
RED HAT INC                         EQUITY     756577102         3        100 SH       DEFINED        5        --        --     100
RED HAT, INC.                       EQUITY     756577102       824     26,678 SH       SOLE           1    26,678        --      --
RED LION HOTELS CORP                EQUITY     756764106        54     10,867 SH       SOLE           2    10,867        --      --
RED ROBIN GOURMET BURGERS           EQUITY     75689M101       150      8,363 SH       SOLE           1     8,363        --      --
RED ROBIN GOURMET BURGERS           EQUITY     75689M101       266     14,872 SH       SOLE           2    14,872        --      --
REDWOOD TR INC                      EQUITY     758075402         1        100 SH       DEFINED        5        --        --     100
REDWOOD TR INC.                     EQUITY     758075402       915     63,303 SH       SOLE           2    63,303        --      --
REGAL BELOIT CORP                   EQUITY     758750103     5,794    111,556 SH       SOLE           2   111,556        --      --
REGAL ENTMT GROUP                   EQUITY     758766109     4,898    339,164 SH       SOLE           2   339,164        --      --
REGAL ENTMT GROUP                   EQUITY     758766109         2        112 SH       DEFINED        5        --        --     112
REGENCY CTRS CORP                   EQUITY     758849103     6,381    182,015 SH       SOLE           2   182,015        --      --
REGENCY ENERGY PARTNERS L P         EQUITY     75885Y107       393     18,757 SH       DEFINED        5        --        --  18,757
REGENERON PHARMACEUTICALS           EQUITY     75886F107     1,461     60,424 SH       SOLE           2    60,424        --      --
REGENERON PHARMACEUTICALS INC.      EQUITY     75886F107       814     33,650 SH       SOLE           1    33,650        --      --
REGIONS FINANCIAL CORP              EQUITY     7591EP100       224     42,415 SH       SOLE           1    42,415        --      --
REGIONS FINANCIAL CORP NEW          EQUITY     7591EP100         6      1,225 SH       DEFINED        4        --        --   1,225
REGIONS FINANCIAL CORP NEW          EQUITY     7591EP100         9      1,686 SH       DEFINED        5        --        --   1,686
REGIONS FINL CORP NEW               EQUITY     7591EP100     3,050    576,619 SH       SOLE           2   576,619        --      --
REGIS CORP MINN                     EQUITY     758932107         2        100 SH       DEFINED        4        --        --     100
REGIS CORP MINNESOTA                EQUITY     758932107     2,715    174,347 SH       SOLE           2   174,347        --      --
REHAB CARE GROUP                    EQUITY     759148109       397     13,047 SH       SOLE           1    13,047        --      --
REHABCARE GROUP INC                 EQUITY     759148109       718     23,605 SH       SOLE           2    23,605        --      --
REINSURANCE GROUP AMER INC          EQUITY     759351604     7,848    164,698 SH       SOLE           2   164,698        --      --
REINSURANCE GROUP AMER INC          EQUITY     759351604         3         70 SH       DEFINED        4        --        --      70
REINSURANCE GROUP AMER INC          EQUITY     759351604         7        152 SH       DEFINED        5        --        --     152





                                                                                            
RELIANCE STEEL & ALUMINIUM CO.      EQUITY     759509102       652     15,075 SH       SOLE           1    15,075        --      --
RELIANCE STEEL & ALUMINUM CO        EQUITY     759509102         9        200 SH       DEFINED        5        --        --     200
RELIANCE STL + ALUM CO              EQUITY     759509102     6,257    144,762 SH       SOLE           2   144,762        --      --
RENAISSANCE LEARNING INC            EQUITY     75968L105        60      5,301 SH       SOLE           2     5,301        --      --
RENAISSANCERE HOLDINGS LTD          EQUITY     G7496G103        93      1,754 SH       SOLE           2     1,754        --      --
RENAISSANCERE HOLDINGS LTD          EQUITY     G7496G103         2         30 SH       DEFINED        5        --        --      30
RENASANT CORP                       EQUITY    7.597E+111       234     17,213 SH       SOLE           2    17,213        --      --
RENESOLA LTD                        EQUITY     75971T103        12      2,500 SH       DEFINED        5        --        --   2,500
RENT A CTR INC NEW                  EQUITY     76009N100     3,576    201,832 SH       SOLE           2   201,832        --      --
RENTECH INC                         EQUITY     760112102         3      2,500 SH       DEFINED        5        --        --   2,500
RENTRAK CORP                        EQUITY     760174102       136      7,715 SH       SOLE           2     7,715        --      --
REPLIGEN CORP                       EQUITY     759916109       103     25,071 SH       SOLE           2    25,071        --      --
REPROS THERAPEUTICS INC             EQUITY     76028H100        10     12,995 SH       SOLE           2    12,995        --      --
REPSOL YPF S A                      EQUITY     76026T205         5        200 SH       DEFINED        4        --        --     200
REPUBLIC AWYS HLDGS INC             EQUITY     760276105       208     28,140 SH       SOLE           2    28,140        --      --
REPUBLIC BANCORP INC KY             EQUITY     760281204       158      7,660 SH       SOLE           2     7,660        --      --
REPUBLIC BANCORP KY                 EQUITY     760281204       144      6,992 SH       DEFINED        4        --        --   6,992
REPUBLIC FIRST BANCORP INC          EQUITY     760416107        25      5,857 SH       SOLE           2     5,857        --      --
REPUBLIC SERVICES IN                EQUITY     760759100       185      6,527 SH       SOLE           1     6,527        --      --
REPUBLIC SVCS INC                   EQUITY     760759100     3,255    114,972 SH       SOLE           2   114,972        --      --
REPUBLIC SVCS INC                   EQUITY     760759100         6        225 SH       DEFINED        4        --        --     225
RES CARE INC                        EQUITY     760943100       271     24,174 SH       SOLE           2    24,174        --      --
RES0URCE CAPITAL CORP               EQUITY     76120W302        83     16,969 SH       SOLE           2    16,969        --      --
RES-CARE INC                        EQUITY     760943100       154     13,760 SH       SOLE           1    13,760        --      --
RESEARCH IN MOTION LTD              EQUITY     760975102     5,518     81,401 SH       OTHER          1        --    81,401      --
RESEARCH IN MOTION LTD              EQUITY     760975102     7,822    115,807 SH       SOLE           2   115,807        --      --
RESEARCH IN MOTION LTD              EQUITY     760975102       673      9,958 SH       DEFINED        4        --        --   9,958
RESEARCH IN MOTION LTD              EQUITY     760975102     1,114     16,496 SH       DEFINED        5        --        --  16,496
RESMED INC                          EQUITY     761152107     8,843    169,185 SH       SOLE           2   169,185        --      --
RESOURCE AMER INC                   EQUITY     761195205        41     10,075 SH       SOLE           2    10,075        --      --
RESOURCE CAPITAL CORP               EQUITY     76120W302        12      2,476 SH       SOLE           1     2,476        --      --
RESOURCES CONNECTION INC            EQUITY     76122Q105       781     36,784 SH       SOLE           2    36,784        --      --
RETAIL VENTURES INC                 EQUITY     76128Y102       181     20,345 SH       SOLE           2    20,345        --      --
REVLON INC                          EQUITY     761525609       271     15,909 SH       SOLE           2    15,909        --      --
REWARDS NETWORK INC                 EQUITY     761557206        59      4,680 SH       SOLE           1     4,680        --      --
REWARDS NETWORK INC                 EQUITY     761557206        82      6,449 SH       SOLE           2     6,449        --      --
REX ENERGY CORP                     EQUITY     761565100       249     20,710 SH       SOLE           2    20,710        --      --
REX STORES CORP                     EQUITY     761624105        83      5,905 SH       SOLE           2     5,905        --      --
REYNOLDS AMERICAN INC               EQUITY     761713106       419      7,915 SH       SOLE           1     7,915        --      --
REYNOLDS AMERICAN INC               EQUITY     761713106        14        266 SH       DEFINED        4        --        --     266
REYNOLDS AMERN INC                  EQUITY     761713106     8,010    151,221 SH       SOLE           2   151,221        --      --
RF MICRO DEVICES INC                EQUITY     749941100     3,894    816,436 SH       SOLE           2   816,436        --      --
RF MICRODEVICES INC                 EQUITY     749941100         4        837 SH       DEFINED        5        --        --     837
RF MONOLITHICS INC COM(OXFORD PTNRS
  LP)                               EQUITY     74955F106         5      4,973 SH       SOLE           1     4,973        --      --
RG BARRY CORP                       EQUITY      68798107       697     81,100 SH       SOLE           3    81,100        --      --
RICK'S CABARET INTERNATIONAL INC    EQUITY     765641303       705     82,400 SH       SOLE           3    82,400        --      --
RIGEL PHARMACEUTICALS INC           EQUITY     766559603       387     40,686 SH       SOLE           2    40,686        --      --
RIGHTNOW TECHNOLOGIES INC           EQUITY     76657R106       309     17,800 SH       SOLE           2    17,800        --      --
RIGHTNOW TECHNOLOGIES INC           EQUITY     76657R106        34      1,969 SH       DEFINED        4        --        --   1,969
RIMAGE CORP                         EQUITY     766721104       133      7,649 SH       SOLE           2     7,649        --      --
RINO INTERNATIONAL CORPORATI        EQUITY     766883102         3        100 SH       DEFINED        4        --        --     100
RINO INTERNATIONAL CORPORATI        EQUITY     766883102        28      1,000 SH       DEFINED        5        --        --   1,000
RIO TINTO PLC                       EQUITY     767204100        23        105 SH       DEFINED        5        --        --     105
RISKMETRICS GROUP INC               EQUITY     767735103       286     17,974 SH       SOLE           2    17,974        --      --
RITCHIE BROS AUCTIONEERS            EQUITY     767744105         3        147 SH       DEFINED        5        --        --     147
RITCHIE BROS AUCTIONEERS INC        EQUITY     767744105        37      1,656 SH       OTHER          1        --     1,656      --
RITE AID CORP                       EQUITY     767754104        25     16,461 SH       SOLE           2    16,461        --      --
RITE AID CORP                       EQUITY     767754104         5      3,000 SH       DEFINED        5        --        --   3,000
RIVERBED TECHNOLOGY INC             EQUITY     768573107     1,030     44,829 SH       SOLE           1    44,829        --      --
RIVERBED TECHNOLOGY INC             EQUITY     768573107     1,027     44,708 SH       SOLE           2    44,708        --      --
RIVERBED TECHNOLOGY INC             EQUITY     768573107       218      9,500 SH       SOLE           3     9,500        --      --
RIVERVIEW BANCORP INC               EQUITY     769397100         1        500 SH       DEFINED        5        --        --     500
RLI CORP                            EQUITY     749607107       945     17,746 SH       SOLE           2    17,746        --      --
RLI CORP                            EQUITY     749607107         4         70 SH       DEFINED        5        --        --      70
RLI CORP.                           EQUITY     749607107       504      9,469 SH       SOLE           1     9,469        --      --
ROBBINS & MYERS, INC.               EQUITY     770196103       415     17,627 SH       SOLE           1    17,627        --      --
ROBBINS + MYERS INC                 EQUITY     770196103       618     26,276 SH       SOLE           2    26,276        --      --
ROBERT HALF INTERNATIONAL INC.      EQUITY     770323103        82      3,051 SH       SOLE           1     3,051        --      --
ROBERT HALF INTL INC                EQUITY     770323103     2,177     81,421 SH       SOLE           2    81,421        --      --
ROCHESTER MED CORP                  EQUITY     771497104         1        100 SH       DEFINED        5        --        --     100
ROCHESTER MED CORP                  EQUITY     771497104        91      8,179 SH       SOLE           2     8,179        --      --
ROCK TENN CO                        EQUITY     772739207     1,854     36,770 SH       SOLE           2    36,770        --      --
ROCK-TENN CO                        EQUITY     772739207         3         55 SH       DEFINED        4        --        --      55
ROCK-TENN CO., CLASS A              EQUITY     772739207     1,040     20,631 SH       SOLE           1    20,631        --      --
ROCKVILLE FINL INC                  EQUITY     774186100        71      6,741 SH       SOLE           2     6,741        --      --
ROCKWELL AUTOMATION INC             EQUITY     773903109     1,284     27,327 SH       SOLE           1    27,327        --      --
ROCKWELL AUTOMATION INC             EQUITY     773903109     2,392     50,912 SH       SOLE           2    50,912        --      --
ROCKWELL AUTOMATION INC             EQUITY     773903109        99      2,100 SH       DEFINED        4        --        --   2,100
ROCKWELL AUTOMATION INC             EQUITY     773903109         4         80 SH       DEFINED        5        --        --      80
ROCKWELL COLLINS INC                EQUITY     774341101       402      7,259 SH       SOLE           1     7,259        --      --
ROCKWELL COLLINS INC                EQUITY     774341101     3,048     55,008 SH       SOLE           2    55,008        --      --
ROCKWELL COLLINS INC                EQUITY     774341101        92      1,657 SH       DEFINED        4        --        --   1,657
ROCKWELL COLLINS INC                EQUITY     774341101        10        181 SH       DEFINED        5        --        --     181
ROCKWELL MED TECHNOLOGIES           EQUITY     774374102       107     13,936 SH       SOLE           2    13,936        --      --
ROCKWOOD HLDGS INC                  EQUITY     774415103       948     40,240 SH       SOLE           2    40,240        --      --
ROFIN SINAR TECHNOLOGIES I          EQUITY     775043102       558     23,616 SH       SOLE           2    23,616        --      --
ROGERS COMMUNICATIONS INC           EQUITY     775109200     1,323     42,486 SH       OTHER          1        --    42,486      --
ROGERS CORP                         EQUITY     775133101       455     15,002 SH       SOLE           2    15,002        --      --
ROGERS CORP.                        EQUITY     775133101       256      8,449 SH       SOLE           1     8,449        --      --
ROLLINS INC                         EQUITY     775711104     2,576    133,617 SH       SOLE           2   133,617        --      --
ROMA FINL CORP                      EQUITY     77581P109        84      6,786 SH       SOLE           2     6,786        --      --
ROPER INDS                          EQUITY     776696106     1,677     32,003 SH       SOLE           2    32,003        --      --
ROPER INDS INC NEW                  EQUITY     776696106         1         26 SH       DEFINED        4        --        --      26
ROPER INDUSTRIES, INC.              EQUITY     776696106        96      1,835 SH       SOLE           1     1,835        --      --
ROSETTA RES INC                     EQUITY     777779307       851     42,697 SH       SOLE           2    42,697        --      --
ROSETTA RESOURCES INC               EQUITY     777779307         2        100 SH       DEFINED        5        --        --     100
ROSETTA STONE INC                   EQUITY     777780107        92      5,111 SH       SOLE           2     5,111        --      --
ROSETTA STONE INC                   EQUITY     777780107         5        265 SH       DEFINED        5        --        --     265
ROSS STORES INC                     EQUITY     778296103     2,182     51,049 SH       SOLE           2    51,049        --      --
ROSS STORES INC                     EQUITY     778296103        21        500 SH       DEFINED        5        --        --     500
ROSS STORES, INC.                   EQUITY     778296103     2,048     47,956 SH       SOLE           1    47,956        --      --
ROVI CORP                           EQUITY     779376102     7,412    232,580 SH       SOLE           2   232,580        --      --
ROWAN COMPANIES INC                 EQUITY     779382100     3,183    140,545 SH       SOLE           2   140,545        --      --
ROWAN COMPANIES, INC.               EQUITY     779382100     4,448    196,482 SH       SOLE           1   196,482        --      --
ROWAN COS INC                       EQUITY     779382100        35      1,529 SH       DEFINED        5        --        --   1,529





                                                                                            
ROYAL BANK OF CANADA                EQUITY     780087102    14,994    278,457 SH       OTHER          1        --   278,457      --
ROYAL BK CDA MONTREAL QUE           EQUITY     780087102       111      2,074 SH       DEFINED        4        --        --   2,074
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097713         2        200 SH       DEFINED        4        --        --     200
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097788         6        425 SH       DEFINED        4        --        --     425
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097879         7        500 SH       DEFINED        5        --        --     500
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097739         8        700 SH       DEFINED        5        --        --     700
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097754        14      1,250 SH       DEFINED        5        --        --   1,250
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097796       141     13,450 SH       DEFINED        5        --        --  13,450
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097762       175     17,100 SH       DEFINED        5        --        --  17,100
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097788       525     40,525 SH       DEFINED        5        --        --  40,525
ROYAL BK SCOTLAND GROUP PLC         EQUITY     780097713       626     52,668 SH       DEFINED        5        --        --  52,668
ROYAL CARIBBEAN CRUISES LT          EQUITY     V7780T103        83      3,302 SH       SOLE           2     3,302        --      --
ROYAL CARIBBEAN CRUISES LTD         EQUITY     V7780T103       113      4,480 SH       DEFINED        4        --        --   4,480
ROYAL DUTCH SHELL PLC               EQUITY     780259107         5         78 SH       DEFINED        4        --        --      78
ROYAL DUTCH SHELL PLC               EQUITY     780259206        20        335 SH       DEFINED        4        --        --     335
ROYAL DUTCH SHELL PLC               EQUITY     780259206        37        612 SH       DEFINED        5        --        --     612
ROYAL GOLD INC                      EQUITY     780287108        45        954 SH       SOLE           2       954        --      --
ROYAL GOLD INC                      EQUITY     780287108        11        239 SH       DEFINED        4        --        --     239
ROYALE ENERGY INC                   EQUITY     78074G200         1        550 SH       DEFINED        4        --        --     550
ROYCE MICRO-CAP TR INC              EQUITY     780915104         8      1,080 SH       DEFINED        4        --        --   1,080
ROYCE VALUE TR INC                  EQUITY     780910105         2        210 SH       DEFINED        5        --        --     210
RPC INC                             EQUITY     749660106       239     22,994 SH       SOLE           2    22,994        --      --
RPM INTERNATIONAL INC.              EQUITY     749685103       344     16,912 SH       SOLE           1    16,912        --      --
RPM INTL INC                        EQUITY     749685103     5,930    291,684 SH       SOLE           2   291,684        --      --
RPM INTL INC                        EQUITY     749685103         5        250 SH       DEFINED        4        --        --     250
RRI ENERGY INC                      EQUITY     74971X107        57     10,031 SH       SOLE           2    10,031        --      --
RRI ENERGY INC                      EQUITY     74971X107         2        383 SH       DEFINED        4        --        --     383
RSC HLDGS INC                       EQUITY     74972L102       282     40,040 SH       SOLE           2    40,040        --      --
RTI BIOLOGICS INC                   EQUITY     74975N105       170     44,315 SH       SOLE           2    44,315        --      --
RTI INTERNATIONAL METALS, INC.      EQUITY     74973W107       402     15,972 SH       SOLE           1    15,972        --      --
RTI INTL METALS INC                 EQUITY     74973W107       723     28,737 SH       SOLE           2    28,737        --      --
RTI INTL METALS INC                 EQUITY     74973W107         1         59 SH       DEFINED        5        --        --      59
RUBICON TECHNOLOGY INC              EQUITY     78112T107       208     10,247 SH       SOLE           2    10,247        --      --
RUBY TUESDAY INC                    EQUITY     781182100       448     62,183 SH       SOLE           2    62,183        --      --
RUBY TUESDAY, INC.                  EQUITY     781182100       249     34,616 SH       SOLE           1    34,616        --      --
RUDDICK CORP                        EQUITY     781258108     3,247    126,211 SH       SOLE           2   126,211        --      --
RUDDICK CORP                        EQUITY     781258108         2         95 SH       DEFINED        4        --        --      95
RUDOLPH TECHNOLOGIES INC            EQUITY     781270103       198     29,533 SH       SOLE           2    29,533        --      --
RUDOLPH TECHNOLOGIES INC.           EQUITY     781270103       111     16,512 SH       SOLE           1    16,512        --      --
RUE21 INC                           EQUITY     781295100       155      5,522 SH       SOLE           2     5,522        --      --
RUSH ENTERPRISES INC                EQUITY     781846209       310     26,094 SH       SOLE           2    26,094        --      --
RUTHS HOSPITALITY GROUP IN          EQUITY     783332109        40     18,983 SH       SOLE           2    18,983        --      --
RUTH'S HOSPITALITY GROUP INC        EQUITY     783332109        23     10,769 SH       SOLE           1    10,769        --      --
RXI PHARMACEUTICALS CORP            EQUITY     74978T109         5      1,000 SH       DEFINED        4        --        --   1,000
RYANAIR HLDGS PLC                   EQUITY     783513104         5        200 SH       DEFINED        5        --        --     200
RYANAIR HOLDINGS PLC-SP ADR         EQUITY     783513104        50      1,852 SH       SOLE           1     1,852        --      --
RYDER SYS INC                       EQUITY     783549108       827     20,081 SH       SOLE           2    20,081        --      --
RYDER SYSTEM, INC.                  EQUITY     783549108        47      1,131 SH       SOLE           1     1,131        --      --
RYDEX ETF TRUST                     EQUITY     78355W866         3         60 SH       DEFINED        4        --        --      60
RYDEX ETF TRUST                     EQUITY     78355W726        58      1,745 SH       DEFINED        4        --        --   1,745
RYDEX ETF TRUST                     EQUITY     78355W759        59      1,565 SH       DEFINED        4        --        --   1,565
RYDEX ETF TRUST                     EQUITY     78355W783        62      1,906 SH       DEFINED        4        --        --   1,906
RYDEX ETF TRUST                     EQUITY     78355W668        68      5,442 SH       DEFINED        4        --        --   5,442
RYDEX ETF TRUST                     EQUITY     78355W403       229      6,691 SH       DEFINED        4        --        --   6,691
RYDEX ETF TRUST                     EQUITY     78355W825       258      4,886 SH       DEFINED        4        --        --   4,886
RYDEX ETF TRUST                     EQUITY     78355W700     1,189     38,585 SH       DEFINED        4        --        --  38,585
RYDEX ETF TRUST                     EQUITY     78355W601     2,899     49,830 SH       DEFINED        4        --        --  49,830
RYDEX ETF TRUST                     EQUITY     78355W106     4,235    107,135 SH       DEFINED        4        --        -- 107,135
RYDEX ETF TRUST                     EQUITY     78355W502         2         80 SH       DEFINED        5        --        --      80
RYDEX ETF TRUST                     EQUITY     78355W783         2         75 SH       DEFINED        5        --        --      75
RYDEX ETF TRUST                     EQUITY     78355W767         6        100 SH       DEFINED        5        --        --     100
RYDEX ETF TRUST                     EQUITY     78355W825         8        147 SH       DEFINED        5        --        --     147
RYDEX ETF TRUST                     EQUITY     78355W403        15        425 SH       DEFINED        5        --        --     425
RYDEX ETF TRUST                     EQUITY     78355W601        18        309 SH       DEFINED        5        --        --     309
RYDEX ETF TRUST                     EQUITY     78355W106       141      3,556 SH       DEFINED        5        --        --   3,556
RYDEX ETF TRUST                     EQUITY     78355W205       649      7,759 SH       DEFINED        5        --        --   7,759
RYLAND GROUP INC                    EQUITY     783764103     2,619    132,960 SH       SOLE           2   132,960        --      --
S + T BANCORP INC                   EQUITY     783859101       385     22,612 SH       SOLE           2    22,612        --      --
S Y BANCORP INC                     EQUITY     785060104       200      9,349 SH       SOLE           2     9,349        --      --
S&P 500 COVERED CALL FD INC         EQUITY     78381P109        10      1,000 SH       DEFINED        5        --        --   1,000
S&T BANCORP, INC.                   EQUITY     783859101       220     12,939 SH       SOLE           1    12,939        --      --
S1 CORP                             EQUITY     78463B101     6,442    987,962 SH       SOLE           2   987,962        --      --
SABA SOFTWARE INC                   EQUITY     784932600        83     20,081 SH       SOLE           2    20,081        --      --
SABINE ROYALTY TR                   EQUITY     785688102        43      1,059 SH       DEFINED        4        --        --   1,059
SABINE ROYALTY TR                   EQUITY     785688102         6        154 SH       DEFINED        5        --        --     154
SAFEGUARD SCIENTIFICS INC           EQUITY     786449207       171     16,613 SH       SOLE           2    16,613        --      --
SAFETY INS GROUP INC                EQUITY     78648T100       469     12,950 SH       SOLE           2    12,950        --      --
SAFETY INSURANCE GROUP INC          EQUITY     78648T100       293      8,078 SH       SOLE           1     8,078        --      --
SAFEWAY INC                         EQUITY     786514208     2,269    106,563 SH       SOLE           1   106,563        --      --
SAFEWAY INC                         EQUITY     786514208     4,036    189,580 SH       SOLE           2   189,580        --      --
SAFEWAY INC                         EQUITY     786514208         9        440 SH       DEFINED        4        --        --     440
SAFEWAY INC                         EQUITY     786514208         8        354 SH       DEFINED        5        --        --     354
SAIA INC                            EQUITY     78709Y105       926     62,460 SH       SOLE           2    62,460        --      --
SAIC INC                            EQUITY     78390X101       117      6,184 SH       SOLE           1     6,184        --      --
SAIC INC                            EQUITY     78390X101     2,044    107,925 SH       SOLE           2   107,925        --      --
SAIC INC                            EQUITY     78390X101        30      1,600 SH       DEFINED        4        --        --   1,600
SAKS INC                            EQUITY     79377W108     3,016    459,742 SH       SOLE           2   459,742        --      --
SAKS INC                            EQUITY     79377W108         2        350 SH       DEFINED        4        --        --     350
SALARY.COM INC                      EQUITY     794006106       409    174,841 SH       SOLE           1   174,841        --      --
SALESFORCE COM INC                  EQUITY     79466L302     6,693     90,720 SH       SOLE           2    90,720        --      --
SALESFORCE.COM INC                  EQUITY     79466L302       164      2,222 SH       SOLE           1     2,222        --      --
SALESFORCE.COM INC                  EQUITY     79466L302     3,445     46,700 SH       SOLE           3    46,700        --      --
SALIX PHARMACEUTICALS               EQUITY     795435106       746     29,378 SH       SOLE           1    29,378        --      --
SALIX PHARMACEUTICALS INC           EQUITY     795435106        16        611 SH       DEFINED        4        --        --     611
SALIX PHARMACEUTICALS LTD           EQUITY     795435106     1,350     53,147 SH       SOLE           2    53,147        --      --
SALLY BEAUTY HLDGS INC              EQUITY   7.9546E+108       587     76,736 SH       SOLE           2    76,736        --      --
SAN JUAN BASIN RTY TR               EQUITY     798241105       473     27,445 SH       DEFINED        4        --        --  27,445
SAN JUAN BASIN RTY TR               EQUITY     798241105         6        360 SH       DEFINED        5        --        --     360
SANDERS MORRIS HARIS GROUP          EQUITY     80000Q104        86     15,712 SH       SOLE           2    15,712        --      --
SANDERSON FARMS INC                 EQUITY     800013104     8,109    192,331 SH       SOLE           2   192,331        --      --
SANDERSON FARMS, INC.               EQUITY     800013104       390      9,252 SH       SOLE           1     9,252        --      --
SANDISK CORP                        EQUITY     80004C101     3,611    124,538 SH       SOLE           2   124,538        --      --
SANDISK CORP                        EQUITY     80004C101        20        700 SH       DEFINED        5        --        --     700
SANDISK CORP.                       EQUITY     80004C101       134      4,608 SH       SOLE           1     4,608        --      --
SANDRIDGE ENERGY INC                EQUITY     80007P307        36      3,856 SH       SOLE           2     3,856        --      --





                                                                                            
SANDRIDGE ENERGY INC                EQUITY     80007P307         8        843 SH       DEFINED        4        --        --     843
SANDY SPRING BANCORP INC            EQUITY     800363103       119     13,437 SH       SOLE           2    13,437        --      --
SANGAMO BIOSCIENCES INC             EQUITY     800677106       214     36,159 SH       SOLE           2    36,159        --      --
SANGAMO BIOSCIENCES INC             EQUITY     800677106         7      1,100 SH       DEFINED        4        --        --   1,100
SANGAMO BIOSCIENCES INC             EQUITY     800677106        21      3,500 SH       DEFINED        5        --        --   3,500
SANMINA CORPORATION                 EQUITY     800907206     4,412    400,000 SH       SOLE           2   400,000        --      --
SANMINA SCI CORP                    EQUITY     800907206         3        249 SH       DEFINED        5        --        --     249
SANOFI AVENTIS                      EQUITY     80105N105         8        201 SH       DEFINED        4        --        --     201
SANOFI AVENTIS                      EQUITY     80105N105        52      1,318 SH       DEFINED        5        --        --   1,318
SANTANDER BANCORP                   EQUITY     802809103        44      3,543 SH       SOLE           2     3,543        --      --
SANTARUS INC                        EQUITY     802817304       196     42,340 SH       SOLE           2    42,340        --      --
SAP AG                              EQUITY     803054204         9        200 SH       DEFINED        4        --        --     200
SAPIENT CORP                        EQUITY     803062108       570     68,896 SH       SOLE           2    68,896        --      --
SARA LEE CORP                       EQUITY     803111103         1        100 SH       DEFINED        4        --        --     100
SARA LEE CORP                       EQUITY     803111103     4,497    369,204 SH       SOLE           2   369,204        --      --
SARA LEE CORP                       EQUITY     803111103       103      8,441 SH       DEFINED        5        --        --   8,441
SARA LEE CORP.                      EQUITY     803111103     1,146     94,095 SH       SOLE           1    94,095        --      --
SASOL LTD                           EQUITY     803866300        21        520 SH       DEFINED        5        --        --     520
SATCON TECHNOLOGY CORP              EQUITY     803893106       162     57,368 SH       SOLE           2    57,368        --      --
SAUER DANFOSS INC                   EQUITY     804137107       110      9,166 SH       SOLE           2     9,166        --      --
SAUL CENTERS, INC.                  EQUITY     804395101        12        371 SH       SOLE           1       371        --      --
SAUL CTRS INC                       EQUITY     804395101       172      5,244 SH       SOLE           2     5,244        --      --
SAVIENT PHARMACEUTICALS IN          EQUITY     80517Q100       868     63,765 SH       SOLE           2    63,765        --      --
SAVIENT PHARMACEUTICALS INC         EQUITY     80517Q100       480     35,257 SH       SOLE           1    35,257        --      --
SAVIENT PHARMACEUTICALS INC         EQUITY     80517Q100         5        335 SH       DEFINED        4        --        --     335
SAVVIS INC                          EQUITY     805423308       415     29,518 SH       SOLE           2    29,518        --      --
SBA COMMUNCATIONS CORP              EQUITY     78388J106        78      2,290 SH       SOLE           2     2,290        --      --
SBA COMMUNICATIONS CORP             EQUITY     78388J106         4        113 SH       DEFINED        5        --        --     113
SCANA CORP                          EQUITY     80589M102        84      2,242 SH       SOLE           1     2,242        --      --
SCANA CORP NEW                      EQUITY     80589M102     1,502     39,875 SH       SOLE           2    39,875        --      --
SCANA CORP NEW                      EQUITY     80589M102       114      3,031 SH       DEFINED        4        --        --   3,031
SCANA CORP NEW                      EQUITY     80589M102         6        165 SH       DEFINED        5        --        --     165
SCANSOURCE INC                      EQUITY     806037107       381     14,260 SH       SOLE           1    14,260        --      --
SCANSOURCE INC                      EQUITY     806037107       678     25,401 SH       SOLE           2    25,401        --      --
SCBT FINL CORP                      EQUITY     78401V102       286     10,326 SH       SOLE           2    10,326        --      --
SCHAWK INC                          EQUITY     806373106       167     12,249 SH       SOLE           2    12,249        --      --
SCHEIN HENRY INC                    EQUITY     806407102    11,012    209,347 SH       SOLE           2   209,347        --      --
SCHIFF NUTRITION INTL INC           EQUITY     806693107        72      9,209 SH       SOLE           2     9,209        --      --
SCHLUMBERGER LTD                    EQUITY     806857108    52,162    801,235 SH       SOLE           2   801,235        --      --
SCHLUMBERGER LTD                    EQUITY     806857108        20        310 SH       DEFINED        4        --        --     310
SCHLUMBERGER LTD                    EQUITY     806857108       417      6,401 SH       DEFINED        5        --        --   6,401
SCHLUMBERGER, LTD.                  EQUITY     806857108     5,977     91,820 SH       SOLE           1    91,820        --      --
SCHNITZER STL INDS INC              EQUITY     806882106        23        481 SH       SOLE           2       481        --      --
SCHOLASTIC CORP                     EQUITY     807066105     2,246     75,302 SH       SOLE           2    75,302        --      --
SCHOOL SPECIALTY INC                EQUITY     807863105       412     17,602 SH       SOLE           2    17,602        --      --
SCHOOL SPECIALTY, INC.              EQUITY     807863105       201      8,597 SH       SOLE           1     8,597        --      --
SCHULMAN A INC                      EQUITY     808194104       459     22,749 SH       SOLE           2    22,749        --      --
SCHULMAN, A. INC.                   EQUITY     808194104       283     14,005 SH       SOLE           1    14,005        --      --
SCHWAB CHARLES CORP                 EQUITY     808513105    14,920    792,667 SH       SOLE           2   792,667        --      --
SCHWAB CHARLES CORP NEW             EQUITY     808513105         5        263 SH       DEFINED        4        --        --     263
SCHWAB CHARLES CORP NEW             EQUITY     808513105        15        778 SH       DEFINED        5        --        --     778
SCHWEITZER MAUDUIT INTL IN          EQUITY     808541106     1,192     16,939 SH       SOLE           2    16,939        --      --
SCHWEITZER-MAUDUIT INC.             EQUITY     808541106     1,784     25,363 SH       SOLE           1    25,363        --      --
SCHWEITZER-MAUDUIT INC.             EQUITY     808541106     3,623     51,500 SH       SOLE           3    51,500        --      --
SCICLONE PHARMACEUTICALS I          EQUITY     80862K104        68     29,184 SH       SOLE           2    29,184        --      --
SCIENTIFIC GAMES CORP               EQUITY     80874P109     2,129    146,298 SH       SOLE           2   146,298        --      --
SCOTTS MIRACLE GRO CO               EQUITY     810186106     3,990    101,490 SH       SOLE           2   101,490        --      --
SCOTTS MIRACLE GRO CO               EQUITY     810186106         3         86 SH       DEFINED        5        --        --      86
SCRIPPS E W CO OH                   EQUITY     811054402       191     27,455 SH       SOLE           2    27,455        --      --
SCRIPPS NETWORKS INTERACTI          EQUITY     811065101     1,841     44,355 SH       SOLE           2    44,355        --      --
SCRIPPS NETWORKS INTERACTIVE        EQUITY     811065101     2,827     68,132 SH       SOLE           1    68,132        --      --
SEABORD CORP DEL                    EQUITY     811543107       364        270 SH       SOLE           2       270        --      --
SEABRIDGE GOLD INC                  EQUITY     811916105         5        200 SH       DEFINED        5        --        --     200
SEABRIGHT INS HLDGS INC             EQUITY     811656107       204     17,713 SH       SOLE           2    17,713        --      --
SEACHANGE INTL INC                  EQUITY     811699107       171     26,000 SH       SOLE           2    26,000        --      --
SEACOR HLDGS INC                    EQUITY     811904101       260      3,414 SH       SOLE           2     3,414        --      --
SEACOR HOLDINGS INC                 EQUITY     811904101     1,213     15,914 SH       SOLE           1    15,914        --      --
SEAGATE TECHNOLOGY                  EQUITY     G7945J104       721     39,618 SH       SOLE           2    39,618        --      --
SEAGATE TECHNOLOGY                  EQUITY     G7945J104         2        125 SH       DEFINED        4        --        --     125
SEAGATE TECHNOLOGY                  EQUITY     G7945J104         2        131 SH       DEFINED        5        --        --     131
SEAHAWK DRILLING INC                EQUITY     81201R107       141      6,252 SH       SOLE           1     6,252        --      --
SEAHAWK DRILLING INC W/I            EQUITY     81201R107        43      1,928 SH       SOLE           2     1,928        --      --
SEALED AIR CORP                     EQUITY     81211K100     1,339     61,249 SH       SOLE           1    61,249        --      --
SEALED AIR CORP NEW                 EQUITY     81211K100     2,078     95,063 SH       SOLE           2    95,063        --      --
SEALED AIR CORP NEW                 EQUITY     81211K100         9        427 SH       DEFINED        5        --        --     427
SEALY CORP                          EQUITY     812139301       117     36,869 SH       SOLE           2    36,869        --      --
SEALY CORP                          EQUITY     812139301         2        500 SH       DEFINED        4        --        --     500
SEARS HLDGS CORP                    EQUITY     812350106     2,067     24,770 SH       SOLE           2    24,770        --      --
SEARS HLDGS CORP                    EQUITY     812350106         6         77 SH       DEFINED        5        --        --      77
SEARS HOLDINGS CORP                 EQUITY     812350106       318      3,813 SH       SOLE           1     3,813        --      --
SEASPAN CORP                        EQUITY     Y75638109         3        300 SH       DEFINED        5        --        --     300
SEATTLE GENETICS INC                EQUITY     812578102       691     67,972 SH       SOLE           2    67,972        --      --
SEI INVESTMENTS CO                  EQUITY     784117103         1         65 SH       DEFINED        4        --        --      65
SEI INVESTMENTS CO                  EQUITY     784117103     5,111    291,738 SH       SOLE           2   291,738        --      --
SELECT MED HLDGS CORP               EQUITY     81619Q105       292     27,509 SH       SOLE           2    27,509        --      --
SELECT SECTOR SPDR TR               EQUITY     81369Y605    14,663  1,018,998 SH       SOLE           2 1,018,998        --      --
SELECT SECTOR SPDR TR               EQUITY     81369Y407        10        321 SH       DEFINED        4        --        --     321
SELECT SECTOR SPDR TR               EQUITY     81369Y100        34      1,027 SH       DEFINED        4        --        --   1,027
SELECT SECTOR SPDR TR               EQUITY     81369Y704        45      1,634 SH       DEFINED        4        --        --   1,634
SELECT SECTOR SPDR TR               EQUITY     81369Y605        67      4,623 SH       DEFINED        4        --        --   4,623
SELECT SECTOR SPDR TR               EQUITY     81369Y209       169      5,447 SH       DEFINED        4        --        --   5,447
SELECT SECTOR SPDR TR               EQUITY     81369Y506       270      4,733 SH       DEFINED        4        --        --   4,733
SELECT SECTOR SPDR TR               EQUITY     81369Y803       481     20,979 SH       DEFINED        4        --        --  20,979
SELECT SECTOR SPDR TR               EQUITY     81369Y308     1,139     43,037 SH       DEFINED        4        --        --  43,037
SELECT SECTOR SPDR TR               EQUITY     81369Y886     1,426     45,970 SH       DEFINED        4        --        --  45,970
SELECT SECTOR SPDR TR               EQUITY     81369Y407        30        995 SH       DEFINED        5        --        --     995
SELECT SECTOR SPDR TR               EQUITY     81369Y100        34      1,016 SH       DEFINED        5        --        --   1,016
SELECT SECTOR SPDR TR               EQUITY     81369Y704        48      1,715 SH       DEFINED        5        --        --   1,715
SELECT SECTOR SPDR TR               EQUITY     81369Y803        79      3,447 SH       DEFINED        5        --        --   3,447
SELECT SECTOR SPDR TR               EQUITY     81369Y209        81      2,601 SH       DEFINED        5        --        --   2,601
SELECT SECTOR SPDR TR               EQUITY     81369Y886        90      2,915 SH       DEFINED        5        --        --   2,915
SELECT SECTOR SPDR TR               EQUITY     81369Y308       196      7,400 SH       DEFINED        5        --        --   7,400
SELECT SECTOR SPDR TR               EQUITY     81369Y605       252     17,491 SH       DEFINED        5        --        --  17,491
SELECT SECTOR SPDR TR               EQUITY     81369Y506       771     13,522 SH       DEFINED        5        --        --  13,522
SELECT SECTOR SPDR TR PUT           OPTION     81369Y955         3        102    PUT   DEFINED        5        --        --     102





                                                                                            
SELECTIVE INS GROUP INC             EQUITY     816300107       832     50,601 SH       SOLE           2    50,601        --      --
SELECTIVE INSURANCE GROUP, INC      EQUITY     816300107       469     28,486 SH       SOLE           1    28,486        --      --
SEMICONDUCTOR HOLDRS TRUST          EQUITY     816636203     1,307     46,800 SH       SOLE           1    46,800        --      --
SEMPRA ENERGY                       EQUITY     816851109    34,053    608,065 SH       SOLE           1   608,065        --      --
SEMPRA ENERGY                       EQUITY     816851109     4,957     88,544 SH       SOLE           2    88,544        --      --
SEMPRA ENERGY                       EQUITY     816851109     1,780     31,800 SH       SOLE           3    31,800        --      --
SEMPRA ENERGY                       EQUITY     816851109        40        719 SH       DEFINED        4        --        --     719
SEMPRA ENERGY                       EQUITY     816851109        26        458 SH       DEFINED        5        --        --     458
SEMTECH CORP                        EQUITY     816850101     3,192    187,648 SH       SOLE           2   187,648        --      --
SENECA FOODS CORP NEW               EQUITY     817070501       182      7,637 SH       SOLE           2     7,637        --      --
SENIOR HSG PPTSY TR                 EQUITY     81721M109     6,302    288,174 SH       SOLE           2   288,174        --      --
SENIOR HSG PPTYS TR                 EQUITY     81721M109         5        250 SH       DEFINED        5        --        --     250
SENORX INC                          EQUITY     81724W104     5,050    623,750 SH       SOLE           1   623,750        --      --
SENSIENT TECHNOLOGIES CORP          EQUITY     81725T100     3,924    149,191 SH       SOLE           2   149,191        --      --
SEQUENOM INC                        EQUITY     817337405       207     49,937 SH       SOLE           2    49,937        --      --
SEQUENOM INC                        EQUITY     817337405         2        400 SH       DEFINED        5        --        --     400
SERVICE CORP INTL                   EQUITY     817565104     4,696    573,442 SH       SOLE           2   573,442        --      --
SHARPS COMPLIANCE CORP              EQUITY     820017101     2,112    220,000 SH       SOLE           2   220,000        --      --
SHAW COMMUNICATIONS INC - B         EQUITY     82028K200       280     13,558 SH       OTHER          1        --    13,558      --
SHAW GROUP INC                      EQUITY     820280105     5,429    188,835 SH       SOLE           2   188,835        --      --
SHAW GROUP INC                      EQUITY     820280105         6        200 SH       DEFINED        4        --        --     200
SHENANDOAH TELECOMMUNICATI          EQUITY     82312B106       393     19,307 SH       SOLE           2    19,307        --      --
SHENGDATECH INC                     EQUITY     823213103       141     22,978 SH       SOLE           2    22,978        --      --
SHERWIN WILLIAMS CO                 EQUITY     824348106     2,843     46,118 SH       SOLE           2    46,118        --      --
SHERWIN-WILLIAMS CO.                EQUITY     824348106     2,154     34,943 SH       SOLE           1    34,943        --      --
SHINHAN FINANCIAL GROUP CO L        EQUITY     824596100         7        100 SH       DEFINED        4        --        --     100
SHIP FINANCE INTERNATIONAL L        EQUITY     G81075106       430     31,543 SH       DEFINED        5        --        --  31,543
SHIP FINANCE INTL                   EQUITY     G81075106       490     35,947 SH       SOLE           2    35,947        --      --
SHIRE PLC                           EQUITY     82481R106         3         44 SH       DEFINED        5        --        --      44
SHOE CARNIVAL INC                   EQUITY     824889109       150      7,333 SH       SOLE           2     7,333        --      --
SHOE CARNIVAL INC                   EQUITY     824889109     1,195     58,400 SH       SOLE           3    58,400        --      --
SHORE BANCSHARES INC                EQUITY     825107105        99      6,866 SH       SOLE           2     6,866        --      --
SHORETEL INC                        EQUITY     825211105       209     36,113 SH       SOLE           2    36,113        --      --
SHUFFLE MASTER INC                  EQUITY     825549108       423     51,350 SH       SOLE           2    51,350        --      --
SHUFFLE MASTER, INC.                EQUITY     825549108       234     28,374 SH       SOLE           1    28,374        --      --
SHUTTERFLY INC                      EQUITY     82568P304       301     16,922 SH       SOLE           2    16,922        --      --
SIEMENS A G                         EQUITY     826197501        53        574 SH       DEFINED        4        --        --     574
SIEMENS A G                         EQUITY     826197501        63        690 SH       DEFINED        5        --        --     690
SIERRA BANCORP                      EQUITY     82620P102        55      7,167 SH       SOLE           2     7,167        --      --
SIGMA ALDRICH                       EQUITY     826552101     3,237     64,025 SH       SOLE           2    64,025        --      --
SIGMA ALDRICH CORP                  EQUITY     826552101         3         54 SH       DEFINED        4        --        --      54
SIGMA ALDRICH CORP                  EQUITY     826552101        13        262 SH       DEFINED        5        --        --     262
SIGMA ALDRICH CORP.                 EQUITY     826552101     2,020     39,968 SH       SOLE           1    39,968        --      --
SIGMA DESIGNS                       EQUITY     826565103       309     28,873 SH       SOLE           2    28,873        --      --
SIGMA DESIGNS INC                   EQUITY     826565103       152     14,164 SH       SOLE           1    14,164        --      --
SIGMA DESIGNS INC                   EQUITY     826565103         2        200 SH       DEFINED        5        --        --     200
SIGMA TECH INC                      EQUITY     826917106       144     24,865 SH       SOLE           2    24,865        --      --
SIGNATURE BANK                      EQUITY     82669G104       685     21,481 SH       SOLE           1    21,481        --      --
SIGNATURE BK NEW YORK N Y           EQUITY     82669G104         1         40 SH       DEFINED        4        --        --      40
SIGNATURE BK NEW YORK NY            EQUITY     82669G104     1,240     38,860 SH       SOLE           2    38,860        --      --
SIGNET JEWELERS LTD                 EQUITY     G81276100        65      2,432 SH       SOLE           2     2,432        --      --
SILGAN HLDGS INC                    EQUITY     827048109     1,264     21,834 SH       SOLE           2    21,834        --      --
SILGAN HOLDINGS INC                 EQUITY     827048109         4         66 SH       DEFINED        4        --        --      66
SILICON GRAPHICS INTERNATI          EQUITY     82706L108       171     24,401 SH       SOLE           2    24,401        --      --
SILICON IMAGE INC                   EQUITY     82705T102       158     61,066 SH       SOLE           2    61,066        --      --
SILICON IMAGE INC                   EQUITY     82705T102         2        900 SH       DEFINED        5        --        --     900
SILICON LABORATORIES INC            EQUITY     826919102     4,974    102,891 SH       SOLE           2   102,891        --      --
SILICON LABORATORIES INC            EQUITY     826919102     3,943     81,500 SH       SOLE           3    81,500        --      --
SILICON STORAGE TECHNOLOGY          EQUITY     827057100       166     64,914 SH       SOLE           2    64,914        --      --
SILICONWARE PRECISION INDS L        EQUITY     827084864         3        468 SH       DEFINED        5        --        --     468
SILVER STD RES INC                  EQUITY     82823L106     4,551    208,095 SH       SOLE           2   208,095        --      --
SILVER STD RES INC                  EQUITY     82823L106         9        429 SH       DEFINED        4        --        --     429
SILVER WHEATON CORP                 EQUITY     828336107       153     10,100 SH       OTHER          1        --    10,100      --
SILVER WHEATON CORP                 EQUITY     828336107        12        795 SH       DEFINED        4        --        --     795
SILVER WHEATON CORP                 EQUITY     828336107       101      6,735 SH       DEFINED        5        --        --   6,735
SILVERCORP METALS INC               EQUITY     82835P103        10      1,440 SH       DEFINED        4        --        --   1,440
SIMMONS 1ST NATL CORP               EQUITY     828730200       438     15,747 SH       SOLE           2    15,747        --      --
SIMMONS FIRST NATIONAL CORP.        EQUITY     828730200       224      8,065 SH       SOLE           1     8,065        --      --
SIMON PPTY GROUP INC NEW            EQUITY     828806109     9,843    123,250 SH       SOLE           2   123,250        --      --
SIMON PPTY GROUP INC NEW            EQUITY     828806109        16        196 SH       DEFINED        5        --        --     196
SIMON PROPERTY GROUP INC            EQUITY     828806109       464      5,814 SH       SOLE           1     5,814        --      --
SIMPSON MANUFACTURING CO.           EQUITY     829073105       555     20,641 SH       SOLE           1    20,641        --      --
SIMPSON MFG INC                     EQUITY     829073105       982     36,535 SH       SOLE           2    36,535        --      --
SINCLAIR BROADCAST GROUP I          EQUITY     829226109       141     34,969 SH       SOLE           2    34,969        --      --
SINGAPORE FD INC                    EQUITY     82929L109         1        100 SH       DEFINED        4        --        --     100
SINOVAC BIOTECH LTD                 EQUITY     P8696W104        29      4,600 SH       DEFINED        5        --        --   4,600
SIRIUS XM RADIO INC                 EQUITY     82967N108       235    391,741 SH       SOLE           1   391,741        --      --
SIRIUS XM RADIO INC                 EQUITY     82967N108         9     14,765 SH       DEFINED        4        --        --  14,765
SIRIUS XM RADIO INC                 EQUITY     82967N108       444    740,010 SH       DEFINED        5        --        -- 740,010
SIRONA DENTAL SYS INC               EQUITY     82966C103       439     13,846 SH       SOLE           2    13,846        --      --
SJW CORP                            EQUITY     784305104       238     10,550 SH       SOLE           2    10,550        --      --
SK TELECOM LTD                      EQUITY     78440P108         4        264 SH       DEFINED        4        --        --     264
SKECHERS U S A INC                  EQUITY     830566105       934     31,756 SH       SOLE           2    31,756        --      --
SKECHERS USA INC. CL-A              EQUITY     830566105       523     17,773 SH       SOLE           1    17,773        --      --
SKILLED HEALTHCARE GROUP I          EQUITY     83066R107       118     15,866 SH       SOLE           2    15,866        --      --
SKYLINE CORP                        EQUITY     830830105       120      6,524 SH       SOLE           2     6,524        --      --
SKYLINE CORP.                       EQUITY     830830105        67      3,648 SH       SOLE           1     3,648        --      --
SKYWEST INC                         EQUITY     830879102       505     29,845 SH       SOLE           1    29,845        --      --
SKYWEST INC                         EQUITY     830879102       901     53,261 SH       SOLE           2    53,261        --      --
SKYWEST INC                         EQUITY     830879102         5        283 SH       DEFINED        5        --        --     283
SKYWORKS SOLUTIONS INC              EQUITY     83088M102     1,981    139,576 SH       SOLE           1   139,576        --      --
SKYWORKS SOLUTIONS INC              EQUITY     83088M102     2,288    161,272 SH       SOLE           2   161,272        --      --
SKYWORKS SOLUTIONS INC              EQUITY     83088M102     2,093    147,500 SH       SOLE           3   147,500        --      --
SKYWORKS SOLUTIONS INC              EQUITY     83088M102        35      2,440 SH       DEFINED        5        --        --   2,440
SL GREEN REALTY CORP                EQUITY     78440X101        18        362 SH       SOLE           1       362        --      --
SL GREEN RLTY CORP                  EQUITY     78440X101     8,780    174,757 SH       SOLE           2   174,757        --      --
SLM CORP                            EQUITY     78442P106       108      9,597 SH       SOLE           1     9,597        --      --
SLM CORP                            EQUITY     78442P106     2,562    227,315 SH       SOLE           2   227,315        --      --
SLM CORP                            EQUITY     78442P106         7        600 SH       DEFINED        5        --        --     600
SMALL CAP PREM & DIV INCM FD        EQUITY     83165P101        56      5,491 SH       DEFINED        5        --        --   5,491
SMART BALANCE INC                   EQUITY     83169Y108     6,518  1,086,260 SH       SOLE           2 1,086,260        --      --
SMART BALANCE INC                   EQUITY     83169Y108         3        450 SH       DEFINED        4        --        --     450
SMART MODULAR TECHNOLOGIES          EQUITY     G82245104       188     29,960 SH       SOLE           2    29,960        --      --
SMARTHEAT INC                       EQUITY     83172F104       107      7,335 SH       SOLE           2     7,335        --      --
SMARTHEAT INC                       EQUITY     83172F104     1,041     71,700 SH       SOLE           3    71,700        --      --





                                                                                            
SMITH & WESSON HLDG CORP            EQUITY     831756101         2        600 SH       DEFINED        4        --        --     600
SMITH & WESSON HLDG CORP            EQUITY     831756101         2        500 SH       DEFINED        5        --        --     500
SMITH + WESSON HLDG CORP            EQUITY     831756101       199     48,558 SH       SOLE           2    48,558        --      --
SMITH A O CORP                      EQUITY     831865209       917     21,126 SH       SOLE           2    21,126        --      --
SMITH INTERNATIONAL, INC.           EQUITY     832110100       775     28,515 SH       SOLE           1    28,515        --      --
SMITH INTL INC                      EQUITY     832110100     3,117    114,711 SH       SOLE           2   114,711        --      --
SMITH INTL INC                      EQUITY     832110100         8        300 SH       DEFINED        5        --        --     300
SMITH MICRO SOFTWARE INC            EQUITY     832154108     1,015    110,941 SH       SOLE           1   110,941        --      --
SMITH MICRO SOFTWARE INC            EQUITY     832154108       250     27,364 SH       SOLE           2    27,364        --      --
SMITH MICRO SOFTWARE INC            EQUITY     832154108     1,014    110,771 SH       SOLE           3   110,771        --      --
SMITH, A.O. CORP.                   EQUITY     831865209       526     12,125 SH       SOLE           1    12,125        --      --
SMITHFIELD FOODS INC                EQUITY     832248108     4,840    318,609 SH       SOLE           2   318,609        --      --
SMITHTOWN BANCORP INC               EQUITY     832449102        71     11,974 SH       SOLE           2    11,974        --      --
SMUCKER J M CO                      EQUITY     832696405     4,927     79,785 SH       SOLE           2    79,785        --      --
SMUCKER J M CO                      EQUITY     832696405        12        191 SH       DEFINED        4        --        --     191
SMUCKER J M CO                      EQUITY     832696405       199      3,225 SH       DEFINED        5        --        --   3,225
SNAP ON INC                         EQUITY     833034101       965     22,837 SH       SOLE           2    22,837        --      --
SNAP ON INC                         EQUITY     833034101         2         50 SH       DEFINED        4        --        --      50
SNAP-ON, INC.                       EQUITY     833034101        49      1,171 SH       SOLE           1     1,171        --      --
SOCIEDAD QUIMICA MINERA DE C        EQUITY     833635105        35        944 SH       DEFINED        5        --        --     944
SOHU COM INC                        EQUITY     83408W103        34        600 SH       SOLE           2       600        --      --
SOHU COM INC                        EQUITY     83408W103         5         85 SH       DEFINED        4        --        --      85
SOLARFUN POWER HOLDINGS CO L        EQUITY     83415U108         2        200 SH       DEFINED        4        --        --     200
SOLARWINDS INC                      EQUITY     83416B109     1,215     52,809 SH       SOLE           2    52,809        --      --
SOLARWINDS INC                      EQUITY     83416B109        46      2,000 SH       DEFINED        5        --        --   2,000
SOLERA HLDGS INC                    EQUITY     83421A104     7,648    212,383 SH       SOLE           2   212,383        --      --
SOLERA HOLDINGS INC                 EQUITY     83421A104         2         50 SH       DEFINED        4        --        --      50
SOLUTIA INC                         EQUITY     834376501         1        105 SH       DEFINED        4        --        --     105
SOLUTIA INC                         EQUITY     834376501     1,235     97,229 SH       SOLE           2    97,229        --      --
SOMANETICS CORP                     EQUITY     834445405       173      9,841 SH       SOLE           2     9,841        --      --
SONIC AUTOMOTIVE INC                EQUITY     83545G102       220     21,159 SH       SOLE           1    21,159        --      --
SONIC AUTOMOTIVE INC                EQUITY     83545G102       319     30,689 SH       SOLE           2    30,689        --      --
SONIC CORP                          EQUITY     835451105       586     58,184 SH       SOLE           2    58,184        --      --
SONIC CORP                          EQUITY     835451105        11      1,135 SH       DEFINED        4        --        --   1,135
SONIC CORP                          EQUITY     835451105        16      1,620 SH       DEFINED        5        --        --   1,620
SONIC CORP.                         EQUITY     835451105       325     32,322 SH       SOLE           1    32,322        --      --
SONIC SOLUTIONS                     EQUITY     835460106       789     66,936 SH       SOLE           1    66,936        --      --
SONIC SOLUTIONS                     EQUITY     835460106        44      3,758 SH       SOLE           2     3,758        --      --
SONIC SOLUTIONS                     EQUITY     835460106       750     63,600 SH       SOLE           3    63,600        --      --
SONICWALL INC                       EQUITY     835470105       334     43,948 SH       SOLE           2    43,948        --      --
SONICWALL INC                       EQUITY     835470105         8      1,000 SH       DEFINED        5        --        --   1,000
SONOCO PRODS CO                     EQUITY     835495102     6,619    226,300 SH       SOLE           2   226,300        --      --
SONOCO PRODS CO                     EQUITY     835495102        41      1,403 SH       DEFINED        4        --        --   1,403
SONOCO PRODS CO                     EQUITY     835495102        34      1,162 SH       DEFINED        5        --        --   1,162
SONOSITE INC                        EQUITY     83568G104       331     13,994 SH       SOLE           2    13,994        --      --
SONUS NETWORKS INC                  EQUITY     835916107       355    168,458 SH       SOLE           2   168,458        --      --
SONY CORP                           EQUITY     835699307         6        200 SH       DEFINED        4        --        --     200
SONY CORP                           EQUITY     835699307         8        275 SH       DEFINED        5        --        --     275
SOTHEBYS                            EQUITY     835898107     4,591    204,217 SH       SOLE           2   204,217        --      --
SOURCEFIRE INC                      EQUITY     83616T108       484     18,083 SH       SOLE           2    18,083        --      --
SOUTH FINANCIAL GROUP INC.          EQUITY     837841105        75    115,639 SH       SOLE           1   115,639        --      --
SOUTH FINL GROUP INC                EQUITY     837841105       133    206,210 SH       SOLE           2   206,210        --      --
SOUTH JERSEY INDS INC               EQUITY     838518108     6,839    179,127 SH       SOLE           2   179,127        --      --
SOUTH JERSEY INDS INC               EQUITY     838518108       205      5,382 SH       DEFINED        4        --        --   5,382
SOUTH JERSEY INDUSTRIES, INC.       EQUITY     838518108       611     15,993 SH       SOLE           1    15,993        --      --
SOUTHERN CO                         EQUITY     842587107       539     16,166 SH       SOLE           1    16,166        --      --
SOUTHERN CO                         EQUITY     842587107     8,822    264,759 SH       SOLE           2   264,759        --      --
SOUTHERN CO                         EQUITY     842587107       506     15,183 SH       DEFINED        4        --        --  15,183
SOUTHERN CO                         EQUITY     842587107       218      6,556 SH       DEFINED        5        --        --   6,556
SOUTHERN COPPER CORP                EQUITY     84265V105       343     10,430 SH       SOLE           1    10,430        --      --
SOUTHERN COPPER CORP                EQUITY     84265V105         6        194 SH       DEFINED        4        --        --     194
SOUTHERN COPPER CORP                EQUITY     84265V105       146      4,430 SH       DEFINED        5        --        --   4,430
SOUTHERN UN CO NEW                  EQUITY     844030106     6,365    280,389 SH       SOLE           2   280,389        --      --
SOUTHSIDE BANCSHARES INC            EQUITY     84470P109       211     10,756 SH       SOLE           2    10,756        --      --
SOUTHWEST AIRLINES CO.              EQUITY     844741108       171     14,993 SH       SOLE           1    14,993        --      --
SOUTHWEST AIRLS CO                  EQUITY     844741108     4,095    358,258 SH       SOLE           2   358,258        --      --
SOUTHWEST AIRLS CO                  EQUITY     844741108        46      4,000 SH       DEFINED        4        --        --   4,000
SOUTHWEST AIRLS CO                  EQUITY     844741108        77      6,752 SH       DEFINED        5        --        --   6,752
SOUTHWEST BANCORP INC OKLA          EQUITY     844767103        83     11,954 SH       SOLE           2    11,954        --      --
SOUTHWEST GAS CORP                  EQUITY     844895102       688     24,129 SH       SOLE           1    24,129        --      --
SOUTHWEST GAS CORP                  EQUITY     844895102     1,222     42,832 SH       SOLE           2    42,832        --      --
SOUTHWEST WTR CO                    EQUITY     845331107       118     20,088 SH       SOLE           2    20,088        --      --
SOUTHWEST WTR CO                    EQUITY     845331107         2        300 SH       DEFINED        4        --        --     300
SOUTHWEST WTR CO                    EQUITY     845331107         4        700 SH       DEFINED        5        --        --     700
SOUTHWESTERN ENERGY CO              EQUITY     845467109     7,857    162,920 SH       SOLE           2   162,920        --      --
SOUTHWESTERN ENERGY CO              EQUITY     845467109       106      2,201 SH       DEFINED        5        --        --   2,201
SOUTHWESTERN ENERGY CO.             EQUITY     845467109       336      6,971 SH       SOLE           1     6,971        --      --
SOVRAN SELF STORAGE INC             EQUITY     84610H108       940     26,318 SH       SOLE           2    26,318        --      --
SOVRAN SELF STORAGE INC             EQUITY     84610H108        22        614 SH       DEFINED        4        --        --     614
SOVRAN SELF STORAGE INC             EQUITY     84610H108        26        717 SH       DEFINED        5        --        --     717
SOVRAN SELF STORAGE, INC.           EQUITY     84610H108       485     13,581 SH       SOLE           1    13,581        --      --
SPAIN FD                            EQUITY     846330108         5        600 SH       DEFINED        5        --        --     600
SPARTAN MOTORS INC                  EQUITY     846819100        99     17,522 SH       SOLE           1    17,522        --      --
SPARTAN MTRS INC                    EQUITY     846819100       175     31,127 SH       SOLE           2    31,127        --      --
SPARTAN STORES INC                  EQUITY     846822104       172     12,040 SH       SOLE           1    12,040        --      --
SPARTAN STORES INC                  EQUITY     846822104     2,031    142,121 SH       SOLE           2   142,121        --      --
SPARTAN STORES INC                  EQUITY     846822104       106      7,385 SH       DEFINED        4        --        --   7,385
SPARTECH CORP                       EQUITY     847220209       256     24,965 SH       SOLE           2    24,965        --      --
SPDR GOLD TRUST                     EQUITY     78463V107     5,080     47,341 SH       DEFINED        4        --        --  47,341
SPDR GOLD TRUST                     EQUITY     78463V107     2,243     20,905 SH       DEFINED        5        --        --  20,905
SPDR INDEX SHS FDS                  EQUITY     78463X202         1         26 SH       DEFINED        5        --        --      26
SPDR INDEX SHS FDS                  EQUITY     78463X707         2         25 SH       DEFINED        4        --        --      25
SPDR INDEX SHS FDS                  EQUITY     78463X400         5         73 SH       DEFINED        4        --        --      73
SPDR INDEX SHS FDS                  EQUITY     78463X863        46      1,309 SH       DEFINED        4        --        --   1,309
SPDR INDEX SHS FDS                  EQUITY     78463X301        74        996 SH       DEFINED        4        --        --     996
SPDR INDEX SHS FDS                  EQUITY     78463X822        75      2,024 SH       DEFINED        4        --        --   2,024
SPDR INDEX SHS FDS                  EQUITY     78463X608       363      8,375 SH       DEFINED        4        --        --   8,375
SPDR INDEX SHS FDS                  EQUITY     78463X871     1,006     39,698 SH       DEFINED        4        --        --  39,698
SPDR INDEX SHS FDS                  EQUITY     78463X806         2         40 SH       DEFINED        5        --        --      40
SPDR INDEX SHS FDS                  EQUITY     78463X764         4        142 SH       DEFINED        5        --        --     142
SPDR INDEX SHS FDS                  EQUITY     78463X699         4        200 SH       DEFINED        5        --        --     200
SPDR INDEX SHS FDS                  EQUITY     78463X707         6         76 SH       DEFINED        5        --        --      76
SPDR INDEX SHS FDS                  EQUITY     78463X665         9        348 SH       DEFINED        5        --        --     348
SPDR INDEX SHS FDS                  EQUITY     78463X798        10        387 SH       DEFINED        5        --        --     387
SPDR INDEX SHS FDS                  EQUITY     78463X756        10        207 SH       DEFINED        5        --        --     207





                                                                                            
SPDR INDEX SHS FDS                  EQUITY     78463X400        12        166 SH       DEFINED        5        --        --     166
SPDR INDEX SHS FDS                  EQUITY     78463X301        13        174 SH       DEFINED        5        --        --     174
SPDR INDEX SHS FDS                  EQUITY     78463X863        18        506 SH       DEFINED        5        --        --     506
SPDR INDEX SHS FDS                  EQUITY     78463X103        22        600 SH       DEFINED        5        --        --     600
SPDR INDEX SHS FDS                  EQUITY     78463X855        33        783 SH       DEFINED        5        --        --     783
SPDR S&P 500 ETF TRUST              EQUITY     78462F103    51,306    460,321 SH       SOLE           1   460,321        --      --
SPDR S&P 500 ETF TRUST              EQUITY     78462F103     1,192     10,700 SH       SOLE           3    10,700        --      --
SPDR SERIES TRUST                   EQUITY     78464A201         1         15 SH       DEFINED        5        --        --      15
SPDR SERIES TRUST                   EQUITY     78464A789         1         37 SH       DEFINED        5        --        --      37
SPDR SERIES TRUST                   EQUITY     78464A508         1         23 SH       DEFINED        5        --        --      23
SPDR SERIES TRUST                   EQUITY     78464A805         8        100 SH       DEFINED        4        --        --     100
SPDR SERIES TRUST                   EQUITY     78464A730        12        302 SH       DEFINED        4        --        --     302
SPDR SERIES TRUST                   EQUITY     78464A300        13        226 SH       DEFINED        4        --        --     226
SPDR SERIES TRUST                   EQUITY     78464A607        15        310 SH       DEFINED        4        --        --     310
SPDR SERIES TRUST                   EQUITY     78464A870        25        468 SH       DEFINED        4        --        --     468
SPDR SERIES TRUST                   EQUITY     78464A490        52        937 SH       DEFINED        4        --        --     937
SPDR SERIES TRUST                   EQUITY     78464A367        53      1,500 SH       DEFINED        4        --        --   1,500
SPDR SERIES TRUST                   EQUITY     78464A763       128      2,768 SH       DEFINED        4        --        --   2,768
SPDR SERIES TRUST                   EQUITY     78464A862       455      9,551 SH       DEFINED        4        --        --   9,551
SPDR SERIES TRUST                   EQUITY     78464A698       695     31,224 SH       DEFINED        4        --        --  31,224
SPDR SERIES TRUST                   EQUITY     78464A755       766     14,846 SH       DEFINED        4        --        --  14,846
SPDR SERIES TRUST                   EQUITY     78464A714     1,438     40,404 SH       DEFINED        4        --        --  40,404
SPDR SERIES TRUST                   EQUITY     78464A417     2,102     54,149 SH       DEFINED        4        --        --  54,149
SPDR SERIES TRUST                   EQUITY     78464A862         2         35 SH       DEFINED        5        --        --      35
SPDR SERIES TRUST                   EQUITY     78464A409         2         43 SH       DEFINED        5        --        --      43
SPDR SERIES TRUST                   EQUITY     78464A607         2         45 SH       DEFINED        5        --        --      45
SPDR SERIES TRUST                   EQUITY     78464A888         3        200 SH       DEFINED        5        --        --     200
SPDR SERIES TRUST                   EQUITY     78464A102         6        100 SH       DEFINED        5        --        --     100
SPDR SERIES TRUST                   EQUITY     78464A672        14        242 SH       DEFINED        5        --        --     242
SPDR SERIES TRUST                   EQUITY     78464A813        21        400 SH       DEFINED        5        --        --     400
SPDR SERIES TRUST                   EQUITY     78464A680        23        497 SH       DEFINED        5        --        --     497
SPDR SERIES TRUST                   EQUITY     78464A490        37        661 SH       DEFINED        5        --        --     661
SPDR SERIES TRUST                   EQUITY     78464A797        38      1,801 SH       DEFINED        5        --        --   1,801
SPDR SERIES TRUST                   EQUITY     78464A516        40        700 SH       DEFINED        5        --        --     700
SPDR SERIES TRUST                   EQUITY     78464A870        67      1,245 SH       DEFINED        5        --        --   1,245
SPDR SERIES TRUST                   EQUITY     78464A417       268      6,914 SH       DEFINED        5        --        --   6,914
SPDR SERIES TRUST                   EQUITY     78464A334       271      7,453 SH       DEFINED        5        --        --   7,453
SPDR SERIES TRUST                   EQUITY     78464A375       278      8,768 SH       DEFINED        5        --        --   8,768
SPDR SERIES TRUST                   EQUITY     78464A755       313      6,063 SH       DEFINED        5        --        --   6,063
SPDR SERIES TRUST                   EQUITY     78464A763       529     11,430 SH       DEFINED        5        --        --  11,430
SPDR SERIES TRUST                   EQUITY     78464A359       541     14,321 SH       DEFINED        5        --        --  14,321
SPDR TR                             EQUITY     78462F103     1,742     15,632 SH       DEFINED        4        --        --  15,632
SPDR TR                             EQUITY     78462F103       641      5,751 SH       DEFINED        5        --        --   5,751
SPDR TRUST                          EQUITY     78462F103     2,307     20,700 SH       SOLE           2    20,700        --      --
SPECTRA ENERGY CORP                 EQUITY     847560109     1,816     88,552 SH       SOLE           1    88,552        --      --
SPECTRA ENERGY CORP                 EQUITY     847560109     8,210    400,290 SH       SOLE           2   400,290        --      --
SPECTRA ENERGY CORP                 EQUITY     847560109        70      3,404 SH       DEFINED        4        --        --   3,404
SPECTRA ENERGY CORP                 EQUITY     847560109       254     12,395 SH       DEFINED        5        --        --  12,395
SPECTRA ENERGY PARTNERS LP          EQUITY     84756N109        15        500 SH       DEFINED        4        --        --     500
SPECTRANETICS CORP                  EQUITY     84760C107       183     26,281 SH       SOLE           2    26,281        --      --
SPECTRUM CTL INC                    EQUITY     847615101        97     10,269 SH       SOLE           2    10,269        --      --
SPECTRUM PHARMACEUTICALS I          EQUITY     84763A108       157     35,290 SH       SOLE           2    35,290        --      --
SPECTRUM PHARMACEUTICALS INC        EQUITY     84763A108         9      2,125 SH       DEFINED        4        --        --   2,125
SPECTRUM PHARMACEUTICALS INC        EQUITY     84763A108        14      3,200 SH       DEFINED        5        --        --   3,200
SPEEDWAY MOTORSPORTSINC             EQUITY     847788106       188     10,656 SH       SOLE           2    10,656        --      --
SPHERION CORP                       EQUITY     848420105       278     49,440 SH       SOLE           2    49,440        --      --
SPHERION CORPORATION                EQUITY     848420105       153     27,299 SH       SOLE           1    27,299        --      --
SPIRIT AEROSYSTEMS HLDGS I          EQUITY     848574109        55      2,749 SH       SOLE           2     2,749        --      --
SPIRIT AEROSYSTEMS HLDGS INC        EQUITY     848574109        32      1,600 SH       DEFINED        5        --        --   1,600
SPORT SUPPLY GROUP INC DEL          EQUITY     84916A104        95      7,517 SH       SOLE           2     7,517        --      --
SPRINT NEXTEL CORP                  EQUITY     852061100       735    200,760 SH       SOLE           1   200,760        --      --
SPRINT NEXTEL CORP                  EQUITY     852061100     4,969  1,357,642 SH       SOLE           2 1,357,642        --      --
SPRINT NEXTEL CORP                  EQUITY     852061100         8      2,161 SH       DEFINED        4        --        --   2,161
SPRINT NEXTEL CORP                  EQUITY     852061100         3        888 SH       DEFINED        5        --        --     888
SPX CORP                            EQUITY     784635104     6,103    111,575 SH       SOLE           2   111,575        --      --
SPX CORP.                           EQUITY     784635104       813     14,862 SH       SOLE           1    14,862        --      --
SRA INTL INC                        EQUITY     78464R105     2,486    130,143 SH       SOLE           2   130,143        --      --
SRS LABS INC                        EQUITY     78464M106        69      9,481 SH       SOLE           2     9,481        --      --
ST JOE CO                           EQUITY     790148100        52      1,805 SH       SOLE           2     1,805        --      --
ST JUDE MED INC                     EQUITY     790849103     7,199    195,685 SH       SOLE           2   195,685        --      --
ST JUDE MED INC                     EQUITY     790849103        57      1,545 SH       DEFINED        4        --        --   1,545
ST JUDE MED INC                     EQUITY     790849103        91      2,471 SH       DEFINED        5        --        --   2,471
ST JUDE MEDICAL, INC.               EQUITY     790849103       248      6,750 SH       SOLE           1     6,750        --      --
ST MARY LD + EXPL CO                EQUITY     792228108       356     10,394 SH       SOLE           2    10,394        --      --
ST. MARY LAND & EXPLORATION         EQUITY     792228108     1,133     33,093 SH       SOLE           1    33,093        --      --
STAGE STORES INC                    EQUITY     85254C305       253     20,441 SH       SOLE           1    20,441        --      --
STAGE STORES INC                    EQUITY     85254C305       449     36,355 SH       SOLE           2    36,355        --      --
STAMPS COM INC                      EQUITY     852857200        95     10,582 SH       SOLE           2    10,582        --      --
STAMPS.COM INC                      EQUITY     852857200        56      6,180 SH       SOLE           1     6,180        --      --
STANCORP FINANCIAL GROUP, INC.      EQUITY     852891100     1,697     42,402 SH       SOLE           1    42,402        --      --
STANCORP FINL GROUP INC             EQUITY     852891100     4,449    111,177 SH       SOLE           2   111,177        --      --
STANDARD MICROSYSTEMS CORP          EQUITY     853626109       438     21,065 SH       SOLE           2    21,065        --      --
STANDARD MICROSYSTEMS CORP.         EQUITY     853626109       247     11,872 SH       SOLE           1    11,872        --      --
STANDARD MOTOR PRODUCTS, INC.       EQUITY     853666105        84      9,834 SH       SOLE           1     9,834        --      --
STANDARD MTR PRODS INC              EQUITY     853666105       149     17,458 SH       SOLE           2    17,458        --      --
STANDARD PAC CORP NEW               EQUITY     85375C101       359     96,091 SH       SOLE           2    96,091        --      --
STANDARD PKG CORP                   EQUITY     853790103        97      6,112 SH       SOLE           2     6,112        --      --
STANDARD REGISTER                   EQUITY     853887107        82     16,090 SH       SOLE           2    16,090        --      --
STANDARD REGISTER CO.               EQUITY     853887107        35      6,815 SH       SOLE           1     6,815        --      --
STANDARD-PACIFIC CORP               EQUITY     85375C101       195     52,217 SH       SOLE           1    52,217        --      --
STANDEX INTERNATIONAL CORP.         EQUITY     854231107       134      6,687 SH       SOLE           1     6,687        --      --
STANDEX INTL CORP                   EQUITY     854231107       238     11,843 SH       SOLE           2    11,843        --      --
STANLEY FURNITURE CO INC            EQUITY     854305208        86      8,440 SH       SOLE           2     8,440        --      --
STANLEY INC                         EQUITY     854532108       234      8,525 SH       SOLE           1     8,525        --      --
STANLEY INC                         EQUITY     854532108       319     11,635 SH       SOLE           2    11,635        --      --
STANLEY WKS                         EQUITY     854616109         9        172 SH       DEFINED        4        --        --     172
STANLEY WORKS                       EQUITY     854616109        83      1,618 SH       SOLE           1     1,618        --      --
STANLEY WORKS                       EQUITY     854616109     1,861     36,119 SH       SOLE           2    36,119        --      --
STAPLES INC                         EQUITY     855030102    16,576    673,956 SH       SOLE           2   673,956        --      --
STAPLES INC                         EQUITY     855030102         2         97 SH       DEFINED        4        --        --      97
STAPLES INC                         EQUITY     855030102         7        297 SH       DEFINED        5        --        --     297
STAPLES, INC.                       EQUITY     855030102     9,500    386,343 SH       SOLE           1   386,343        --      --
STAR SCIENTIFIC INC                 EQUITY     85517P101        46     65,589 SH       SOLE           2    65,589        --      --
STARBUCKS CORP                      EQUITY     855244109     8,679    376,248 SH       SOLE           2   376,248        --      --
STARBUCKS CORP                      EQUITY     855244109        49      2,129 SH       DEFINED        4        --        --   2,129





                                                                                            
STARBUCKS CORP                      EQUITY     855244109       715     30,996 SH       DEFINED        5        --        --  30,996
STARBUCKS CORP.                     EQUITY     855244109     2,705    117,317 SH       SOLE           1   117,317        --      --
STARTEK INC                         EQUITY     85569C107        47      6,335 SH       SOLE           1     6,335        --      --
STARTEK INC                         EQUITY     85569C107        85     11,400 SH       SOLE           2    11,400        --      --
STARWOOD HOTELS & RESORTS WORLDWIDE
  INC                               EQUITY     85590A401       138      3,778 SH       SOLE           1     3,778        --      --
STARWOOD HOTELS + RESORTS           EQUITY     85590A401     3,207     87,658 SH       SOLE           2    87,658        --      --
STARWOOD PROPERTY TRUST IN          EQUITY     85571B105       717     37,935 SH       SOLE           2    37,935        --      --
STATE AUTO FINL CORP                EQUITY     855707105       216     11,688 SH       SOLE           2    11,688        --      --
STATE BANCORP INC N Y               EQUITY     855716106        85     11,917 SH       SOLE           2    11,917        --      --
STATE STR CORP                      EQUITY     857477103         1         27 SH       DEFINED        4        --        --      27
STATE STR CORP                      EQUITY     857477103        75      1,712 SH       DEFINED        5        --        --   1,712
STATE STREET CORP.                  EQUITY     857477103     5,154    118,382 SH       SOLE           1   118,382        --      --
STATE STREET CORPORATION            EQUITY     857477103    13,884    318,871 SH       SOLE           2   318,871        --      --
STATOIL ASA                         EQUITY     85771P102         3        139 SH       DEFINED        4        --        --     139
STEC INC                            EQUITY     784774101     6,531    399,682 SH       SOLE           2   399,682        --      --
STEC INC                            EQUITY     784774101       213     13,062 SH       DEFINED        5        --        --  13,062
STEC INC CALL                       OPTION     784774901         2          5     CALL DEFINED        5        --        --       5
STEC INC PUT                        OPTION     784774951         1         20 PUT      DEFINED        4        --        --      20
STEEL DYNAMICS INC                  EQUITY     858119100     8,648    488,045 SH       SOLE           2   488,045        --      --
STEEL DYNAMICS INC                  EQUITY     858119100        19      1,050 SH       DEFINED        4        --        --   1,050
STEEL DYNAMICS INC                  EQUITY     858119100       356     20,107 SH       DEFINED        5        --        --  20,107
STEELCASE INC                       EQUITY     858155203       371     58,332 SH       SOLE           2    58,332        --      --
STEIN MART INC                      EQUITY     858375108       262     24,540 SH       SOLE           2    24,540        --      --
STEIN MART INC                      EQUITY     858375108         4        393 SH       DEFINED        4        --        --     393
STEIN MART, INC.                    EQUITY     858375108       148     13,916 SH       SOLE           1    13,916        --      --
STEINER LEISURE LTD                 EQUITY     P8744Y102       473     11,896 SH       SOLE           2    11,896        --      --
STEINWAY MUSICAL INSTRS IN          EQUITY     858495104        88      5,506 SH       SOLE           2     5,506        --      --
STEINWAY MUSICAL INSTRUMENTS        EQUITY     858495104     2,652    166,671 SH       SOLE           1   166,671        --      --
STELLARONE CORP                     EQUITY     85856G100       185     18,543 SH       SOLE           2    18,543        --      --
STEMCELLS INC                       EQUITY     85857R105       122     96,674 SH       SOLE           2    96,674        --      --
STEPAN CO                           EQUITY     858586100       458      7,067 SH       SOLE           2     7,067        --      --
STEPAN CO.                          EQUITY     858586100       263      4,061 SH       SOLE           1     4,061        --      --
STEREOTAXIS INC                     EQUITY     85916J102        99     25,255 SH       SOLE           2    25,255        --      --
STERICYCLE INC                      EQUITY     858912108         1         20 SH       DEFINED        4        --        --      20
STERICYCLE INC                      EQUITY     858912108     3,569     64,684 SH       SOLE           2    64,684        --      --
STERICYCLE INC                      EQUITY     858912108        80      1,449 SH       DEFINED        5        --        --   1,449
STERICYCLE, INC.                    EQUITY     858912108        94      1,698 SH       SOLE           1     1,698        --      --
STERIS CORP                         EQUITY     859152100     5,005    178,952 SH       SOLE           2   178,952        --      --
STERIS CORP                         EQUITY     859152100         3        100 SH       DEFINED        4        --        --     100
STERLING BANCORP                    EQUITY     859158107        69      9,718 SH       SOLE           1     9,718        --      --
STERLING BANCORP                    EQUITY     859158107       124     17,341 SH       SOLE           2    17,341        --      --
STERLING BANCSHARES INC             EQUITY     858907108       404     78,776 SH       SOLE           2    78,776        --      --
STERLING BANCSHARES, INC.           EQUITY     858907108       225     43,885 SH       SOLE           1    43,885        --      --
STERLING CONSTR INC                 EQUITY     859241101       207     10,787 SH       SOLE           2    10,787        --      --
STERLING FINL CORP WASH             EQUITY     859319105        27     42,804 SH       SOLE           2    42,804        --      --
STERLITE INDS INDIA LTD             EQUITY     859737207       107      5,860 SH       DEFINED        5        --        --   5,860
STEVEN MADDEN, LTD.                 EQUITY     556269108       874     21,196 SH       SOLE           1    21,196        --      --
STEVEN MADDEN, LTD.                 EQUITY     556269108     1,035     25,104 SH       SOLE           3    25,104        --      --
STEWART ENTERPRISES INC             EQUITY     860370105       338     65,664 SH       SOLE           2    65,664        --      --
STEWART INFORMATION SERVICES COM    EQUITY     860372101       110      9,789 SH       SOLE           1     9,789        --      --
STEWART INFORMATION SVCS C          EQUITY     860372101       187     16,580 SH       SOLE           2    16,580        --      --
STIFEL FINANCIAL CORP               EQUITY     860630102     1,785     30,135 SH       SOLE           1    30,135        --      --
STIFEL FINANCIAL CORP               EQUITY     860630102       207      3,500 SH       SOLE           3     3,500        --      --
STIFEL FINL CORP                    EQUITY     860630102     1,707     28,807 SH       SOLE           2    28,807        --      --
STILLWATER MNG CO                   EQUITY     86074Q102       316     33,373 SH       SOLE           2    33,373        --      --
STONE ENERGY CORP                   EQUITY     861642106       404     22,394 SH       SOLE           1    22,394        --      --
STONE ENERGY CORP                   EQUITY     861642106       720     39,914 SH       SOLE           2    39,914        --      --
STONERIDGE INC                      EQUITY     86183P102       111     12,298 SH       SOLE           2    12,298        --      --
STR HOLDINGS INC                    EQUITY     78478V100       157     10,024 SH       SOLE           2    10,024        --      --
STRATASYS INC                       EQUITY     862685104       185     10,717 SH       SOLE           1    10,717        --      --
STRATASYS INC                       EQUITY     862685104       335     19,363 SH       SOLE           2    19,363        --      --
STRATEGIC GLOBAL INCOME FD          EQUITY     862719101        31      2,828 SH       DEFINED        4        --        --   2,828
STRATEGIC GLOBAL INCOME FD          EQUITY     862719101       413     37,537 SH       DEFINED        5        --        --  37,537
STRATEGIC HOTELS + RESORTS          EQUITY     86272T106       114     61,234 SH       SOLE           2    61,234        --      --
STRAYER ED INC                      EQUITY     863236105     6,731     31,675 SH       SOLE           2    31,675        --      --
STRYKER CORP                        EQUITY     863667101     6,402    127,053 SH       SOLE           2   127,053        --      --
STRYKER CORP                        EQUITY     863667101       126      2,506 SH       DEFINED        4        --        --   2,506
STRYKER CORP                        EQUITY     863667101        66      1,302 SH       DEFINED        5        --        --   1,302
STRYKER CORP.                       EQUITY     863667101     5,403    107,271 SH       SOLE           1   107,271        --      --
STUDENT LN CORP                     EQUITY     863902102         6        119 SH       SOLE           2       119        --      --
STURM RUGER + CO INC                EQUITY     864159108       177     18,237 SH       SOLE           2    18,237        --      --
STURM, RUGER & CO., INC.            EQUITY     864159108        98     10,092 SH       SOLE           1    10,092        --      --
SUBURBAN PROPANE PARTNERS L         EQUITY     864482104       144      3,061 SH       DEFINED        4        --        --   3,061
SUBURBAN PROPANE PARTNERS L         EQUITY     864482104       296      6,278 SH       DEFINED        5        --        --   6,278
SUCAMPO PHARMACEUTICALS IN          EQUITY     864909106        35      8,784 SH       SOLE           2     8,784        --      --
SUCCESSFACTORS INC                  EQUITY     864596101       626     37,749 SH       SOLE           2    37,749        --      --
SUCCESSFACTORS INC                  EQUITY     864596101        33      2,014 SH       DEFINED        4        --        --   2,014
SUFFOLK BANCORP                     EQUITY     864739107       233      7,841 SH       SOLE           2     7,841        --      --
SULPHCO INC                         EQUITY     865378103        37     55,470 SH       SOLE           2    55,470        --      --
SUN BANCORP INC N J                 EQUITY     86663B102        42     11,076 SH       SOLE           2    11,076        --      --
SUN CMNTYS INC                      EQUITY     866674104       266     13,490 SH       SOLE           2    13,490        --      --
SUN COMMUNITIES, INC.               EQUITY     866674104        12        621 SH       SOLE           1       621        --      --
SUN HEALTHCARE GROUP INC            EQUITY     866933401     5,380    586,709 SH       SOLE           2   586,709        --      --
SUN HYDRAULICS INC                  EQUITY     866942105       266     10,131 SH       SOLE           2    10,131        --      --
SUN LIFE FINANCIAL INC              EQUITY     866796105     1,498     51,947 SH       OTHER          1        --    51,947      --
SUN LIFE FINL INC                   EQUITY     866796105        12        435 SH       DEFINED        4        --        --     435
SUN MICROSYSTEMS INC                EQUITY     866810203     7,264    775,216 SH       SOLE           1   775,216        --      --
SUN MICROSYSTEMS INC                EQUITY     866810203     3,583    382,354 SH       SOLE           2   382,354        --      --
SUN MICROSYSTEMS INC                EQUITY     866810203         9        981 SH       DEFINED        4        --        --     981
SUN MICROSYSTEMS INC                EQUITY     866810203         4        469 SH       DEFINED        5        --        --     469
SUNCOR ENERGY INC NEW               EQUITY     867224107        37      1,050 SH       DEFINED        4        --        --   1,050
SUNCOR ENERGY INC NEW               EQUITY     867224107       633     17,930 SH       DEFINED        5        --        --  17,930
SUNOCO INC                          EQUITY     86764P109        62      2,363 SH       SOLE           1     2,363        --      --
SUNOCO INC                          EQUITY     86764P109     6,091    233,384 SH       SOLE           2   233,384        --      --
SUNOCO INC                          EQUITY     86764P109        14        545 SH       DEFINED        5        --        --     545
SUNOCO LOGISTICS PRTNRS L P         EQUITY     86764L108        91      1,363 SH       DEFINED        5        --        --   1,363
SUNPOWER CORP                       EQUITY     867652109        44      1,871 SH       SOLE           2     1,871        --      --
SUNPOWER CORP                       EQUITY     867652109        12        500 SH       DEFINED        4        --        --     500
SUNPOWER CORP                       EQUITY     867652307         5        245 SH       DEFINED        5        --        --     245
SUNPOWER CORP                       EQUITY     867652109        42      1,760 SH       DEFINED        5        --        --   1,760
SUNRISE SENIOR LIVING INC           EQUITY     86768K106       119     36,955 SH       SOLE           2    36,955        --      --
SUNRISE SENIOR LIVING INC           EQUITY     86768K106         4      1,125 SH       DEFINED        5        --        --   1,125
SUNSTONE HOTEL INVS INC NE          EQUITY     867892101       712     80,183 SH       SOLE           2    80,183        --      --
SUNTECH PWR HLDGS CO LTD            EQUITY     86800C104        22      1,308 SH       DEFINED        5        --        --   1,308
SUNTRUST BANKS, INC.                EQUITY     867914103       205     10,084 SH       SOLE           1    10,084        --      --





                                                                                            
SUNTRUST BKS INC                    EQUITY     867914103     4,641    228,711 SH       SOLE           2   228,711        --      --
SUNTRUST BKS INC                    EQUITY     867914103       176      8,669 SH       DEFINED        4        --        --   8,669
SUNTRUST BKS INC                    EQUITY     867914103        57      2,806 SH       DEFINED        5        --        --   2,806
SUPER MICRO COMPUTER INC            EQUITY     86800U104       208     18,706 SH       SOLE           2    18,706        --      --
SUPER MICRO COMPUTER INC            EQUITY     86800U104       645     58,000 SH       SOLE           3    58,000        --      --
SUPERGEN INC                        EQUITY     868059106       126     48,264 SH       SOLE           2    48,264        --      --
SUPERIOR ENERGY SVCS INC            EQUITY     868157108     4,301    177,082 SH       SOLE           2   177,082        --      --
SUPERIOR ENERGY SVCS INC            EQUITY     868157108         5        225 SH       DEFINED        4        --        --     225
SUPERIOR ENERGY SVCS INC            EQUITY     868157108        11        465 SH       DEFINED        5        --        --     465
SUPERIOR INDS INTL INC              EQUITY     868168105       339     22,146 SH       SOLE           2    22,146        --      --
SUPERIOR INDUSTRIES INTL, INC.      EQUITY     868168105       191     12,452 SH       SOLE           1    12,452        --      --
SUPERIOR WELL SERVICES INC          EQUITY     86837X105       992     69,549 SH       SOLE           1    69,549        --      --
SUPERIOR WELL SERVICES INC          EQUITY     86837X105       963     67,500 SH       SOLE           3    67,500        --      --
SUPERIOR WELL SVCS INC              EQUITY     86837X105       246     17,285 SH       SOLE           2    17,285        --      --
SUPERTEX INC                        EQUITY     868532102       637     21,390 SH       SOLE           1    21,390        --      --
SUPERTEX INC                        EQUITY     868532102       321     10,759 SH       SOLE           2    10,759        --      --
SUPERTEX INC                        EQUITY     868532102       769     25,800 SH       SOLE           3    25,800        --      --
SUPERVALU INC                       EQUITY     868536103       966     76,001 SH       SOLE           2    76,001        --      --
SUPERVALU INC                       EQUITY     868536103       216     17,000 SH       DEFINED        4        --        --  17,000
SUPERVALU, INC.                     EQUITY     868536103       583     45,854 SH       SOLE           1    45,854        --      --
SUPPORT.COM INC                     EQUITY     86858W101       100     37,868 SH       SOLE           2    37,868        --      --
SUREWEST COMMUNICATIONS             EQUITY     868733106       116     11,665 SH       SOLE           2    11,665        --      --
SURMODICS INC                       EQUITY     868873100       210      9,247 SH       SOLE           1     9,247        --      --
SURMODICS INC                       EQUITY     868873100       341     15,043 SH       SOLE           2    15,043        --      --
SUSQUEHANNA BANCSHARES INC          EQUITY     869099101       486     82,584 SH       SOLE           2    82,584        --      --
SUSQUEHANNA BANCSHARES, INC.        EQUITY     869099101       273     46,371 SH       SOLE           1    46,371        --      --
SUSSER HLDGS CORP                   EQUITY     869233106        54      6,255 SH       SOLE           2     6,255        --      --
SUTOR TECHNOLOGY GROUP LTD          EQUITY     869362103        16      6,201 SH       SOLE           2     6,201        --      --
SVB FINL GROUP                      EQUITY     78486Q101     5,215    125,098 SH       SOLE           2   125,098        --      --
SWIFT ENERGY CO                     EQUITY     870738101     4,452    185,809 SH       SOLE           2   185,809        --      --
SWIFT ENERGY CO.                    EQUITY     870738101       479     19,975 SH       SOLE           1    19,975        --      --
SWITCH & DATA FACILITIES CO INC     EQUITY     871043105     8,609    425,995 SH       SOLE           1   425,995        --      --
SWITCH + DATA FACS CO INC           EQUITY     871043105       336     16,629 SH       SOLE           2    16,629        --      --
SWS GROUP INC                       EQUITY     78503N107       182     15,074 SH       SOLE           1    15,074        --      --
SWS GROUP INC                       EQUITY     78503N107       323     26,653 SH       SOLE           2    26,653        --      --
SXC HEALTH SOLUTIONS CORP           EQUITY     78505P100     1,182     21,900 SH       SOLE           1    21,900        --      --
SXC HEALTH SOLUTIONS CORP           EQUITY     78505P100       291      5,400 SH       SOLE           3     5,400        --      --
SYBASE INC                          EQUITY     871130100     7,978    183,836 SH       SOLE           2   183,836        --      --
SYBASE INC                          EQUITY     871130100         2         35 SH       DEFINED        4        --        --      35
SYKES ENTERPRISES INC               EQUITY     871237103       847     33,240 SH       SOLE           2    33,240        --      --
SYKES ENTERPRISES, INC.             EQUITY     871237103       474     18,607 SH       SOLE           1    18,607        --      --
SYMANTEC CORP                       EQUITY     871503108    20,632  1,153,156 SH       SOLE           2 1,153,156        --      --
SYMANTEC CORP.                      EQUITY     871503108     8,105    453,056 SH       SOLE           1   453,056        --      --
SYMMETRICOM INC                     EQUITY     871543104       217     41,783 SH       SOLE           2    41,783        --      --
SYMMETRICOM, INC.                   EQUITY     871543104       121     23,336 SH       SOLE           1    23,336        --      --
SYMMETRY MED INC                    EQUITY     871546206       276     34,273 SH       SOLE           2    34,273        --      --
SYMMETRY MEDICAL INC                EQUITY     871546206       155     19,218 SH       SOLE           1    19,218        --      --
SYMS CORP                           EQUITY     871551107        39      5,374 SH       SOLE           2     5,374        --      --
SYMYX TECHNOLOGIES INC              EQUITY     87155S108       153     27,836 SH       SOLE           2    27,836        --      --
SYNAPTICS INC                       EQUITY     87157D109       552     17,994 SH       SOLE           1    17,994        --      --
SYNAPTICS INC                       EQUITY     87157D109     1,005     32,799 SH       SOLE           2    32,799        --      --
SYNAPTICS INC                       EQUITY     87157D109        71      2,320 SH       DEFINED        5        --        --   2,320
SYNCHRONOSS TECHNOLOGIES I          EQUITY     87157B103       245     15,489 SH       SOLE           2    15,489        --      --
SYNCHRONOSS TECHNOLOGIES INC        EQUITY     87157B103        26      1,650 SH       DEFINED        5        --        --   1,650
SYNERON MEDICAL LTD                 EQUITY     M87245102         1        125 SH       DEFINED        5        --        --     125
SYNIVERSE HLDGS INC                 EQUITY     87163F106     6,657    380,815 SH       SOLE           2   380,815        --      --
SYNNEX CORP                         EQUITY     87162W100       339     11,068 SH       SOLE           1    11,068        --      --
SYNNEX CORP                         EQUITY     87162W100       571     18,621 SH       SOLE           2    18,621        --      --
SYNOPSYS INC                        EQUITY     871607107     7,337    329,302 SH       SOLE           2   329,302        --      --
SYNOPSYS INC                        EQUITY     871607107         4        188 SH       DEFINED        4        --        --     188
SYNOVIS LIFE TECHNOLOGIES           EQUITY     87162G105       122      9,420 SH       SOLE           2     9,420        --      --
SYNOVUS FINL CORP                   EQUITY     87161C105     4,787  2,335,001 SH       SOLE           2 2,335,001        --      --
SYNOVUS FINL CORP                   EQUITY     87161C105         2      1,000 SH       DEFINED        4        --        --   1,000
SYNTA PHARMACEUTICALS               EQUITY     87162T206     6,108  1,207,085 SH       SOLE           1 1,207,085        --      --
SYNTA PHARMACEUTICALS CORP          EQUITY     87162T206        68     13,355 SH       SOLE           2    13,355        --      --
SYNTEL INC                          EQUITY     87162H103       400     10,511 SH       SOLE           2    10,511        --      --
SYNTROLEUM CORP                     EQUITY     871630109       137     51,530 SH       SOLE           2    51,530        --      --
SYNUTRA INTL INC                    EQUITY     87164C102       198     14,689 SH       SOLE           2    14,689        --      --
SYSCO CORP                          EQUITY     871829107    14,599    522,517 SH       SOLE           2   522,517        --      --
SYSCO CORP                          EQUITY     871829107       247      8,839 SH       DEFINED        4        --        --   8,839
SYSCO CORP                          EQUITY     871829107        66      2,350 SH       DEFINED        5        --        --   2,350
SYSCO CORP.                         EQUITY     871829107    10,564    378,093 SH       SOLE           1   378,093        --      --
SYSTEMAX INC                        EQUITY     871851101       131      8,333 SH       SOLE           2     8,333        --      --
T 3 ENERGY SVCS INC                 EQUITY   8.7306E+111       262     10,265 SH       SOLE           2    10,265        --      --
T HQ INC                            EQUITY     872443403       326     64,669 SH       SOLE           2    64,669        --      --
T ROWE PRICE GROUP INC.             EQUITY     74144T108       277      5,211 SH       SOLE           1     5,211        --      --
T.G.C. INDUSTRIES INC               EQUITY     872417308        42     10,795 SH       SOLE           2    10,795        --      --
TAIWAN SEMICONDUCTOR MFG LTD        EQUITY     874039100        29      2,503 SH       DEFINED        5        --        --   2,503
TAKE TWO INTERACTIVE SOFTW          EQUITY     874054109       774     77,011 SH       SOLE           2    77,011        --      --
TAKE-TWO INTERACTIVE SOFTWAR        EQUITY     874054109        20      2,000 SH       DEFINED        4        --        --   2,000
TAKE-TWO INTERACTIVE SOFTWARE       EQUITY     874054109       438     43,568 SH       SOLE           1    43,568        --      --
TAL INTL GROUP INC                  EQUITY     874083108       164     12,368 SH       SOLE           2    12,368        --      --
TALBOTS INC                         EQUITY     874161102       176     19,802 SH       SOLE           2    19,802        --      --
TALECRIS BIOTHERAPEUTICS            EQUITY     874227101        21        957 SH       SOLE           2       957        --      --
TALEO CORP                          EQUITY     87424N104       883     37,524 SH       SOLE           2    37,524        --      --
TALEO CORP-CLASS A                  EQUITY     87424N104       477     20,301 SH       SOLE           1    20,301        --      --
TALISMAN ENERGY INC.                EQUITY   8.7425E+107    25,128  1,344,902 SH       OTHER          1        -- 1,344,902      --
TANGER FACTORY OUTLET CTRS          EQUITY     875465106       836     21,448 SH       SOLE           1    21,448        --      --
TANGER FACTORY OUTLET CTRS          EQUITY     875465106     1,503     38,547 SH       SOLE           2    38,547        --      --
TARGA RESOURCES PARTNERS LP         EQUITY     87611X105         7        300 SH       DEFINED        4        --        --     300
TARGET CORP                         EQUITY   8.7612E+110    32,668    675,374 SH       SOLE           2   675,374        --      --
TARGET CORP                         EQUITY   8.7612E+110        38        788 SH       DEFINED        4        --        --     788
TARGET CORP                         EQUITY   8.7612E+110       252      5,211 SH       DEFINED        5        --        --   5,211
TARGET CORPORATION                  EQUITY   8.7612E+110    11,733    242,566 SH       SOLE           1   242,566        --      --
TASER INTL INC                      EQUITY     87651B104       221     50,568 SH       SOLE           2    50,568        --      --
TASER INTL INC                      EQUITY     87651B104       321     73,300 SH       DEFINED        5        --        --  73,300
TATA MTRS LTD                       EQUITY     876568502         3        200 SH       DEFINED        4        --        --     200
TAUBMAN CENTERS INC                 EQUITY     876664103        54      1,491 SH       SOLE           2     1,491        --      --
TAUBMAN CENTERS, INC.               EQUITY     876664103        70      1,949 SH       SOLE           1     1,949        --      --
TBS INTRENATIONAL LTD               EQUITY     G86975151        80     10,938 SH       SOLE           2    10,938        --      --
TC PIPELINES LP                     EQUITY     87233Q108        30        819 SH       DEFINED        4        --        --     819
TC PIPELINES LP                     EQUITY     87233Q108       380     10,325 SH       DEFINED        5        --        --  10,325
TCF FINANCIAL CORP                  EQUITY     872275102     3,460    254,046 SH       SOLE           2   254,046        --      --
TCF FINL CORP                       EQUITY     872275102        12        902 SH       DEFINED        5        --        --     902
TD AMERITRADE HLDG CORP             EQUITY     87236Y108       100      5,145 SH       SOLE           2     5,145        --      --





                                                                                            
TD AMERITRADE HOLDING CORP          EQUITY     87236Y108       249     12,862 SH       SOLE           1    12,862        --      --
TEAM INC                            EQUITY     878155100       289     15,387 SH       SOLE           2    15,387        --      --
TEAM INC                            EQUITY     878155100         4        223 SH       DEFINED        5        --        --     223
TECH DATA CORP                      EQUITY     878237106     5,371    115,109 SH       SOLE           2   115,109        --      --
TECHNE CORP                         EQUITY     878377100         1         20 SH       DEFINED        4        --        --      20
TECHNE CORP                         EQUITY     878377100     5,761     84,025 SH       SOLE           2    84,025        --      --
TECHNITROL INC                      EQUITY     878555101         1        300 SH       DEFINED        4        --        --     300
TECHNITROL INC                      EQUITY     878555101       172     39,261 SH       SOLE           2    39,261        --      --
TECHNITROL, INC.                    EQUITY     878555101        97     22,097 SH       SOLE           1    22,097        --      --
TECHTARGET INC                      EQUITY     87874R100        53      9,469 SH       SOLE           2     9,469        --      --
TECHWELL INC                        EQUITY     87874D101       170     12,852 SH       SOLE           2    12,852        --      --
TECK RESOURCES LTD                  EQUITY     878742204         3        100 SH       DEFINED        4        --        --     100
TECK RESOURCES LTD                  EQUITY     878742204       280      8,000 SH       DEFINED        5        --        --   8,000
TECK RESOURCES LTD CLS B            EQUITY     878742204     2,610     74,492 SH       OTHER          1        --    74,492      --
TECO ENERGY INC                     EQUITY     872375100     2,942    181,357 SH       SOLE           2   181,357        --      --
TECO ENERGY INC                     EQUITY     872375100        13        820 SH       DEFINED        4        --        --     820
TECO ENERGY INC                     EQUITY     872375100        14        861 SH       DEFINED        5        --        --     861
TECO ENERGY, INC.                   EQUITY     872375100        70      4,323 SH       SOLE           1     4,323        --      --
TECUMSEH PRODS CO                   EQUITY     878895200       176     15,095 SH       SOLE           2    15,095        --      --
TEEKAY CORPORATION                  EQUITY     Y8564W103        23      1,001 SH       SOLE           2     1,001        --      --
TEEKAY LNG PARTNERS L P             EQUITY     Y8564M105         7        250 SH       DEFINED        5        --        --     250
TEEKAY TANKERS LTD                  EQUITY     Y8565N102        73      8,577 SH       SOLE           2     8,577        --      --
TEJON RANCH CO                      EQUITY     879080109       259      8,862 SH       SOLE           2     8,862        --      --
TEKELEC                             EQUITY     879101103       549     35,921 SH       SOLE           1    35,921        --      --
TEKELEC                             EQUITY     879101103         6        400 SH       DEFINED        4        --        --     400
TEKELEC INC                         EQUITY     879101103       975     63,836 SH       SOLE           2    63,836        --      --
TEL OFFSHORE TR                     EQUITY     872382106         2        400 SH       DEFINED        4        --        --     400
TELECOM CORP NEW ZEALAND LTD        EQUITY     879278208        23      2,600 SH       DEFINED        4        --        --   2,600
TELECOM CORP NEW ZEALAND LTD        EQUITY     879278208        13      1,422 SH       DEFINED        5        --        --   1,422
TELECOM ITALIA S P A NEW            EQUITY     87927Y201         4        393 SH       DEFINED        4        --        --     393
TELECOMMUNICATION SYS INC           EQUITY     87929J103     8,324    859,894 SH       SOLE           2   859,894        --      --
TELECOMMUNICATION SYSTEMS INC       EQUITY     87929J103       839     86,700 SH       SOLE           3    86,700        --      --
TELEDYNE TECHNOLOGIES INC           EQUITY     879360105     1,323     34,492 SH       SOLE           2    34,492        --      --
TELEDYNE TECHNOLOGIES INC           EQUITY     879360105         2         57 SH       DEFINED        5        --        --      57
TELEDYNE TECHNOLOGIES INC           EQUITY     879360105         1         39 SH       DEFINED        4        --        --      39
TELEDYNE TECHOLOGIES INC            EQUITY     879360105       737     19,217 SH       SOLE           1    19,217        --      --
TELEFLEX INC                        EQUITY     879369106     4,838     89,769 SH       SOLE           2    89,769        --      --
TELEFLEX INC                        EQUITY     879369106         8        153 SH       DEFINED        5        --        --     153
TELEFLEX INC.                       EQUITY     879369106       366      6,800 SH       SOLE           1     6,800        --      --
TELEFONICA S A                      EQUITY     879382208         7         86 SH       DEFINED        5        --        --      86
TELEFONOS DE MEXICO S A B           EQUITY     879403780        68      4,088 SH       DEFINED        5        --        --   4,088
TELEPHONE & DATA SYS INC            EQUITY     879433860         2         71 SH       DEFINED        4        --        --      71
TELEPHONE + DATA SYS INC            EQUITY     879433100     7,189    211,933 SH       SOLE           2   211,933        --      --
TELETECH HLDGS INC                  EQUITY     879939106       622     31,065 SH       SOLE           2    31,065        --      --
TELETECH HOLDINGS                   EQUITY     879939106       344     17,150 SH       SOLE           1    17,150        --      --
TELLABS INC                         EQUITY     879664100     1,142    201,107 SH       SOLE           2   201,107        --      --
TELLABS, INC.                       EQUITY     879664100        44      7,801 SH       SOLE           1     7,801        --      --
TELMEX INTERNACIONAL SAB DE         EQUITY     879690204        46      2,600 SH       DEFINED        5        --        --   2,600
TELUS CORP                          EQUITY     87971M202         3         85 SH       DEFINED        5        --        --      85
TELUS CORPORATION-NON VOTE          EQUITY     87971M202       172      5,511 SH       OTHER          1        --     5,511      --
TEMPLE INLAND INC                   EQUITY     879868107     5,106    241,892 SH       SOLE           2   241,892        --      --
TEMPLE INLAND INC                   EQUITY     879868107        21      1,000 SH       DEFINED        4        --        --   1,000
TEMPLE INLAND INC                   EQUITY     879868107        11        500 SH       DEFINED        5        --        --     500
TEMPLETON DRAGON FD INC             EQUITY     88018T101       178      6,527 SH       DEFINED        5        --        --   6,527
TEMPLETON EMERG MKTS INCOME         EQUITY     880192109        66      4,600 SH       DEFINED        4        --        --   4,600
TEMPLETON EMERG MKTS INCOME         EQUITY     880192109        68      4,688 SH       DEFINED        5        --        --   4,688
TEMPLETON GLOBAL INCOME FD          EQUITY     880198106     1,977    208,090 SH       DEFINED        4        --        -- 208,090
TEMPUR PEDIC INTL INC               EQUITY     88023U101     1,446     61,177 SH       SOLE           2    61,177        --      --
TEMPUR-PEDIC INTERNATIONAL INC      EQUITY     88023U101       541     22,900 SH       SOLE           1    22,900        --      --
TEMPUR-PEDIC INTERNATIONAL INC      EQUITY     88023U101     2,233     94,500 SH       SOLE           3    94,500        --      --
TENARIS S A                         EQUITY     88031M109         4        100 SH       DEFINED        5        --        --     100
TENET HEALTHCARE CORP               EQUITY     88033G100         1        269 SH       DEFINED        5        --        --     269
TENET HEALTHCARE CORP               EQUITY     88033G100     1,103    204,713 SH       SOLE           2   204,713        --      --
TENET HEALTHCARE CORP               EQUITY     88033G100         2        326 SH       DEFINED        4        --        --     326
TENET HEALTHCARE CORP.              EQUITY     88033G100     1,287    238,699 SH       SOLE           1   238,699        --      --
TENNANT CO                          EQUITY     880345103       399     15,224 SH       SOLE           2    15,224        --      --
TENNECO INC                         EQUITY     880349105       860     48,490 SH       SOLE           2    48,490        --      --
TENNECO INC                         EQUITY     880349105        35      2,000 SH       DEFINED        4        --        --   2,000
TENNECO INC                         EQUITY     880349105         9        510 SH       DEFINED        5        --        --     510
TERADATA CORP                       EQUITY     88076W103       109      3,456 SH       SOLE           1     3,456        --      --
TERADATA CORP                       EQUITY     88076W103     2,436     77,532 SH       SOLE           2    77,532        --      --
TERADATA CORP DEL                   EQUITY     88076W103         6        188 SH       DEFINED        4        --        --     188
TERADATA CORP DEL                   EQUITY     88076W103        22        702 SH       DEFINED        5        --        --     702
TERADYNE INC                        EQUITY     880770102       790     73,594 SH       SOLE           2    73,594        --      --
TERADYNE INC                        EQUITY     880770102        27      2,500 SH       DEFINED        4        --        --   2,500
TERADYNE INC                        EQUITY     880770102         5        449 SH       DEFINED        5        --        --     449
TERADYNE, INC.                      EQUITY     880770102     1,078    100,435 SH       SOLE           1   100,435        --      --
TERADYNE, INC.                      EQUITY     880770102     3,943    367,500 SH       SOLE           3   367,500        --      --
TEREX CORP NEW                      EQUITY     880779103     4,845    244,557 SH       SOLE           2   244,557        --      --
TEREX CORP NEW                      EQUITY     880779103       143      7,216 SH       DEFINED        4        --        --   7,216
TEREX CORP NEW                      EQUITY     880779103       524     26,451 SH       DEFINED        5        --        --  26,451
TERNIUM SA-SPONSORED ADR            EQUITY     880890108    23,279    657,230 SH       SOLE           1   657,230        --      --
TERRA INDS INC                      EQUITY     880915103     7,253    225,317 SH       SOLE           2   225,317        --      --
TERRA INDS INC                      EQUITY     880915103         3        100 SH       DEFINED        4        --        --     100
TERRA NITROGEN CO L P               EQUITY     881005201        52        500 SH       DEFINED        5        --        --     500
TERREMARK WORLDWIDE INC             EQUITY     881448203       325     47,442 SH       SOLE           2    47,442        --      --
TERRITORIAL BANCORP INC             EQUITY     88145X108       180      9,993 SH       SOLE           2     9,993        --      --
TESORO CORP                         EQUITY     881609101       663     48,896 SH       SOLE           1    48,896        --      --
TESORO CORP                         EQUITY     881609101     1,257     92,765 SH       SOLE           2    92,765        --      --
TESORO CORP                         EQUITY     881609101       342     25,265 SH       DEFINED        4        --        --  25,265
TESORO CORP                         EQUITY     881609101         3        200 SH       DEFINED        5        --        --     200
TESSERA TECHNOLOGIES INC            EQUITY     88164L100       924     39,725 SH       SOLE           2    39,725        --      --
TESSERA TECHNOLOGIES INC            EQUITY     88164L100         9        400 SH       DEFINED        5        --        --     400
TETRA TECH INC NEW                  EQUITY     88162G103     1,570     57,798 SH       SOLE           2    57,798        --      --
TETRA TECH, INC.                    EQUITY     88162G103       881     32,423 SH       SOLE           1    32,423        --      --
TETRA TECHNOLOGIES INC DEL          EQUITY     88162F105       799     72,071 SH       SOLE           2    72,071        --      --
TETRA TECHNOLOGIES INC DEL          EQUITY     88162F105         6        500 SH       DEFINED        5        --        --     500
TETRA TECHNOLOGIES, INC.            EQUITY     88162F105       442     39,915 SH       SOLE           1    39,915        --      --
TEVA PHARMACEUTICAL ADR             EQUITY     881624209    52,661    937,368 SH       SOLE           1   937,368        --      --
TEVA PHARMACEUTICAL INDS L          EQUITY     881624209     6,943    123,577 SH       SOLE           2   123,577        --      --
TEVA PHARMACEUTICAL INDS LTD        EQUITY     881624209       783     13,941 SH       DEFINED        4        --        --  13,941
TEVA PHARMACEUTICAL INDS LTD        EQUITY     881624209       391      6,956 SH       DEFINED        5        --        --   6,956
TEXAS CAP BANCSHARES INC            EQUITY     88224Q107       406     29,091 SH       SOLE           2    29,091        --      --
TEXAS INDS INC                      EQUITY     882491103       811     23,177 SH       SOLE           2    23,177        --      --
TEXAS INDUSTRIES, INC.              EQUITY     882491103       521     14,888 SH       SOLE           1    14,888        --      --





                                                                                            
TEXAS INSTRS INC                    EQUITY     882508104    13,786    529,056 SH       SOLE           2   529,056        --      --
TEXAS INSTRS INC                    EQUITY     882508104         4        137 SH       DEFINED        4        --        --     137
TEXAS INSTRS INC                    EQUITY     882508104       241      9,243 SH       DEFINED        5        --        --   9,243
TEXAS INSTRUMENTS, INC.             EQUITY     882508104    15,970    612,804 SH       SOLE           1   612,804        --      --
TEXAS ROADHOUSE INC                 EQUITY     882681109       540     48,056 SH       SOLE           2    48,056        --      --
TEXAS ROADHOUSE INC                 EQUITY     882681109        13      1,184 SH       DEFINED        4        --        --   1,184
TEXAS ROADHOUSE INC-CLASS A         EQUITY     882681109       305     27,160 SH       SOLE           1    27,160        --      --
TEXTAINER GROUP HOLDING LT          EQUITY     G8766E109       127      7,491 SH       SOLE           2     7,491        --      --
TEXTRON FINANCIAL CORP              EQUITY     883203101        20      1,051 SH       SOLE           1     1,051        --      --
TEXTRON INC                         EQUITY     883203101     1,832     97,406 SH       SOLE           2    97,406        --      --
TEXTRON INC                         EQUITY     883203101        63      3,365 SH       DEFINED        4        --        --   3,365
TEXTRON INC                         EQUITY     883203101        54      2,844 SH       DEFINED        5        --        --   2,844
TFS FINL CORP                       EQUITY     87240R107        27      2,252 SH       SOLE           2     2,252        --      --
THE HERSHEY COMPANY                 EQUITY     427866108     9,115    254,668 SH       SOLE           1   254,668        --      --
THERAGENICS CORP                    EQUITY     883375107         6      4,718 SH       SOLE           2     4,718        --      --
THERAGENICS CORP.                   EQUITY     883375107        24     17,879 SH       SOLE           1    17,879        --      --
THERAVANCE INC                      EQUITY     88338T104       569     43,523 SH       SOLE           2    43,523        --      --
THERMO FISHER CORP                  EQUITY     883556102     2,282     47,859 SH       SOLE           1    47,859        --      --
THERMO FISHER SCIENTIFIC I          EQUITY     883556102    29,030    608,685 SH       SOLE           2   608,685        --      --
THERMO FISHER SCIENTIFIC INC        EQUITY     883556102         7        150 SH       DEFINED        4        --        --     150
THERMO FISHER SCIENTIFIC INC        EQUITY     883556102       266      5,583 SH       DEFINED        5        --        --   5,583
THOMAS & BETTS CORP.                EQUITY     884315102       370     10,329 SH       SOLE           1    10,329        --      --
THOMAS + BETTS CORP                 EQUITY     884315102     4,237    118,372 SH       SOLE           2   118,372        --      --
THOMAS WEISEL PARTNERS GRO          EQUITY     884481102        64     16,948 SH       SOLE           2    16,948        --      --
THOMAS WEISEL PARTNERS GROUP INC    EQUITY     884481102       142     37,661 SH       SOLE           1    37,661        --      --
THOMPSON CREEK METALS CO INC        EQUITY     884768102       260     22,111 SH       OTHER          1        --    22,111      --
THOMSON REUTERS CORP                EQUITY     884903105       406     12,517 SH       OTHER          1        --    12,517      --
THOR INDS INC                       EQUITY     885160101     2,516     80,125 SH       SOLE           2    80,125        --      --
THORATEC CORP                       EQUITY     885175307     4,658    173,023 SH       SOLE           2   173,023        --      --
THQ INC                             EQUITY     872443403       182     36,069 SH       SOLE           1    36,069        --      --
TIANYIN PHARMACEUTICAL CO IN        EQUITY     88630M104        42      9,951 SH       DEFINED        5        --        --   9,951
TIBCO SOFTWARE INC                  EQUITY     88632Q103     1,381    143,375 SH       SOLE           2   143,375        --      --
TICC CAP CORP                       EQUITY     87244T109       131     21,716 SH       SOLE           2    21,716        --      --
TICKETMASTER ENTERTAINMENT          EQUITY     88633P302       441     36,089 SH       SOLE           2    36,089        --      --
TICKETMASTER ENTERTAINMENT INC      EQUITY     88633P302       245     20,041 SH       SOLE           1    20,041        --      --
TIDEWATER INC                       EQUITY     886423102     5,612    117,037 SH       SOLE           2   117,037        --      --
TIDEWATER INC                       EQUITY     886423102         2         41 SH       DEFINED        5        --        --      41
TIDEWATER, INC.                     EQUITY     886423102     1,959     40,861 SH       SOLE           1    40,861        --      --
TIER TECHNOLOGIES INC               EQUITY     88650Q100       107     13,313 SH       SOLE           2    13,313        --      --
TIFFANY & CO NEW                    EQUITY     886547108        69      1,598 SH       DEFINED        5        --        --   1,598
TIFFANY & CO.                       EQUITY     886547108       108      2,507 SH       SOLE           1     2,507        --      --
TIFFANY + CO NEW                    EQUITY     886547108     1,870     43,462 SH       SOLE           2    43,462        --      --
TIM HORTONS INC                     EQUITY     88706M103         6        200 SH       DEFINED        4        --        --     200
TIM HORTONS INC                     EQUITY     88706M103        55      1,807 SH       DEFINED        5        --        --   1,807
TIM HORTONS INC - CAD               EQUITY     88706M103    20,249    660,980 SH       OTHER          1        --   660,980      --
TIMBERLAND CO                       EQUITY     887100105     2,411    134,466 SH       SOLE           2   134,466        --      --
TIME WARNER CABLE INC               EQUITY     88732J207     2,637     63,719 SH       SOLE           1    63,719        --      --
TIME WARNER CABLE INC               EQUITY     88732J207     6,606    159,601 SH       SOLE           2   159,601        --      --
TIME WARNER CABLE INC               EQUITY     88732J207         8        205 SH       DEFINED        4        --        --     205
TIME WARNER CABLE INC               EQUITY     88732J207        21        513 SH       DEFINED        5        --        --     513
TIME WARNER INC                     EQUITY     887317303    15,008    515,023 SH       SOLE           1   515,023        --      --
TIME WARNER INC                     EQUITY     887317303    15,307    525,305 SH       SOLE           2   525,305        --      --
TIME WARNER INC                     EQUITY     887317303        22        767 SH       DEFINED        4        --        --     767
TIME WARNER INC                     EQUITY     887317303        59      2,010 SH       DEFINED        5        --        --   2,010
TIMKEN CO                           EQUITY     887389104     4,272    180,162 SH       SOLE           2   180,162        --      --
TITAN INTL INC ILL                  EQUITY     88830M102     2,055    253,450 SH       SOLE           2   253,450        --      --
TITAN MACHY INC                     EQUITY     88830R101       122     10,578 SH       SOLE           2    10,578        --      --
TITANIUM METALS CORP                EQUITY     888339207       794     63,399 SH       SOLE           2    63,399        --      --
TITANIUM METALS CORP                EQUITY     888339207         4        300 SH       DEFINED        5        --        --     300
TITANIUM METALS CORPORATION         EQUITY     888339207        21      1,716 SH       SOLE           1     1,716        --      --
TIVO INC                            EQUITY     888706108       914     89,778 SH       SOLE           2    89,778        --      --
TJX COMPANIES, INC.                 EQUITY     872540109     2,119     57,984 SH       SOLE           1    57,984        --      --
TJX COS INC NEW                     EQUITY     872540109     6,063    165,824 SH       SOLE           2   165,824        --      --
TJX COS INC NEW                     EQUITY     872540109        16        450 SH       DEFINED        5        --        --     450
TNS INC                             EQUITY     872960109       552     21,500 SH       SOLE           1    21,500        --      --
TNS INC                             EQUITY     872960109       529     20,582 SH       SOLE           2    20,582        --      --
TNS INC                             EQUITY     872960109       136      5,300 SH       SOLE           3     5,300        --      --
TODD SHIPYARDS CORP                 EQUITY     889039103        79      4,710 SH       SOLE           2     4,710        --      --
TOLL BROS INC                       EQUITY     889478103     5,839    310,426 SH       SOLE           2   310,426        --      --
TOLL BROTHERS INC                   EQUITY     889478103         2        106 SH       DEFINED        5        --        --     106
TOLLGRADE COMMUNICATIONS I          EQUITY     889542106        11      1,779 SH       SOLE           2     1,779        --      --
TOLLGRADE COMMUNICATIONS INC        EQUITY     889542106        42      6,814 SH       SOLE           1     6,814        --      --
TOMKINS PLC                         EQUITY     890030208         2        200 SH       DEFINED        5        --        --     200
TOMOTHERAPY INC                     EQUITY     890088107       147     37,653 SH       SOLE           2    37,653        --      --
TOMPKINS FINANCIAL CORP             EQUITY     890110109       151      3,733 SH       SOLE           1     3,733        --      --
TOMPKINS FINANCIAL CORP             EQUITY     890110109       313      7,725 SH       SOLE           2     7,725        --      --
TOOTSIE ROLL INDS INC               EQUITY     890516107     2,148     78,434 SH       SOLE           2    78,434        --      --
TORCHMARK CORP                      EQUITY     891027104         2         52 SH       DEFINED        4        --        --      52
TORCHMARK CORP                      EQUITY     891027104         4         94 SH       DEFINED        5        --        --      94
TORCHMARK CORP.                     EQUITY     891027104        74      1,676 SH       SOLE           1     1,676        --      --
TORCHMARK INC                       EQUITY     891027104     1,427     32,461 SH       SOLE           2    32,461        --      --
TOREADOR RES CORP                   EQUITY     891050106       174     17,557 SH       SOLE           2    17,557        --      --
TOREADOR RES CORP                   EQUITY     891050106         2        200 SH       DEFINED        5        --        --     200
TORM A/S                            EQUITY     891072100         5        500 SH       DEFINED        5        --        --     500
TORO CO                             EQUITY     891092108       231      5,515 SH       SOLE           2     5,515        --      --
TORO CO.                            EQUITY     891092108       763     18,242 SH       SOLE           1    18,242        --      --
TORONTO DOMINION BK                 EQUITY     891160509    36,488    579,304 SH       OTHER          1        --   579,304      --
TORONTO DOMINION BK ONT             EQUITY     891160509        26        414 SH       DEFINED        5        --        --     414
TORTOISE ENERGY INFRSTRCTR C        EQUITY     89147L100         3        100 SH       DEFINED        5        --        --     100
TOTAL S A                           EQUITY   8.9151E+113         2         28 SH       DEFINED        4        --        --      28
TOTAL S A                           EQUITY   8.9151E+113        79      1,230 SH       DEFINED        5        --        --   1,230
TOTAL SYS SVCS INC                  EQUITY     891906109     1,184     68,522 SH       SOLE           2    68,522        --      --
TOTAL SYS SVCS INC                  EQUITY     891906109         4        235 SH       DEFINED        4        --        --     235
TOTAL SYSTEM SERVICE                EQUITY     891906109        69      3,981 SH       SOLE           1     3,981        --      --
TOWER BANCORP INC                   EQUITY     891709107        89      3,893 SH       SOLE           2     3,893        --      --
TOWER GROUP INC                     EQUITY     891777104       557     23,779 SH       SOLE           1    23,779        --      --
TOWER GROUP INC                     EQUITY     891777104       998     42,644 SH       SOLE           2    42,644        --      --
TOWN SPORTS INTL HLDGS INC          EQUITY     89214A102        37     15,835 SH       SOLE           2    15,835        --      --
TOWNEBANK PORTSMOUTH VA             EQUITY     89214P109       200     17,158 SH       SOLE           2    17,158        --      --
TOYOTA MOTOR CORP                   EQUITY     892331307        55        655 SH       DEFINED        4        --        --     655
TOYOTA MOTOR CORP                   EQUITY     892331307        24        291 SH       DEFINED        5        --        --     291
TRACTOR SUPPLY CO                   EQUITY     892356106     1,018     19,222 SH       SOLE           1    19,222        --      --
TRACTOR SUPPLY CO                   EQUITY     892356106     1,822     34,396 SH       SOLE           2    34,396        --      --
TRACTOR SUPPLY CO                   EQUITY     892356106        55      1,040 SH       DEFINED        4        --        --   1,040
TRADESTATION GROUP INC              EQUITY     89267P105       138     17,507 SH       SOLE           1    17,507        --      --





                                                                                            
TRADESTATION GROUP INC              EQUITY     89267P105       251     31,862 SH       SOLE           2    31,862        --      --
TRANS1 INC                          EQUITY     89385X105        42     10,715 SH       SOLE           2    10,715        --      --
TRANSALTA CORP                      EQUITY     89346D107       177      7,897 SH       OTHER          1        --     7,897      --
TRANSATLANTIC HLDGS INC             EQUITY     893521104   479,030  9,192,663 SH       SOLE           1 9,192,663        --      --
TRANSATLANTIC HLDGS INC             EQUITY     893521104        39        749 SH       SOLE           2       749        --      --
TRANSATLANTIC HLDGS INC             EQUITY     893521104         5         97 SH       DEFINED        5        --        --      97
TRANSATLANTIC PETROLEUM LTD         EQUITY     G89982105        51     15,000 SH       DEFINED        4        --        --  15,000
TRANSCANADA CORP                    EQUITY     89353D107     2,580     74,681 SH       OTHER          1        --    74,681      --
TRANSCANADA CORP                    EQUITY     89353D107         7        200 SH       DEFINED        4        --        --     200
TRANSCANADA CORP                    EQUITY     89353D107        53      1,538 SH       DEFINED        5        --        --   1,538
TRANSCEND SVCS INC                  EQUITY     893929208       109      5,119 SH       SOLE           2     5,119        --      --
TRANSCONTINENTAL RLTY INVS          EQUITY     893617209        13      1,120 SH       SOLE           2     1,120        --      --
TRANSCONTINENTAL RLTY INVS          EQUITY     893617209         3        222 SH       DEFINED        4        --        --     222
TRANSDIGM GROUP INC                 EQUITY     893641100        37        789 SH       SOLE           2       789        --      --
TRANSDIGM GROUP INC                 EQUITY     893641100       485     10,210 SH       DEFINED        5        --        --  10,210
TRANSOCEAN INC                      FIXED
                                      INCOME   893830AW9        24         25 PRN      DEFINED        4        --        --      25
TRANSOCEAN LTD                      EQUITY     H8817H100        44        536 SH       DEFINED        4        --        --     536
TRANSOCEAN LTD                      EQUITY     H8817H100       378      4,568 SH       DEFINED        5        --        --   4,568
TRANSOCEAN LTD ZUG                  EQUITY     H8817H100    19,417    234,509 SH       SOLE           2   234,509        --      --
TRAVELERS COMPANIES INC             EQUITY   8.9417E+113        13        255 SH       DEFINED        4        --        --     255
TRAVELERS COMPANIES INC             EQUITY   8.9417E+113        34        689 SH       DEFINED        5        --        --     689
TRAVELERS COS INC                   EQUITY   8.9417E+113    13,336    267,476 SH       SOLE           2   267,476        --      --
TRAVELERS COS INC/THE               EQUITY   8.9417E+113    16,380    328,510 SH       SOLE           1   328,510        --      --
TRAVELZOO INC                       EQUITY     89421Q106        56      4,526 SH       SOLE           2     4,526        --      --
TREDEGAR CORP.                      EQUITY     894650100       184     11,639 SH       SOLE           1    11,639        --      --
TREDEGAR INDS INC                   EQUITY     894650100       430     27,181 SH       SOLE           2    27,181        --      --
TREE COM INC                        EQUITY     894675107        48      5,229 SH       SOLE           2     5,229        --      --
TREEHOUSE FOODS INC                 EQUITY     89469A104         1         34 SH       DEFINED        4        --        --      34
TREEHOUSE FOODS INC                 EQUITY     89469A104       657     16,896 SH       SOLE           1    16,896        --      --
TREEHOUSE FOODS INC                 EQUITY     89469A104     1,176     30,257 SH       SOLE           2    30,257        --      --
TREX INC                            EQUITY     89531P105       247     12,584 SH       SOLE           2    12,584        --      --
TRI CONTL CORP                      EQUITY     895436103        53      4,620 SH       DEFINED        5        --        --   4,620
TRIANGLE CAP CORP                   EQUITY     895848109         1        110 SH       DEFINED        4        --        --     110
TRIANGLE CAP CORP                   EQUITY     895848109       104      8,603 SH       SOLE           2     8,603        --      --
TRICO BANCSHARES                    EQUITY     896095106       189     11,371 SH       SOLE           2    11,371        --      --
TRICO MARINE SERVICES INC           EQUITY     896106200       503    110,697 SH       SOLE           1   110,697        --      --
TRIDENT MICROSYSTEMS INC            EQUITY     895919108        96     51,401 SH       SOLE           2    51,401        --      --
TRIMAS CORP                         EQUITY     896215209        85     12,562 SH       SOLE           2    12,562        --      --
TRIMBLE NAVIGATION LTD              EQUITY     896239100     6,838    271,339 SH       SOLE           2   271,339        --      --
TRIMBLE NAVIGATION LTD              EQUITY     896239100       216      8,585 SH       DEFINED        5        --        --   8,585
TRINA SOLAR LIMITED                 EQUITY   8.9628E+108        27        500 SH       DEFINED        5        --        --     500
TRINITY INDS INC                    EQUITY     896522109     3,128    179,357 SH       SOLE           2   179,357        --      --
TRINITY INDS INC                    EQUITY     896522109        21      1,213 SH       DEFINED        4        --        --   1,213
TRINITY INDS INC                    EQUITY     896522109        24      1,385 SH       DEFINED        5        --        --   1,385
TRINITY INDUSTRIES, INC.            EQUITY     896522109       151      8,634 SH       SOLE           1     8,634        --      --
TRIPLE S MGMT CORP                  EQUITY     896749108       295     16,775 SH       SOLE           2    16,775        --      --
TRIPLE-S MGMT CORP                  EQUITY     896749108         4        200 SH       DEFINED        5        --        --     200
TRIQUINT SEMICONDUCTOR INC          EQUITY     89674K103       850    141,745 SH       SOLE           2   141,745        --      --
TRIQUINT SEMICONDUCTOR INC          EQUITY     89674K103         6      1,000 SH       DEFINED        4        --        --   1,000
TRIQUINT SEMICONDUCTOR, INC.        EQUITY     89674K103       483     80,508 SH       SOLE           1    80,508        --      --
TRIUMPH GROUP INC NEW               EQUITY     896818101       770     15,955 SH       SOLE           2    15,955        --      --
TRIUMPH GROUP INC NEW               EQUITY     896818101         7        153 SH       DEFINED        5        --        --     153
TRIUMPH GROUP, INC.                 EQUITY     896818101       428      8,870 SH       SOLE           1     8,870        --      --
TRUE RELIGION APPAREL INC           EQUITY     89784N104       734     39,713 SH       SOLE           1    39,713        --      --
TRUE RELIGION APPAREL INC           EQUITY     89784N104       564     30,500 SH       SOLE           3    30,500        --      --
TRUE RELIGION APPL                  EQUITY     89784N104       449     24,260 SH       SOLE           2    24,260        --      --
TRUEBLUE INC                        EQUITY     89785X101       348     23,514 SH       SOLE           1    23,514        --      --
TRUEBLUE INC                        EQUITY     89785X101       621     41,929 SH       SOLE           2    41,929        --      --
TRUSTCO BANK CORP. NY               EQUITY     898349105       258     40,932 SH       SOLE           1    40,932        --      --
TRUSTCO BK CORP N Y                 EQUITY     898349105       460     73,033 SH       SOLE           2    73,033        --      --
TRUSTMARK CORP                      EQUITY     898402102     3,992    177,097 SH       SOLE           2   177,097        --      --
TRW AUTOMOTIVE HLDGS CORP           EQUITY     87264S106        36      1,492 SH       SOLE           2     1,492        --      --
TTM TECHNOLOGIES                    EQUITY     87305R109       476     41,284 SH       SOLE           2    41,284        --      --
TTM TECHONOLOGIES                   EQUITY     87305R109       263     22,845 SH       SOLE           1    22,845        --      --
TUESDAY MORNING CORP                EQUITY     899035505        75     28,876 SH       SOLE           2    28,876        --      --
TUESDAY MORNING CORP                EQUITY     899035505        18      6,850 SH       DEFINED        5        --        --   6,850
TUESDAY MORNING CORPORATION         EQUITY     899035505        43     16,785 SH       SOLE           1    16,785        --      --
TUPPERWARE BRANDS CORP              EQUITY     899896104     8,995    193,150 SH       SOLE           2   193,150        --      --
TUPPERWARE BRANDS CORP              EQUITY     899896104         5        100 SH       DEFINED        5        --        --     100
TURKCELL ILETISIM HIZMETLERI        EQUITY     900111204         7        376 SH       DEFINED        5        --        --     376
TUTOR PERINI CORP                   EQUITY     901109108       380     21,044 SH       SOLE           2    21,044        --      --
TW TELECOM INC                      EQUITY     87311L104     5,781    337,258 SH       SOLE           2   337,258        --      --
TWIN DISC INC                       EQUITY     901476101        73      6,946 SH       SOLE           2     6,946        --      --
TYCO ELECTRONICS LTD SWITZER        EQUITY     H8912P106         5        188 SH       DEFINED        4        --        --     188
TYCO ELECTRONICS LTD SWITZER        EQUITY     H8912P106         8        324 SH       DEFINED        5        --        --     324
TYCO INTERNATIONAL LTD              EQUITY     H89128104        13        353 SH       DEFINED        4        --        --     353
TYCO INTERNATIONAL LTD              EQUITY     H89128104        11        299 SH       DEFINED        5        --        --     299
TYLER TECHNOLOGIES INC              EQUITY     902252105     1,297     65,167 SH       SOLE           1    65,167        --      --
TYLER TECHNOLOGIES INC              EQUITY     902252105       585     29,394 SH       SOLE           2    29,394        --      --
TYLER TECHNOLOGIES INC              EQUITY     902252105     1,098     55,152 SH       SOLE           3    55,152        --      --
TYSON FOODS INC (DEL)               EQUITY     902494103     1,343    109,422 SH       SOLE           2   109,422        --      --
TYSON FOODS, INC. CLASS A           EQUITY     902494103     2,218    180,790 SH       SOLE           1   180,790        --      --
U S AIRWAYS GROUP INC               EQUITY     90341W108        10      2,000 SH       DEFINED        5        --        --   2,000
U S CONCRETE INC                    EQUITY     90333L102        25     27,116 SH       SOLE           2    27,116        --      --
U S ENERGY CORP WYO                 EQUITY     911805109         6      1,000 SH       DEFINED        4        --        --   1,000
U S G CORP                          EQUITY     903293405        10        729 SH       DEFINED        4        --        --     729
U S G CORP                          EQUITY     903293405        52      3,732 SH       DEFINED        5        --        --   3,732
U S GEOTHERMAL INC                  EQUITY     90338S102        78     50,672 SH       SOLE           2    50,672        --      --
U S GEOTHERMAL INC                  EQUITY     90338S102         2      1,000 SH       DEFINED        5        --        --   1,000
U STORE IT TR                       EQUITY     91274F104       476     65,002 SH       SOLE           2    65,002        --      --
U.S. BANCORP, INC.                  EQUITY     902973304    42,224  1,875,895 SH       SOLE           1 1,875,895        --      --
UAL CORP                            EQUITY     902549807       273     21,141 SH       SOLE           1    21,141        --      --
UAL CORP                            EQUITY     902549807     1,762    136,447 SH       SOLE           2   136,447        --      --
UBS AG                              EQUITY     H89231338         2        116 SH       DEFINED        4        --        --     116
UBS AG                              EQUITY     H89231338        28      1,818 SH       DEFINED        5        --        --   1,818
UBS AG JERSEY BRH                   EQUITY     902641786        27      1,463 SH       DEFINED        4        --        --   1,463
UDR INC                             EQUITY     902653104        54      3,310 SH       SOLE           1     3,310        --      --
UDR INC                             EQUITY     902653104     5,684    345,766 SH       SOLE           2   345,766        --      --
UDR INC                             EQUITY     902653104         3        162 SH       DEFINED        4        --        --     162
UGI CORP NEW                        EQUITY     902681105     5,954    246,137 SH       SOLE           2   246,137        --      --
UGI CORP NEW                        EQUITY     902681105         2         97 SH       DEFINED        4        --        --      97
UIL HLDG CORP                       EQUITY     902748102       791     28,162 SH       SOLE           2    28,162        --      --
UIL HLDG CORP                       EQUITY     902748102         5        166 SH       DEFINED        5        --        --     166
UIL HOLDINGS CORP.                  EQUITY     902748102       451     16,064 SH       SOLE           1    16,064        --      --
ULTA SALON COSMETICS + FRA          EQUITY     90384S303       410     22,595 SH       SOLE           2    22,595        --      --





                                                                                            
ULTIMATE SOFTWARE GROUP IN          EQUITY     90385D107       584     19,891 SH       SOLE           2    19,891        --      --
ULTRA PETE CORP                     EQUITY     903914109     1,212     24,300 SH       SOLE           2    24,300        --      --
ULTRA PETROLEUM CORP                EQUITY     903914109       343      6,882 SH       SOLE           1     6,882        --      --
ULTRA PETROLEUM CORP                EQUITY     903914109        27        546 SH       DEFINED        5        --        --     546
ULTRALIFE CORP                      EQUITY     903899102        13      2,900 SH       DEFINED        4        --        --   2,900
ULTRALIFE CORP COM                  EQUITY     903899102        43      9,863 SH       SOLE           2     9,863        --      --
ULTRAPETROL BAHAMAS LIMITE          EQUITY     P94398107        84     17,627 SH       SOLE           2    17,627        --      --
ULTRATECH , INC.                    EQUITY     904034105       187     12,630 SH       SOLE           1    12,630        --      --
ULTRATECH INC                       EQUITY     904034105       336     22,607 SH       SOLE           2    22,607        --      --
UMB FINANCIAL CORP.                 EQUITY     902788108       627     15,928 SH       SOLE           1    15,928        --      --
UMB FINL CORP                       EQUITY     902788108     1,200     30,503 SH       SOLE           2    30,503        --      --
UMH PPTYS INC                       EQUITY     903002103        64      7,538 SH       SOLE           2     7,538        --      --
UMPQUA HLDGS CORP                   EQUITY     904214103     1,114     83,078 SH       SOLE           2    83,078        --      --
UMPQUA HLDGS CORP                   EQUITY     904214103        13      1,000 SH       DEFINED        5        --        --   1,000
UMPQUA HOLDINGS CORP                EQUITY     904214103       625     46,578 SH       SOLE           1    46,578        --      --
UNDER ARMOUR INC                    EQUITY     904311107     3,031    111,154 SH       SOLE           2   111,154        --      --
UNDER ARMOUR INC                    EQUITY     904311107        15        549 SH       DEFINED        4        --        --     549
UNICA CORP                          EQUITY     904583101        90     11,612 SH       SOLE           2    11,612        --      --
UNIFI INC                           EQUITY     904677101       141     36,446 SH       SOLE           2    36,446        --      --
UNIFI INC                           EQUITY     904677101         5      1,408 SH       DEFINED        4        --        --   1,408
UNIFIRST CORP                       EQUITY     904708104       652     13,547 SH       SOLE           2    13,547        --      --
UNIFIRST CORP.                      EQUITY     904708104       367      7,633 SH       SOLE           1     7,633        --      --
UNILEVER N V                        EQUITY     904784709        15        450 SH       DEFINED        4        --        --     450
UNILEVER N V                        EQUITY     904784709        20        605 SH       DEFINED        5        --        --     605
UNILEVER PLC                        EQUITY     904767704        15        480 SH       DEFINED        5        --        --     480
UNION BANKSHARES CORP               EQUITY     905399101       186     14,973 SH       SOLE           2    14,973        --      --
UNION DRILLING INC                  EQUITY     90653P105        51      8,153 SH       SOLE           2     8,153        --      --
UNION PAC CORP                      EQUITY     907818108    30,803    481,979 SH       SOLE           2   481,979        --      --
UNION PAC CORP                      EQUITY     907818108        65      1,019 SH       DEFINED        4        --        --   1,019
UNION PAC CORP                      EQUITY     907818108        56        881 SH       DEFINED        5        --        --     881
UNION PACIFIC CORP                  EQUITY     907818108       960     15,026 SH       SOLE           1    15,026        --      --
UNISOURCE ENERGY CORP               EQUITY     909205106         1         43 SH       DEFINED        5        --        --      43
UNISOURCE ENERGY CORP               EQUITY     909205106     1,098     34,111 SH       SOLE           2    34,111        --      --
UNISOURCE ENERGY CORP               EQUITY     909205106         5        140 SH       DEFINED        4        --        --     140
UNISOURCE ENERGY CORP.              EQUITY     909205106       618     19,198 SH       SOLE           1    19,198        --      --
UNISYS CORP                         EQUITY     909214306     1,332     34,536 SH       SOLE           2    34,536        --      --
UNIT CORP                           EQUITY     909218109     3,886     91,429 SH       SOLE           2    91,429        --      --
UNIT CORP.                          EQUITY     909218109       227      5,346 SH       SOLE           1     5,346        --      --
UNITED AMER INDTY LTD               EQUITY     90933T109       237     29,961 SH       SOLE           2    29,961        --      --
UNITED BANKSHARES INC W VA          EQUITY     909907107       730     36,561 SH       SOLE           2    36,561        --      --
UNITED BANKSHARES INC. WV           EQUITY     909907107       410     20,510 SH       SOLE           1    20,510        --      --
UNITED CAP CORP                     EQUITY     909912107        37      1,571 SH       SOLE           2     1,571        --      --
UNITED CMNTY BKS BLAIR              EQUITY     90984P105       150     44,371 SH       SOLE           1    44,371        --      --
UNITED CMNTY BKS BLAIRSVLE G        EQUITY     90984P105         5      1,549 SH       DEFINED        4        --        --   1,549
UNITED CMNTY BKS INC BLAIR          EQUITY     90984P105       267     78,654 SH       SOLE           2    78,654        --      --
UNITED FINL BANCORP INC MD          EQUITY     91030T109       176     13,425 SH       SOLE           2    13,425        --      --
UNITED FIRE   CAS CO                EQUITY     910331107       387     21,236 SH       SOLE           2    21,236        --      --
UNITED FIRE & CASUALTY CO.          EQUITY     910331107       219     11,990 SH       SOLE           1    11,990        --      --
UNITED MICROELECTRONICS CORP        EQUITY     910873405         3        692 SH       DEFINED        4        --        --     692
UNITED NAT FOODS INC                EQUITY     911163103     1,100     41,149 SH       SOLE           2    41,149        --      --
UNITED NAT FOODS INC                EQUITY     911163103         8        300 SH       DEFINED        4        --        --     300
UNITED NATURAL FOODS, INC.          EQUITY     911163103       621     23,207 SH       SOLE           1    23,207        --      --
UNITED ONLINE INC                   EQUITY     911268100       325     45,178 SH       SOLE           1    45,178        --      --
UNITED ONLINE INC                   EQUITY     911268100       576     80,158 SH       SOLE           2    80,158        --      --
UNITED PARCEL SERVICE CLASS -B      EQUITY     911312106    76,738  1,337,283 SH       SOLE           1 1,337,283        --      --
UNITED PARCEL SERVICE CLASS -B      EQUITY     911312106     3,241     56,500 SH       SOLE           3    56,500        --      --
UNITED PARCEL SERVICE INC           EQUITY     911312106        78      1,360 SH       DEFINED        4        --        --   1,360
UNITED PARCEL SERVICE INC           EQUITY     911312106     2,276     39,664 SH       DEFINED        5        --        --  39,664
UNITED PARCEL SVC INC               EQUITY     911312106    18,798    327,546 SH       SOLE           2   327,546        --      --
UNITED RENTALS INC                  EQUITY     911363109     6,022    613,813 SH       SOLE           2   613,813        --      --
UNITED RENTALS INC                  EQUITY     911363109         3        275 SH       DEFINED        4        --        --     275
UNITED SEC BANCSHARES INC           EQUITY     911459105        84      4,916 SH       SOLE           2     4,916        --      --
UNITED STATES CELLULAR COR          EQUITY     911684108        18        423 SH       SOLE           2       423        --      --
UNITED STATES LIME + MINER          EQUITY     911922102        52      1,494 SH       SOLE           2     1,494        --      --
UNITED STATES NATL GAS FUND         EQUITY     912318102       240     23,843 SH       DEFINED        4        --        --  23,843
UNITED STATES NATL GAS FUND         EQUITY     912318102       333     33,079 SH       DEFINED        5        --        --  33,079
UNITED STATES NATURAL GAS           EQUITY     912318102     8,810    874,000 SH       SOLE           2   874,000        --      --
UNITED STATES OIL FUND LP           EQUITY     91232N108        67      1,698 SH       DEFINED        4        --        --   1,698
UNITED STATES OIL FUND LP           EQUITY     91232N108        72      1,837 SH       DEFINED        5        --        --   1,837
UNITED STATES STEEL CORP            EQUITY     912909108       159      2,891 SH       SOLE           1     2,891        --      --
UNITED STATES STL CORP NEW          EQUITY     912909108         2         37 SH       DEFINED        4        --        --      37
UNITED STATES STL CORP NEW          EQUITY     912909108       633     11,482 SH       DEFINED        5        --        --  11,482
UNITED STATIONERS INC               EQUITY     913004107     1,292     22,721 SH       SOLE           2    22,721        --      --
UNITED STATIONERS, INC.             EQUITY     913004107       729     12,818 SH       SOLE           1    12,818        --      --
UNITED STS GASOLINE FD LP           EQUITY     91201T102        27        750 SH       DEFINED        4        --        --     750
UNITED STS HEATING OIL FD LP        EQUITY     91204P107        14        497 SH       DEFINED        4        --        --     497
UNITED STS STL CORP NEW             EQUITY     912909108     2,840     51,528 SH       SOLE           2    51,528        --      --
UNITED TECHNOLOGIES CORP            EQUITY     913017109    45,595    656,643 SH       SOLE           2   656,643        --      --
UNITED TECHNOLOGIES CORP            EQUITY     913017109       211      3,047 SH       DEFINED        4        --        --   3,047
UNITED TECHNOLOGIES CORP            EQUITY     913017109       625      9,006 SH       DEFINED        5        --        --   9,006
UNITED TECHNOLOGIES CORP.           EQUITY     913017109     9,312    134,165 SH       SOLE           1   134,165        --      --
UNITED THERAPEUTICS CORP D          EQUITY     91307C102     5,618    106,704 SH       SOLE           2   106,704        --      --
UNITEDHEALTH GROUP INC              EQUITY     91324P102    16,681    547,282 SH       SOLE           1   547,282        --      --
UNITEDHEALTH GROUP INC              EQUITY     91324P102    27,866    914,054 SH       SOLE           2   914,054        --      --
UNITEDHEALTH GROUP INC              EQUITY     91324P102       161      5,274 SH       DEFINED        4        --        --   5,274
UNITEDHEALTH GROUP INC              EQUITY     91324P102        82      2,681 SH       DEFINED        5        --        --   2,681
UNITIL CORP                         EQUITY     913259107       197      8,588 SH       SOLE           2     8,588        --      --
UNITRIN INC                         EQUITY     913275103     2,482    112,580 SH       SOLE           2   112,580        --      --
UNIVERSAL AMERN FINL CORP           EQUITY     913377107       258     22,087 SH       SOLE           2    22,087        --      --
UNIVERSAL CORP VA                   EQUITY     913456109     3,444     75,520 SH       SOLE           2    75,520        --      --
UNIVERSAL CORP.                     EQUITY     913456109       228      5,000 SH       SOLE           1     5,000        --      --
UNIVERSAL DISPLAY CORP              EQUITY     91347P105       295     23,869 SH       SOLE           2    23,869        --      --
UNIVERSAL ELECTRONICS INC.          EQUITY     913483103       168      7,246 SH       SOLE           1     7,246        --      --
UNIVERSAL ELECTRS INC               EQUITY     913483103       303     13,047 SH       SOLE           2    13,047        --      --
UNIVERSAL ELECTRS INC               EQUITY     913483103         2        100 SH       DEFINED        4        --        --     100
UNIVERSAL FOREST PRODUCTS, INC      EQUITY     913543104       382     10,389 SH       SOLE           1    10,389        --      --
UNIVERSAL FST PRODS INC             EQUITY     913543104       677     18,385 SH       SOLE           2    18,385        --      --
UNIVERSAL HEALTH RLTY INCM T        EQUITY   9.1359E+109        27        858 SH       DEFINED        5        --        --     858
UNIVERSAL HEALTH RLTY INCO          EQUITY   9.1359E+109     3,780    118,000 SH       SOLE           2   118,000        --      --
UNIVERSAL HEALTH SVCS INC           EQUITY     913903100     8,467    277,621 SH       SOLE           2   277,621        --      --
UNIVERSAL HLTH SVCS INC             EQUITY     913903100        24        800 SH       DEFINED        5        --        --     800
UNIVERSAL INS HLDGS INC             EQUITY     91359V107        63     10,787 SH       SOLE           2    10,787        --      --
UNIVERSAL STAINLESS + ALLO          EQUITY     913837100       104      5,499 SH       SOLE           2     5,499        --      --
UNIVERSAL TECHNICAL INST I          EQUITY     913915104       383     18,978 SH       SOLE           2    18,978        --      --
UNIVERSAL TECHNICAL INSTITUT        EQUITY     913915104       218     10,799 SH       SOLE           1    10,799        --      --





                                                                                            
UNIVERSAL TRAVEL GROUP              EQUITY     91388Q202        83      8,193 SH       SOLE           2     8,193        --      --
UNIVERSAL TRUCKLOAD SVCS I          EQUITY     91388P105        86      4,777 SH       SOLE           2     4,777        --      --
UNIVEST CORP PA                     EQUITY     915271100       235     13,431 SH       SOLE           2    13,431        --      --
UNUM GROUP                          EQUITY     91529Y106     5,975    306,100 SH       SOLE           1   306,100        --      --
UNUM GROUP                          EQUITY     91529Y106     2,868    146,905 SH       SOLE           2   146,905        --      --
UNUM GROUP                          EQUITY     91529Y106         3        160 SH       DEFINED        4        --        --     160
UNUM GROUP                          EQUITY     91529Y106         4        181 SH       DEFINED        5        --        --     181
UQM TECHNOLOGIES INC                EQUITY     903213106        27      4,000 SH       DEFINED        5        --        --   4,000
URANERZ ENERGY CORP                 EQUITY     91688T104     1,745  1,342,579 SH       SOLE           2 1,342,579        --      --
URANIUM ENERGY COORP                EQUITY     916896103       174     45,937 SH       SOLE           2    45,937        --      --
URBAN OUTFITTERS INC                EQUITY     917047102    10,569    302,047 SH       SOLE           2   302,047        --      --
URBAN OUTFITTERS, INC.              EQUITY     917047102     2,638     75,400 SH       SOLE           3    75,400        --      --
URS CORP NEW                        EQUITY     903236107     8,448    189,758 SH       SOLE           2   189,758        --      --
URS CORP NEW                        EQUITY     903236107         6        140 SH       DEFINED        5        --        --     140
URS CORP.                           EQUITY     903236107     1,354     30,408 SH       SOLE           1    30,408        --      --
URSTADT BIDDLE [A]                  EQUITY     917286205       175     11,434 SH       SOLE           1    11,434        --      --
URSTADT BIDDLE PPTYS INC            EQUITY     917286205       300     19,674 SH       SOLE           2    19,674        --      --
US AUTO PARTS NETWORK INC           EQUITY     90343C100        42      8,045 SH       SOLE           2     8,045        --      --
US AWYS GROUP INC                   EQUITY     90341W108       637    131,551 SH       SOLE           2   131,551        --      --
US BANCORP DEL                      EQUITY     902973304    17,993    799,343 SH       SOLE           2   799,343        --      --
US BANCORP DEL                      EQUITY     902973304       129      5,738 SH       DEFINED        4        --        --   5,738
US BANCORP DEL                      EQUITY     902973304       107      4,745 SH       DEFINED        5        --        --   4,745
US GLOBAL INVS INC                  EQUITY     902952100       129     10,502 SH       SOLE           2    10,502        --      --
US GOLD CORP                        EQUITY     912023207     5,937  2,393,767 SH       SOLE           2 2,393,767        --      --
US PHYSICAL THERAPY INC             EQUITY     90337L108       161      9,489 SH       SOLE           2     9,489        --      --
USA MOBILITY INC                    EQUITY     90341G103       133     12,076 SH       SOLE           1    12,076        --      --
USA MOBILITY INC                    EQUITY     90341G103       238     21,636 SH       SOLE           2    21,636        --      --
USA MOBILITY INC                    EQUITY     90341G103         3        297 SH       DEFINED        4        --        --     297
USA TRUCK INC                       EQUITY     902925106        80      6,350 SH       SOLE           2     6,350        --      --
USANA HEALTH SCIENCES               EQUITY     90328M107       163      5,116 SH       SOLE           2     5,116        --      --
USEC INC                            EQUITY   9.0333E+112       353     91,773 SH       SOLE           2    91,773        --      --
USEC INC                            EQUITY   9.0333E+112        40     10,500 SH       DEFINED        4        --        --  10,500
USEC INC                            EQUITY   9.0333E+112        87     22,500 SH       DEFINED        5        --        --  22,500
USG CORP                            EQUITY     903293405        16      1,127 SH       SOLE           2     1,127        --      --
U-STORE-IT TRUST                    EQUITY     91274F104         1        167 SH       SOLE           1       167        --      --
UTAH MED PRODS INC                  EQUITY     917488108        77      2,625 SH       SOLE           2     2,625        --      --
UTI WORLDWIDE INC                   EQUITY     G87210103        29      2,054 SH       SOLE           2     2,054        --      --
UTSTARCOM INC                       EQUITY     918076100         1        500 SH       DEFINED        5        --        --     500
UTSTARCOM INC                       EQUITY     918076100       203     92,472 SH       SOLE           2    92,472        --      --
V F CORP                            EQUITY     918204108     3,823     52,183 SH       SOLE           2    52,183        --      --
V F CORP                            EQUITY     918204108         4         60 SH       DEFINED        4        --        --      60
V F CORP                            EQUITY     918204108        25        345 SH       DEFINED        5        --        --     345
V. F. CORP.                         EQUITY     918204108       132      1,797 SH       SOLE           1     1,797        --      --
VAALCO ENERGY INC                   EQUITY     91851C201       217     47,591 SH       SOLE           2    47,591        --      --
VAIL RESORTS INC                    EQUITY     91879Q109       908     24,028 SH       SOLE           2    24,028        --      --
VALASSIS COMMUNICATIONS IN          EQUITY     918866104       717     39,279 SH       SOLE           2    39,279        --      --
VALE S A                            EQUITY   9.1912E+109        98      3,371 SH       DEFINED        4        --        --   3,371
VALE S A                            EQUITY   9.1912E+109        63      2,153 SH       DEFINED        5        --        --   2,153
VALE SA                             EQUITY   9.1912E+109     2,956    101,822 SH       SOLE           1   101,822        --      --
VALEANT PHARMACEUTICALS IN          EQUITY     91911X104     4,837    152,154 SH       SOLE           2   152,154        --      --
VALEANT PHARMACEUTICALS INTE        EQUITY     91911X104       488     15,349 SH       SOLE           1    15,349        --      --
VALEANT PHARMACEUTICALS INTL        EQUITY     91911X104         8        244 SH       DEFINED        4        --        --     244
VALENCE TECHNOLOGY INC              EQUITY     918914102        37     41,011 SH       SOLE           2    41,011        --      --
VALERO ENERGY CORP                  EQUITY     91913Y100     3,134    187,103 SH       SOLE           2   187,103        --      --
VALERO ENERGY CORP NEW              EQUITY     91913Y100       329     19,640 SH       DEFINED        4        --        --  19,640
VALERO ENERGY CORP NEW              EQUITY     91913Y100        46      2,742 SH       DEFINED        5        --        --   2,742
VALERO ENERGY CORP.                 EQUITY     91913Y100       191     11,398 SH       SOLE           1    11,398        --      --
VALHI INC NEW                       EQUITY     918905100         2        151 SH       SOLE           2       151        --      --
VALIDUS HOLDINGS LTD                EQUITY     G9319H102     4,109    152,532 SH       SOLE           2   152,532        --      --
VALLEY NATL BANCORP                 EQUITY     919794107     4,728    334,586 SH       SOLE           2   334,586        --      --
VALMONT INDS INC                    EQUITY     920253101     3,532     45,020 SH       SOLE           2    45,020        --      --
VALSPAR CORP                        EQUITY     920355104     6,191    228,115 SH       SOLE           2   228,115        --      --
VALSPAR CORP                        EQUITY     920355104         2         67 SH       DEFINED        4        --        --      67
VALSPAR CORP                        EQUITY     920355104        27      1,000 SH       DEFINED        5        --        --   1,000
VALUE LINE INC                      EQUITY     920437100        28      1,100 SH       SOLE           2     1,100        --      --
VALUECLICK INC                      EQUITY     92046N102     2,656    262,440 SH       SOLE           2   262,440        --      --
VALUECLICK INC.                     EQUITY     92046N102       193     19,024 SH       SOLE           1    19,024        --      --
VAN KAMPEN ADVANTAGE MUN II         EQUITY     92112K107        36      3,109 SH       DEFINED        5        --        --   3,109
VAN KAMPEN DYNAMIC CR OPPORT        EQUITY     921166104        31      2,600 SH       DEFINED        5        --        --   2,600
VAN KAMPEN MUN TR                   EQUITY     920919107         3        200 SH       DEFINED        4        --        --     200
VAN KAMPEN OHIO QUALITY MUN         EQUITY     920923109        11        756 SH       DEFINED        4        --        --     756
VAN KAMPEN PA VALUE MUN INCO        EQUITY     92112T108        75      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        10      2,314 SH       DEFINED        5        --        --   2,314
VAN KAMPEN TR INVT GRADE MUN        EQUITY     920929106         6        456 SH       DEFINED        4        --        --     456
VANDA PHARMACEUTICALS INC           EQUITY     921659108       245     21,771 SH       SOLE           2    21,771        --      --
VANDA PHARMACEUTICALS INC           EQUITY     921659108       341     30,300 SH       DEFINED        5        --        --  30,300
VANGUARD BD INDEX FD INC            EQUITY     921937819        60        759 SH       DEFINED        4        --        --     759
VANGUARD BD INDEX FD INC            EQUITY     921937827       593      7,455 SH       DEFINED        4        --        --   7,455
VANGUARD BD INDEX FD INC            EQUITY     921937835       985     12,529 SH       DEFINED        4        --        --  12,529
VANGUARD BD INDEX FD INC            EQUITY     921937819        90      1,137 SH       DEFINED        5        --        --   1,137
VANGUARD BD INDEX FD INC            EQUITY     921937835       651      8,284 SH       DEFINED        5        --        --   8,284
VANGUARD BD INDEX FD INC            EQUITY     921937827       865     10,880 SH       DEFINED        5        --        --  10,880
VANGUARD EMERGING MARKETS ETF       EQUITY     922042858    50,911  1,241,740 SH       SOLE           1 1,241,740        --      --
VANGUARD INDEX FDS                  EQUITY     922908769        21        370 SH       DEFINED        4        --        --     370
VANGUARD INDEX FDS                  EQUITY     922908512        33        750 SH       DEFINED        4        --        --     750
VANGUARD INDEX FDS                  EQUITY     922908611        35        645 SH       DEFINED        4        --        --     645
VANGUARD INDEX FDS                  EQUITY     922908629        36        600 SH       DEFINED        4        --        --     600
VANGUARD INDEX FDS                  EQUITY     922908595        37        613 SH       DEFINED        4        --        --     613
VANGUARD INDEX FDS                  EQUITY     922908538        41        839 SH       DEFINED        4        --        --     839
VANGUARD INDEX FDS                  EQUITY     922908553        55      1,224 SH       DEFINED        4        --        --   1,224
VANGUARD INDEX FDS                  EQUITY     922908744        84      1,760 SH       DEFINED        4        --        --   1,760
VANGUARD INDEX FDS                  EQUITY     922908736       119      2,244 SH       DEFINED        4        --        --   2,244
VANGUARD INDEX FDS                  EQUITY     922908637       187      3,684 SH       DEFINED        4        --        --   3,684
VANGUARD INDEX FDS                  EQUITY     922908751     2,517     43,881 SH       DEFINED        4        --        --  43,881
VANGUARD INDEX FDS                  EQUITY     922908637         7        140 SH       DEFINED        5        --        --     140
VANGUARD INDEX FDS                  EQUITY     922908512        22        493 SH       DEFINED        5        --        --     493
VANGUARD INDEX FDS                  EQUITY     922908538        22        457 SH       DEFINED        5        --        --     457
VANGUARD INDEX FDS                  EQUITY     922908595        37        617 SH       DEFINED        5        --        --     617
VANGUARD INDEX FDS                  EQUITY     922908744       100      2,090 SH       DEFINED        5        --        --   2,090
VANGUARD INDEX FDS                  EQUITY     922908629       130      2,164 SH       DEFINED        5        --        --   2,164
VANGUARD INDEX FDS                  EQUITY     922908751       175      3,055 SH       DEFINED        5        --        --   3,055
VANGUARD INDEX FDS                  EQUITY     922908611       202      3,712 SH       DEFINED        5        --        --   3,712
VANGUARD INDEX FDS                  EQUITY     922908736       333      6,268 SH       DEFINED        5        --        --   6,268
VANGUARD INDEX FDS                  EQUITY     922908769       466      8,263 SH       DEFINED        5        --        --   8,263





                                                                                            
VANGUARD INDEX FDS                  EQUITY     922908553       556     12,421 SH       DEFINED        5        --        --  12,421
VANGUARD INTL EQUITY INDEX F        EQUITY     922042866        73      1,416 SH       DEFINED        4        --        --   1,416
VANGUARD INTL EQUITY INDEX F        EQUITY     922042858       277      6,767 SH       DEFINED        4        --        --   6,767
VANGUARD INTL EQUITY INDEX F        EQUITY     922042775     2,234     51,238 SH       DEFINED        4        --        --  51,238
VANGUARD INTL EQUITY INDEX F        EQUITY     922042718        11        130 SH       DEFINED        5        --        --     130
VANGUARD INTL EQUITY INDEX F        EQUITY     922042866        30        579 SH       DEFINED        5        --        --     579
VANGUARD INTL EQUITY INDEX F        EQUITY     922042858        64      1,562 SH       DEFINED        5        --        --   1,562
VANGUARD INTL EQUITY INDEX F        EQUITY     922042874       144      2,961 SH       DEFINED        5        --        --   2,961
VANGUARD INTL EQUITY INDEX F        EQUITY     922042775       659     15,114 SH       DEFINED        5        --        --  15,114
VANGUARD NATURAL RESOURCES L        EQUITY     92205F106         4        200 SH       DEFINED        4        --        --     200
VANGUARD SPECIALIZED PORTFOL        EQUITY     921908844        66      1,405 SH       DEFINED        4        --        --   1,405
VANGUARD SPECIALIZED PORTFOL        EQUITY     921908844       503     10,725 SH       DEFINED        5        --        --  10,725
VANGUARD TAX-MANAGED FD             EQUITY     921943858       438     12,800 SH       DEFINED        4        --        --  12,800
VANGUARD TAX-MANAGED FD             EQUITY     921943858        30        878 SH       DEFINED        5        --        --     878
VANGUARD VALUE ETF                  EQUITY     922908744       437      9,161 SH       SOLE           1     9,161        --      --
VANGUARD WHITEHALL FDS INC          EQUITY     921946406         8        209 SH       DEFINED        4        --        --     209
VANGUARD WHITEHALL FDS INC          EQUITY     921946406        13        342 SH       DEFINED        5        --        --     342
VANGUARD WORLD FD                   EQUITY     921910709         8        100 SH       DEFINED        5        --        --     100
VANGUARD WORLD FDS                  EQUITY     92204A876        15        237 SH       DEFINED        4        --        --     237
VANGUARD WORLD FDS                  EQUITY     92204A603        19        366 SH       DEFINED        4        --        --     366
VANGUARD WORLD FDS                  EQUITY     92204A405        39      1,350 SH       DEFINED        4        --        --   1,350
VANGUARD WORLD FDS                  EQUITY     92204A504        88      1,622 SH       DEFINED        4        --        --   1,622
VANGUARD WORLD FDS                  EQUITY     92204A207        97      1,470 SH       DEFINED        4        --        --   1,470
VANGUARD WORLD FDS                  EQUITY     92204A801         2         36 SH       DEFINED        5        --        --      36
VANGUARD WORLD FDS                  EQUITY     92204A504         3         61 SH       DEFINED        5        --        --      61
VANGUARD WORLD FDS                  EQUITY     92204A207       109      1,666 SH       DEFINED        5        --        --   1,666
VANGUARD WORLD FDS                  EQUITY     92204A306       155      1,863 SH       DEFINED        5        --        --   1,863
VANTAGE DRILLING COMPANY            EQUITY     G93205113        89     55,368 SH       SOLE           2    55,368        --      --
VARIAN INC                          EQUITY     922206107     4,543     88,147 SH       SOLE           2    88,147        --      --
VARIAN INC                          EQUITY     922206107         5        100 SH       DEFINED        4        --        --     100
VARIAN MED SYS INC                  EQUITY     92220P105     2,029     43,279 SH       SOLE           2    43,279        --      --
VARIAN MED SYS INC                  EQUITY     92220P105        47      1,010 SH       DEFINED        5        --        --   1,010
VARIAN MEDICAL SYSTEMS INC          EQUITY     92220P105       117      2,507 SH       SOLE           1     2,507        --      --
VARIAN SEMI EQUIP ASSOC IN          EQUITY     922207105       422     11,759 SH       SOLE           2    11,759        --      --
VARIAN SEMICONDUCTOR EQUIPMENT      EQUITY     922207105     1,407     39,208 SH       SOLE           1    39,208        --      --
VARIAN, INC.                        EQUITY     922206107     5,908    114,637 SH       SOLE           1   114,637        --      --
VASCO DATA SEC INTL INC             EQUITY     92230Y104       137     21,802 SH       SOLE           2    21,802        --      --
VASCO DATA SEC INTL INC             EQUITY     92230Y104         3        550 SH       DEFINED        5        --        --     550
VASCULAR SOLUTIONS INC              EQUITY     92231M109       111     13,218 SH       SOLE           2    13,218        --      --
VCA ANTECH INC                      EQUITY     918194101     4,796    192,436 SH       SOLE           2   192,436        --      --
VCA ANTECH INC                      EQUITY     918194101         2        100 SH       DEFINED        4        --        --     100
VECTOR GROUP LTD                    EQUITY     92240M108       444     31,719 SH       SOLE           2    31,719        --      --
VECTOR GROUP LTD.                   EQUITY     92240M108       458     32,733 SH       SOLE           1    32,733        --      --
VECTREN CORP                        EQUITY     92240G101     4,536    183,800 SH       SOLE           2   183,800        --      --
VEECO INSTRS INC DEL                EQUITY     922417100     1,219     36,884 SH       SOLE           2    36,884        --      --
VEECO INSTRUMENTS, INC.             EQUITY     922417100     1,351     40,887 SH       SOLE           1    40,887        --      --
VEECO INSTRUMENTS, INC.             EQUITY     922417100     2,194     66,400 SH       SOLE           3    66,400        --      --
VENOCO INC                          EQUITY     92275P307       192     14,725 SH       SOLE           2    14,725        --      --
VENOCO INC                          EQUITY     92275P307         7        550 SH       DEFINED        5        --        --     550
VENTAS INC                          EQUITY     92276F100       687     15,714 SH       SOLE           1    15,714        --      --
VENTAS INC                          EQUITY     92276F100     3,199     73,107 SH       SOLE           2    73,107        --      --
VEOLIA ENVIRONNEMENT                EQUITY     92334N103         3        100 SH       DEFINED        4        --        --     100
VEOLIA ENVIRONNEMENT                EQUITY     92334N103        22        674 SH       DEFINED        5        --        --     674
VERENIUM CORP                       EQUITY     92340P209        19      4,332 SH       DEFINED        4        --        --   4,332
VERIFONE HLDGS INC                  EQUITY     92342Y109       965     58,925 SH       SOLE           2    58,925        --      --
VERISIGN INC                        EQUITY   9.2343E+106     3,142    129,588 SH       SOLE           2   129,588        --      --
VERISIGN, INC.                      EQUITY   9.2343E+106     1,001     41,281 SH       SOLE           1    41,281        --      --
VERISK ANALYTICS INC                EQUITY     92345Y106        15        490 SH       DEFINED        5        --        --     490
VERISK ANALYTICS INC CL A           EQUITY     92345Y106        63      2,093 SH       SOLE           2     2,093        --      --
VERIZON COMMUNICATIONS              EQUITY     92343V104    25,584    772,217 SH       SOLE           1   772,217        --      --
VERIZON COMMUNICATIONS              EQUITY     92343V104    44,728  1,350,070 SH       SOLE           2 1,350,070        --      --
VERIZON COMMUNICATIONS INC          EQUITY     92343V104       272      8,201 SH       DEFINED        4        --        --   8,201
VERIZON COMMUNICATIONS INC          EQUITY     92343V104     2,262     68,283 SH       DEFINED        5        --        --  68,283
VERTEX PHARMACEUTICALS INC          EQUITY     92532F100    19,102    445,793 SH       SOLE           2   445,793        --      --
VERTEX PHARMACEUTICALS INC          EQUITY     92532F100        16        368 SH       DEFINED        4        --        --     368
VIACOM INC NEW                      EQUITY     92553P201    12,127    407,842 SH       SOLE           2   407,842        --      --
VIACOM INC NEW                      EQUITY     92553P201        17        580 SH       DEFINED        5        --        --     580
VIACOM INC-CLASS B                  EQUITY     92553P201    11,441    384,825 SH       SOLE           1   384,825        --      --
VIAD CORP                           EQUITY     92552R406       228     11,030 SH       SOLE           1    11,030        --      --
VIAD CORP                           EQUITY     92552R406       406     19,704 SH       SOLE           2    19,704        --      --
VIASAT INC                          EQUITY     92552V100       799     25,151 SH       SOLE           2    25,151        --      --
VIASAT, INC.                        EQUITY     92552V100       472     14,846 SH       SOLE           1    14,846        --      --
VICAL INC                           EQUITY     925602104       115     34,826 SH       SOLE           2    34,826        --      --
VICOR CORP                          EQUITY     925815102       174     18,677 SH       SOLE           2    18,677        --      --
VICOR CORP.                         EQUITY     925815102        97     10,423 SH       SOLE           1    10,423        --      --
VIEWPOINT FINL GROUP                EQUITY     926727108       119      8,288 SH       SOLE           2     8,288        --      --
VILLAGE SUPER MKT INC               EQUITY     927107409       139      5,081 SH       SOLE           2     5,081        --      --
VIRAGE LOGIC CORP                   EQUITY     92763R104        73     13,220 SH       SOLE           2    13,220        --      --
VIRGIN MEDIA INC                    EQUITY     92769L101    24,843  1,471,765 SH       SOLE           1 1,471,765        --      --
VIRGIN MEDIA INC                    EQUITY     92769L101       473     28,126 SH       SOLE           2    28,126        --      --
VIROPHARMA INC                      EQUITY     928241108       349     41,567 SH       SOLE           1    41,567        --      --
VIROPHARMA INC                      EQUITY     928241108       622     74,113 SH       SOLE           2    74,113        --      --
VIROPHARMA INC                      EQUITY     928241108         8        900 SH       DEFINED        4        --        --     900
VIROPHARMA INC                      EQUITY     928241108         2        232 SH       DEFINED        5        --        --     232
VIRTUAL RADIOLOGIC CORP             EQUITY     92826B104        66      5,145 SH       SOLE           2     5,145        --      --
VIRTUS INVT PARTNERS INC            EQUITY     92828Q109        75      4,738 SH       SOLE           2     4,738        --      --
VIRTUSA CORP                        EQUITY     92827P102        98     10,773 SH       SOLE           2    10,773        --      --
VISA INC                            EQUITY     92826C839    43,217    494,081 SH       SOLE           2   494,081        --      --
VISA INC                            EQUITY     92826C839       286      3,271 SH       DEFINED        4        --        --   3,271
VISA INC                            EQUITY     92826C839       614      7,018 SH       DEFINED        5        --        --   7,018
VISA INC-CLASS A SHARES             EQUITY     92826C839     1,186     13,563 SH       SOLE           1    13,563        --      --
VISHAY INTERTECHNOLOGY INC          EQUITY     928298108     8,952  1,072,118 SH       SOLE           2 1,072,118        --      --
VISHAY INTERTECHNOLOGY INC          EQUITY     928298108         3        325 SH       DEFINED        4        --        --     325
VISHAY INTERTECHNOLOGY, INC.        EQUITY     928298108     1,019    122,073 SH       SOLE           1   122,073        --      --
VISTAPRINT N V                      EQUITY     N93540107        41        721 SH       DEFINED        4        --        --     721
VITACOST COM INC                    EQUITY     92847A200     3,049    292,575 SH       SOLE           2   292,575        --      --
VITAL IMAGES INC                    EQUITY     92846N104       149     11,746 SH       SOLE           2    11,746        --      --
VITAMIN SHOPPE INC                  EQUITY   9.2849E+105       165      7,425 SH       SOLE           2     7,425        --      --
VIVO PARTICIPACOES S A              EQUITY     92855S200         8        266 SH       DEFINED        5        --        --     266
VIVO PARTICIPACOES SA               EQUITY     92855S200    25,303    816,210 SH       SOLE           1   816,210        --      --
VIVUS                               EQUITY     928551100       603     65,601 SH       SOLE           2    65,601        --      --
VIVUS INC                           EQUITY     928551100        40      4,300 SH       DEFINED        4        --        --   4,300
VIVUS INC                           EQUITY     928551100        10      1,100 SH       DEFINED        5        --        --   1,100
VMWARE INC                          EQUITY     928563402       947     22,355 SH       SOLE           1    22,355        --      --
VMWARE INC                          EQUITY     928563402        37        881 SH       DEFINED        4        --        --     881





                                                                                            
VOCUS INC                           EQUITY     92858J108       244     13,529 SH       SOLE           2    13,529        --      --
VODAFONE GROUP PLC NEW              EQUITY     92857W209     2,269     98,274 SH       SOLE           2    98,274        --      --
VODAFONE GROUP PLC NEW              EQUITY     92857W209       746     32,327 SH       DEFINED        4        --        --  32,327
VODAFONE GROUP PLC NEW              EQUITY     92857W209       168      7,260 SH       DEFINED        5        --        --   7,260
VOLCANO CORP                        EQUITY     928645100       686     39,460 SH       SOLE           2    39,460        --      --
VOLCANO CORPORATION                 EQUITY     928645100         2        100 SH       DEFINED        4        --        --     100
VOLCOM INC                          EQUITY     92864N101       147      8,771 SH       SOLE           1     8,771        --      --
VOLCOM INC                          EQUITY     92864N101       297     17,739 SH       SOLE           2    17,739        --      --
VOLT INFORMATION SCIENCES           EQUITY     928703107       116     11,576 SH       SOLE           2    11,576        --      --
VOLT INFORMATION SCIENCES INC.      EQUITY     928703107        65      6,489 SH       SOLE           1     6,489        --      --
VOLTERRA SEMICONDUCTOR COR          EQUITY     928708106       354     18,493 SH       SOLE           2    18,493        --      --
VONAGE HLDGS CORP                   EQUITY     92886T201     9,215  6,582,406 SH       SOLE           2 6,582,406        --      --
VORNADO REALTY TRUST                EQUITY     929042109       150      2,149 SH       SOLE           1     2,149        --      --
VORNADO RLTY TR                     EQUITY     929042109     5,195     74,257 SH       SOLE           2    74,257        --      --
VSE CORP                            EQUITY     918284100       150      3,322 SH       SOLE           2     3,322        --      --
VULCAN MATERIALS CO.                EQUITY     929160109       133      2,527 SH       SOLE           1     2,527        --      --
VULCAN MATLS CO                     EQUITY     929160109     3,410     64,741 SH       SOLE           2    64,741        --      --
VULCAN MATLS CO                     EQUITY     929160109        42        801 SH       DEFINED        5        --        --     801
W P CAREY & CO LLC                  EQUITY     92930Y107         4        150 SH       DEFINED        4        --        --     150
W. W. GRAINGER, INC.                EQUITY     384802104    10,434    107,751 SH       SOLE           1   107,751        --      --
W+T OFFSHORE INC                    EQUITY     92922P106       325     27,739 SH       SOLE           2    27,739        --      --
WABCO HLDGS INC                     EQUITY     92927K102        35      1,339 SH       SOLE           2     1,339        --      --
WABCO HLDGS INC                     EQUITY     92927K102         3        100 SH       DEFINED        5        --        --     100
WABTEC                              EQUITY     929740108     4,376    107,151 SH       SOLE           2   107,151        --      --
WACOAL HOLDINGS CORP                EQUITY     930004205         2         37 SH       DEFINED        4        --        --      37
WADDELL + REED FINL INC             EQUITY     930059100     5,875    192,372 SH       SOLE           2   192,372        --      --
WAL MART STORES INC                 EQUITY     931142103    69,023  1,291,352 SH       SOLE           2 1,291,352        --      --
WAL MART STORES INC                 EQUITY     931142103       384      7,182 SH       DEFINED        4        --        --   7,182
WAL MART STORES INC                 EQUITY     931142103       789     14,766 SH       DEFINED        5        --        --  14,766
WALGREEN CO                         EQUITY     931422109    15,667    426,548 SH       SOLE           2   426,548        --      --
WALGREEN CO                         EQUITY     931422109        91      2,491 SH       DEFINED        4        --        --   2,491
WALGREEN CO                         EQUITY     931422109       236      6,434 SH       DEFINED        5        --        --   6,434
WALGREEN CO.                        EQUITY     931422109     2,755     75,028 SH       SOLE           1    75,028        --      --
WAL-MART STORES INC                 EQUITY     931142103    30,150    564,084 SH       SOLE           1   564,084        --      --
WALT DISNEY                         EQUITY     254687106     3,523    109,253 SH       SOLE           1   109,253        --      --
WALTER ENERGY INC                   EQUITY     93317Q105        85      1,127 SH       SOLE           1     1,127        --      --
WALTER ENERGY INC                   EQUITY     93317Q105        78      1,039 SH       SOLE           2     1,039        --      --
WALTER INV MGMT CORP                EQUITY     93317W102       270     18,810 SH       SOLE           2    18,810        --      --
WALTER INVESTMENT MANAGEMENT CORP   EQUITY     93317W102        17      1,178 SH       SOLE           1     1,178        --      --
WARNACO GROUP INC                   EQUITY     934390402     7,982    189,201 SH       SOLE           2   189,201        --      --
WARNER CHILCOTT PLC IRELAN          EQUITY     G94368100       425     14,913 SH       SOLE           2    14,913        --      --
WARNER CHILCOTT PLC IRELAND         EQUITY     G94368100       122      4,295 SH       DEFINED        5        --        --   4,295
WARNER MUSIC GROUP CORP             EQUITY     934550104         7      1,322 SH       SOLE           2     1,322        --      --
WARREN RES INC                      EQUITY     93564A100       141     57,711 SH       SOLE           2    57,711        --      --
WASHINGTON BKG CO OAK HBR           EQUITY     937303105       149     12,497 SH       SOLE           2    12,497        --      --
WASHINGTON FED INC                  EQUITY     938824109     4,911    253,949 SH       SOLE           2   253,949        --      --
WASHINGTON POST CO                  EQUITY     939640108     1,288      2,929 SH       SOLE           2     2,929        --      --
WASHINGTON POST CO. CLASS B         EQUITY     939640108        54        122 SH       SOLE           1       122        --      --
WASHINGTON REAL ESTATE INV          EQUITY     939653101     1,311     47,581 SH       SOLE           2    47,581        --      --
WASHINGTON REAL ESTATE INVT         EQUITY     939653101        14        515 SH       DEFINED        4        --        --     515
WASHINGTON REAL ESTATE INVT         EQUITY     939653101        28      1,000 SH       DEFINED        5        --        --   1,000
WASHINGTON TR BANCORP INC           EQUITY     940610108       178     11,441 SH       SOLE           2    11,441        --      --
WASTE CONNECTIONS INC               EQUITY     941053100     5,926    177,753 SH       SOLE           2   177,753        --      --
WASTE CONNECTIONS INC               EQUITY     941053100         2         52 SH       DEFINED        4        --        --      52
WASTE CONNECTIONS INC               EQUITY     941053100         3         90 SH       DEFINED        5        --        --      90
WASTE MANAGEMENT, INC.              EQUITY     94106L109     1,677     49,614 SH       SOLE           1    49,614        --      --
WASTE MGMT INC DEL                  EQUITY     94106L109     7,887    233,286 SH       SOLE           2   233,286        --      --
WASTE MGMT INC DEL                  EQUITY     94106L109        24        723 SH       DEFINED        4        --        --     723
WASTE MGMT INC DEL                  EQUITY     94106L109        99      2,933 SH       DEFINED        5        --        --   2,933
WASTE SVCS INC DEL                  EQUITY     941075202       132     14,531 SH       SOLE           2    14,531        --      --
WATERS CORP                         EQUITY     941848103     2,140     34,528 SH       SOLE           2    34,528        --      --
WATERS CORP                         EQUITY     941848103        65      1,049 SH       DEFINED        4        --        --   1,049
WATERS CORP                         EQUITY     941848103        27        440 SH       DEFINED        5        --        --     440
WATERS CORP.                        EQUITY     941848103       710     11,456 SH       SOLE           1    11,456        --      --
WATERSTONE FINL INC                 EQUITY     941888109        12      5,820 SH       SOLE           2     5,820        --      --
WATSCO INC                          EQUITY     942622200     1,284     26,220 SH       SOLE           2    26,220        --      --
WATSCO, INC.                        EQUITY     942622200     1,298     26,500 SH       SOLE           1    26,500        --      --
WATSON PHARMACEUTICALS INC          EQUITY     942683103     1,496     37,757 SH       SOLE           2    37,757        --      --
WATSON PHARMACEUTICALS INC          EQUITY     942683103         3         67 SH       DEFINED        4        --        --      67
WATSON PHARMACEUTICALS INC          EQUITY     942683103         6        150 SH       DEFINED        5        --        --     150
WATSON PHARMACEUTICALS, INC         EQUITY     942683103     3,767     95,113 SH       SOLE           1    95,113        --      --
WATSON WYATT WORLDWIDE INC          EQUITY     942712100    14,143    297,625 SH       SOLE           2   297,625        --      --
WATSON WYATT WORLDWIDE INC          EQUITY     942712100         4         75 SH       DEFINED        5        --        --      75
WATTS WATER TECHNOLOGIES I          EQUITY     942749102       866     28,018 SH       SOLE           2    28,018        --      --
WATTS WATER TECHNOLOGIES INC        EQUITY     942749102        14        439 SH       DEFINED        5        --        --     439
WATTS WATER TECHNOLOGIES INC.,
   CLASS A                          EQUITY     942749102       483     15,628 SH       SOLE           1    15,628        --      --
WAUSAU PAPER CORP                   EQUITY     943315101       492     42,395 SH       SOLE           2    42,395        --      --
WAUSAU PAPER CORP.                  EQUITY     943315101       305     26,259 SH       SOLE           1    26,259        --      --
WD 40 CO                            EQUITY     929236107       511     15,802 SH       SOLE           2    15,802        --      --
WD-40 CO.                           EQUITY     929236107       285      8,821 SH       SOLE           1     8,821        --      --
WEATHERFORD INTERNATIONAL LT        EQUITY     H27013103        66      3,691 SH       DEFINED        4        --        --   3,691
WEB COM GROUP INC                   EQUITY     94733A104       141     21,554 SH       SOLE           2    21,554        --      --
WEBMD HEALTH CORP                   EQUITY     94770V102        41      1,078 SH       SOLE           2     1,078        --      --
WEBMD HEALTH CORP                   EQUITY     94770V102        15        379 SH       DEFINED        4        --        --     379
WEBSENSE INC                        EQUITY     947684106         1         75 SH       DEFINED        5        --        --      75
WEBSENSE INC                        EQUITY     947684106     1,050     60,149 SH       SOLE           1    60,149        --      --
WEBSENSE INC                        EQUITY     947684106       739     42,315 SH       SOLE           2    42,315        --      --
WEBSENSE INC                        EQUITY     947684106       159      9,100 SH       SOLE           3     9,100        --      --
WEBSTER FINL CORP CONN              EQUITY     947890109       222     18,724 SH       DEFINED        5        --        --  18,724
WEBSTER FINL CORP WATERBUR          EQUITY     947890109     2,367    199,448 SH       SOLE           2   199,448        --      --
WEIGHT WATCHERS INTL INC N          EQUITY     948626106        26        907 SH       SOLE           2       907        --      --
WEINGARTEN RLTY INVS                EQUITY     948741103     4,668    235,876 SH       SOLE           2   235,876        --      --
WEINGARTEN RLTY INVS                EQUITY     948741103        15        764 SH       DEFINED        4        --        --     764
WEIS MKTS INC                       EQUITY     948849104       327      8,997 SH       SOLE           2     8,997        --      --
WELLCARE HEALTH PLANS INC           EQUITY     94946T106     4,745    129,089 SH       SOLE           2   129,089        --      --
WELLPOINT INC                       EQUITY     94973V107     8,167    140,109 SH       SOLE           1   140,109        --      --
WELLPOINT INC                       EQUITY     94973V107    12,019    206,195 SH       SOLE           2   206,195        --      --
WELLPOINT INC                       EQUITY     94973V107         2         32 SH       DEFINED        4        --        --      32
WELLPOINT INC                       EQUITY     94973V107        52        900 SH       DEFINED        5        --        --     900
WELLS FARGO & CO NEW                EQUITY     949746101     4,357    161,426 SH       DEFINED        4        --        -- 161,426
WELLS FARGO & CO NEW                EQUITY     949746101       531     19,675 SH       DEFINED        5        --        --  19,675
WELLS FARGO + CO                    EQUITY     949746101    51,785  1,918,684 SH       SOLE           2 1,918,684        --      --
WELLS FARGO CO.                     EQUITY     949746101    55,664  2,062,606 SH       SOLE           1 2,062,606        --      --
WELLS FARGO CO.                     EQUITY     949746101     1,706     63,200 SH       SOLE           3    63,200        --      --
WENDYS ARBYS GROUP INC              EQUITY     950587105         1        300 SH       DEFINED        5        --        --     300





                                                                                            
WENDYS ARBYS GROUP INC              EQUITY     950587105         4        938 SH       DEFINED        4        --        --     938
WENDYS/ARBYS GROUP INC              EQUITY     950587105     3,827    815,921 SH       SOLE           2   815,921        --      --
WERNER ENTERPRISES INC              EQUITY     950755108     2,626    132,688 SH       SOLE           2   132,688        --      --
WESBANCO INC                        EQUITY     950810101       232     18,793 SH       SOLE           2    18,793        --      --
WESCO FINL CORP                     EQUITY     950817106        14         41 SH       SOLE           2        41        --      --
WESCO INTL INC                      EQUITY     95082P105        27        983 SH       SOLE           2       983        --      --
WEST BANCORPORATION INC             EQUITY     95123P106        63     12,723 SH       SOLE           2    12,723        --      --
WEST MARINE INC                     EQUITY     954235107        94     11,676 SH       SOLE           2    11,676        --      --
WEST PHARMACEUTICAL SERVICES        EQUITY     955306105       688     17,556 SH       SOLE           1    17,556        --      --
WEST PHARMACEUTICAL SVCS I          EQUITY     955306105     1,231     31,393 SH       SOLE           2    31,393        --      --
WESTAMERICA BANCORPORATION          EQUITY     957090103     4,930     89,044 SH       SOLE           2    89,044        --      --
WESTAR ENERGY INC                   EQUITY     95709T100        82      3,764 SH       DEFINED        5        --        --   3,764
WESTERN ALLIANCE BANCORPOR          EQUITY     957638109       142     37,450 SH       SOLE           2    37,450        --      --
WESTERN ASSET CLYM INFL OPP         EQUITY     95766R104       305     25,360 SH       DEFINED        4        --        --  25,360
WESTERN ASSET CLYM INFL OPP         EQUITY     95766R104        22      1,800 SH       DEFINED        5        --        --   1,800
WESTERN ASSET CLYM INFL SEC         EQUITY     95766Q106        10        800 SH       DEFINED        5        --        --     800
WESTERN ASSET EMRG MKT DEBT         EQUITY     95766A101        29      1,645 SH       DEFINED        4        --        --   1,645
WESTERN ASSET EMRG MKT DEBT         EQUITY     95766A101        17        954 SH       DEFINED        5        --        --     954
WESTERN ASSET EMRG MKT INCM         EQUITY   9.5766E+107       202     16,439 SH       DEFINED        5        --        --  16,439
WESTERN ASSET GLB HI INCOME         EQUITY     95766B109        16      1,425 SH       DEFINED        5        --        --   1,425
WESTERN ASSET HIGH INCM FD I        EQUITY     95766J102        67      7,338 SH       DEFINED        4        --        --   7,338
WESTERN ASSET HIGH INCM FD I        EQUITY     95766H106        20      2,184 SH       DEFINED        5        --        --   2,184
WESTERN ASSET HIGH INCM OPP         EQUITY     95766K109        13      2,172 SH       DEFINED        5        --        --   2,172
WESTERN ASSET WORLDWIDE INCO        EQUITY     957668106        31      2,467 SH       DEFINED        5        --        --   2,467
WESTERN ASSETT MGD HI INCM F        EQUITY     95766L107        19      3,300 SH       DEFINED        4        --        --   3,300
WESTERN ASST MNG MUN FD INC         EQUITY     95766M105        12      1,000 SH       DEFINED        5        --        --   1,000
WESTERN DIGITAL CORP                EQUITY     958102105     4,658    105,464 SH       SOLE           2   105,464        --      --
WESTERN DIGITAL CORP                EQUITY     958102105         4        101 SH       DEFINED        4        --        --     101
WESTERN DIGITAL CORP                EQUITY     958102105        37        835 SH       DEFINED        5        --        --     835
WESTERN DIGITIAL CORP.              EQUITY     958102105     2,858     64,735 SH       SOLE           1    64,735        --      --
WESTERN GAS PARTNERS LP             EQUITY     958254104         2        100 SH       DEFINED        5        --        --     100
WESTERN REFNG INC                   EQUITY     959319104       157     33,262 SH       SOLE           2    33,262        --      --
WESTERN REFNG INC                   EQUITY     959319104        28      6,000 SH       DEFINED        4        --        --   6,000
WESTERN REFNG INC                   EQUITY     959319104         5      1,000 SH       DEFINED        5        --        --   1,000
WESTERN UN CO                       EQUITY     959802109     5,700    302,279 SH       SOLE           2   302,279        --      --
WESTERN UN CO                       EQUITY     959802109        61      3,252 SH       DEFINED        4        --        --   3,252
WESTERN UN CO                       EQUITY     959802109        10        514 SH       DEFINED        5        --        --     514
WESTERN UNION CO/THE                EQUITY     959802109     1,688     89,544 SH       SOLE           1    89,544        --      --
WESTFIELD FINL INC NEW              EQUITY     96008P104       210     25,482 SH       SOLE           2    25,482        --      --
WESTLAKE CHEM CORP                  EQUITY     960413102       397     15,939 SH       SOLE           2    15,939        --      --
WESTMORELAND COAL CO                EQUITY     960878106        74      8,356 SH       SOLE           2     8,356        --      --
WESTPORT INNOVATIONS INC            EQUITY     960908309        23      2,000 SH       DEFINED        4        --        --   2,000
WESTSTAR ENERGY INC                 EQUITY     95709T100     5,365    247,008 SH       SOLE           2   247,008        --      --
WESTWOOD HLDGS GROUP INC            EQUITY     961765104       166      4,572 SH       SOLE           2     4,572        --      --
WET SEAL INC                        EQUITY     961840105     4,006  1,161,038 SH       SOLE           2 1,161,038        --      --
WET SEAL, INC.                      EQUITY     961840105       784    227,203 SH       SOLE           1   227,203        --      --
WET SEAL, INC.                      EQUITY     961840105       986    285,897 SH       SOLE           3   285,897        --      --
WEYCO GROUP INC                     EQUITY     962149100       135      5,712 SH       SOLE           2     5,712        --      --
WEYERHAEUSER CO                     EQUITY     962166104     4,726    109,545 SH       SOLE           2   109,545        --      --
WEYERHAEUSER CO                     EQUITY     962166104        86      1,997 SH       DEFINED        4        --        --   1,997
WEYERHAEUSER CO                     EQUITY     962166104         7        151 SH       DEFINED        5        --        --     151
WEYERHAEUSER CO.                    EQUITY     962166104       184      4,264 SH       SOLE           1     4,264        --      --
WGL HLDGS INC                       EQUITY     92924F106     5,103    152,158 SH       SOLE           2   152,158        --      --
WHIRLPOOL CORP                      EQUITY     963320106     2,876     35,652 SH       SOLE           2    35,652        --      --
WHIRLPOOL CORP                      EQUITY     963320106         6         78 SH       DEFINED        4        --        --      78
WHIRLPOOL CORP                      EQUITY     963320106        16        200 SH       DEFINED        5        --        --     200
WHIRLPOOL CORP.                     EQUITY     963320106       121      1,496 SH       SOLE           1     1,496        --      --
WHITE ELECTR DESIGNS CORP           EQUITY     963801105        87     18,720 SH       SOLE           2    18,720        --      --
WHITE MOUNTAINS INS GROUP           EQUITY     G9618E107        73        218 SH       SOLE           2       218        --      --
WHITING PETE CORP NEW               EQUITY     966387102       102      1,429 SH       SOLE           2     1,429        --      --
WHITING PETE CORP NEW               EQUITY     966387102         2         25 SH       DEFINED        4        --        --      25
WHITNEY HLDG CORP                   EQUITY     966612103       148     16,249 SH       SOLE           2    16,249        --      --
WHITNEY HOLDING CORP.               EQUITY     966612103       472     51,767 SH       SOLE           1    51,767        --      --
WHOLE FOODS MARKET I                EQUITY     966837106     1,533     55,833 SH       SOLE           1    55,833        --      --
WHOLE FOODS MKT INC                 EQUITY     966837106     1,793     65,296 SH       SOLE           2    65,296        --      --
WHOLE FOODS MKT INC                 EQUITY     966837106        14        500 SH       DEFINED        4        --        --     500
WHOLE FOODS MKT INC                 EQUITY     966837106        29      1,060 SH       DEFINED        5        --        --   1,060
WHX CORP                            EQUITY     929248607       506    210,850 SH       SOLE           1   210,850        --      --
WILBER CORP                         EQUITY     967797101        34      4,744 SH       SOLE           2     4,744        --      --
WILEY JOHN & SONS INC               EQUITY     968223206         2         44 SH       DEFINED        4        --        --      44
WILEY JOHN + SONS INC               EQUITY     968223206     4,042     96,519 SH       SOLE           2    96,519        --      --
WILLAMETTE VY VINEYARD INC          EQUITY     969136100         2        600 SH       DEFINED        5        --        --     600
WILLBROS GROUP INC DE               EQUITY     969203108       544     32,244 SH       SOLE           2    32,244        --      --
WILLIAMS CLAYTON ENERGY IN          EQUITY     969490101       168      4,807 SH       SOLE           2     4,807        --      --
WILLIAMS COMPANIES, INC.            EQUITY     969457100     7,517    356,594 SH       SOLE           1   356,594        --      --
WILLIAMS COS INC                    EQUITY     969457100     6,403    303,739 SH       SOLE           2   303,739        --      --
WILLIAMS COS INC DEL                EQUITY     969457100       101      4,782 SH       DEFINED        5        --        --   4,782
WILLIAMS SONOMA INC                 EQUITY     969904101     4,960    238,694 SH       SOLE           2   238,694        --      --
WILLIAMS SONOMA INC                 EQUITY     969904101         8        400 SH       DEFINED        5        --        --     400
WILLIS GROUP HOLDINGS LTD           EQUITY     G96655108         4        160 SH       DEFINED        5        --        --     160
WILLIS LEASE FIN CORP               EQUITY     970646105        58      3,862 SH       SOLE           2     3,862        --      --
WILMINGTON TR CORP                  EQUITY     971807102     1,938    157,072 SH       SOLE           2   157,072        --      --
WILSHIRE BANCORP INC                EQUITY     97186T108        85     10,420 SH       SOLE           1    10,420        --      --
WILSHIRE BANCORP INC                EQUITY     97186T108       151     18,466 SH       SOLE           2    18,466        --      --
WINDSTREAM CORP                     EQUITY     97381W104       986     89,685 SH       SOLE           1    89,685        --      --
WINDSTREAM CORP                     EQUITY     97381W104     8,772    798,145 SH       SOLE           2   798,145        --      --
WINDSTREAM CORP                     EQUITY     97381W104       298     27,132 SH       DEFINED        4        --        --  27,132
WINDSTREAM CORP                     EQUITY     97381W104       367     33,366 SH       DEFINED        5        --        --  33,366
WINN DIXIE STORES INC               EQUITY     974280307       447     44,502 SH       SOLE           2    44,502        --      --
WINNEBAGO IND INC.                  EQUITY     974637100       340     27,839 SH       SOLE           2    27,839        --      --
WINNEBAGO INDUSTRIES, INC.          EQUITY     974637100       189     15,507 SH       SOLE           1    15,507        --      --
WINTHROP RLTY TR                    EQUITY     976391300       103      9,525 SH       SOLE           2     9,525        --      --
WINTRUST FINANCIAL CORP             EQUITY     97650W108       399     12,969 SH       SOLE           1    12,969        --      --
WINTRUST FINL CORP                  EQUITY     97650W108       707     22,978 SH       SOLE           2    22,978        --      --
WISCONSIN ENERGY CORP               EQUITY     976657106     2,091     41,967 SH       SOLE           2    41,967        --      --
WISCONSIN ENERGY CORP               EQUITY     976657106        11        223 SH       DEFINED        5        --        --     223
WISCONSIN ENERGY CORP.              EQUITY     976657106       118      2,363 SH       SOLE           1     2,363        --      --
WISDOMTREE TRUST                    EQUITY     97717W752         1         50 SH       DEFINED        4        --        --      50
WISDOMTREE TRUST                    EQUITY     97717W604         4        112 SH       DEFINED        4        --        --     112
WISDOMTREE TRUST                    EQUITY     97717W844         5         96 SH       DEFINED        4        --        --      96
WISDOMTREE TRUST                    EQUITY     97717W828         5         87 SH       DEFINED        4        --        --      87
WISDOMTREE TRUST                    EQUITY     97717W216        11        465 SH       DEFINED        4        --        --     465
WISDOMTREE TRUST                    EQUITY     97717W158        11        381 SH       DEFINED        4        --        --     381
WISDOMTREE TRUST                    EQUITY     97717W331        13        498 SH       DEFINED        4        --        --     498
WISDOMTREE TRUST                    EQUITY     97717W240        16        598 SH       DEFINED        4        --        --     598





                                                                                            
WISDOMTREE TRUST                    EQUITY     97717W760        50      1,111 SH       DEFINED        4        --        --   1,111
WISDOMTREE TRUST                    EQUITY     97717W703        83      1,770 SH       DEFINED        4        --        --   1,770
WISDOMTREE TRUST                    EQUITY     97717W281       132      3,061 SH       DEFINED        4        --        --   3,061
WISDOMTREE TRUST                    EQUITY     97717W810       246      4,366 SH       DEFINED        4        --        --   4,366
WISDOMTREE TRUST                    EQUITY     97717W422       681     30,839 SH       DEFINED        4        --        --  30,839
WISDOMTREE TRUST                    EQUITY     97717W315     1,262     25,381 SH       DEFINED        4        --        --  25,381
WISDOMTREE TRUST                    EQUITY     97717W828         2         30 SH       DEFINED        5        --        --      30
WISDOMTREE TRUST                    EQUITY     97717W240         6        219 SH       DEFINED        5        --        --     219
WISDOMTREE TRUST                    EQUITY     97717W133         7        322 SH       DEFINED        5        --        --     322
WISDOMTREE TRUST                    EQUITY     97717W331         7        272 SH       DEFINED        5        --        --     272
WISDOMTREE TRUST                    EQUITY     97717W794         9        200 SH       DEFINED        5        --        --     200
WISDOMTREE TRUST                    EQUITY     97717W307        12        300 SH       DEFINED        5        --        --     300
WISDOMTREE TRUST                    EQUITY     97717W422        20        900 SH       DEFINED        5        --        --     900
WISDOMTREE TRUST                    EQUITY     97717W281        22        505 SH       DEFINED        5        --        --     505
WISDOMTREE TRUST                    EQUITY     97717W760        37        827 SH       DEFINED        5        --        --     827
WISDOMTREE TRUST                    EQUITY     97717W315        77      1,558 SH       DEFINED        5        --        --   1,558
WISDOMTREE TRUST                    EQUITY     97717W166       133      5,290 SH       DEFINED        5        --        --   5,290
WISDOMTREE TRUST                    EQUITY     97717W182       204      8,104 SH       DEFINED        5        --        --   8,104
WMS INDUSTRIES INC                  EQUITY     929297109     4,762    119,043 SH       SOLE           2   119,043        --      --
WOLVERINE WORLD WIDE INC            EQUITY     978097103     1,283     47,135 SH       SOLE           2    47,135        --      --
WOLVERINE WORLD WIDE INC            EQUITY     978097103         2         90 SH       DEFINED        4        --        --      90
WOLVERINE WORLD WIDE, INC.          EQUITY     978097103       718     26,362 SH       SOLE           1    26,362        --      --
WONDER AUTO TECHNOLGY INC           EQUITY     978166106       173     14,673 SH       SOLE           2    14,673        --      --
WOODWARD GOVERNOR CO                EQUITY     980745103     4,537    176,056 SH       SOLE           2   176,056        --      --
WORLD ACCEPTANCE CORP               EQUITY     981419104       557     15,539 SH       SOLE           2    15,539        --      --
WORLD ACCEPTANCE CORP.              EQUITY     981419104       308      8,599 SH       SOLE           1     8,599        --      --
WORLD FUEL SERVICES CORP.           EQUITY     981475106     1,513     56,491 SH       SOLE           2    56,491        --      --
WORLD FUEL SVCS CORP                EQUITY     981475106       854     31,893 SH       SOLE           1    31,893        --      --
WORLD FUEL SVCS CORP                EQUITY     981475106        15        550 SH       DEFINED        4        --        --     550
WORLD FUEL SVCS CORP                EQUITY     981475106        14        520 SH       DEFINED        5        --        --     520
WORLD WRESTLING ENTMT INC           EQUITY     98156Q108       274     17,859 SH       SOLE           2    17,859        --      --
WORLD WRESTLING ENTMT INC           EQUITY     98156Q108        21      1,400 SH       DEFINED        5        --        --   1,400
WORTHINGTON INDS IN                 EQUITY     981811102     2,421    185,203 SH       SOLE           2   185,203        --      --
WORTHINGTON INDS INC                EQUITY     981811102         9        700 SH       DEFINED        4        --        --     700
WRIGHT EXPRESS CORP                 EQUITY     98233Q105       643     20,178 SH       SOLE           1    20,178        --      --
WRIGHT EXPRESS CORP                 EQUITY     98233Q105     1,169     36,686 SH       SOLE           2    36,686        --      --
WRIGHT EXPRESS CORP                 EQUITY     98233Q105         6        195 SH       DEFINED        5        --        --     195
WRIGHT MED GROUP INC                EQUITY     98235T107       589     31,065 SH       SOLE           2    31,065        --      --
WSB HOLDINGS INC                    EQUITY     92934C101        18      7,733 SH       DEFINED        5        --        --   7,733
WSFS FINL CORP                      EQUITY     929328102       148      5,779 SH       SOLE           2     5,779        --      --
WYNDHAM WORLDWIDE CORP              EQUITY     98310W108         1         72 SH       DEFINED        5        --        --      72
WYNDHAM WORLDWIDE CORP              EQUITY     98310W108     2,797    138,668 SH       SOLE           1   138,668        --      --
WYNDHAM WORLDWIDE CORP              EQUITY     98310W108     1,829     90,653 SH       SOLE           2    90,653        --      --
WYNN RESORTS LTD                    EQUITY     983134107        81      1,394 SH       SOLE           1     1,394        --      --
WYNN RESORTS LTD                    EQUITY     983134107     7,745    132,994 SH       SOLE           2   132,994        --      --
WYNN RESORTS LTD                    EQUITY     983134107       135      2,318 SH       DEFINED        5        --        --   2,318
X RITE INC                          EQUITY     983857103        46     21,181 SH       SOLE           2    21,181        --      --
XCEL ENERGY INC                     EQUITY     98389B100     3,471    163,567 SH       SOLE           2   163,567        --      --
XCEL ENERGY INC                     EQUITY     98389B100        44      2,079 SH       DEFINED        4        --        --   2,079
XCEL ENERGY INC                     EQUITY     98389B100     1,176     55,405 SH       DEFINED        5        --        --  55,405
XCEL STATES POWER-MINES             EQUITY     98389B100       196      9,233 SH       SOLE           1     9,233        --      --
XENOPORT INC                        EQUITY     98411C100       452     24,351 SH       SOLE           2    24,351        --      --
XERIUM TECHNOLOGIES INC             EQUITY     98416J100         5      7,000 SH       DEFINED        4        --        --   7,000
XEROX CORP                          EQUITY     984121103     3,822    451,723 SH       SOLE           2   451,723        --      --
XEROX CORP                          EQUITY     984121103         2        226 SH       DEFINED        4        --        --     226
XEROX CORP                          EQUITY     984121103         6        700 SH       DEFINED        5        --        --     700
XILINX INC                          EQUITY     983919101     3,893    155,293 SH       SOLE           2   155,293        --      --
XILINX INC                          EQUITY     983919101        10        395 SH       DEFINED        5        --        --     395
XILINX, INC.                        EQUITY     983919101       852     33,990 SH       SOLE           1    33,990        --      --
XL CAP LTD                          EQUITY     G98255105         2        115 SH       DEFINED        4        --        --     115
XL CAP LTD                          EQUITY     G98255105         2         85 SH       DEFINED        5        --        --      85
XL CAPITAL LTD                      EQUITY     G98255105     3,167    172,770 SH       SOLE           2   172,770        --      --
XTO ENERGY INC                      EQUITY     98385X106     6,329    136,025 SH       SOLE           1   136,025        --      --
XTO ENERGY INC                      EQUITY     98385X106    16,177    347,570 SH       SOLE           2   347,570        --      --
XTO ENERGY INC                      EQUITY     98385X106        66      1,424 SH       DEFINED        4        --        --   1,424
XTO ENERGY INC                      EQUITY     98385X106        90      1,941 SH       DEFINED        5        --        --   1,941
XYRATEX LTD                         EQUITY     G98268108     3,293    247,442 SH       SOLE           2   247,442        --      --
XYRATEX LTD                         EQUITY     G98268108        13      1,000 SH       DEFINED        5        --        --   1,000
YADKIN VALLEY FINANCIAL CORP        EQUITY     984314104         7      1,795 SH       DEFINED        5        --        --   1,795
YADKIN VY FINL CORP                 EQUITY     984314104        48     13,176 SH       SOLE           2    13,176        --      --
YAHOO INC                           EQUITY     984332106     9,785    583,030 SH       SOLE           2   583,030        --      --
YAHOO INC                           EQUITY     984332106        28      1,648 SH       DEFINED        4        --        --   1,648
YAHOO INC                           EQUITY     984332106        17        989 SH       DEFINED        5        --        --     989
YAHOO!, INC.                        EQUITY     984332106       404     24,065 SH       SOLE           1    24,065        --      --
YAMANA GOLD INC                     EQUITY     98462Y100     2,582    226,273 SH       OTHER          1        --   226,273      --
YAMANA GOLD INC                     EQUITY     98462Y100         7        600 SH       DEFINED        5        --        --     600
YAMANA GOLD INC CALL                OPTION     98462Y900         4         28     CALL DEFINED        5        --        --      28
YANZHOU COAL MNG CO LTD             EQUITY     984846105         9        423 SH       DEFINED        5        --        --     423
YINGLI GREEN ENERGY HLDG CO         EQUITY     98584B103        15        939 SH       DEFINED        4        --        --     939
YINGLI GREEN ENERGY HLDG CO         EQUITY     98584B103        11        700 SH       DEFINED        5        --        --     700
YORK WTR CO                         EQUITY     987184108       148     10,215 SH       SOLE           2    10,215        --      --
YOUBET COM INC                      EQUITY     987413101        70     24,487 SH       SOLE           2    24,487        --      --
YOUNG INNOVATIONS INV               EQUITY     987520103       110      4,450 SH       SOLE           2     4,450        --      --
YRC WORLDWIDE INC                   EQUITY     984249102        41     48,557 SH       SOLE           2    48,557        --      --
YUM BRANDS INC                      EQUITY     988498101     5,367    153,407 SH       SOLE           2   153,407        --      --
YUM BRANDS INC                      EQUITY     988498101        11        323 SH       DEFINED        4        --        --     323
YUM BRANDS INC                      EQUITY     988498101       287      8,207 SH       DEFINED        5        --        --   8,207
YUM! BRANDS INC                     EQUITY     988498101       932     26,656 SH       SOLE           1    26,656        --      --
ZALE CORP NEW                       EQUITY     988858106        62     22,771 SH       SOLE           2    22,771        --      --
ZALE CORP.                          EQUITY     988858106        35     12,726 SH       SOLE           1    12,726        --      --
ZEBRA TECHNOLOGIES CORP             EQUITY     989207105     3,762    132,634 SH       SOLE           2   132,634        --      --
ZENITH NATIONAL INSURANCE CORP      EQUITY     989390109       835     28,057 SH       SOLE           1    28,057        --      --
ZENITH NATL INS CORP                EQUITY     989390109     1,064     35,748 SH       SOLE           2    35,748        --      --
ZENITH NATL INS CORP                EQUITY     989390109         2         68 SH       DEFINED        4        --        --      68
ZEP INC                             EQUITY     98944B108       200     11,540 SH       SOLE           1    11,540        --      --
ZEP INC                             EQUITY     98944B108       358     20,641 SH       SOLE           2    20,641        --      --
ZHONGPIN INC                        EQUITY     98952K107       307     19,677 SH       SOLE           2    19,677        --      --
ZHONGPIN INC                        EQUITY     98952K107       367     23,489 SH       DEFINED        5        --        --  23,489
ZIMMER HLDGS INC                    EQUITY     98956P102        27        451 SH       DEFINED        4        --        --     451
ZIMMER HLDGS INC                    EQUITY     98956P102       272      4,600 SH       DEFINED        5        --        --   4,600
ZIMMER HOLDINGS INC                 EQUITY     98956P102       254      4,304 SH       SOLE           1     4,304        --      --
ZIMMER HOLDINGS INC                 EQUITY     98956P102     5,409     91,476 SH       SOLE           2    91,476        --      --
ZION OIL + GAS INC                  EQUITY     989696109        85     11,913 SH       SOLE           2    11,913        --      --
ZIONS BANCORP                       EQUITY     989701107       683     53,256 SH       SOLE           2    53,256        --      --
ZIONS BANCORPORATION                EQUITY     989701107        36      2,789 SH       SOLE           1     2,789        --      --





                                                                                            
ZIONS BANCORPORATION                EQUITY     989701107        54      4,200 SH       DEFINED        5        --        --   4,200
ZIX CORP                            EQUITY     98974P100        10      6,000 SH       DEFINED        5        --        --   6,000
ZIXIT CORP                          EQUITY     98974P100        88     51,722 SH       SOLE           2    51,722        --      --
ZOLL MED CORP                       EQUITY     989922109       539     20,185 SH       SOLE           2    20,185        --      --
ZOLL MEDICAL CORP.                  EQUITY     989922109       298     11,164 SH       SOLE           1    11,164        --      --
ZOLTEK COMPANIES INC                EQUITY     98975W104       215     22,680 SH       SOLE           2    22,680        --      --
ZOLTEK COS INC                      EQUITY     98975W104         4        439 SH       DEFINED        4        --        --     439
ZORAN CORP                          EQUITY     98975F101       466     42,176 SH       SOLE           2    42,176        --      --
ZUMIEZ INC                          EQUITY     989817101       141     11,047 SH       SOLE           1    11,047        --      --
ZUMIEZ INC                          EQUITY     989817101       248     19,482 SH       SOLE           2    19,482        --      --
ZWEIG TOTAL RETURN FD INC           EQUITY     989837109        13      3,415 SH       DEFINED        5        --        --   3,415
ZYGO CORP                           EQUITY     989855101        82     12,156 SH       SOLE           2    12,156        --      --
ZYMOGENETICS INC                    EQUITY     98985T109       196     30,616 SH       SOLE           2    30,616        --      --