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

                                   FORM 13F

                             FORM 13F COVER PAGE


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


Check here if Amendment [ ]; Amendment Number:


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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York        May 15, 2008
-------------------------------    ------------------------  ------------------
(Signature)                        (City, State)             (Date)

Report Type (Check only one.):

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

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

[ ] 13F COMBINATION REPORT.  (Check if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  5



Form 13F Information Table Entry Total: 6,255

Form 13F Information Table Value Total: $20,114,286(thousands)

List of Other Included Managers:

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


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

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  AIG SUNAMERICA ASSET MANAGEMENT CORP.

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

4         28-11910                 FSC SECURITIES CORPORATION

5         28-12857                 AIG FINANCIAL ADVISORS, INC.



                            13F SECURITIES - 1Q 2008



                                                                                                              VOTING AUTHORITY
                                                                                                       -----------------------------
                                   TITLE OF     CUSIP     VALUE     SHARES/  SH/ PUT/ INVESTMENT OTHER              SHARED
           ISSUER NAME               CLASS      NUMBER   X $1000   PRINCIPAL PRN CALL DISCRETION  MGRS   SOLE (A)    (B)    NONE (C)
-------------------------------- ------------ --------- --------- ---------- --- ---- ---------- ----- ----------- ------- ---------
                                                                                          
1-800-FLOWERS.COM INC               EQUITY    68243Q106       177     20,747  SH   --     SOLE       1      20,747      --        --
3COM CORP COM                       EQUITY    885535104         3      1,117  SH   --   DEFINED      5          --      --     1,117
3D SYSTEMS CORP                     EQUITY    88554D205       222     15,102  SH   --     SOLE       1      15,102      --        --
3M CO                               EQUITY    88579Y101    51,655    652,618  SH   --     SOLE       1     652,618      --        --
3M CO                               EQUITY    88579Y101     3,059     38,646  SH   --     SOLE       2      38,646      --        --
3M CO COM                           EQUITY    88579Y101        79      1,001  SH   --   DEFINED      4          --      --     1,001
3M CO COM                           EQUITY    88579Y101       455      5,744  SH   --   DEFINED      5          --      --     5,744
3M CO NOTE 11/2                  FIXED INCOME 88579YAB7         3          4 PRN   --   DEFINED      4          --      --         4
3PAR INC                            EQUITY    88580F109        44      6,438  SH   --     SOLE       1       6,438      --        --
4 KIDS ENTMT INC COM                EQUITY    350865101         9        890  SH   --   DEFINED      5          --      --       890
40 / 86 STRATEGIC INCOME FD SH
BEN INT                             EQUITY    349739102        97     11,680  SH   --   DEFINED      4          --      --    11,680
40 / 86 STRATEGIC INCOME FD SH
BEN INT                             EQUITY    349739102       217     26,091  SH   --   DEFINED      5          --      --    26,091
99 CENTS ONLY STORES                EQUITY    65440K106     1,499    151,526  SH   --     SOLE       1     151,526      --        --
A C MOORE ARTS & CRAFT              EQUITY    00086T103       118     17,361  SH   --     SOLE       1      17,361      --        --
AAR CORP COM                        EQUITY    000361105         4        150  SH   --   DEFINED      5          --      --       150
AASTROM BIOSCIENCES INC COM         EQUITY    00253U107         4     10,000  SH   --   DEFINED      5          --      --    10,000
ABB LTD                             EQUITY    000375204       646     24,000  SH   --     SOLE       2      24,000      --        --
ABB LTD SPONSORED ADR               EQUITY    000375204        89      3,300  SH   --   DEFINED      5          --      --     3,300
ABBOTT LABS                         EQUITY    002824100    10,695    193,934  SH   --     SOLE       2     193,934      --        --
ABBOTT LABS COM                     EQUITY    002824100         9        159  SH   --   DEFINED      4          --      --       159
ABBOTT LABS COM                     EQUITY    002824100        79      1,439  SH   --   DEFINED      5          --      --     1,439
ABERCROMBIE + FITCH CO              EQUITY    002896207         8        103  SH   --     SOLE       2         103      --        --
ABERDEEN ASIA PACIFIC INCOM COM     EQUITY    003009107        18      2,850  SH   --   DEFINED      4          --      --     2,850
ABERDEEN ASIA PACIFIC INCOM COM     EQUITY    003009107        24      3,870  SH   --   DEFINED      5          --      --     3,870
ABERDEEN AUSTRALIA EQTY FD I COM    EQUITY    003011103       366     24,063  SH   --   DEFINED      4          --      --    24,063
ABERDEEN AUSTRALIA EQTY FD I COM    EQUITY    003011103         9        600  SH   --   DEFINED      5          --      --       600
ABINGTON BANCORP INC                EQUITY    00350L109        93      8,967  SH   --     SOLE       1       8,967      --        --
ABX HOLDINGS INC                    EQUITY    00080S101       158     53,778  SH   --     SOLE       1      53,778      --        --
ACCENTURE LTD BERMUDA               EQUITY    G1150G111     1,591     45,250  SH   --     SOLE       2      45,250      --        --
ACCENTURE LTD BERMUDA CL A          EQUITY    G1150G111         4        117  SH   --   DEFINED      4          --      --       117
ACCENTURE LTD BERMUDA CL A          EQUITY    G1150G111        74      2,098  SH   --   DEFINED      5          --      --     2,098





                                                                                          
ACCO BRANDS CORP                    EQUITY    00081T108       628     46,298  SH   --     SOLE       1      46,298      --        --
ACE LTD                             EQUITY    G0070K103       593     10,764  SH   --     SOLE       2      10,764      --        --
ACERGY S A SPONSORED ADR            EQUITY    00443E104        11        500  SH   --   DEFINED      5          --      --       500
ACI WORLDWIDE INC COM               EQUITY    004498101         6        300  SH   --   DEFINED      5          --      --       300
ACME PACKET INC                     EQUITY    004764106       930    116,444  SH   --     SOLE       1     116,444      --        --
ACORDA THERAPEUTICS INC             EQUITY    00484M106       438     24,414  SH   --     SOLE       1      24,414      --        --
ACTEL CORP.                         EQUITY    004934105       342     22,351  SH   --     SOLE       1      22,351      --        --
ACTIVISION INC NEW                  EQUITY    004930202     1,307     47,861  SH   --     SOLE       2      47,861      --        --
ACTIVISION INC NEW COM NEW          EQUITY    004930202        52      1,912  SH   --   DEFINED      4          --      --     1,912
ACTIVISION, INC.                    EQUITY    004930202    19,848    726,754  SH   --     SOLE       1     726,754      --        --
ACTUANT CORP                        EQUITY    00508X203     1,421     47,028  SH   --     SOLE       1      47,028      --        --
ACTUATE CORP.                       EQUITY    00508B102       213     51,951  SH   --     SOLE       1      51,951      --        --
ACUITY BRANDS INC                   EQUITY    00508Y102     1,512     35,194  SH   --     SOLE       1      35,194      --        --
ACXIOM CORP.                        EQUITY    005125109     1,925    162,191  SH   --     SOLE       1     162,191      --        --
ADAMS GOLF INC COM NEW ADDED        EQUITY    006228209         2        250  SH   --   DEFINED      4          --      --       250
ADAPTEC, INC.                       EQUITY    00651F108       299    101,539  SH   --     SOLE       1     101,539      --        --
ADC TELECOMMUNICATIONS INC          EQUITY    000886309     3,431    284,012  SH   --     SOLE       1     284,012      --        --
ADMINISTAFF INC COM                 EQUITY    007094105        12        510  SH   --   DEFINED      5          --      --       510
ADMINISTAFF, INC.                   EQUITY    007094105       442     18,708  SH   --     SOLE       1      18,708      --        --
ADOBE SYS INC                       EQUITY    00724F101    11,082    311,380  SH   --     SOLE       2     311,380      --        --
ADOBE SYS INC COM                   EQUITY    00724F101        10        285  SH   --   DEFINED      4          --      --       285
ADOBE SYS INC COM                   EQUITY    00724F101        20        556  SH   --   DEFINED      5          --      --       556
ADOBE SYSTEMS INC.                  EQUITY    00724F101    26,386    741,376  SH   --     SOLE       1     741,376      --        --
ADOLOR CORPORATION                  EQUITY    00724X102        35      7,757  SH   --     SOLE       1       7,757      --        --
ADTRAN, INC.                        EQUITY    00738A106     3,351    181,127  SH   --     SOLE       1     181,127      --        --
ADVANCE AMERICA CASH ADVANCE        EQUITY    00739W107       396     52,508  SH   --     SOLE       1      52,508      --        --
ADVANCE AUTO PARTS                  EQUITY    00751Y106     7,689    225,827  SH   --     SOLE       1     225,827      --        --
ADVANCE AUTO PARTS                  EQUITY    00751Y106       212      6,230  SH   --     SOLE       2       6,230      --        --
ADVANCE AUTO PARTS INC COM          EQUITY    00751Y106        18        530  SH   --   DEFINED      4          --      --       530
ADVANCED ANALOGIC TECHNOLOGI        EQUITY    00752J108       184     32,732  SH   --     SOLE       1      32,732      --        --
ADVANCED ENERGY INDUSTRIES          EQUITY    007973100       407     30,730  SH   --     SOLE       1      30,730      --        --
ADVANCED LIFE SCIENCES HLDGS COM    EQUITY    00765H107         7      8,000  SH   --   DEFINED      4          --      --     8,000
ADVANCED MEDICAL OPTICS             EQUITY    00763M108     2,943    144,962  SH   --     SOLE       1     144,962      --        --
ADVANCED MICRO DEVICES              EQUITY    007903AL1       741  1,160,000  SH   --     SOLE       1   1,160,000      --        --
ADVANCED MICRO DEVICES INC          EQUITY    007903107         4        724  SH   --     SOLE       2         724      --        --
ADVANCED MICRO DEVICES INC COM      EQUITY    007903107       253     42,933  SH   --   DEFINED      5          --      --    42,933
ADVANCED MICRO DEVICES, INC.        EQUITY    007903107     4,503    764,458  SH   --     SOLE       1     764,458      --        --
ADVANTA CORP [B]                    EQUITY    007942204       224     31,803  SH   --     SOLE       1      31,803      --        --
ADVANTAGE ENERGY INCOME FD TR
UNIT                                EQUITY    00762L101       347     30,326  SH   --   DEFINED      4          --      --    30,326
ADVANTAGE ENERGY INCOME FD TR
UNIT                                EQUITY    00762L101        84      7,390  SH   --   DEFINED      5          --      --     7,390





                                                                                          
ADVENT CLAYMORE ENH GRW & IN COM    EQUITY    00765E104        25      1,750  SH   --   DEFINED      5          --      --     1,750
ADVENT SOFTWARE, INC.               EQUITY    007974108     2,442     57,287  SH   --     SOLE       1      57,287      --        --
ADVISORY BRD CO                     EQUITY    00762W107       851     15,496  SH   --     SOLE       1      15,496      --        --
ADVISORY BRD CO                     EQUITY    00762W107       538      9,800  SH   --     SOLE       2       9,800      --        --
AECOM TECHNOLOGY CORP               EQUITY    00766T100       957     36,782  SH   --     SOLE       1      36,782      --        --
AEP INDUSTRIES INC                  EQUITY    001031103       146      4,814  SH   --     SOLE       1       4,814      --        --
AERCAP HOLDINGS N V                 EQUITY    N00985106     2,008    114,200  SH   --     SOLE       2     114,200      --        --
AEROPOSTALE                         EQUITY    007865108       653     24,100  SH   --     SOLE       2      24,100      --        --
AEROPOSTALE COM                     EQUITY    007865108         8        289  SH   --   DEFINED      4          --      --       289
AEROPOSTALE INC                     EQUITY    007865108     5,853    215,916  SH   --     SOLE       1     215,916      --        --
AEROVIRONMENT INC                   EQUITY    008073108       130      6,375  SH   --     SOLE       1       6,375      --        --
AES CORP                            EQUITY    00130H105        13        800  SH   --     SOLE       2         800      --        --
AES CORP COM                        EQUITY    00130H105         8        500  SH   --   DEFINED      4          --      --       500
AES DRAX ENERGY LTD                 EQUITY    00130H105    10,928    655,573  SH   --     SOLE       1     655,573      --        --
AES TR III PFD CV 6.75%             EQUITY    00808N202       312      6,700  SH   --   DEFINED      5          --      --     6,700
AETNA INC                           EQUITY    00817Y108       586     13,934  SH   --     SOLE       2      13,934      --        --
AETNA INC NEW COM                   EQUITY    00817Y108        20        482  SH   --   DEFINED      5          --      --       482
AETNA INC-NEW                       EQUITY    00817Y108    25,997    617,661  SH   --     SOLE       1     617,661      --        --
AFC ENTERPRISES                     EQUITY    00104Q107       214     23,802  SH   --     SOLE       1      23,802      --        --
AFFILIATED COMPUTER SERVICES
CLASS A                             EQUITY    008190100     2,117     42,247  SH   --     SOLE       1      42,247      --        --
AFFILIATED COMPUTER SVCS I          EQUITY    008190100         6        115  SH   --     SOLE       2         115      --        --
AFFILIATED MANAGERS GROUP           EQUITY    008252108        71        780  SH   --     SOLE       1         780      --        --
AFFILIATED MANAGERS GROUP           EQUITY    008252108       644      7,100  SH   --     SOLE       2       7,100      --        --
AFFILIATED MANAGERS GROUP COM       EQUITY    008252108         4         40  SH   --   DEFINED      5          --      --        40
AFFYMAX INC                         EQUITY    00826A109        51      3,642  SH   --     SOLE       1       3,642      --        --
AFFYMETRIX INC                      EQUITY    00826T108     3,883    223,060  SH   --     SOLE       1     223,060      --        --
AFFYMETRIX INC                      EQUITY    00826T108       515     29,600  SH   --     SOLE       2      29,600      --        --
AFLAC INC                           EQUITY    001055102       374      5,757  SH   --     SOLE       2       5,757      --        --
AFLAC INC COM                       EQUITY    001055102        33        510  SH   --   DEFINED      4          --      --       510
AFLAC INC COM                       EQUITY    001055102       450      6,927  SH   --   DEFINED      5          --      --     6,927
AFLAC, INC.                         EQUITY    001055102    24,833    382,335  SH   --     SOLE       1     382,335      --        --
AFTERMARKET TECHNOLOGY              EQUITY    008318107       364     18,743  SH   --     SOLE       1      18,743      --        --
AGCO CORP COM                       EQUITY    001084102     4,982     83,200  SH   --     SOLE       3      83,200      --    83,200
AGCO CORP.                          EQUITY    001084102    13,109    218,924  SH   --     SOLE       1     218,924      --        --
AGILENT TECHNOLOGIES INC            EQUITY    00846U101     3,858    129,336  SH   --     SOLE       2     129,336      --        --
AGILENT TECHNOLOGIES INC COM        EQUITY    00846U101         3        116  SH   --   DEFINED      4          --      --       116
AGILENT TECHNOLOGIES INC COM        EQUITY    00846U101        20        655  SH   --   DEFINED      5          --      --       655
AGILENT TECHNOLOGIES INC.           EQUITY    00846U101     4,733    158,667  SH   --     SOLE       1     158,667      --        --
AGILYSYS INC                        EQUITY    00847J105       234     20,182  SH   --     SOLE       1      20,182      --        --
AGL RES INC                         EQUITY    001204106     9,318    271,500  SH   --     SOLE       2     271,500      --        --





                                                                                          
AGL RES INC COM                     EQUITY    001204106         7        200  SH   --   DEFINED      4          --      --       200
AGL RESOURCES, INC.                 EQUITY    001204106    18,623    542,617  SH   --     SOLE       1     542,617      --        --
AGNICO EAGLE MINES LTD COM          EQUITY    008474108        75      1,105  SH   --   DEFINED      5          --      --     1,105
AGNICO-EAGLE MINES                  EQUITY    008474108     1,258     18,556  SH   --    OTHER       1          --  18,556        --
AGREE REALTY CORP                   EQUITY    008492100       183      6,650  SH   --     SOLE       1       6,650      --        --
AGRIUM INC                          EQUITY    008916108     1,104     17,772  SH   --    OTHER       1          --  17,772        --
AGRIUM INC COM                      EQUITY    008916108       863     13,892  SH   --   DEFINED      4          --      --    13,892
AH BELO CORP                        EQUITY    001282102       166     14,526  SH   --     SOLE       1      14,526      --        --
AIR METHODS CORP                    EQUITY    009128307       433      8,952  SH   --     SOLE       1       8,952      --        --
AIR PRODS & CHEMS INC COM           EQUITY    009158106       351      3,815  SH   --   DEFINED      4          --      --     3,815
AIR PRODS + CHEMS INC               EQUITY    009158106        24        256  SH   --     SOLE       2         256      --        --
AIR PRODUCTS AND CHEMICALS INC      EQUITY    009158106    61,863    672,429  SH   --     SOLE       1     672,429      --        --
AIRGAS, INC.                        EQUITY    009363102     8,945    196,717  SH   --     SOLE       1     196,717      --        --
AIRSPAN NETWORKS INC COM            EQUITY    00950H102         5      5,000  SH   --   DEFINED      4          --      --     5,000
AIRTRAN HLDGS INC COM               EQUITY    00949P108        14      2,050  SH   --   DEFINED      5          --      --     2,050
AIRTRAN HOLDINGS, INC.              EQUITY    00949P108     1,958    296,595  SH   --     SOLE       1     296,595      --        --
AIRVANA INC                         EQUITY    00950V101        38      7,274  SH   --     SOLE       1       7,274      --        --
AK STEEL CORP.                      EQUITY    001547108       517      9,504  SH   --     SOLE       1       9,504      --        --
AK STL HLDG CORP                    EQUITY    001547108       166      3,050  SH   --     SOLE       2       3,050      --        --
AK STL HLDG CORP COM                EQUITY    001547108         8        144  SH   --   DEFINED      4          --      --       144
AK STL HLDG CORP COM                EQUITY    001547108        11        200  SH   --   DEFINED      5          --      --       200
AKAMAI  TECHNOLOGIES  INC.          EQUITY    00971T101     2,243     79,642  SH   --     SOLE       1      79,642      --        --
AKAMAI TECHNOLOGIES INC             EQUITY    00971T101     3,911    138,900  SH   --     SOLE       2     138,900      --        --
AKAMAI TECHNOLOGIES INC COM         EQUITY    00971T101         3         94  SH   --   DEFINED      5          --      --        94
AKORN INC                           EQUITY    009728106       223     47,234  SH   --     SOLE       1      47,234      --        --
ALADDIN KNOWLEDGE SYS ORD (F)       EQUITY    M0392N101     6,082    319,600  SH   --     SOLE       3     319,600      --   319,600
ALASKA AIR GROUP, INC.              EQUITY    011659109     2,408    122,745  SH   --     SOLE       1     122,745      --        --
ALASKA COMM. SYS. HLDGS., INC.      EQUITY    01167P101       449     36,645  SH   --     SOLE       1      36,645      --        --
ALBANY INTERNATIONAL CORP.
CLASS A                             EQUITY    012348108       909     25,161  SH   --     SOLE       1      25,161      --        --
ALBANY MOLECULAR                    EQUITY    012423109       254     20,945  SH   --     SOLE       1      20,945      --        --
ALBEMARLE CORP.                     EQUITY    012653101     6,625    181,409  SH   --     SOLE       1     181,409      --        --
ALBERTO CULVER CO NEW               EQUITY    013078100       392     14,300  SH   --     SOLE       2      14,300      --        --
ALBERTO CULVER CO NEW COM           EQUITY    013078100         5        200  SH   --   DEFINED      5          --      --       200
ALBERTO-CULVER CO                   EQUITY    013078100     5,567    203,110  SH   --     SOLE       1     203,110      --        --
ALCATEL-LUCENT SPONSORED ADR        EQUITY    013904305         1        238  SH   --   DEFINED      4          --      --       238
ALCATEL-LUCENT SPONSORED ADR        EQUITY    013904305        24      4,099  SH   --   DEFINED      5          --      --     4,099
ALCOA INC                           EQUITY    013817101     6,010    166,673  SH   --     SOLE       2     166,673      --        --
ALCOA INC COM                       EQUITY    013817101        54      1,507  SH   --   DEFINED      4          --      --     1,507
ALCOA INC COM                       EQUITY    013817101        84      2,340  SH   --   DEFINED      5          --      --     2,340
ALCOA, INC.                         EQUITY    013817101    20,895    579,461  SH   --     SOLE       1     579,461      --        --





                                                                                          
ALCON INC COM SHS                   EQUITY    H01301102         4         30  SH   --   DEFINED      4          --      --        30
ALCON INC COM SHS                   EQUITY    H01301102        14        100  SH   --   DEFINED      5          --      --       100
ALESCO FINANCIAL INC                EQUITY    014485106       151     52,316  SH   --     SOLE       1      52,316      --        --
ALESCO FINL INC COM                 EQUITY    014485106        39     13,400  SH   --   DEFINED      5          --      --    13,400
ALEXANDER & BALDWIN, INC.           EQUITY    014482103     4,287     99,515  SH   --     SOLE       1      99,515      --        --
ALEXANDRIA REAL ESTATE EQU          EQUITY    015271109       125      1,350  SH   --     SOLE       2       1,350      --        --
ALEXANDRIA REAL ESTATE EQUITIE      EQUITY    015271109     1,176     12,688  SH   --     SOLE       1      12,688      --        --
ALEXION PHARMACEUTICLAS, INC.       EQUITY    015351109     1,853     31,242  SH   --     SOLE       1      31,242      --        --
ALEXZA PHARMACEUTICALS INC          EQUITY    015384100       120     17,415  SH   --     SOLE       1      17,415      --        --
ALFA CORP.                          EQUITY    015385107       618     28,115  SH   --     SOLE       1      28,115      --        --
ALICO INC                           EQUITY    016230104       137      3,093  SH   --     SOLE       1       3,093      --        --
ALIGN TECHNOLOGY INC                EQUITY    016255101       564     50,775  SH   --     SOLE       1      50,775      --        --
ALIGN TECHNOLOGY INC COM            EQUITY    016255101        16      1,400  SH   --   DEFINED      5          --      --     1,400
ALKERMES INC                        EQUITY    01642T108     1,025     86,270  SH   --     SOLE       1      86,270      --        --
ALKERMES INC COM                    EQUITY    01642T108       266     22,400  SH   --   DEFINED      5          --      --    22,400
ALLEGHANY CORP                      EQUITY    017175100        75        219  SH   --     SOLE       1         219      --        --
ALLEGHENY ENERGY INC                EQUITY    017361106     3,662     72,521  SH   --     SOLE       1      72,521      --        --
ALLEGHENY ENERGY INC                EQUITY    017361106        10        200  SH   --     SOLE       2         200      --        --
ALLEGHENY ENERGY INC COM            EQUITY    017361106        15        300  SH   --   DEFINED      5          --      --       300
ALLEGHENY TECHNOLOGIES INC          EQUITY    01741R102     4,141     58,031  SH   --     SOLE       1      58,031      --        --
ALLEGHENY TECHNOLOGIES INC          EQUITY    01741R102         9        121  SH   --     SOLE       2         121      --        --
ALLEGHENY TECHNOLOGIES INC COM      EQUITY    01741R102        11        150  SH   --   DEFINED      5          --      --       150
ALLEGIANT TRAVEL CO                 EQUITY    01748X102       120      4,528  SH   --     SOLE       1       4,528      --        --
ALLERGAN INC                        EQUITY    018490102        21        366  SH   --     SOLE       2         366      --        --
ALLERGAN INC COM                    EQUITY    018490102        22        386  SH   --   DEFINED      4          --      --       386
ALLERGAN INC COM                    EQUITY    018490102         3         49  SH   --   DEFINED      5          --      --        49
ALLERGAN, INC.                      EQUITY    018490102    19,875    352,458  SH   --     SOLE       1     352,458      --        --
ALLETE INC COM NEW                  EQUITY    018522300        12        300  SH   --   DEFINED      4          --      --       300
ALLETE INC.                         EQUITY    018522300       850     21,998  SH   --     SOLE       1      21,998      --        --
ALLIANCE DATA SYSTEMS               EQUITY    018581108     8,983    189,086  SH   --     SOLE       1     189,086      --        --
ALLIANCE DATA SYSTEMS CORP          EQUITY    018581108    28,725    604,600  SH   --     SOLE       2     604,600      --        --
ALLIANCE IMAGING INC                EQUITY    018606202       188     21,889  SH   --     SOLE       1      21,889      --        --
ALLIANCE ONE INTERNATIONAL I        EQUITY    018772103       496     82,079  SH   --     SOLE       1      82,079      --        --
ALLIANCE RES PARTNER L P UT LTD
PART                                EQUITY    01877R108       364     10,404  SH   --   DEFINED      5          --      --    10,404
ALLIANCEBERNSTEIN GBL HGH IN COM    EQUITY    01879R106         4        300  SH   --   DEFINED      4          --      --       300
ALLIANCEBERNSTEIN GBL HGH IN COM    EQUITY    01879R106        16      1,236  SH   --   DEFINED      5          --      --     1,236
ALLIANCEBERNSTEIN HOLDING LP
UNIT LTD PARTN                      EQUITY    01881G106       301      4,745  SH   --   DEFINED      5          --      --     4,745
ALLIANCEBERNSTEIN INCOME FUN COM    EQUITY    01881E101       563     68,504  SH   --   DEFINED      4          --      --    68,504
ALLIANCEBERNSTEIN INCOME FUN COM    EQUITY    01881E101        49      6,000  SH   --   DEFINED      5          --      --     6,000
ALLIANT ENERGY CORP COM             EQUITY    018802108        43      1,225  SH   --   DEFINED      5          --      --     1,225





                                                                                          
ALLIANT ENERGY CORP.                EQUITY    018802108    10,195    291,211  SH   --     SOLE       1     291,211      --        --
ALLIANT TECHSYSTEMS INC             EQUITY    018804104     8,116     78,388  SH   --     SOLE       1      78,388      --        --
ALLIANT TECHSYSTEMS INC COM         EQUITY    018804104         9         85  SH   --   DEFINED      4          --      --        85
ALLIANT TECHSYSTEMS INC COM         EQUITY    018804104        24        229  SH   --   DEFINED      5          --      --       229
ALLIANZ SE SP ADR 1/10 SH           EQUITY    018805101         1         61  SH   --   DEFINED      5          --      --        61
ALLIED CAP CORP NEW COM             EQUITY    01903Q108       156      8,487  SH   --   DEFINED      4          --      --     8,487
ALLIED CAP CORP NEW COM             EQUITY    01903Q108       796     43,181  SH   --   DEFINED      5          --      --    43,181
ALLIED CAPITAL CORP                 EQUITY    01903Q108       113      6,109  SH   --     SOLE       1       6,109      --        --
ALLIED HEALTHCARE INTL INC          EQUITY    01923A109       797    498,044  SH   --     SOLE       1     498,044      --        --
ALLIED IRISH BKS P L C SPON ADR
ORD                                 EQUITY    019228402        53      1,230  SH   --   DEFINED      5          --      --     1,230
ALLIED WASTE INDUSTRIES IN          EQUITY    019589308       168     15,503  SH   --     SOLE       2      15,503      --        --
ALLIED WASTE INDUSTRIES, INC.       EQUITY    019589308     3,356    310,483  SH   --     SOLE       1     310,483      --        --
ALLIS-CHALMERS ENERGY INC           EQUITY    019645506       297     21,548  SH   --     SOLE       1      21,548      --        --
ALLOS THERAPEUTICS INC              EQUITY    019777101       268     44,147  SH   --     SOLE       1      44,147      --        --
ALLOS THERAPEUTICS INC COM          EQUITY    019777101        12      2,000  SH   --   DEFINED      4          --      --     2,000
ALLSCRIPTS HEALTHCARE SOLUTION      EQUITY    01988P108       490     47,491  SH   --     SOLE       1      47,491      --        --
ALLSTATE CORP                       EQUITY    020002101        32        670  SH   --     SOLE       2         670      --        --
ALLSTATE CORP COM                   EQUITY    020002101        59      1,228  SH   --   DEFINED      4          --      --     1,228
ALLSTATE CORP COM                   EQUITY    020002101       151      3,144  SH   --   DEFINED      5          --      --     3,144
ALLSTATE CORP.                      EQUITY    020002101    36,220    753,651  SH   --     SOLE       1     753,651      --        --
ALNYLAM PHARMACEUTICALS INC         EQUITY    02043Q107       733     30,028  SH   --     SOLE       1      30,028      --        --
ALON USA ENERGY INC                 EQUITY    020520102       169     11,122  SH   --     SOLE       1      11,122      --        --
ALPHA NATURAL RESOURCES INC         EQUITY    02076X102     2,443     56,227  SH   --     SOLE       1      56,227      --        --
ALPHARMA INC. CLASS A               EQUITY    020813101       975     37,195  SH   --     SOLE       1      37,195      --        --
ALPINE GLOBAL DYNAMIC DIVD F COM    EQUITY    02082E106        18      1,000  SH   --   DEFINED      4          --      --     1,000
ALPINE GLOBAL PREMIER PPTYS COM
SBI                                 EQUITY    02083A103       865     68,305  SH   --   DEFINED      4          --      --    68,305
ALPINE TOTAL DYNAMIC DIVID F COM
SBI                                 EQUITY    021060108        17      1,025  SH   --   DEFINED      4          --      --     1,025
ALPINE TOTAL DYNAMIC DIVID F COM
SBI                                 EQUITY    021060108        43      2,650  SH   --   DEFINED      5          --      --     2,650
ALTERA CORP                         EQUITY    021441100       204     11,057  SH   --     SOLE       2      11,057      --        --
ALTERA CORP COM                     EQUITY    021441100        11        585  SH   --   DEFINED      5          --      --       585
ALTERA CORP.                        EQUITY    021441100     2,883    156,420  SH   --     SOLE       1     156,420      --        --
ALTRA HOLDINGS INC                  EQUITY    02208R106       132      9,833  SH   --     SOLE       1       9,833      --        --
ALTRIA GROUP INC                    EQUITY    02209S103    25,398  1,144,054  SH   --     SOLE       1   1,144,054      --        --
ALTRIA GROUP INC                    EQUITY    02209S103     9,803    441,599  SH   --     SOLE       2     441,599      --        --
ALTRIA GROUP INC COM                EQUITY    02209S103       171      7,715  SH   --   DEFINED      4          --      --     7,715
ALTRIA GROUP INC COM                EQUITY    02209S103       248     11,181  SH   --   DEFINED      5          --      --    11,181
ALTUS PHARMACEUTICALS INC           EQUITY    02216N105        83     18,179  SH   --     SOLE       1      18,179      --        --
ALUMINUM CORP CHINA LTD SPON ADR
H SHS                               EQUITY    022276109        97      2,400  SH   --   DEFINED      5          --      --     2,400
ALVARION LTD SHS                    EQUITY    M0861T100         6        800  SH   --   DEFINED      5          --      --       800
ALZA CORP SDCV 7/2               FIXED INCOME 02261WAB5         3          3 PRN   --   DEFINED      4          --      --         3





                                                                                          
AMAG PHARMACEUTICALS INC            EQUITY    00163U106       581     14,367  SH   --     SOLE       1      14,367      --        --
AMAZON COM INC                      EQUITY    023135106        26        369  SH   --     SOLE       2         369      --        --
AMAZON COM INC COM                  EQUITY    023135106         9        122  SH   --   DEFINED      4          --      --       122
AMAZON COM INC COM                  EQUITY    023135106        23        326  SH   --   DEFINED      5          --      --       326
AMAZON.COM, INC.                    EQUITY    023135106    13,673    191,763  SH   --     SOLE       1     191,763      --        --
AMB PROPERTY CORP                   EQUITY    00163T109    27,211    500,019  SH   --     SOLE       1     500,019      --        --
AMBAC FINANCIAL GROUP INC.          EQUITY    023139108       411     71,491  SH   --     SOLE       1      71,491      --        --
AMBAC FINL GROUP INC                EQUITY    023139108         2        343  SH   --     SOLE       2         343      --        --
AMBAC FINL GROUP INC COM            EQUITY    023139108       158     27,525  SH   --   DEFINED      5          --      --    27,525
AMBASSADORS GROUP INC               EQUITY    023177108       255     13,486  SH   --     SOLE       1      13,486      --        --
AMBASSADORS INTERNATIONAL           EQUITY    023178106        57      7,646  SH   --     SOLE       1       7,646      --        --
AMCOL INTERNATIONAL CORP.           EQUITY    02341W103       687     22,011  SH   --     SOLE       1      22,011      --        --
AMCORE FINANCIAL, INC.              EQUITY    023912108       383     18,822  SH   --     SOLE       1      18,822      --        --
AMDOCS LTD                          EQUITY    G02602103     3,758    132,500  SH   --     SOLE       2     132,500      --        --
AMDOCS LTD ORD                      EQUITY    G02602103         6        200  SH   --   DEFINED      4          --      --       200
AMEDISYS INC                        EQUITY    023436108       876     22,267  SH   --     SOLE       1      22,267      --        --
AMERCO, INC.                        EQUITY    023586100       490      8,586  SH   --     SOLE       1       8,586      --        --
AMEREN CORP                         EQUITY    023608102        11        249  SH   --     SOLE       2         249      --        --
AMEREN CORP COM                     EQUITY    023608102         1         32  SH   --   DEFINED      4          --      --        32
AMEREN CORP COM                     EQUITY    023608102        62      1,397  SH   --   DEFINED      5          --      --     1,397
AMEREN CORP.                        EQUITY    023608102     4,090     92,860  SH   --     SOLE       1      92,860      --        --
AMERICA FIRST TAX EX IVS L P BEN
UNIT CTF                            EQUITY    02364V107         2        300  SH   --   DEFINED      4          --      --       300
AMERICA MOVIL SAB DE CV             EQUITY    02364W105     5,307     83,332  SH   --     SOLE       1      83,332      --        --
AMERICA MOVIL SAB DE CV SPON ADR
A SHS                               EQUITY    02364W204       286      4,500  SH   --   DEFINED      5          --      --     4,500
AMERICA MOVIL SAB DE CV SPON ADR
L SHS                               EQUITY    02364W105       104      1,632  SH   --   DEFINED      4          --      --     1,632
AMERICA MOVIL SAB DE CV SPON ADR
L SHS                               EQUITY    02364W105       669     10,499  SH   --   DEFINED      5          --      --    10,499
AMERICAN AXLE & MFG HOLDINGS        EQUITY    024061103       787     38,383  SH   --     SOLE       1      38,383      --        --
AMERICAN CAMPUS COMMUNITIES INC     EQUITY    024835100       636     23,238  SH   --     SOLE       1      23,238      --        --
AMERICAN CAP STRATEGIES LT          EQUITY    024937104       189      5,533  SH   --     SOLE       2       5,533      --        --
AMERICAN CAP. STRATEGIES, INC.      EQUITY    024937104     3,008     88,059  SH   --     SOLE       1      88,059      --        --
AMERICAN CAPITAL STRATEGIES COM     EQUITY    024937104     1,088     31,844  SH   --   DEFINED      4          --      --    31,844
AMERICAN CAPITAL STRATEGIES COM     EQUITY    024937104       232      6,780  SH   --   DEFINED      5          --      --     6,780
AMERICAN CMNTY BANCSHARES IN COM    EQUITY    02520W106        25      2,795  SH   --   DEFINED      5          --      --     2,795
AMERICAN COMMERCIAL LINES INC       EQUITY    025195207       680     43,020  SH   --     SOLE       1      43,020      --        --
AMERICAN DAIRY INC                  EQUITY    025334103        54      5,873  SH   --     SOLE       1       5,873      --        --
AMERICAN DENTAL PARTNERS INC        EQUITY    025353103       104     10,724  SH   --     SOLE       1      10,724      --        --
AMERICAN EAGLE OUTFITTERS           EQUITY    02553E106     8,935    510,285  SH   --     SOLE       1     510,285      --        --
AMERICAN EAGLE OUTFITTERS           EQUITY    02553E106    10,958    625,800  SH   --     SOLE       2     625,800      --        --
AMERICAN ECOLOGY CORP               EQUITY    025533407       352     13,915  SH   --     SOLE       1      13,915      --        --
AMERICAN ECOLOGY CORP               EQUITY    025533407       231      9,131  SH   --     SOLE       2       9,131      --        --





                                                                                          
AMERICAN ELEC PWR INC               EQUITY    025537101       327      7,859  SH   --     SOLE       2       7,859      --        --
AMERICAN ELEC PWR INC COM           EQUITY    025537101       339      8,136  SH   --   DEFINED      5          --      --     8,136
AMERICAN ELECTRIC POWER, INC.       EQUITY    025537101    15,229    365,823  SH   --     SOLE       1     365,823      --        --
AMERICAN EQUITY INVT LIFE HL        EQUITY    025676206       453     48,768  SH   --     SOLE       1      48,768      --        --
AMERICAN EXPRESS CO                 EQUITY    025816109       275      6,282  SH   --     SOLE       2       6,282      --        --
AMERICAN EXPRESS CO COM             EQUITY    025816109         3         62  SH   --   DEFINED      4          --      --        62
AMERICAN EXPRESS CO COM             EQUITY    025816109       281      6,426  SH   --   DEFINED      5          --      --     6,426
AMERICAN EXPRESS CO.                EQUITY    025816109    34,691    793,477  SH   --     SOLE       1     793,477      --        --
AMERICAN FINANCIAL GROUP, INC.      EQUITY    025932104     4,432    173,396  SH   --     SOLE       1     173,396      --        --
AMERICAN FINANCIAL REALTY TR        EQUITY    02607P305       887    111,768  SH   --     SOLE       1     111,768      --        --
AMERICAN FIRST MORTGAGE INVES       EQUITY    55272X102       820    130,096  SH   --     SOLE       1     130,096      --        --
AMERICAN GREETINGS CORP. CLASS A    EQUITY    026375105     3,125    168,469  SH   --     SOLE       1     168,469      --        --
AMERICAN INTERNATIONAL GROUP        EQUITY    026874107   136,176  3,148,571  SH   --     SOLE       1   3,148,571      --        --
AMERICAN INTL GROUP INC             EQUITY    026874107       130      3,015  SH   --     SOLE       2       3,015      --        --
AMERICAN INTL GROUP INC COM         EQUITY    026874107       112      2,586  SH   --   DEFINED      4          --      --     2,586
AMERICAN INTL GROUP INC COM         EQUITY    026874107       215      4,960  SH   --   DEFINED      5          --      --     4,960
AMERICAN MEDICAL SYSTEMS HOLDI      EQUITY    02744M108       877     61,820  SH   --     SOLE       1      61,820      --        --
AMERICAN NATIONAL IN                EQUITY    028591105        50        469  SH   --     SOLE       1         469      --        --
AMERICAN ORIENTAL BIOENGINEERING
INC                                 EQUITY    028731107       390     48,167  SH   --     SOLE       1      48,167      --        --
AMERICAN PHYSICIANS CAPITAL IN      EQUITY    028884104       331      7,137  SH   --     SOLE       1       7,137      --        --
AMERICAN PUBLIC EDUCATION INC       EQUITY    02913V103       139      4,564  SH   --     SOLE       1       4,564      --        --
AMERICAN RAILCAR INDUSTRIES INC     EQUITY    02916P103       171      8,406  SH   --     SOLE       1       8,406      --        --
AMERICAN REPROGRAPHICS CO           EQUITY    029263100       379     25,527  SH   --     SOLE       1      25,527      --        --
AMERICAN REPROGRAPHICS CO COM       EQUITY    029263100        15      1,000  SH   --   DEFINED      5          --      --     1,000
AMERICAN SCIENCE & ENGINEERI        EQUITY    029429107       430      7,873  SH   --     SOLE       1       7,873      --        --
AMERICAN STATES WATER CO.           EQUITY    029899101       527     14,636  SH   --     SOLE       1      14,636      --        --
AMERICAN STS WTR CO COM             EQUITY    029899101        29        800  SH   --   DEFINED      5          --      --       800
AMERICAN SUPERCONDUCTOR CORP        EQUITY    030111108       808     34,834  SH   --     SOLE       1      34,834      --        --
AMERICAN SUPERCONDUCTOR CORP
CALL                                OPTION    030111908         6         10  -- CALL   DEFINED      5          --      --        10
AMERICAN TOWER CORP                 EQUITY    029912201     8,631    220,125  SH   --     SOLE       1     220,125      --        --
AMERICAN TOWER CORP                 EQUITY    029912201       836     21,310  SH   --     SOLE       2      21,310      --        --
AMERICAN VANGUARD CORP              EQUITY    030371108       260     15,610  SH   --     SOLE       1      15,610      --        --
AMERICAN WOODMARK CORP COM          EQUITY    030506109        10        500  SH   --   DEFINED      5          --      --       500
AMERICAN WOODMARK CORP.             EQUITY    030506109       192      9,336  SH   --     SOLE       1       9,336      --        --
AMERICANWEST BANCORPORATION         EQUITY    03058P109       129     14,745  SH   --     SOLE       1      14,745      --        --
AMERICREDIT CORP COM                EQUITY    03060R101         2        182  SH   --   DEFINED      5          --      --       182
AMERICREDIT CORP.                   EQUITY    03060R101     2,777    275,814  SH   --     SOLE       1     275,814      --        --
AMERIGAS PARTNERS L P UNIT L P
INT                                 EQUITY    030975106        11        350  SH   --   DEFINED      4          --      --       350
AMERIGAS PARTNERS L P UNIT L P
INT                                 EQUITY    030975106        19        623  SH   --   DEFINED      5          --      --       623
AMERIGON INC                        EQUITY    03070L300       274     18,547  SH   --     SOLE       1      18,547      --        --





                                                                                          
AMERIGROUP CORP                     EQUITY    03073T102     1,237     45,266  SH   --     SOLE       1      45,266      --        --
AMERIGROUP CORP                     EQUITY    03073T102       123      4,500  SH   --     SOLE       2       4,500      --        --
AMERIGROUP CORP COM                 EQUITY    03073T102         3        114  SH   --   DEFINED      5          --      --       114
AMERIPRISE FINANCIAL INC            EQUITY    03076C106    64,256  1,239,260  SH   --     SOLE       1   1,239,260      --        --
AMERIPRISE FINL INC                 EQUITY    03076C106     7,980    153,901  SH   --     SOLE       2     153,901      --        --
AMERIPRISE FINL INC COM             EQUITY    03076C106        35        676  SH   --   DEFINED      5          --      --       676
AMERIS BANCORP                      EQUITY    03076K108       187     11,616  SH   --     SOLE       1      11,616      --        --
AMERISAFE INC                       EQUITY    03071H100       204     16,127  SH   --     SOLE       1      16,127      --        --
AMERISOURCEBERGEN CO                EQUITY    03073E105     7,167    174,882  SH   --     SOLE       1     174,882      --        --
AMERISOURCEBERGEN CORP              EQUITY    03073E105     4,315    105,294  SH   --     SOLE       2     105,294      --        --
AMERISTAR CASINOS                   EQUITY    03070Q101       396     21,688  SH   --     SOLE       1      21,688      --        --
AMERITYRE CORP COM                  EQUITY    03073V107         2      1,000  SH   --   DEFINED      4          --      --     1,000
AMERON, INC.                        EQUITY    030710107       731      7,815  SH   --     SOLE       1       7,815      --        --
AMETEK INC NEW                      EQUITY    031100100     4,604    104,855  SH   --     SOLE       2     104,855      --        --
AMETEK INC NEW COM                  EQUITY    031100100         8        187  SH   --   DEFINED      4          --      --       187
AMETEK, INC.                        EQUITY    031100100    11,189    254,822  SH   --     SOLE       1     254,822      --        --
AMGEN INC                           EQUITY    031162100     1,020     24,425  SH   --     SOLE       2      24,425      --        --
AMGEN INC COM                       EQUITY    031162100       259      6,207  SH   --   DEFINED      4          --      --     6,207
AMGEN INC COM                       EQUITY    031162100       278      6,660  SH   --   DEFINED      5          --      --     6,660
AMGEN, INC.                         EQUITY    031162100    36,103    864,129  SH   --     SOLE       1     864,129      --        --
AMICUS THERAPEUTICS INC             EQUITY    03152W109        46      4,297  SH   --     SOLE       1       4,297      --        --
AMKOR TECHNOLOGY INC                EQUITY    031652100       149     13,950  SH   --     SOLE       2      13,950      --        --
AMKOR TECHNOLOGY, INC               EQUITY    031652100       960     89,741  SH   --     SOLE       1      89,741      --        --
AMN HEALTHCARE SERVICE              EQUITY    001744101       459     29,761  SH   --     SOLE       1      29,761      --        --
AMPAL AMERICAN ISRAEL               EQUITY    032015109       112     17,509  SH   --     SOLE       1      17,509      --        --
AMPCO-PITTSBURGH CORP               EQUITY    032037103       267      6,205  SH   --     SOLE       1       6,205      --        --
AMPHENOL CORP NEW CL A              EQUITY    032095101         4        106  SH   --   DEFINED      5          --      --       106
AMPHENOL CORP. CLASS A              EQUITY    032095101    15,766    423,237  SH   --     SOLE       1     423,237      --        --
AMR CORP COM                        EQUITY    001765106        58      6,432  SH   --   DEFINED      5          --      --     6,432
AMR CORP.                           EQUITY    001765106       153     16,911  SH   --     SOLE       1      16,911      --        --
AMREP CORP                          EQUITY    032159105        71      1,354  SH   --     SOLE       1       1,354      --        --
AMSURG CORP CL A                    EQUITY    03232P405       621     26,210  SH   --     SOLE       1      26,210      --        --
AMTRUST FINANCIAL SERVICES INC      EQUITY    032359309       356     21,965  SH   --     SOLE       1      21,965      --        --
AMYLIN PHARMACEUTICALS INC          EQUITY    032346108       260      8,900  SH   --     SOLE       2       8,900      --        --
AMYLIN PHARMACEUTICALS INC COM      EQUITY    032346108        44      1,500  SH   --   DEFINED      5          --      --     1,500
AMYLIN PHARMACEUTICALS, INC.        EQUITY    032346108       273      9,339  SH   --     SOLE       1       9,339      --        --
ANADARKO PETE CORP                  EQUITY    032511107        35        559  SH   --     SOLE       2         559      --        --
ANADARKO PETE CORP COM              EQUITY    032511107        15        232  SH   --   DEFINED      4          --      --       232
ANADARKO PETE CORP COM              EQUITY    032511107        39        611  SH   --   DEFINED      5          --      --       611
ANADARKO PETROLEUM CORP.            EQUITY    032511107    24,984    396,383  SH   --     SOLE       1     396,383      --        --





                                                                                          
ANADIGICS INC                       EQUITY    032515108       352     53,683  SH   --     SOLE       1      53,683      --        --
ANADIGICS INC COM                   EQUITY    032515108        10      1,600  SH   --   DEFINED      4          --      --     1,600
ANADIGICS INC COM                   EQUITY    032515108         9      1,300  SH   --   DEFINED      5          --      --     1,300
ANALOG DEVICES INC                  EQUITY    032654105        10        351  SH   --     SOLE       2         351      --        --
ANALOG DEVICES INC COM              EQUITY    032654105         2         62  SH   --   DEFINED      5          --      --        62
ANALOG DEVICES, INC.                EQUITY    032654105     7,976    270,189  SH   --     SOLE       1     270,189      --        --
ANALOGIC CORP.                      EQUITY    032657207       756     11,358  SH   --     SOLE       1      11,358      --        --
ANAREN INC                          EQUITY    032744104       160     12,625  SH   --     SOLE       1      12,625      --        --
ANCHOR BANCORP WISCONSIN, INC.      EQUITY    032839102       319     16,796  SH   --     SOLE       1      16,796      --        --
ANDERSONS INC/THE                   EQUITY    034164103       595     13,345  SH   --     SOLE       1      13,345      --        --
ANGIODYNAMICS INC                   EQUITY    03475V101       208     18,006  SH   --     SOLE       1      18,006      --        --
ANGLO AMERN PLC ADR NEW             EQUITY    03485P201       114      3,838  SH   --   DEFINED      4          --      --     3,838
ANGLO AMERN PLC ADR NEW             EQUITY    03485P201         5        170  SH   --   DEFINED      5          --      --       170
ANHEUSER BUSCH COS INC              EQUITY    035229103    25,382    534,930  SH   --     SOLE       2     534,930      --        --
ANHEUSER BUSCH COS INC COM          EQUITY    035229103        64      1,350  SH   --   DEFINED      4          --      --     1,350
ANHEUSER BUSCH COS INC COM          EQUITY    035229103       202      4,248  SH   --   DEFINED      5          --      --     4,248
ANHEUSER-BUSCH COMPANIES, INC.      EQUITY    035229103    38,960    821,071  SH   --     SOLE       1     821,071      --        --
ANIMAL HEALTH INTERNATIONA          EQUITY    03525N109     2,362    215,899  SH   --     SOLE       2     215,899      --        --
ANIMAL HEALTH INTERNATIONAL INC     EQUITY    03525N109       111     10,128  SH   --     SOLE       1      10,128      --        --
ANIXTER INTERNATIONALL, INC.        EQUITY    035290105     1,697     26,496  SH   --     SOLE       1      26,496      --        --
ANIXTER INTL INC                    EQUITY    035290105       448      7,000  SH   --     SOLE       2       7,000      --        --
ANIXTER INTL INC COM                EQUITY    035290105         1         18  SH   --   DEFINED      4          --      --        18
ANN TAYLOR STORES CORP.             EQUITY    036115103     3,576    147,905  SH   --     SOLE       1     147,905      --        --
ANNALY CAP MGMT INC COM             EQUITY    035710409       223     14,527  SH   --   DEFINED      5          --      --    14,527
ANNALY CAPITAL MANAGEMENT           EQUITY    035710409       119      7,800  SH   --     SOLE       2       7,800      --        --
ANNALY MTG MGMT INC                 EQUITY    035710409       938     61,227  SH   --     SOLE       1      61,227      --        --
ANSOFT CORP                         EQUITY    036384105     1,697     55,591  SH   --     SOLE       1      55,591      --        --
ANSYS INC                           EQUITY    03662Q105     1,685     48,802  SH   --     SOLE       1      48,802      --        --
ANSYS INC                           EQUITY    03662Q105       507     14,700  SH   --     SOLE       2      14,700      --        --
ANTARES PHARMA INC COM              EQUITY    036642106         1      1,000  SH   --   DEFINED      4          --      --     1,000
ANTHRACITE CAP INC COM              EQUITY    037023108         7        985  SH   --   DEFINED      5          --      --       985
ANTHRACITE CAPITAL INC.             EQUITY    037023108     3,622    548,751  SH   --     SOLE       1     548,751      --        --
ANWORTH MORTGAGE ASSET              EQUITY    037347101     1,010    164,693  SH   --     SOLE       1     164,693      --        --
ANWORTH MORTGAGE ASSET CP COM       EQUITY    037347101         3        520  SH   --   DEFINED      5          --      --       520
AON CORP                            EQUITY    037389103       887     22,065  SH   --     SOLE       2      22,065      --        --
AON CORP COM                        EQUITY    037389103         9        225  SH   --   DEFINED      5          --      --       225
AON CORP.                           EQUITY    037389103     6,471    160,974  SH   --     SOLE       1     160,974      --        --
APACHE CORP                         EQUITY    037411105     1,198      9,918  SH   --     SOLE       2       9,918      --        --
APACHE CORP COM                     EQUITY    037411105        13        110  SH   --   DEFINED      4          --      --       110
APACHE CORP COM                     EQUITY    037411105       193      1,598  SH   --   DEFINED      5          --      --     1,598





                                                                                          
APACHE CORP.                        EQUITY    037411105    38,090    315,264  SH   --     SOLE       1     315,264      --        --
APARTMENT INVT & MGMT CO - A        EQUITY    03748R101     1,585     44,267  SH   --     SOLE       1      44,267      --        --
APARTMENT INVT & MGMT CO CL A       EQUITY    03748R101        11        300  SH   --   DEFINED      5          --      --       300
APARTMENT INVT + MGMT CO            EQUITY    03748R101       166      4,629  SH   --     SOLE       2       4,629      --        --
APCO ARGENTINA INC                  EQUITY    037489101       203      7,828  SH   --     SOLE       1       7,828      --        --
APOGEE ENTERPRISES INC COM          EQUITY    037598109       546     35,454  SH   --   DEFINED      4          --      --    35,454
APOGEE ENTERPRISES, INC.            EQUITY    037598109       380     24,699  SH   --     SOLE       1      24,699      --        --
APOLLO GROUP INC                    EQUITY    037604105         7        164  SH   --     SOLE       2         164      --        --
APOLLO GROUP INC CL A               EQUITY    037604105       410      9,500  SH   --   DEFINED      5          --      --     9,500
APOLLO GROUP, INC. CLASS A          EQUITY    037604105     4,728    109,455  SH   --     SOLE       1     109,455      --        --
APOLLO INVESTMENT CORP              EQUITY    03761U106     6,095    385,042  SH   --     SOLE       1     385,042      --        --
APOLLO INVT CORP COM                EQUITY    03761U106       189     11,937  SH   --   DEFINED      4          --      --    11,937
APOLLO INVT CORP COM                EQUITY    03761U106       639     40,350  SH   --   DEFINED      5          --      --    40,350
APPLE COMPUTER, INC.                EQUITY    037833100   116,473    811,662  SH   --     SOLE       1     811,662      --        --
APPLE INC                           EQUITY    037833100    16,523    115,142  SH   --     SOLE       2     115,142      --        --
APPLE INC COM                       EQUITY    037833100     1,514     10,550  SH   --   DEFINED      4          --      --    10,550
APPLE INC COM                       EQUITY    037833100     2,772     19,319  SH   --   DEFINED      5          --      --    19,319
APPLERA CORP                        EQUITY    038020202       470     31,700  SH   --     SOLE       2      31,700      --        --
APPLERA CORP  APPLIED BIOSYSTEM     EQUITY    038020103     3,739    113,793  SH   --     SOLE       1     113,793      --        --
APPLERA CORP-CELERA GROUP           EQUITY    038020202       994     67,646  SH   --     SOLE       1      67,646      --        --
APPLIED ENERGETICS INC              EQUITY    03819M106        45     27,327  SH   --     SOLE       1      27,327      --        --
APPLIED INDUSTRIAL TECH., INC.      EQUITY    03820C105     1,104     36,950  SH   --     SOLE       1      36,950      --        --
APPLIED MATERIALS INC               EQUITY    038222105       952     48,818  SH   --     SOLE       2      48,818      --        --
APPLIED MATERIALS, INC.             EQUITY    038222105    28,617  1,466,771  SH   --     SOLE       1   1,466,771      --        --
APPLIED MATLS INC COM               EQUITY    038222105        13        675  SH   --   DEFINED      4          --      --       675
APPLIED MATLS INC COM               EQUITY    038222105        96      4,934  SH   --   DEFINED      5          --      --     4,934
APPLIED MICRO CIRCUITS CORP         EQUITY    03822W406       400     55,759  SH   --     SOLE       1      55,759      --        --
APPROACH RESOURCES INC              EQUITY    03834A103       117      7,433  SH   --     SOLE       1       7,433      --        --
APPROACH RESOURCES INC COM          EQUITY    03834A103     1,595    101,700  SH   --     SOLE       3     101,700      --   101,700
APRIA HEALTHCARE GROUP, INC.        EQUITY    037933108     2,788    141,143  SH   --     SOLE       1     141,143      --        --
APTARGROUP, INC.                    EQUITY    038336103     8,614    221,279  SH   --     SOLE       1     221,279      --        --
AQUA AMER INC                       EQUITY    03836W103     8,772    467,100  SH   --     SOLE       2     467,100      --        --
AQUA AMERICA INC                    EQUITY    03836W103     6,000    319,471  SH   --     SOLE       1     319,471      --        --
AQUA AMERICA INC COM                EQUITY    03836W103        34      1,801  SH   --   DEFINED      4          --      --     1,801
AQUA AMERICA INC COM                EQUITY    03836W103        88      4,710  SH   --   DEFINED      5          --      --     4,710
AQUILA INC                          EQUITY    03840P102     3,900  1,215,054  SH   --     SOLE       1   1,215,054      --        --
AQUILA INC COM                      EQUITY    03840P102         3        933  SH   --   DEFINED      4          --      --       933
AQUILA INC COM                      EQUITY    03840P102         1        367  SH   --   DEFINED      5          --      --       367
ARACRUZ CELULOSE S A SPON ADR
PFD B                               EQUITY    038496204       116      1,700  SH   --   DEFINED      5          --      --     1,700
ARAID PHARAMACEUTICLAS, INC.        EQUITY    04033A100       199     58,926  SH   --     SOLE       1      58,926      --        --





                                                                                          
ARBITRON INC COM                    EQUITY    03875Q108         4         97  SH   --   DEFINED      4          --      --        97
ARBITRON, INC.                      EQUITY    03875Q108     1,045     24,221  SH   --     SOLE       1      24,221      --        --
ARBOR REALTY TRUST INC              EQUITY    038923108       175     11,604  SH   --     SOLE       1      11,604      --        --
ARBOR RLTY TR INC COM               EQUITY    038923108        21      1,400  SH   --   DEFINED      5          --      --     1,400
ARCH CHEMICALS INC                  EQUITY    03937R102       335      9,000  SH   --     SOLE       2       9,000      --        --
ARCH CHEMICALS, INC.                EQUITY    03937R102       777     20,853  SH   --     SOLE       1      20,853      --        --
ARCH COAL INC COM                   EQUITY    039380100        53      1,229  SH   --   DEFINED      5          --      --     1,229
ARCH COAL, INC.                     EQUITY    039380100    14,915    342,871  SH   --     SOLE       1     342,871      --        --
ARCHER DANIELS MIDLAND CO           EQUITY    039483102     1,472     35,769  SH   --     SOLE       2      35,769      --        --
ARCHER DANIELS MIDLAND CO COM       EQUITY    039483102        55      1,342  SH   --   DEFINED      4          --      --     1,342
ARCHER DANIELS MIDLAND CO COM       EQUITY    039483102       140      3,400  SH   --   DEFINED      5          --      --     3,400
ARCHER DANIELS MIDLAND CO.          EQUITY    039483102    17,751    431,279  SH   --     SOLE       1     431,279      --        --
ARCSIGHT INC                        EQUITY    039666102        41      5,892  SH   --     SOLE       1       5,892      --        --
ARCTIC CAT, INC.                    EQUITY    039670104        75     10,290  SH   --     SOLE       1      10,290      --        --
ARDEN GROUP INC                     EQUITY    039762109       139        972  SH   --     SOLE       1         972      --        --
ARENA PHARMACEUTICALS INC           EQUITY    040047102       424     61,919  SH   --     SOLE       1      61,919      --        --
ARENA RESOURCES INC                 EQUITY    040049108     1,012     26,131  SH   --     SOLE       1      26,131      --        --
ARES CAP CORP COM                   EQUITY    04010L103       184     14,644  SH   --   DEFINED      4          --      --    14,644
ARES CAPITAL CORP                   EQUITY    04010L103       749     59,610  SH   --     SOLE       1      59,610      --        --
ARGON ST INC                        EQUITY    040149106       190     11,166  SH   --     SOLE       1      11,166      --        --
ARIBA INC                           EQUITY    04033V203       703     72,826  SH   --     SOLE       1      72,826      --        --
ARKANSAS BEST CORP.                 EQUITY    040790107       616     19,346  SH   --     SOLE       1      19,346      --        --
ARLINGTON TANKERS LTD COM           EQUITY    G04899103       202      9,623  SH   --   DEFINED      4          --      --     9,623
ARQULE, INC.                        EQUITY    04269E107       143     33,405  SH   --     SOLE       1      33,405      --        --
ARRAY BIOPHARMA INC                 EQUITY    04269X105       283     40,327  SH   --     SOLE       1      40,327      --        --
ARRIS GROUP INC                     EQUITY    04269Q100       669    114,875  SH   --     SOLE       1     114,875      --        --
ARRIS GROUP INC COM                 EQUITY    04269Q100         7      1,200  SH   --   DEFINED      5          --      --     1,200
ARROW ELECTRONICS INC               EQUITY    042735100     9,900    294,195  SH   --     SOLE       1     294,195      --        --
ARROW ELECTRS INC                   EQUITY    042735100       178      5,300  SH   --     SOLE       2       5,300      --        --
ARROWHEAD RESEARCH CORP             EQUITY    042797100        82     29,036  SH   --     SOLE       1      29,036      --        --
ART TECHNOLOGY GROUP INC            EQUITY    04289L107       426    109,743  SH   --     SOLE       1     109,743      --        --
ARTHROCARE CORP.                    EQUITY    043136100       787     23,598  SH   --     SOLE       1      23,598      --        --
ARUBA NETWORKS INC                  EQUITY    043176106        37      7,168  SH   --     SOLE       1       7,168      --        --
ARVINMERITOR, INC                   EQUITY    043353101     2,926    233,856  SH   --     SOLE       1     233,856      --        --
ASBURY AUTOMOTIVE GROUP             EQUITY    043436104       302     21,980  SH   --     SOLE       1      21,980      --        --
ASHFORD HOSPITALITY TRUST           EQUITY    044103109     1,313    231,203  SH   --     SOLE       1     231,203      --        --
ASHLAND INC                         EQUITY    044209104     1,216     25,709  SH   --     SOLE       1      25,709      --        --
ASHLAND INC NEW                     EQUITY    044209104         3         67  SH   --     SOLE       2          67      --        --
ASIAINFO HLDGS INC                  EQUITY    04518A104       300     27,600  SH   --     SOLE       2      27,600      --        --
ASIAINFO HOLDINGS INC.              EQUITY    04518A104     4,367    409,175  SH   --     SOLE       1     409,175      --        --





                                                                                          
ASPECT MEDICAL SYSTEMS, INC.        EQUITY    045235108        81     13,273  SH   --     SOLE       1      13,273      --        --
ASPEN INSURANCE HOLDINGS L          EQUITY    G05384105       330     12,500  SH   --     SOLE       2      12,500      --        --
ASPEN INSURANCE HOLDINGS LTD SHS    EQUITY    G05384105        11        407  SH   --   DEFINED      5          --      --       407
ASSET ACCEPTANCE CAPITAL            EQUITY    04543P100       123     12,800  SH   --     SOLE       1      12,800      --        --
ASSISTED LIVING CONCEPTS INC        EQUITY    04544X102       284     48,190  SH   --     SOLE       1      48,190      --        --
ASSOCIATED BANC-CORP.               EQUITY    045487105     8,162    306,502  SH   --     SOLE       1     306,502      --        --
ASSOCIATED ESTATES REALTY           EQUITY    045604105     1,514    132,331  SH   --     SOLE       1     132,331      --        --
ASSURANT INC                        EQUITY    04621X108     2,706     44,470  SH   --     SOLE       1      44,470      --        --
ASSURANT INC                        EQUITY    04621X108     4,206     69,114  SH   --     SOLE       2      69,114      --        --
ASTA FUNDING INC                    EQUITY    046220109       134      9,649  SH   --     SOLE       1       9,649      --        --
ASTEC INDS INC COM                  EQUITY    046224101       626     16,138  SH   --     SOLE       1      16,138      --        --
ASTORIA FINANCIAL CORP.             EQUITY    046265104     5,308    195,441  SH   --     SOLE       1     195,441      --        --
ASTRAZENECA PLC SPONSORED ADR       EQUITY    046353108         7        175  SH   --   DEFINED      5          --      --       175
ASTRONICS CORP COM                  EQUITY    046433108        21      1,076  SH   --   DEFINED      5          --      --     1,076
ASYST TECHNOLOGIES, INC.            EQUITY    04648X107       148     42,250  SH   --     SOLE       1      42,250      --        --
AT&T INC                            EQUITY    00206R102   223,955  5,847,386  SH   --     SOLE       1   5,847,386      --        --
AT&T INC COM                        EQUITY    00206R102       851     22,208  SH   --   DEFINED      4          --      --    22,208
AT&T INC COM                        EQUITY    00206R102     1,798     46,944  SH   --   DEFINED      5          --      --    46,944
AT+T INC                            EQUITY    00206R102    42,748  1,116,127  SH   --     SOLE       2   1,116,127      --        --
ATHENAHEALTH INC                    EQUITY    04685W103       141      5,947  SH   --     SOLE       1       5,947      --        --
ATHEROS COMMUNICATIONS              EQUITY    04743P108     1,055     50,613  SH   --     SOLE       1      50,613      --        --
ATHEROS COMMUNICATIONS INC          EQUITY    04743P108       942     45,200  SH   --     SOLE       2      45,200      --        --
ATLANTIC TELE-NETWORK INC           EQUITY    049079205       273      8,079  SH   --     SOLE       1       8,079      --        --
ATLAS AIR WORLDWIDE HLDGS IN COM
NEW                                 EQUITY    049164205         5         86  SH   --   DEFINED      5          --      --        86
ATLAS AIR WORLDWIDE HOLDINGS INC    EQUITY    049164205       630     11,446  SH   --     SOLE       1      11,446      --        --
ATLAS AMERICA INC                   EQUITY    049167109     1,185     19,602  SH   --     SOLE       1      19,602      --        --
ATLAS PIPELINE PARTNERS LP UNIT
L P INT                             EQUITY    049392103        28        706  SH   --   DEFINED      4          --      --       706
ATMEL CORP COM                      EQUITY    049513104         7      2,083  SH   --   DEFINED      5          --      --     2,083
ATMEL CORP.                         EQUITY    049513104     3,696  1,062,206  SH   --     SOLE       1   1,062,206      --        --
ATMI, INC.                          EQUITY    00207R101       824     29,608  SH   --     SOLE       1      29,608      --        --
ATMOS ENERGY CORP COM               EQUITY    049560105        13        500  SH   --   DEFINED      4          --      --       500
ATMOS ENERGY CORP COM               EQUITY    049560105        15        600  SH   --   DEFINED      5          --      --       600
ATMOS ENERGY CORP.                  EQUITY    049560105        76      2,974  SH   --     SOLE       1       2,974      --        --
ATP OIL & GAS CORP                  EQUITY    00208J108       714     21,820  SH   --     SOLE       1      21,820      --        --
ATP OIL & GAS CORP COM              EQUITY    00208J108         7        200  SH   --   DEFINED      5          --      --       200
ATP OIL + GAS CORPORATION           EQUITY    00208J108    10,781    329,500  SH   --     SOLE       2     329,500      --        --
ATWOOD OCEANICS INC COM             EQUITY    050095108        16        175  SH   --   DEFINED      5          --      --       175
ATWOOD OCEANICS, INC.               EQUITY    050095108     2,157     23,521  SH   --     SOLE       1      23,521      --        --
AUDIOVOX COPR.                      EQUITY    050757103       154     14,405  SH   --     SOLE       1      14,405      --        --
AUTHENTEC INC                       EQUITY    052660107       857     86,171  SH   --     SOLE       1      86,171      --        --





                                                                                          
AUTODESK INC COM                    EQUITY    052769106         6        185  SH   --   DEFINED      4          --      --       185
AUTODESK INC COM                    EQUITY    052769106         9        300  SH   --   DEFINED      5          --      --       300
AUTODESK INCORPORATED               EQUITY    052769106     2,256     71,676  SH   --     SOLE       2      71,676      --        --
AUTODESK, INC.                      EQUITY    052769106     8,381    266,245  SH   --     SOLE       1     266,245      --        --
AUTOLIV                             EQUITY    052800109       166      3,300  SH   --     SOLE       2       3,300      --        --
AUTOLIV, INC.                       EQUITY    052800109       103      2,060  SH   --     SOLE       1       2,060      --        --
AUTOMATIC DATA PROCESSING           EQUITY    053015103     7,614    179,625  SH   --     SOLE       2     179,625      --        --
AUTOMATIC DATA PROCESSING IN COM    EQUITY    053015103         4         97  SH   --   DEFINED      4          --      --        97
AUTOMATIC DATA PROCESSING IN COM    EQUITY    053015103        14        339  SH   --   DEFINED      5          --      --       339
AUTOMATIC DATA PROCESSING INC.      EQUITY    053015103    21,448    505,957  SH   --     SOLE       1     505,957      --        --
AUTONATION INC                      EQUITY    05329W102       572     38,212  SH   --     SOLE       1      38,212      --        --
AUTONATION INC DEL                  EQUITY    05329W102         2        161  SH   --     SOLE       2         161      --        --
AUTOZONE INC                        EQUITY    053332102       205      1,801  SH   --     SOLE       2       1,801      --        --
AUTOZONE INC COM                    EQUITY    053332102        14        122  SH   --   DEFINED      4          --      --       122
AUTOZONE INC COM                    EQUITY    053332102        10         84  SH   --   DEFINED      5          --      --        84
AUTOZONE, INC.                      EQUITY    053332102     8,518     74,834  SH   --     SOLE       1      74,834      --        --
AUXILIUM PHARMACEUTICALS INC        EQUITY    05334D107     1,391     52,022  SH   --     SOLE       1      52,022      --        --
AUXILIUM PHARMACEUTICL COM          EQUITY    05334D107     1,337     50,000  SH   --     SOLE       3      50,000      --    50,000
AVALON PHARMACEUTICALS INC          EQUITY    05346P106       686    277,671  SH   --     SOLE       1     277,671      --        --
AVALONBAY CMNTYS INC                EQUITY    053484101         9         92  SH   --     SOLE       2          92      --        --
AVALONBAY COMMUNITIES INC           EQUITY    053484101     3,364     34,851  SH   --     SOLE       1      34,851      --        --
AVANEX CORP                         EQUITY    05348W109       118    166,882  SH   --     SOLE       1     166,882      --        --
AVANEX CORP COM                     EQUITY    05348W109         6      9,000  SH   --   DEFINED      5          --      --     9,000
AVATAR HOLDINGS, INC.               EQUITY    053494100       214      4,909  SH   --     SOLE       1       4,909      --        --
AVENTINE RENEWABLE ENERGY COM       EQUITY    05356X403         3        600  SH   --   DEFINED      5          --      --       600
AVENTINE RENEWABLE ENERGY
HOLDINGS INC                        EQUITY    05356X403       134     25,819  SH   --     SOLE       1      25,819      --        --
AVERY DENNISON CORP                 EQUITY    053611109     2,402     48,764  SH   --     SOLE       2      48,764      --        --
AVERY DENNISON CORP.                EQUITY    053611109     2,330     47,305  SH   --     SOLE       1      47,305      --        --
AVID TECHNOLOGY, INC.               EQUITY    05367P100       793     32,567  SH   --     SOLE       1      32,567      --        --
AVIS BUDGET GROUP COM               EQUITY    053774105         1        107  SH   --   DEFINED      5          --      --       107
AVIS BUDGET GROUP INC               EQUITY    053774105     2,655    250,042  SH   --     SOLE       1     250,042      --        --
AVISTA CORP                         EQUITY    05379B107       885     45,259  SH   --     SOLE       1      45,259      --        --
AVNET INC                           EQUITY    053807103       169      5,150  SH   --     SOLE       2       5,150      --        --
AVNET, INC.                         EQUITY    053807103    11,793    360,304  SH   --     SOLE       1     360,304      --        --
AVOCENT CORP COM                    EQUITY    053893103         7        420  SH   --   DEFINED      5          --      --       420
AVOCENT CORPORATION                 EQUITY    053893103     2,493    147,503  SH   --     SOLE       1     147,503      --        --
AVON PRODS INC                      EQUITY    054303102        20        510  SH   --     SOLE       2         510      --        --
AVON PRODUCTS, INC.                 EQUITY    054303102     7,256    183,513  SH   --     SOLE       1     183,513      --        --
AXA SPONSORED ADR                   EQUITY    054536107         5        138  SH   --   DEFINED      5          --      --       138
AXCELIS TECHNOLOGIES INC            EQUITY    054540109       488     87,205  SH   --     SOLE       1      87,205      --        --





                                                                                          
AXIS CAPITAL HOLDINGS LTD           EQUITY    G0692U109        95      2,800  SH   --     SOLE       2       2,800      --        --
AXIS CAPITAL HOLDINGS SHS           EQUITY    G0692U109         8        232  SH   --   DEFINED      4          --      --       232
AXIS CAPITAL HOLDINGS SHS           EQUITY    G0692U109         1         39  SH   --   DEFINED      5          --      --        39
AXSYS TECHNOLOGIES INC COM          EQUITY    054615109     1,175     23,557  SH   --   DEFINED      4          --      --    23,557
AZZ INC                             EQUITY    002474104       356      9,998  SH   --     SOLE       1       9,998      --        --
AZZ INC COM                         EQUITY    002474104        83      2,334  SH   --   DEFINED      4          --      --     2,334
B & G FOODS INC NEW UNIT
99/99/9999                          EQUITY    05508R205        11        575  SH   --   DEFINED      5          --      --       575
BADGER METER INC                    EQUITY    056525108       527     12,206  SH   --     SOLE       1      12,206      --        --
BAIDU COM INC SPON ADR REP A        EQUITY    056752108        40        166  SH   --   DEFINED      4          --      --       166
BAIDU COM INC SPON ADR REP A        EQUITY    056752108        31        129  SH   --   DEFINED      5          --      --       129
BAIDU COM INC SPON ADR REP A (      EQUITY    056752108     4,361     18,200  SH   --     SOLE       3      18,200      --    18,200
BAIDU.COM                           EQUITY    056752108       324      1,353  SH   --     SOLE       1       1,353      --        --
BAKER HUGHES INC                    EQUITY    057224107       653      9,537  SH   --     SOLE       2       9,537      --        --
BAKER HUGHES INC COM                EQUITY    057224107        41        604  SH   --   DEFINED      4          --      --       604
BAKER HUGHES INC COM                EQUITY    057224107       122      1,780  SH   --   DEFINED      5          --      --     1,780
BAKER HUGHES, INC.                  EQUITY    057224107     8,671    126,582  SH   --     SOLE       1     126,582      --        --
BALCHEM CORP                        EQUITY    057665200       351     15,305  SH   --     SOLE       1      15,305      --        --
BALDOR ELECTRIC CO.                 EQUITY    057741100     1,099     39,263  SH   --     SOLE       1      39,263      --        --
BALDWIN & LYONS, INC., CLASS B      EQUITY    057755209       179      6,978  SH   --     SOLE       1       6,978      --        --
BALL CORP                           EQUITY    058498106         5        117  SH   --     SOLE       2         117      --        --
BALL CORP.                          EQUITY    058498106    10,569    230,059  SH   --     SOLE       1     230,059      --        --
BALLARD PWR SYS INC COM             EQUITY    05858H104         7      1,600  SH   --   DEFINED      5          --      --     1,600
BALLY TECHNOLOGIES INC              EQUITY    05874B107     2,860     83,291  SH   --     SOLE       1      83,291      --        --
BALLY TECHNOLOGIES INC              EQUITY    05874B107       488     14,200  SH   --     SOLE       2      14,200      --        --
BALLY TECHNOLOGIES INC COM          EQUITY    05874B107     5,927    172,600  SH   --     SOLE       3     172,600      --   172,600
BALLY TECHNOLOGIES INC COM          EQUITY    05874B107        34      1,000  SH   --   DEFINED      5          --      --     1,000
BANCFIRST CORP.                     EQUITY    05945F103       313      6,841  SH   --     SOLE       1       6,841      --        --
BANCO ITAU HOLDING FINANCEIRA SA    EQUITY    059602201    32,035  1,407,531  SH   --     SOLE       1   1,407,531      --        --
BANCO SANTANDER CHILE SA            EQUITY    05965X109     6,287    120,308  SH   --     SOLE       1     120,308      --        --
BANCOLOMBIA S A SPON ADR PREF       EQUITY    05968L102        15        421  SH   --   DEFINED      4          --      --       421
BANCOLOMBIA S.A.-SPONS ADR          EQUITY    05968L102    21,933    618,533  SH   --     SOLE       1     618,533      --        --
BANCORP INC/THE                     EQUITY    05969A105       118      9,730  SH   --     SOLE       1       9,730      --        --
BANCORPSOUTH, INC.                  EQUITY    059692103        49      2,117  SH   --     SOLE       1       2,117      --        --
BANK AMER CORP                      EQUITY    060505104    26,216    691,534  SH   --     SOLE       2     691,534      --        --
BANK ATLANTIC BANCORP CLASS A       EQUITY    065908501       140     35,852  SH   --     SOLE       1      35,852      --        --
BANK HAWAII CORP                    EQUITY    062540109       161      3,250  SH   --     SOLE       2       3,250      --        --
BANK MUTUAL CORP                    EQUITY    063750103       459     42,755  SH   --     SOLE       1      42,755      --        --
BANK NEW YORK MELLON CORP           EQUITY    064058100    14,731    353,000  SH   --     SOLE       2     353,000      --        --
BANK NOVA SCOTIA HALIFAX COM        EQUITY    064149107         5        100  SH   --   DEFINED      5          --      --       100
BANK OF AMERICA CORP                EQUITY    060505104   130,938  3,453,929  SH   --     SOLE       1   3,453,929      --        --





                                                                                          
BANK OF AMERICA CORPORATION COM     EQUITY    060505104       289      7,635  SH   --   DEFINED      4          --      --     7,635
BANK OF AMERICA CORPORATION COM     EQUITY    060505104       891     23,511  SH   --   DEFINED      5          --      --    23,511
BANK OF HAWAII CORP                 EQUITY    062540109     6,256    126,236  SH   --     SOLE       1     126,236      --        --
BANK OF MONTREAL                    EQUITY    063671101     6,376    142,442  SH   --    OTHER       1          -- 142,442        --
BANK OF NEW YORK MELLON CORP COM    EQUITY    064058100       184      4,415  SH   --   DEFINED      4          --      --     4,415
BANK OF NEW YORK MELLON CORP COM    EQUITY    064058100        42        996  SH   --   DEFINED      5          --      --       996
BANK OF NEW YORK MELLON CORP/THE    EQUITY    064058100    60,316  1,445,393  SH   --     SOLE       1   1,445,393      --        --
BANK OF NOVA SCOTIA                 EQUITY    064149107    13,854    306,340  SH   --    OTHER       1          -- 306,340        --
BANK OF THE OZARKS INC              EQUITY    063904106       251     10,483  SH   --     SOLE       1      10,483      --        --
BANKFINANCIAL CORP                  EQUITY    06643P104       316     19,884  SH   --     SOLE       1      19,884      --        --
BANKRATE INC                        EQUITY    06646V108       482      9,655  SH   --     SOLE       1       9,655      --        --
BANKRATE INC                        EQUITY    06646V108       654     13,100  SH   --     SOLE       2      13,100      --        --
BANKUNITED FINANCIAL CORP CLASS A   EQUITY    06652B103       137     27,400  SH   --     SOLE       1      27,400      --        --
BANNER CORPORATION                  EQUITY    06652V109       306     13,284  SH   --     SOLE       1      13,284      --        --
BARCLAYS BANK PLC                   EQUITY    06739H511       625     25,000  SH   --     SOLE       1      25,000      --        --
BARCLAYS BANK PLC                   EQUITY    06739H776     6,212    256,700  SH   --     SOLE       1     256,700      --        --
BARCLAYS BANK PLC ETN IPTH AGRI     EQUITY    06739H206        49        855  SH   --   DEFINED      4          --      --       855
BARCLAYS BANK PLC NT USD/JPY 36     EQUITY    06739G851        29        487  SH   --   DEFINED      4          --      --       487
BARCLAYS BANK PLC SP ADR 7.1%PF3    EQUITY    06739H776         7        200  SH   --   DEFINED      4          --      --       200
BARCLAYS BK PLC DJAIG CMDTY 36      EQUITY    06738C778     1,283     20,889  SH   --   DEFINED      4          --      --    20,889
BARCLAYS BK PLC DJAIG CMDTY 36      EQUITY    06738C778       162      2,642  SH   --   DEFINED      5          --      --     2,642
BARCLAYS BK PLC IP MSCI IND 36      EQUITY    06739F291        13        200  SH   --   DEFINED      4          --      --       200
BARCLAYS BK PLC IP MSCI IND 36      EQUITY    06739F291       144      2,185  SH   --   DEFINED      5          --      --     2,185
BARCLAYS BK PLC IPGS CRUDOIL36      EQUITY    06738C786        97      1,600  SH   --   DEFINED      4          --      --     1,600
BARCLAYS PLC ADR                    EQUITY    06738E204       371     10,260  SH   --   DEFINED      4          --      --    10,260
BARCLAYS PLC ADR                    EQUITY    06738E204       184      5,085  SH   --   DEFINED      5          --      --     5,085
BARD C R INC                        EQUITY    067383109       230      2,390  SH   --     SOLE       2       2,390      --        --
BARD C R INC COM                    EQUITY    067383109        10        100  SH   --   DEFINED      4          --      --       100
BARD C R INC COM                    EQUITY    067383109         2         24  SH   --   DEFINED      5          --      --        24
BARE ESCENTUALS INC                 EQUITY    067511105     1,296     55,329  SH   --     SOLE       1      55,329      --        --
BARNES & NOBLE, INC.                EQUITY    067774109     3,572    116,536  SH   --     SOLE       1     116,536      --        --
BARNES GROUP, INC.                  EQUITY    067806109       907     39,530  SH   --     SOLE       1      39,530      --        --
BARR PHARMACEUTICALS INC            EQUITY    068306109     2,217     45,882  SH   --     SOLE       1      45,882      --        --
BARR PHARMACEUTICALS INC            EQUITY    068306109     3,625     75,029  SH   --     SOLE       2      75,029      --        --
BARR PHARMACEUTICALS INC COM        EQUITY    068306109       270      5,592  SH   --   DEFINED      4          --      --     5,592
BARR PHARMACEUTICALS INC COM        EQUITY    068306109        41        842  SH   --   DEFINED      5          --      --       842
BARRETT BUSINESS SERVICES           EQUITY    068463108       109      6,373  SH   --     SOLE       1       6,373      --        --
BARRICK GOLD CORP                   EQUITY    067901108     1,709     39,339  SH   --     SOLE       2      39,339      --        --
BARRICK GOLD CORP COM               EQUITY    067901108        45      1,028  SH   --   DEFINED      4          --      --     1,028
BARRICK GOLD CORP COM               EQUITY    067901108        13        299  SH   --   DEFINED      5          --      --       299





                                                                                          
BARRICK GOLD CORP COM (F)           EQUITY    067901108     4,554    104,800  SH   --     SOLE       3     104,800      --   104,800
BARRICK GOLD CORPORATION            EQUITY    067901108    18,212    416,975  SH   --    OTHER       1          -- 416,975        --
BASIC ENERGY SERVICES INC           EQUITY    06985P100       774     35,056  SH   --     SOLE       1      35,056      --        --
BASIN WTR INC COM                   EQUITY    07011T306         7      1,300  SH   --   DEFINED      4          --      --     1,300
BAXTER INTERNATIONAL, INC.          EQUITY    071813109    25,558    442,023  SH   --     SOLE       1     442,023      --        --
BAXTER INTL INC                     EQUITY    071813109     1,247     21,573  SH   --     SOLE       2      21,573      --        --
BAXTER INTL INC COM                 EQUITY    071813109        22        385  SH   --   DEFINED      4          --      --       385
BAXTER INTL INC COM                 EQUITY    071813109        26        448  SH   --   DEFINED      5          --      --       448
BAYTEX ENERGY TR TRUST UNIT         EQUITY    073176109       269     12,117  SH   --   DEFINED      4          --      --    12,117
BAYTEX ENERGY TR TRUST UNIT         EQUITY    073176109         4        200  SH   --   DEFINED      5          --      --       200
BAYTEX ENERGY TRUST                 EQUITY    073176109     1,173     52,839  SH   --    OTHER       1          --  52,839        --
BB&T CORP COM                       EQUITY    054937107        21        661  SH   --   DEFINED      4          --      --       661
BB&T CORP COM                       EQUITY    054937107        79      2,460  SH   --   DEFINED      5          --      --     2,460
BB+T CORP                           EQUITY    054937107        21        653  SH   --     SOLE       2         653      --        --
BBT CORP.                           EQUITY    054937107     9,749    304,095  SH   --     SOLE       1     304,095      --        --
BCE INC                             EQUITY    05534B760     3,863    114,059  SH   --    OTHER       1          -- 114,059        --
BE AEROSPACE INC COM                EQUITY    073302101        10        300  SH   --   DEFINED      5          --      --       300
BE AEROSPACE, INC.                  EQUITY    073302101     7,843    224,393  SH   --     SOLE       1     224,393      --        --
BEA SYS INC COM                     EQUITY    073325102       535     27,926  SH   --   DEFINED      5          --      --    27,926
BEA SYSTEMS, INC.                   EQUITY    073325102    11,232    586,650  SH   --     SOLE       1     586,650      --        --
BEACON ROOFING SUPPLY INC           EQUITY    073685109       380     37,981  SH   --     SOLE       1      37,981      --        --
BEAR STEARNS COS                    EQUITY    073902108       302     28,817  SH   --     SOLE       1      28,817      --        --
BEAR STEARNS COS INC                EQUITY    073902108         1        141  SH   --     SOLE       2         141      --        --
BEAR STEARNS COS INC COM            EQUITY    073902108         1        135  SH   --   DEFINED      5          --      --       135
BEARINGPOINT INC                    EQUITY    074002106       310    184,651  SH   --     SOLE       1     184,651      --        --
BEAZER HOMES USA, INC.              EQUITY    07556Q105       317     33,551  SH   --     SOLE       1      33,551      --        --
BEBE STORES, INC.                   EQUITY    075571109       234     21,756  SH   --     SOLE       1      21,756      --        --
BECKMAN COULTER INC COM             EQUITY    075811109         6        100  SH   --   DEFINED      4          --      --       100
BECKMAN COULTER, INC.               EQUITY    075811109     9,650    149,503  SH   --     SOLE       1     149,503      --        --
BECTON DICKINSON & CO COM           EQUITY    075887109         3         37  SH   --   DEFINED      4          --      --        37
BECTON DICKINSON & CO COM           EQUITY    075887109         4         43  SH   --   DEFINED      5          --      --        43
BECTON DICKINSON + CO               EQUITY    075887109     1,399     16,292  SH   --     SOLE       2      16,292      --        --
BECTON, DICKINSON AND CO.           EQUITY    075887109    84,562    984,995  SH   --     SOLE       1     984,995      --        --
BED BATH & BEYOND INC COM           EQUITY    075896100         1         40  SH   --   DEFINED      4          --      --        40
BED BATH & BEYOND INC COM           EQUITY    075896100        14        478  SH   --   DEFINED      5          --      --       478
BED BATH & BEYOND, INC.             EQUITY    075896100     3,878    131,467  SH   --     SOLE       1     131,467      --        --
BED BATH + BEYOND INC               EQUITY    075896100         9        313  SH   --     SOLE       2         313      --        --
BEL FUSE INC. CLASS B               EQUITY    077347300       284     10,198  SH   --     SOLE       1      10,198      --        --
BELDEN INC                          EQUITY    077454106     1,365     38,645  SH   --     SOLE       1      38,645      --        --
BELDEN INC COM                      EQUITY    077454106        11        300  SH   --   DEFINED      4          --      --       300





                                                                                          
BELO CORP.                          EQUITY    080555105     2,975    281,432  SH   --     SOLE       1     281,432      --        --
BEMIS CO INC                        EQUITY    081437105     2,419     95,112  SH   --     SOLE       2      95,112      --        --
BEMIS CO., INC.                     EQUITY    081437105     1,152     45,287  SH   --     SOLE       1      45,287      --        --
BENCHMARK ELECTRONICS, INC.         EQUITY    08160H101     1,118     62,310  SH   --     SOLE       1      62,310      --        --
BENEFICIAL MUTUAL BANCORP INC       EQUITY    08173R104       309     31,269  SH   --     SOLE       1      31,269      --        --
BENIHANA INC                        EQUITY    082047200       119     10,553  SH   --     SOLE       1      10,553      --        --
BENTLEY PHARMACEUTICAL              EQUITY    082657107       266     16,397  SH   --     SOLE       1      16,397      --        --
BERKLEY W R CORP                    EQUITY    084423102       930     33,600  SH   --     SOLE       2      33,600      --        --
BERKSHIRE HATHAWAY INC DEL CL B     EQUITY    084670207       121         27  SH   --   DEFINED      4          --      --        27
BERKSHIRE HATHAWAY INC DEL CL B     EQUITY    084670207     1,436        321  SH   --   DEFINED      5          --      --       321
BERKSHIRE HILLS BANCOR              EQUITY    084680107       231      9,175  SH   --     SOLE       1       9,175      --        --
BERRY PETE CO                       EQUITY    085789105       551     11,850  SH   --     SOLE       2      11,850      --        --
BERRY PETROLEUM CO. CLASS A         EQUITY    085789105     1,576     33,893  SH   --     SOLE       1      33,893      --        --
BEST BUY CO INC                     EQUITY    086516101     3,394     81,865  SH   --     SOLE       2      81,865      --        --
BEST BUY CO., INC.                  EQUITY    086516101     6,396    154,269  SH   --     SOLE       1     154,269      --        --
BEST BUY INC COM                    EQUITY    086516101        86      2,086  SH   --   DEFINED      5          --      --     2,086
BEST BUY INC SDCV 2.250% 1/1     FIXED INCOME 086516AF8         3          3 PRN   --   DEFINED      4          --      --         3
BHP BILLITON LTD SPONSORED ADR      EQUITY    088606108       118      1,797  SH   --   DEFINED      4          --      --     1,797
BHP BILLITON LTD SPONSORED ADR      EQUITY    088606108       267      4,056  SH   --   DEFINED      5          --      --     4,056
BIDZ COM INC COM                    EQUITY    08883T200        47      5,625  SH   --   DEFINED      4          --      --     5,625
BIG 5 SPORTING GOODS CORP           EQUITY    08915P101       171     19,472  SH   --     SOLE       1      19,472      --        --
BIG LOTS INC                        EQUITY    089302103         2        108  SH   --     SOLE       2         108      --        --
BIG LOTS INC.                       EQUITY    089302103     2,525    113,232  SH   --     SOLE       1     113,232      --        --
BIGBAND NETWORKS INC                EQUITY    089750509        65     11,335  SH   --     SOLE       1      11,335      --        --
BIGBAND NETWORKS INC COM            EQUITY    089750509        11      2,000  SH   --   DEFINED      4          --      --     2,000
BILL BARRETT CORP                   EQUITY    06846N104     5,008    105,985  SH   --     SOLE       1     105,985      --        --
BIO RAD LABORATORIES INC            EQUITY    090572207       640      7,200  SH   --     SOLE       2       7,200      --        --
BIODEL INC                          EQUITY    09064M105        57      5,223  SH   --     SOLE       1       5,223      --        --
BIOFORM MEDICAL INC                 EQUITY    09065G107        44      9,532  SH   --     SOLE       1       9,532      --        --
BIOGEN IDEC INC                     EQUITY    09062X103     8,572    138,958  SH   --     SOLE       1     138,958      --        --
BIOGEN IDEC INC                     EQUITY    09062X103        22        356  SH   --     SOLE       2         356      --        --
BIOGEN IDEC INC COM                 EQUITY    09062X103         7        110  SH   --   DEFINED      4          --      --       110
BIOGEN IDEC INC COM                 EQUITY    09062X103        19        300  SH   --   DEFINED      5          --      --       300
BIOMARIN PHARMACEUTICAL IN          EQUITY    09061G101       336      9,500  SH   --     SOLE       2       9,500      --        --
BIOMARIN PHARMACEUTICAL INC.        EQUITY    09061G101     2,907     82,188  SH   --     SOLE       1      82,188      --        --
BIOMED REALTY TRUST INC             EQUITY    09063H107     8,348    349,418  SH   --     SOLE       1     349,418      --        --
BIOMED REALTY TRUST INC COM         EQUITY    09063H107         5        200  SH   --   DEFINED      5          --      --       200
BIOMIMETIC THERAPEUTICS INC         EQUITY    09064X101        74      9,201  SH   --     SOLE       1       9,201      --        --
BIONOVO INC                         EQUITY    090643107        57     45,050  SH   --     SOLE       1      45,050      --        --
BIO-RAD LABORATORIES, INC.,
CLASS A                             EQUITY    090572207     1,426     16,026  SH   --     SOLE       1      16,026      --        --





                                                                                          
BIO-REFERENCE LABS INC              EQUITY    09057G602       252      9,519  SH   --     SOLE       1       9,519      --        --
BIOVAIL CORP                        EQUITY    09067J109       155     14,500  SH   --    OTHER       1          --  14,500        --
BIOVAIL CORP COM                    EQUITY    09067J109       167     15,648  SH   --   DEFINED      4          --      --    15,648
BIOVAIL CORP COM                    EQUITY    09067J109       260     24,400  SH   --   DEFINED      5          --      --    24,400
BJ SERVICES CO.                     EQUITY    055482103     3,524    123,623  SH   --     SOLE       1     123,623      --        --
BJ SVCS CO                          EQUITY    055482103     8,740    306,550  SH   --     SOLE       2     306,550      --        --
BJ SVCS CO COM                      EQUITY    055482103         2         78  SH   --   DEFINED      5          --      --        78
BJ'S RESTAURANTS INC                EQUITY    09180C106       210     14,594  SH   --     SOLE       1      14,594      --        --
BJS WHOLESALE CLUB INC COM          EQUITY    05548J106         5        150  SH   --   DEFINED      4          --      --       150
BJS WHOLESALE CLUB INC COM          EQUITY    05548J106        17        471  SH   --   DEFINED      5          --      --       471
BJ'S WHOLESALE CLUB INC.            EQUITY    05548J106     5,506    154,259  SH   --     SOLE       1     154,259      --        --
BJS WHSL CLUB INC                   EQUITY    05548J106       170      4,751  SH   --     SOLE       2       4,751      --        --
BLACK & DECKER CORP.                EQUITY    091797100     1,781     26,944  SH   --     SOLE       1      26,944      --        --
BLACK + DECKER CORPORATION          EQUITY    091797100         5         73  SH   --     SOLE       2          73      --        --
BLACK BOX CORP.                     EQUITY    091826107       459     14,891  SH   --     SOLE       1      14,891      --        --
BLACK HILLS CORP COM                EQUITY    092113109        11        300  SH   --   DEFINED      4          --      --       300
BLACK HILLS CORP COM                EQUITY    092113109        34        950  SH   --   DEFINED      5          --      --       950
BLACK HILLS CORP.                   EQUITY    092113109     4,366    122,014  SH   --     SOLE       1     122,014      --        --
BLACKBAUD INC                       EQUITY    09227Q100       916     37,706  SH   --     SOLE       1      37,706      --        --
BLACKBAUD INC                       EQUITY    09227Q100       507     20,900  SH   --     SOLE       2      20,900      --        --
BLACKBOARD INC                      EQUITY    091935502       817     24,507  SH   --     SOLE       1      24,507      --        --
BLACKROCK CA INSD MUN 2008 T COM    EQUITY    09247G108        12        803  SH   --   DEFINED      5          --      --       803
BLACKROCK CALIF MUN INCOME T SH
BEN INT                             EQUITY    09248E102        58      3,790  SH   --   DEFINED      5          --      --     3,790
BLACKROCK CORE BD TR SHS BEN INT    EQUITY    09249E101         2        195  SH   --   DEFINED      4          --      --       195
BLACKROCK CORPOR HI YLD FD V COM    EQUITY    09255N102        76      7,035  SH   --   DEFINED      4          --      --     7,035
BLACKROCK CORPOR HI YLD III COM     EQUITY    09255M104       280     42,875  SH   --   DEFINED      5          --      --    42,875
BLACKROCK CORPOR HIGH YLD FD COM    EQUITY    09255L106        47      7,301  SH   --   DEFINED      5          --      --     7,301
BLACKROCK DEBT STRAT FD INC COM     EQUITY    09255R103        13      2,500  SH   --   DEFINED      4          --      --     2,500
BLACKROCK DEBT STRAT FD INC COM     EQUITY    09255R103        21      4,045  SH   --   DEFINED      5          --      --     4,045
BLACKROCK ENHAN EQ YLD & PRE COM    EQUITY    09256E101         3        200  SH   --   DEFINED      5          --      --       200
BLACKROCK GLBL ENRGY & RES T COM    EQUITY    09250U101         6        200  SH   --   DEFINED      4          --      --       200
BLACKROCK HIGH INCOME SHS SHS
BEN INT                             EQUITY    09250E107        24     12,000  SH   --   DEFINED      4          --      --    12,000
BLACKROCK HIGH YIELD TR SH BEN
INT                                 EQUITY    09248N102        31      5,000  SH   --   DEFINED      4          --      --     5,000
BLACKROCK HIGH YIELD TR SH BEN
INT                                 EQUITY    09248N102         4        580  SH   --   DEFINED      5          --      --       580
BLACKROCK INC                       EQUITY    09247X101       370      1,814  SH   --     SOLE       1       1,814      --        --
BLACKROCK INCOME OPP TRUST I COM    EQUITY    092475102         5        500  SH   --   DEFINED      5          --      --       500
BLACKROCK INCOME TR INC COM         EQUITY    09247F100        41      7,000  SH   --   DEFINED      4          --      --     7,000
BLACKROCK INCOME TR INC COM         EQUITY    09247F100        33      5,750  SH   --   DEFINED      5          --      --     5,750
BLACKROCK INSD MUN 2008 TRM COM     EQUITY    09247K109        12        804  SH   --   DEFINED      5          --      --       804
BLACKROCK INSD MUN INCOME TR COM    EQUITY    092479104        13      1,000  SH   --   DEFINED      4          --      --     1,000





                                                                                          
BLACKROCK KELSO CAPITAL CORP        EQUITY    092533108       102      8,559  SH   --     SOLE       1       8,559      --        --
BLACKROCK MUNI INCOME TR II COM     EQUITY    09249N101        61      4,300  SH   --   DEFINED      4          --      --     4,300
BLACKROCK MUNIHOLDINGS CALIF COM    EQUITY    09254L107        92      7,360  SH   --   DEFINED      5          --      --     7,360
BLACKROCK MUNIHOLDINGS N Y I COM    EQUITY    09255C106        15      1,200  SH   --   DEFINED      5          --      --     1,200
BLACKROCK MUNIVEST FD II INC COM    EQUITY    09253T101        49      3,500  SH   --   DEFINED      5          --      --     3,500
BLACKROCK MUNIYIELD ARIZ FD COM     EQUITY    09254K109        19      1,475  SH   --   DEFINED      5          --      --     1,475
BLACKROCK MUNIYIELD CALIF IN COM    EQUITY    09254N103        19      1,500  SH   --   DEFINED      5          --      --     1,500
BLACKROCK MUNIYIELD FD INC COM      EQUITY    09253W104        23      1,750  SH   --   DEFINED      5          --      --     1,750
BLACKROCK MUNYIELD INSD FD I COM    EQUITY    09254E103        12      1,005  SH   --   DEFINED      5          --      --     1,005
BLACKROCK S&P QLTY RK EQ MD SHS
BEN INT                             EQUITY    09250D109        11        700  SH   --   DEFINED      4          --      --       700
BLACKROCK S&P QLTY RK EQ MD SHS
BEN INT                             EQUITY    09250D109        16      1,039  SH   --   DEFINED      5          --      --     1,039
BLACKROCK SR HIGH INCOME FD COM     EQUITY    09255T109       210     43,221  SH   --   DEFINED      5          --      --    43,221
BLACKROCK STRATEGIC MUN TR COM      EQUITY    09248T109        37      2,590  SH   --   DEFINED      4          --      --     2,590
BLACKROCK STRATEGIC MUN TR COM      EQUITY    09248T109         4        269  SH   --   DEFINED      5          --      --       269
BLACKSTONE GROUP L P COM UNIT
LTD                                 EQUITY    09253U108        36      2,275  SH   --   DEFINED      5          --      --     2,275
BLADELOGIC INC                      EQUITY    09265M102       140      4,978  SH   --     SOLE       1       4,978      --        --
BLDRS INDEX FDS TR EMER MK 50
ADR                                 EQUITY    09348R300        10        211  SH   --   DEFINED      4          --      --       211
BLDRS INDEX FDS TR EMER MK 50
ADR                                 EQUITY    09348R300        63      1,298  SH   --   DEFINED      5          --      --     1,298
BLDRS INDEX FDS TR EUR 100 ADR      EQUITY    09348R409        48      1,705  SH   --   DEFINED      5          --      --     1,705
BLOCK FINANCIAL CORP                EQUITY    093671105     5,367    258,543  SH   --     SOLE       1     258,543      --        --
BLOCK H & R INC COM                 EQUITY    093671105         5        247  SH   --   DEFINED      4          --      --       247
BLOCK H & R INC COM                 EQUITY    093671105         6        285  SH   --   DEFINED      5          --      --       285
BLOCK H + R INC                     EQUITY    093671105         8        389  SH   --     SOLE       2         389      --        --
BLOCKBUSTER INC -CLA                EQUITY    093679108       537    164,759  SH   --     SOLE       1     164,759      --        --
BLOUNT INTERNATIONAL INC            EQUITY    095180105       404     32,651  SH   --     SOLE       1      32,651      --        --
BLUE CHIP VALUE FD INC COM          EQUITY    095333100       238     50,187  SH   --   DEFINED      4          --      --    50,187
BLUE COAT SYSTEMS INC               EQUITY    09534T508     1,356     61,540  SH   --     SOLE       1      61,540      --        --
BLUE COAT SYSTEMS INC COM NEW       EQUITY    09534T508     3,923    178,000  SH   --     SOLE       3     178,000      --   178,000
BLUE COAT SYSTEMS INC COM NEW       EQUITY    09534T508        32      1,458  SH   --   DEFINED      4          --      --     1,458
BLUE NILE INC                       EQUITY    09578R103       623     11,505  SH   --     SOLE       1      11,505      --        --
BLUEGREEN CORP                      EQUITY    096231105       122     18,212  SH   --     SOLE       1      18,212      --        --
BLUELINX HOLDINGS INC               EQUITY    09624H109        50      9,896  SH   --     SOLE       1       9,896      --        --
BLYTH INC.                          EQUITY    09643P108     1,532     77,677  SH   --     SOLE       1      77,677      --        --
BMC SOFTWARE INC                    EQUITY    055921100       167      5,150  SH   --     SOLE       2       5,150      --        --
BMC SOFTWARE INC COM                EQUITY    055921100        13        399  SH   --   DEFINED      5          --      --       399
BMC SOFTWARE, INC.                  EQUITY    055921100     2,704     83,159  SH   --     SOLE       1      83,159      --        --
BMP SUNSTONE CORP                   EQUITY    05569C105       201     26,199  SH   --     SOLE       1      26,199      --        --
BOB EVANS FARMS, INC.               EQUITY    096761101     2,766    100,240  SH   --     SOLE       1     100,240      --        --
BOEING CO                           EQUITY    097023105    12,964    174,322  SH   --     SOLE       2     174,322      --        --
BOEING CO COM                       EQUITY    097023105       449      6,039  SH   --   DEFINED      4          --      --     6,039





                                                                                          
BOEING CO COM                       EQUITY    097023105       190      2,561  SH   --   DEFINED      5          --      --     2,561
BOEING CO.                          EQUITY    097023105    42,335    569,255  SH   --     SOLE       1     569,255      --        --
BOIS D' ARC ENERGY INC              EQUITY    09738U103       336     15,616  SH   --     SOLE       1      15,616      --        --
BOISE INC                           EQUITY    09746Y105       227     35,516  SH   --     SOLE       1      35,516      --        --
BON-TON STORES INC COM              EQUITY    09776J101         6      1,040  SH   --   DEFINED      5          --      --     1,040
BON-TON STORES INC/THE              EQUITY    09776J101        48      8,771  SH   --     SOLE       1       8,771      --        --
BOOKS-A-MILLION INC                 EQUITY    098570104       104     11,938  SH   --     SOLE       1      11,938      --        --
BORDERS GROUP, INC.                 EQUITY    099709107     1,114    189,849  SH   --     SOLE       1     189,849      --        --
BORG WARNER INC                     EQUITY    099724106    12,072    280,539  SH   --     SOLE       1     280,539      --        --
BORLAND SOFTWARE CORP.              EQUITY    099849101       126     62,385  SH   --     SOLE       1      62,385      --        --
BOSTON BEER INC CL A                EQUITY    100557107         2         33  SH   --   DEFINED      5          --      --        33
BOSTON BEER, INC. CLASS A           EQUITY    100557107       368      7,749  SH   --     SOLE       1       7,749      --        --
BOSTON PPTYS INC                    EQUITY    101121101        13        143  SH   --     SOLE       2         143      --        --
BOSTON PRIVATE FINANCIAL HOLDI      EQUITY    101119105       337     31,779  SH   --     SOLE       1      31,779      --        --
BOSTON SCIENTIFIC CORP              EQUITY    101137107        21      1,605  SH   --     SOLE       2       1,605      --        --
BOSTON SCIENTIFIC CORP COM          EQUITY    101137107         9        722  SH   --   DEFINED      4          --      --       722
BOSTON SCIENTIFIC CORP COM          EQUITY    101137107       101      7,850  SH   --   DEFINED      5          --      --     7,850
BOSTON SCIENTIFIC CORP.             EQUITY    101137107     7,083    550,334  SH   --     SOLE       1     550,334      --        --
BOTTOMLINE TECHNOLOGIES INC         EQUITY    101388106       234     18,588  SH   --     SOLE       1      18,588      --        --
BOULDER GROWTH & INCOME FUND INC    EQUITY    101507101        88     10,583  SH   --     SOLE       1      10,583      --        --
BOWNE & CO., INC.                   EQUITY    103043105       361     23,666  SH   --     SOLE       1      23,666      --        --
BOYD GAMING CORP.                   EQUITY    103304101     2,684    134,190  SH   --     SOLE       1     134,190      --        --
BP PLC SPONSORED ADR                EQUITY    055622104       179      2,958  SH   --   DEFINED      4          --      --     2,958
BP PLC SPONSORED ADR                EQUITY    055622104       300      4,946  SH   --   DEFINED      5          --      --     4,946
BP PRUDHOE BAY RTY TR UNIT BEN
INT                                 EQUITY    055630107       327      3,499  SH   --   DEFINED      4          --      --     3,499
BP PRUDHOE BAY RTY TR UNIT BEN
INT                                 EQUITY    055630107        84        895  SH   --   DEFINED      5          --      --       895
BPZ RESOURCES INC                   EQUITY    055639108     1,149     52,880  SH   --     SOLE       1      52,880      --        --
BPZ RESOURCES INC COM               EQUITY    055639108         2        100  SH   --   DEFINED      4          --      --       100
BRADY CORP.                         EQUITY    104674106     1,445     43,238  SH   --     SOLE       1      43,238      --        --
BRE PROPERTIES INC CL A             EQUITY    05564E106        36        798  SH   --   DEFINED      4          --      --       798
BRE PROPERTIES, INC., CLASS A       EQUITY    05564E106     5,586    122,609  SH   --     SOLE       1     122,609      --        --
BRIGGS & STRATTON CORP COM          EQUITY    109043109         6        350  SH   --   DEFINED      5          --      --       350
BRIGGS & STRATTON CORP.             EQUITY    109043109       759     42,429  SH   --     SOLE       1      42,429      --        --
BRIGHAM EXPLORATION CO              EQUITY    109178103       238     39,139  SH   --     SOLE       1      39,139      --        --
BRIGHT HORIZONS FAM. SOLUTIONS      EQUITY    109195107       966     22,442  SH   --     SOLE       1      22,442      --        --
BRIGHTPOINT INC                     EQUITY    109473405       365     43,628  SH   --     SOLE       1      43,628      --        --
BRIGHTPOINT INC COM NEW             EQUITY    109473405        26      3,107  SH   --   DEFINED      5          --      --     3,107
BRINKER INTERNATIONAL, INC.         EQUITY    109641100     4,488    241,943  SH   --     SOLE       1     241,943      --        --
BRINKER INTL INC COM                EQUITY    109641100       199     10,711  SH   --   DEFINED      5          --      --    10,711
BRINK'S CO/THE                      EQUITY    109696104     7,727    115,024  SH   --     SOLE       1     115,024      --        --





                                                                                          
BRISTOL MYERS SQUIBB CO             EQUITY    110122108       609     28,577  SH   --     SOLE       2      28,577      --        --
BRISTOL MYERS SQUIBB CO COM         EQUITY    110122108        11        525  SH   --   DEFINED      4          --      --       525
BRISTOL MYERS SQUIBB CO COM         EQUITY    110122108       163      7,644  SH   --   DEFINED      5          --      --     7,644
BRISTOL MYERS SQUIBB CO.            EQUITY    110122108    63,965  3,003,038  SH   --     SOLE       1   3,003,038      --        --
BRISTOW GROUP INC                   EQUITY    110394103       932     17,359  SH   --     SOLE       1      17,359      --        --
BRITISH AMERN TOB PLC SPONSORED
ADR                                 EQUITY    110448107         2         24  SH   --   DEFINED      5          --      --        24
BROADCOM CORP                       EQUITY    111320107     3,057    158,659  SH   --     SOLE       2     158,659      --        --
BROADCOM CORP CL A                  EQUITY    111320107         2         79  SH   --   DEFINED      5          --      --        79
BROADCOM CORP.                      EQUITY    111320107     4,363    226,401  SH   --     SOLE       1     226,401      --        --
BROADRIDGE FINANCIAL SOLUTIONS
LLC                                 EQUITY    11133T103     5,917    336,221  SH   --     SOLE       1     336,221      --        --
BROADRIDGE FINL SOLUTIONS           EQUITY    11133T103       510     29,000  SH   --     SOLE       2      29,000      --        --
BROCADE COMMUNICATIONS SYS          EQUITY    111621306     6,008    823,000  SH   --     SOLE       2     823,000      --        --
BROCADE COMMUNICATIONS SYS I COM
NEW                                 EQUITY    111621306         2        302  SH   --   DEFINED      4          --      --       302
BROCADE COMMUNICATIONS SYS I COM
NEW                                 EQUITY    111621306         2        250  SH   --   DEFINED      5          --      --       250
BROCADE COMMUNICATIONS SYSTEMS
INC                                 EQUITY    111621306        27      3,741  SH   --     SOLE       1       3,741      --        --
BRONCO DRILLING CO INC              EQUITY    112211107       360     22,324  SH   --     SOLE       1      22,324      --        --
BROOKDALE SENIOR LIVING INC         EQUITY    112463104        15        626  SH   --     SOLE       1         626      --        --
BROOKFIELD ASSET MANAGEMENT INC     EQUITY    112585104     1,105     39,995  SH   --    OTHER       1          --  39,995        --
BROOKFIELD ASSET MGMT INC CL A
LTD VT SH                           EQUITY    112585104         8        300  SH   --   DEFINED      5          --      --       300
BROOKFIELD HOMES CORP               EQUITY    112723101       163      9,691  SH   --     SOLE       1       9,691      --        --
BROOKFIELD PROPERTIES CORP          EQUITY    112900105        97      5,003  SH   --    OTHER       1          --   5,003        --
BROOKLINE BANCORP INC               EQUITY    11373M107       574     49,964  SH   --     SOLE       1      49,964      --        --
BROOKS AUTOMATION INC               EQUITY    114340102       547     56,247  SH   --     SOLE       1      56,247      --        --
BROOKS AUTOMATION INC NEW           EQUITY    114340102     1,175    120,900  SH   --     SOLE       2     120,900      --        --
BROWN & BROWN INC                   EQUITY    115236101     4,736    272,491  SH   --     SOLE       1     272,491      --        --
BROWN FORMAN CORP                   EQUITY    115637209         7        101  SH   --     SOLE       2         101      --        --
BROWN SHOE COMANY, INC.             EQUITY    115736100       569     37,757  SH   --     SOLE       1      37,757      --        --
BROWN-FORMAN CORP CLASS B           EQUITY    115637209     2,416     36,479  SH   --     SOLE       1      36,479      --        --
BRT REALTY TRUST                    EQUITY    055645303        89      6,343  SH   --     SOLE       1       6,343      --        --
BRUKER CORP                         EQUITY    116794108       858     55,742  SH   --     SOLE       1      55,742      --        --
BRUNSWICK CORP                      EQUITY    117043109         2        105  SH   --     SOLE       2         105      --        --
BRUNSWICK CORP.                     EQUITY    117043109       831     52,051  SH   --     SOLE       1      52,051      --        --
BRUSH ENGINEERED  MATERIALS         EQUITY    117421107       447     17,416  SH   --     SOLE       1      17,416      --        --
BRYN MAWR BK CORP COM               EQUITY    117665109        96      4,428  SH   --   DEFINED      4          --      --     4,428
BUCKEYE PARTNERS L P UNIT LTD
PARTN                               EQUITY    118230101       248      5,387  SH   --   DEFINED      4          --      --     5,387
BUCKEYE TECHNOLOGIES INC            EQUITY    118255108       364     32,598  SH   --     SOLE       1      32,598      --        --
BUCKLE INC COM                      EQUITY    118440106        25        562  SH   --   DEFINED      4          --      --       562
BUCKLE INC COM                      EQUITY    118440106        43        952  SH   --   DEFINED      5          --      --       952
BUCKLE, INC.                        EQUITY    118440106       539     12,046  SH   --     SOLE       1      12,046      --        --
BUCYRUS INTERNATIONAL INC-A         EQUITY    118759109     4,440     43,675  SH   --     SOLE       1      43,675      --        --





                                                                                          
BUCYRUS INTL INC NEW CL A           EQUITY    118759109     8,508     83,700  SH   --     SOLE       3      83,700      --    83,700
BUCYRUS INTL INC NEW CL A           EQUITY    118759109     1,021     10,046  SH   --   DEFINED      4          --      --    10,046
BUCYRUS INTL INC NEW CL A           EQUITY    118759109         6         55  SH   --   DEFINED      5          --      --        55
BUFFALO WILD WINGS INC              EQUITY    119848109       322     13,145  SH   --     SOLE       1      13,145      --        --
BUILD-A-BEAR WORKSHOP INC           EQUITY    120076104       122     13,456  SH   --     SOLE       1      13,456      --        --
BUILDERS FIRSTSOURCE INC            EQUITY    12008R107        95     13,110  SH   --     SOLE       1      13,110      --        --
BUILDING MATERIAL HOLDING CORP      EQUITY    120113105       110     25,217  SH   --     SOLE       1      25,217      --        --
BUILDING MATLS HLDG CORP COM        EQUITY    120113105         2        484  SH   --   DEFINED      5          --      --       484
BUNGE LIMITED COM                   EQUITY    G16962105         7         76  SH   --   DEFINED      4          --      --        76
BUNGE LIMITED COM                   EQUITY    G16962105        20        230  SH   --   DEFINED      5          --      --       230
BURGER KING HOLDINGS INC            EQUITY    121208201        27        989  SH   --     SOLE       1         989      --        --
BURLINGTON NORTHERN SANTA FE        EQUITY    12189T104    11,228    121,754  SH   --     SOLE       1     121,754      --        --
BURLINGTON NORTHN SANTA FE          EQUITY    12189T104        33        354  SH   --     SOLE       2         354      --        --
BURLINGTON NORTHN SANTA FE C COM    EQUITY    12189T104         6         63  SH   --   DEFINED      4          --      --        63
BURLINGTON NORTHN SANTA FE C COM    EQUITY    12189T104       265      2,871  SH   --   DEFINED      5          --      --     2,871
C H ROBINSON WORLDWIDE INC          EQUITY    12541W209        11        205  SH   --     SOLE       2         205      --        --
C. R. BARD, INC.                    EQUITY    067383109     4,166     43,218  SH   --     SOLE       1      43,218      --        --
C.H. ROBINSON WORLDWIDE INC         EQUITY    12541W209     4,473     82,226  SH   --     SOLE       1      82,226      --        --
CA INC                              EQUITY    12673P105     3,866    171,826  SH   --     SOLE       1     171,826      --        --
CA INC                              EQUITY    12673P105        10        466  SH   --     SOLE       2         466      --        --
CA INC COM                          EQUITY    12673P105         7        322  SH   --   DEFINED      5          --      --       322
CABELAS INC COM                     EQUITY    126804301         3        200  SH   --   DEFINED      5          --      --       200
CABELA'S INC-CL A                   EQUITY    126804301       472     33,350  SH   --     SOLE       1      33,350      --        --
CABLEVISION SYSTEMS CORP            EQUITY    12686C109       144      6,723  SH   --     SOLE       1       6,723      --        --
CABOT CORP.                         EQUITY    127055101     4,395    156,949  SH   --     SOLE       1     156,949      --        --
CABOT MICROELECTRONICS CORP         EQUITY    12709P103       656     20,411  SH   --     SOLE       1      20,411      --        --
CABOT MICROELECTRONICS CORP COM     EQUITY    12709P103         3         81  SH   --   DEFINED      5          --      --        81
CABOT OIL & GAS CORP., CLASS A      EQUITY    127097103       153      3,008  SH   --     SOLE       1       3,008      --        --
CABOT OIL + GAS CORP                EQUITY    127097103       549     10,800  SH   --     SOLE       2      10,800      --        --
CACHE INC                           EQUITY    127150308        97      8,623  SH   --     SOLE       1       8,623      --        --
CACI INTERNATIONAL                  EQUITY    127190304     1,208     26,512  SH   --     SOLE       1      26,512      --        --
CACI INTL INC                       EQUITY    127190304       501     11,000  SH   --     SOLE       2      11,000      --        --
CACI INTL INC CL A                  EQUITY    127190304         2         40  SH   --   DEFINED      5          --      --        40
CADBURY SCHWEPPES PLC ADR           EQUITY    127209302         6        132  SH   --   DEFINED      5          --      --       132
CADENCE DESIGN SYSTEMS, INC.        EQUITY    127387108     7,443    696,864  SH   --     SOLE       1     696,864      --        --
CADENCE PHARMACEUTICALS INC         EQUITY    12738T100       109     18,265  SH   --     SOLE       1      18,265      --        --
CADIZ INC                           EQUITY    127537207       157     10,200  SH   --     SOLE       1      10,200      --        --
CAE INC                             EQUITY    124765108        68      5,996  SH   --    OTHER       1          --   5,996        --
CAKTRONICS INC                      EQUITY    234264109       488     27,269  SH   --     SOLE       1      27,269      --        --
CAL DIVE INTERNATIONAL INC          EQUITY    12802T101     3,787    364,817  SH   --     SOLE       1     364,817      --        --





                                                                                          
CAL MAINE FOODS INC                 EQUITY    128030202    14,353    430,000  SH   --     SOLE       2     430,000      --        --
CALAMOS ASSET MANAGEMENT-A          EQUITY    12811R104       281     17,244  SH   --     SOLE       1      17,244      --        --
CALAMOS CONV & HIGH INCOME F COM
SHS                                 EQUITY    12811P108        62      4,900  SH   --   DEFINED      4          --      --     4,900
CALAMOS CONV & HIGH INCOME F COM
SHS                                 EQUITY    12811P108       709     55,973  SH   --   DEFINED      5          --      --    55,973
CALAMOS CONV OPP AND INC FD SH
BEN INT                             EQUITY    128117108        11        829  SH   --   DEFINED      4          --      --       829
CALAMOS CONV OPP AND INC FD SH
BEN INT                             EQUITY    128117108       374     27,267  SH   --   DEFINED      5          --      --    27,267
CALAMOS STRATEGIC TOTL RETN COM
SH BEN INT                          EQUITY    128125101        77      6,349  SH   --   DEFINED      4          --      --     6,349
CALAMOS STRATEGIC TOTL RETN COM
SH BEN INT                          EQUITY    128125101        17      1,404  SH   --   DEFINED      5          --      --     1,404
CALAVO GROWERS INC COM              EQUITY    128246105     1,547     89,000  SH   --     SOLE       3      89,000      --    89,000
CALGON CARBON CORP COM              EQUITY    129603106        10        666  SH   --   DEFINED      5          --      --       666
CALGON CARBON CORP.                 EQUITY    129603106       519     34,480  SH   --     SOLE       1      34,480      --        --
CALIFORNIA PIZZA KITCHEN INC        EQUITY    13054D109       288     21,988  SH   --     SOLE       1      21,988      --        --
CALIFORNIA WATER SERVICE GROUP      EQUITY    130788102       641     16,790  SH   --     SOLE       1      16,790      --        --
CALIFORNIA WTR SVC GROUP COM        EQUITY    130788102         9        247  SH   --   DEFINED      4          --      --       247
CALLAWAY GOLF CO.                   EQUITY    131193104     3,141    213,969  SH   --     SOLE       1     213,969      --        --
CALLON PETROLEUM CO.                EQUITY    13123X102       322     17,803  SH   --     SOLE       1      17,803      --        --
CAL-MAINE FOODS INC                 EQUITY    128030202       361     10,812  SH   --     SOLE       1      10,812      --        --
CALPINE CORP                        EQUITY    131347304       720     39,083  SH   --     SOLE       2      39,083      --        --
CALPINE CORP COM NEW ADDED          EQUITY    131347304         8        450  SH   --   DEFINED      5          --      --       450
CALPINE CORP/NEW                    EQUITY    131347304    17,203    929,023  SH   --     SOLE       1     929,023      --        --
CAMBREX CORP.                       EQUITY    132011107       170     24,598  SH   --     SOLE       1      24,598      --        --
CAMDEN PROPERTY TRUST               EQUITY    133131102     3,361     66,948  SH   --     SOLE       1      66,948      --        --
CAMECO CORP                         EQUITY    13321L108     3,535    107,190  SH   --    OTHER       1          -- 107,190        --
CAMECO CORP COM                     EQUITY    13321L108        21        652  SH   --   DEFINED      4          --      --       652
CAMECO CORP COM                     EQUITY    13321L108       115      3,500  SH   --   DEFINED      5          --      --     3,500
CAMERON INTERNATIONAL CORP          EQUITY    13342B105     3,925     94,251  SH   --     SOLE       1      94,251      --        --
CAMERON INTERNATIONAL CORP COM      EQUITY    13342B105        88      2,113  SH   --   DEFINED      4          --      --     2,113
CAMERON INTL CORP                   EQUITY    13342B105     2,901     69,661  SH   --     SOLE       2      69,661      --        --
CAMERON INTL CORP COM               EQUITY    13342B105     2,927     70,300  SH   --     SOLE       3      70,300      --    70,300
CAMPBELL SOUP CO                    EQUITY    134429109       708     20,864  SH   --     SOLE       2      20,864      --        --
CAMPBELL SOUP CO COM                EQUITY    134429109        27        800  SH   --   DEFINED      4          --      --       800
CAMPBELL SOUP CO COM                EQUITY    134429109         2         50  SH   --   DEFINED      5          --      --        50
CAMPBELL SOUP CO.                   EQUITY    134429109    10,126    298,271  SH   --     SOLE       1     298,271      --        --
CANADIAN IMPERIAL BANK OF
COMMERCE                            EQUITY    136069101     5,850     90,836  SH   --    OTHER       1          --  90,836        --
CANADIAN NATIONAL RAILWAY           EQUITY    136375102     6,705    138,300  SH   --    OTHER       1          -- 138,300        --
CANADIAN NATL RY CO COM             EQUITY    136375102        27        565  SH   --   DEFINED      5          --      --       565
CANADIAN NATURAL RESORUCES          EQUITY    136385101    11,752    171,713  SH   --    OTHER       1          -- 171,713        --
CANADIAN PAC RY LTD COM             EQUITY    13645T100        10        150  SH   --   DEFINED      4          --      --       150
CANADIAN PAC RY LTD COM             EQUITY    13645T100        13        200  SH   --   DEFINED      5          --      --       200
CANADIAN PACIFIC RAILWAY LTD        EQUITY    13645T100     2,294     35,660  SH   --    OTHER       1          --  35,660        --





                                                                                          
CANADIAN SOLAR INC                  EQUITY    136635109       479     22,900  SH   --     SOLE       1      22,900      --        --
CANADIAN SOLAR INC COM (F)          EQUITY    136635109     2,838    135,800  SH   --     SOLE       3     135,800      --   135,800
CANTEL MEDICAL CORP                 EQUITY    138098108       110     10,379  SH   --     SOLE       1      10,379      --        --
CAPELLA EDUCATION CO                EQUITY    139594105       503      9,217  SH   --     SOLE       1       9,217      --        --
CAPELLA EDUCATION CO                EQUITY    139594105       560     10,250  SH   --     SOLE       2      10,250      --        --
CAPITAL CITY BANK GROUP, INC.       EQUITY    139674105       296     10,223  SH   --     SOLE       1      10,223      --        --
CAPITAL CORP OF THE WEST            EQUITY    140065202        66      8,191  SH   --     SOLE       1       8,191      --        --
CAPITAL ONE FINANCIAL CORP.         EQUITY    14040H105    10,730    217,999  SH   --     SOLE       1     217,999      --        --
CAPITAL ONE FINL CORP               EQUITY    14040H105       162      3,296  SH   --     SOLE       2       3,296      --        --
CAPITAL ONE FINL CORP COM           EQUITY    14040H105       300      6,090  SH   --   DEFINED      5          --      --     6,090
CAPITAL SENIOR LIVING CORP          EQUITY    140475104       160     19,917  SH   --     SOLE       1      19,917      --        --
CAPITAL SOUTHWEST CORP              EQUITY    140501107       323      2,610  SH   --     SOLE       1       2,610      --        --
CAPITALSOURCE INC                   EQUITY    14055X102        40      4,155  SH   --     SOLE       1       4,155      --        --
CAPITALSOURCE INC COM               EQUITY    14055X102       860     88,890  SH   --   DEFINED      5          --      --    88,890
CAPITOL BANCORP LTD                 EQUITY    14056D105       258     12,221  SH   --     SOLE       1      12,221      --        --
CAPITOL BANCORP LTD COM             EQUITY    14056D105        24      1,125  SH   --   DEFINED      4          --      --     1,125
CAPITOL BANCORP LTD COM             EQUITY    14056D105        11        500  SH   --   DEFINED      5          --      --       500
CAPITOL FED FINL COM                EQUITY    14057C106        22        574  SH   --   DEFINED      5          --      --       574
CAPITOL FEDERAL FINANCIAL           EQUITY    14057C106        22        593  SH   --     SOLE       1         593      --        --
CAPSTEAD MTG CORP COM NO PAR        EQUITY    14067E506         1        100  SH   --   DEFINED      5          --      --       100
CAPSTEAD MTG CORP PFD B CV $1.26    EQUITY    14067E308        10        900  SH   --   DEFINED      5          --      --       900
CARACO PHARM LABS INC               EQUITY    14075T107       164      9,111  SH   --     SOLE       1       9,111      --        --
CARBO CERAMICS INC                  EQUITY    140781105       698     17,401  SH   --     SOLE       1      17,401      --        --
CARDICA INC COM                     EQUITY    14141R101         3        400  SH   --   DEFINED      5          --      --       400
CARDINAL HEALTH INC                 EQUITY    14149Y108    10,891    207,403  SH   --     SOLE       1     207,403      --        --
CARDINAL HEALTH INC                 EQUITY    14149Y108     5,648    107,556  SH   --     SOLE       2     107,556      --        --
CARDINAL HEALTH INC COM             EQUITY    14149Y108        88      1,672  SH   --   DEFINED      5          --      --     1,672
CARDTRONICS INC                     EQUITY    14161H108        72     10,290  SH   --     SOLE       1      10,290      --        --
CARDTRONICS INC                     EQUITY    14161H108     2,210    317,018  SH   --     SOLE       2     317,018      --        --
CAREER EDUCATION CORP               EQUITY    141665109     2,750    216,223  SH   --     SOLE       1     216,223      --        --
CAREER EDUCATION CORP COM           EQUITY    141665109         4        350  SH   --   DEFINED      4          --      --       350
CARLISLE COS INC.                   EQUITY    142339100     4,806    143,719  SH   --     SOLE       1     143,719      --        --
CARMAX INC                          EQUITY    143130102    10,136    521,934  SH   --     SOLE       1     521,934      --        --
CARMAX INC                          EQUITY    143130102       107      5,530  SH   --     SOLE       2       5,530      --        --
CARMAX INC COM                      EQUITY    143130102         4        200  SH   --   DEFINED      5          --      --       200
CARMIKE CINEMAS INC                 EQUITY    143436400       111     10,796  SH   --     SOLE       1      10,796      --        --
CARNIVAL CORP                       EQUITY    143658300     7,316    180,725  SH   --     SOLE       1     180,725      --        --
CARNIVAL CORP                       EQUITY    143658300     2,536     62,640  SH   --     SOLE       2      62,640      --        --
CARPENTER TECHNOLOGY CORP.          EQUITY    144285103     6,624    118,346  SH   --     SOLE       1     118,346      --        --
CARRIZO OIL & GAS INC               EQUITY    144577103     2,216     37,394  SH   --     SOLE       1      37,394      --        --





                                                                                          
CARRIZO OIL & INC COM               EQUITY    144577103     1,713     28,900  SH   --     SOLE       3      28,900      --    28,900
CARROLS RESTAURANT GROUP INC        EQUITY    14574X104        76      8,526  SH   --     SOLE       1       8,526      --        --
CARTER INC                          EQUITY    146229109     1,951    120,810  SH   --     SOLE       1     120,810      --        --
CASCADE BANCORP                     EQUITY    147154108       184     19,268  SH   --     SOLE       1      19,268      --        --
CASCADE BANCORP COM                 EQUITY    147154108        14      1,500  SH   --   DEFINED      5          --      --     1,500
CASCADE CORP                        EQUITY    147195101       500     10,132  SH   --     SOLE       1      10,132      --        --
CASELLA WASTE SYSTEMS, INC.         EQUITY    147448104       213     19,505  SH   --     SOLE       1      19,505      --        --
CASEYS GENERAL STORES, INC.         EQUITY    147528103       980     43,344  SH   --     SOLE       1      43,344      --        --
CASH AMERICA INTERNATIONAL          EQUITY    14754D100       927     25,478  SH   --     SOLE       1      25,478      --        --
CASS INFORMATION SYSTEMS INC        EQUITY    14808P109       188      5,966  SH   --     SOLE       1       5,966      --        --
CASTLE A. M.  & CO.                 EQUITY    148411101       326     12,081  SH   --     SOLE       1      12,081      --        --
CASUAL MALE RETAIL GROUP INC        EQUITY    148711104       130     30,993  SH   --     SOLE       1      30,993      --        --
CASUAL MALE RETAIL GRP COM          EQUITY    148711104       574    136,600  SH   --     SOLE       3     136,600      --   136,600
CATERPILLAR INC                     EQUITY    149123101     1,573     20,086  SH   --     SOLE       2      20,086      --        --
CATERPILLAR INC DEL COM             EQUITY    149123101       964     12,312  SH   --   DEFINED      4          --      --    12,312
CATERPILLAR INC DEL COM             EQUITY    149123101       136      1,735  SH   --   DEFINED      5          --      --     1,735
CATERPILLAR, INC.                   EQUITY    149123101    51,526    658,148  SH   --     SOLE       1     658,148      --        --
CATHAY GENERAL BANCORP INC.         EQUITY    149150104     3,333    160,805  SH   --     SOLE       1     160,805      --        --
CATO CORP. CLASS A                  EQUITY    149205106       383     25,636  SH   --     SOLE       1      25,636      --        --
CAVIUM NETWORKS INC                 EQUITY    14965A101        95      5,795  SH   --     SOLE       1       5,795      --        --
CAVIUM NETWORKS INC COM             EQUITY    14965A101         2        100  SH   --   DEFINED      5          --      --       100
CB RICHARD ELLIS GROUP INC          EQUITY    12497T101         5        208  SH   --     SOLE       2         208      --        --
CB RICHARD ELLIS GROUP INC CL A     EQUITY    12497T101         7        326  SH   --   DEFINED      5          --      --       326
CB RICHARD ELLIS GROUP INC-A        EQUITY    12497T101     1,593     73,623  SH   --     SOLE       1      73,623      --        --
CBEYOND INC                         EQUITY    149847105       333     17,706  SH   --     SOLE       1      17,706      --        --
CBIZ INC                            EQUITY    124805102       331     40,711  SH   --     SOLE       1      40,711      --        --
CBRE REALTY FINANCE INC             EQUITY    12498B307       101     25,000  SH   --     SOLE       1      25,000      --        --
CBRL GROUP INC COM                  EQUITY    12489V106         4        100  SH   --   DEFINED      5          --      --       100
CBRL GROUP, INC.                    EQUITY    12489V106     2,554     71,394  SH   --     SOLE       1      71,394      --        --
CBS CORP CLASS B                    EQUITY    124857202     3,988    180,614  SH   --     SOLE       2     180,614      --        --
CBS CORP NEW CL B                   EQUITY    124857202        47      2,138  SH   --   DEFINED      4          --      --     2,138
CBS CORP NEW CL B                   EQUITY    124857202        10        466  SH   --   DEFINED      5          --      --       466
CBS CORP-CL B                       EQUITY    124857202    10,947    495,777  SH   --     SOLE       1     495,777      --        --
CDI CORP.                           EQUITY    125071100       277     11,075  SH   --     SOLE       1      11,075      --        --
CEC ENTERTAINMENT, INC.             EQUITY    125137109       582     20,136  SH   --     SOLE       1      20,136      --        --
CEC ENTMT INC COM                   EQUITY    125137109         3        100  SH   --   DEFINED      5          --      --       100
CEDAR FAIR L P DEPOSITRY UNIT       EQUITY    150185106        23      1,000  SH   --   DEFINED      5          --      --     1,000
CELADON GROUP INC                   EQUITY    150838100       181     18,748  SH   --     SOLE       1      18,748      --        --
CELANESE CORP DE                    EQUITY    150870103       176      4,500  SH   --     SOLE       2       4,500      --        --
CELANESE CORP DEL COM SER A         EQUITY    150870103        11        287  SH   --   DEFINED      5          --      --       287





                                                                                          
CELANESE CORP-SERIES A              EQUITY    150870103       960     24,590  SH   --     SOLE       1      24,590      --        --
CELESTICA INC                       EQUITY    15101Q108       438     65,602  SH   --    OTHER       1          --  65,602        --
CELGENE CORP                        EQUITY    151020104    19,306    314,999  SH   --     SOLE       1     314,999      --        --
CELGENE CORP                        EQUITY    151020104     5,520     90,060  SH   --     SOLE       2      90,060      --        --
CELGENE CORP COM                    EQUITY    151020104        29        478  SH   --   DEFINED      4          --      --       478
CELGENE CORP COM                    EQUITY    151020104        27        439  SH   --   DEFINED      5          --      --       439
CELL GENESYS INC COM                EQUITY    150921104         2      1,016  SH   --   DEFINED      4          --      --     1,016
CELL GENESYS INC COM                EQUITY    150921104        59     25,000  SH   --   DEFINED      5          --      --    25,000
CELL GENESYS, INC.                  EQUITY    150921104       157     66,983  SH   --     SOLE       1      66,983      --        --
CEL-SCI CORP COM NEW                EQUITY    150837409         1      1,500  SH   --   DEFINED      5          --      --     1,500
CEMEX SAB DE CV SPON ADR NEW        EQUITY    151290889        62      2,388  SH   --   DEFINED      4          --      --     2,388
CEMEX SAB DE CV SPON ADR NEW        EQUITY    151290889        86      3,277  SH   --   DEFINED      5          --      --     3,277
CENTENE CORP DEL                    EQUITY    15135B101       522     37,417  SH   --     SOLE       1      37,417      --        --
CENTENE CORP DEL COM                EQUITY    15135B101         1         72  SH   --   DEFINED      5          --      --        72
CENTENNIAL BANK HOLDINGS INC        EQUITY    151345303       275     43,730  SH   --     SOLE       1      43,730      --        --
CENTENNIAL CELLULAR CORP.           EQUITY    15133V208       617    104,381  SH   --     SOLE       1     104,381      --        --
CENTER FINANCIAL CORP               EQUITY    15146E102        78      8,623  SH   --     SOLE       1       8,623      --        --
CENTERLINE HOLDING CO               EQUITY    15188T108       177     43,689  SH   --     SOLE       1      43,689      --        --
CENTERPLATE INC UNIT 99/99/9999     EQUITY    15200E204        78      7,950  SH   --   DEFINED      5          --      --     7,950
CENTERPOINT ENERGY INC              EQUITY    15189T107     2,036    142,701  SH   --     SOLE       1     142,701      --        --
CENTERPOINT ENERGY INC              EQUITY    15189T107       158     11,101  SH   --     SOLE       2      11,101      --        --
CENTERPOINT ENERGY INC COM          EQUITY    15189T107         4        274  SH   --   DEFINED      4          --      --       274
CENTERPOINT ENERGY INC COM          EQUITY    15189T107        26      1,803  SH   --   DEFINED      5          --      --     1,803
CENTEX CORP.                        EQUITY    152312104     1,395     57,612  SH   --     SOLE       1      57,612      --        --
CENTRAL EURO DISTRIBUTION CP        EQUITY    153435102     1,764     30,319  SH   --     SOLE       1      30,319      --        --
CENTRAL EUROPEAN DISTR COR          EQUITY    153435102     1,047     18,000  SH   --     SOLE       2      18,000      --        --
CENTRAL GARDEN AND PET CO           EQUITY    153527205       266     59,918  SH   --     SOLE       1      59,918      --        --
CENTRAL PACIFIC FINANCIAL CO        EQUITY    154760102       465     24,672  SH   --     SOLE       1      24,672      --        --
CENTRAL VT PUB SVC CORP COM         EQUITY    155771108       209      8,739  SH   --     SOLE       1       8,739      --        --
CENTRAL VT PUB SVC CORP COM         EQUITY    155771108        48      2,000  SH   --   DEFINED      5          --      --     2,000
CENTURY ALUMINUM CO.                EQUITY    156431108     1,662     25,084  SH   --     SOLE       1      25,084      --        --
CENTURYTEL INC                      EQUITY    156700106       140      4,217  SH   --     SOLE       2       4,217      --        --
CENTURYTEL, INC.                    EQUITY    156700106     4,458    134,103  SH   --     SOLE       1     134,103      --        --
CENVEO INC                          EQUITY    15670S105       482     46,057  SH   --     SOLE       1      46,057      --        --
CEPHALON INC                        EQUITY    156708109    14,927    231,786  SH   --     SOLE       1     231,786      --        --
CEPHALON INC COM                    EQUITY    156708109        27        417  SH   --   DEFINED      4          --      --       417
CEPHEID                             EQUITY    15670R107     2,131     87,365  SH   --     SOLE       1      87,365      --        --
CEPHEID COM                         EQUITY    15670R107     1,949     79,900  SH   --     SOLE       3      79,900      --    79,900
CERADYNE INC                        EQUITY    156710105       746     23,330  SH   --     SOLE       1      23,330      --        --
CERADYNE INC COM                    EQUITY    156710105        10        300  SH   --   DEFINED      5          --      --       300





                                                                                          
CERAGON NETWORKS LTD ORD (F)        EQUITY    M22013102     1,558    164,900  SH   --     SOLE       3     164,900      --   164,900
CERNER CORP                         EQUITY    156782104     5,946    159,509  SH   --     SOLE       1     159,509      --        --
CERNER CORP COM                     EQUITY    156782104        19        500  SH   --   DEFINED      5          --      --       500
CEVA INC COM                        EQUITY    157210105     1,461    191,000  SH   --     SOLE       3     191,000      --   191,000
CF INDS HLDGS INC                   EQUITY    125269100       150      1,450  SH   --     SOLE       2       1,450      --        --
CF INDUSTRIES HOLDINGS INC          EQUITY    125269100    16,798    162,109  SH   --     SOLE       1     162,109      --        --
CGI GROUP INC                       EQUITY    39945C109       768     72,883  SH   --    OTHER       1          --  72,883        --
CH ENERGY GROUP INC.                EQUITY    12541M102     2,285     58,733  SH   --     SOLE       1      58,733      --        --
CHAMPION ENTERPRISES INC COM        EQUITY    158496109         1        100  SH   --   DEFINED      5          --      --       100
CHAMPION ENTERPRISES, INC.          EQUITY    158496109       661     65,854  SH   --     SOLE       1      65,854      --        --
CHARLES RIVER LABORATORIES          EQUITY    159864107     9,640    163,555  SH   --     SOLE       1     163,555      --        --
CHARLES SCHWAB CORP.                EQUITY    808513105    25,585  1,358,746  SH   --     SOLE       1   1,358,746      --        --
CHARLOTTE RUSSE HOLDING INC         EQUITY    161048103       377     21,727  SH   --     SOLE       1      21,727      --        --
CHARMING SHOPPES, INC.              EQUITY    161133103     1,820    376,898  SH   --     SOLE       1     376,898      --        --
CHART INDS INC COM PAR $0.01        EQUITY    16115Q308     1,729     51,100  SH   --     SOLE       3      51,100      --    51,100
CHART INDUSTRIES INC                EQUITY    16115Q308     1,261     37,278  SH   --     SOLE       1      37,278      --        --
CHARTER COMMUNICATIONS INC
CLASS A                             EQUITY    16117M107       299    350,611  SH   --     SOLE       1     350,611      --        --
CHARTWELL DIVD & INCOME FD I COM    EQUITY    16139P104         7      1,000  SH   --   DEFINED      5          --      --     1,000
CHASE CORP COM                      EQUITY    16150R104        13        700  SH   --   DEFINED      5          --      --       700
CHATTEM INC                         EQUITY    162456107       966     14,554  SH   --     SOLE       1      14,554      --        --
CHATTEM INC                         EQUITY    162456107       458      6,900  SH   --     SOLE       2       6,900      --        --
CHECK POINT SOFTWARE TECH LT ORD    EQUITY    M22465104         3        138  SH   --   DEFINED      5          --      --       138
CHECKPOINT SYSTEMS, INC.            EQUITY    162825103       908     33,830  SH   --     SOLE       1      33,830      --        --
CHEESECAKE FACTORY                  EQUITY    163072101     3,558    163,300  SH   --     SOLE       1     163,300      --        --
CHEESECAKE FACTORY INC COM          EQUITY    163072101         2        100  SH   --   DEFINED      5          --      --       100
CHEMED CORP.                        EQUITY    16359R103       866     20,517  SH   --     SOLE       1      20,517      --        --
CHEMICAL FINANCIAL CORP.            EQUITY    163731102       508     21,289  SH   --     SOLE       1      21,289      --        --
CHEMTURA CORP                       EQUITY    163893100     4,274    582,344  SH   --     SOLE       1     582,344      --        --
CHENIERE ENERGY INC                 EQUITY    16411R208        18        891  SH   --     SOLE       1         891      --        --
CHENIERE ENERGY INC COM NEW         EQUITY    16411R208         2        100  SH   --   DEFINED      5          --      --       100
CHENIERE ENERGY PARTNERS LP
COM UNIT                            EQUITY    16411Q101         9        600  SH   --   DEFINED      5          --      --       600
CHEROKEE INC DEL NEW                EQUITY    16444H102       217      6,434  SH   --     SOLE       1       6,434      --        --
CHESAPEAKE CORP.                    EQUITY    165159104        82     17,085  SH   --     SOLE       1      17,085      --        --
CHESAPEAKE ENERGY CORP              EQUITY    165167107        25        547  SH   --     SOLE       2         547      --        --
CHESAPEAKE ENERGY CORP COM          EQUITY    165167107        96      2,081  SH   --   DEFINED      4          --      --     2,081
CHESAPEAKE ENERGY CORP COM          EQUITY    165167107       189      4,103  SH   --   DEFINED      5          --      --     4,103
CHESAPEAKE ENERGY CORP.             EQUITY    165167107    19,354    419,361  SH   --     SOLE       1     419,361      --        --
CHEVRON CORP                        EQUITY    166764100    29,745    348,460  SH   --     SOLE       2     348,460      --        --
CHEVRON CORP NEW COM                EQUITY    166764100       822      9,633  SH   --   DEFINED      4          --      --     9,633
CHEVRON CORP NEW COM                EQUITY    166764100     1,153     13,505  SH   --   DEFINED      5          --      --    13,505





                                                                                          
CHEVRON CORPORATION                 EQUITY    166764100   187,384  2,195,220  SH   --     SOLE       1   2,195,220      --        --
CHICAGO BRIDGE & IRON CO N V N Y
REGISTRY SH                         EQUITY    167250109         7        185  SH   --   DEFINED      5          --      --       185
CHICAGO BRIDGE & IRON CO NV         EQUITY    167250109       749     19,100  SH   --     SOLE       1      19,100      --        --
CHICAGO BRIDGE & IRON N Y REGI      EQUITY    167250959     6,628    168,900  SH   --     SOLE       3     168,900      --   168,900
CHICOS FAS INC COM                  EQUITY    168615102         1        200  SH   --   DEFINED      4          --      --       200
CHICOS FAS INC COM                  EQUITY    168615102       169     23,715  SH   --   DEFINED      5          --      --    23,715
CHICOS'S FAS INC.                   EQUITY    168615102     2,979    418,957  SH   --     SOLE       1     418,957      --        --
CHILDREN'S PLACE, INC.              EQUITY    168905107       474     19,299  SH   --     SOLE       1      19,299      --        --
CHIMERA INVESTMENT CORP             EQUITY    16934Q109       352     28,597  SH   --     SOLE       1      28,597      --        --
CHINA ARCHITECTURAL ENGINEERING
INC                                 EQUITY    16937S102        24      4,384  SH   --     SOLE       1       4,384      --        --
CHINA BAK BATTERY INC COM           EQUITY    16936Y100         1        300  SH   --   DEFINED      5          --      --       300
CHINA DIRECT INC COM                EQUITY    169384104         8      1,000  SH   --   DEFINED      5          --      --     1,000
CHINA LIFE INS CO LTD SPON ADR
REP H                               EQUITY    16939P106        17        319  SH   --   DEFINED      5          --      --       319
CHINA MOBILE LIMITED SPONSORED
ADR                                 EQUITY    16941M109        23        300  SH   --   DEFINED      5          --      --       300
CHINA MOBILE LTD                    EQUITY    16941M109    88,528  1,180,221  SH   --     SOLE       1   1,180,221      --        --
CHINA NATURAL RESOURCES INC COM     EQUITY    G2110U109         9        500  SH   --   DEFINED      5          --      --       500
CHINA PETE & CHEM CORP SPON ADR
H SHS                               EQUITY    16941R108        28        324  SH   --   DEFINED      4          --      --       324
CHINA PETROLEUM & CHEM-ADR          EQUITY    16941R108    24,690    287,160  SH   --     SOLE       1     287,160      --        --
CHINA PRECISION STEEL INC COM       EQUITY    16941J106        14      3,760  SH   --   DEFINED      4          --      --     3,760
CHINA PRECISION STEEL INC COM       EQUITY    16941J106         2        500  SH   --   DEFINED      5          --      --       500
CHINA TECHFAITH WIRLS COMM T
SPONSORED ADR                       EQUITY    169424108         3        500  SH   --   DEFINED      5          --      --       500
CHIPOTLE MEXICAN GRILL INC          EQUITY    169656204     2,731     28,130  SH   --     SOLE       1      28,130      --        --
CHIPOTLE MEXICAN GRILL INC          EQUITY    169656105     8,859     78,100  SH   --     SOLE       1      78,100      --        --
CHIPOTLE MEXICAN GRILL INC CL A     EQUITY    169656105        50        444  SH   --   DEFINED      5          --      --       444
CHIQUITA BRANDS INTL                EQUITY    170032809       842     36,422  SH   --     SOLE       1      36,422      --        --
CHIQUITA BRANDS INTL INC *W EXP
03/19/200                           EQUITY    170032114         1        237  SH   --   DEFINED      4          --      --       237
CHOICE HOTELS INTL INC.             EQUITY    169905106        35      1,033  SH   --     SOLE       1       1,033      --        --
CHOICEPOINT INC.                    EQUITY    170388102    10,527    221,153  SH   --     SOLE       1     221,153      --        --
CHORDIANT SOFTWARE INC              EQUITY    170404305       169     28,095  SH   --     SOLE       1      28,095      --        --
CHRISTOPHER & BANKS CORPORATIO      EQUITY    171046105       310     31,061  SH   --     SOLE       1      31,061      --        --
CHUBB CORP                          EQUITY    171232101     8,027    162,223  SH   --     SOLE       2     162,223      --        --
CHUBB CORP COM                      EQUITY    171232101         2         50  SH   --   DEFINED      4          --      --        50
CHUBB CORP COM                      EQUITY    171232101        12        236  SH   --   DEFINED      5          --      --       236
CHUBB CORP.                         EQUITY    171232101    86,969  1,757,659  SH   --     SOLE       1   1,757,659      --        --
CHUNGHWA TELECOM CO LTD SPON ADR
NEW ADDED                           EQUITY    17133Q304        61      2,333  SH   --   DEFINED      4          --      --     2,333
CHUNGHWA TELECOM CO LTD SPON ADR
NEW ADDED                           EQUITY    17133Q304         1         39  SH   --   DEFINED      5          --      --        39
CHURCH & DWIGHT CO., INC.           EQUITY    171340102     8,670    159,853  SH   --     SOLE       1     159,853      --        --
CHURCH + DWIGHT INC                 EQUITY    171340102       146      2,700  SH   --     SOLE       2       2,700      --        --
CHURCHILL DOWNS, INC.               EQUITY    171484108       383      8,108  SH   --     SOLE       1       8,108      --        --
CIA VALE DO RIO DOCE-ADR            EQUITY    204412209    79,657  2,299,560  SH   --     SOLE       1   2,299,560      --        --





                                                                                          
CIBER, INC.                         EQUITY    17163B102       228     46,578  SH   --     SOLE       1      46,578      --        --
CIENA CORP                          EQUITY    171779309     2,883     93,510  SH   --     SOLE       1      93,510      --        --
CIENA CORP                          EQUITY    171779309         3        104  SH   --     SOLE       2         104      --        --
CIENA CORP COM NEW                  EQUITY    171779309        88      2,840  SH   --   DEFINED      5          --      --     2,840
CIGNA CORP                          EQUITY    125509109       228      5,615  SH   --     SOLE       2       5,615      --        --
CIGNA CORP.                         EQUITY    125509109    13,395    330,167  SH   --     SOLE       1     330,167      --        --
CIMAREX ENERGY CO                   EQUITY    171798101    10,865    198,486  SH   --     SOLE       1     198,486      --        --
CIMAREX ENERGY CO COM               EQUITY    171798101         6        107  SH   --   DEFINED      4          --      --       107
CINCINNATI BELL INC                 EQUITY    171871106     3,416    801,779  SH   --     SOLE       1     801,779      --        --
CINCINNATI FINANCIAL CORP.          EQUITY    172062101     7,828    205,777  SH   --     SOLE       1     205,777      --        --
CINCINNATI FINL CORP                EQUITY    172062101         8        198  SH   --     SOLE       2         198      --        --
CINEMARK HOLDINGS INC               EQUITY    17243V102       307     24,023  SH   --     SOLE       1      24,023      --        --
CINTAS CORP                         EQUITY    172908105         4        156  SH   --     SOLE       2         156      --        --
CINTAS CORP.                        EQUITY    172908105     1,915     67,112  SH   --     SOLE       1      67,112      --        --
CIRCOR INTERNATIONAL, INC.          EQUITY    17273K109       649     14,040  SH   --     SOLE       1      14,040      --        --
CIRCUIT CITY STORE INC COM          EQUITY    172737108         2        600  SH   --   DEFINED      5          --      --       600
CIRCUIT CITY STORES, INC.           EQUITY    172737108       395     99,351  SH   --     SOLE       1      99,351      --        --
CIRRUS LOGIC, INC.                  EQUITY    172755100       508     75,638  SH   --     SOLE       1      75,638      --        --
CISCO SYS INC                       EQUITY    17275R102    18,961    787,106  SH   --     SOLE       2     787,106      --        --
CISCO SYS INC COM                   EQUITY    17275R102     1,108     46,012  SH   --   DEFINED      4          --      --    46,012
CISCO SYS INC COM                   EQUITY    17275R102       625     25,964  SH   --   DEFINED      5          --      --    25,964
CISCO SYSTEMS, INC.                 EQUITY    17275R102   103,825  4,309,862  SH   --     SOLE       1   4,309,862      --        --
CIT GROUP INC                       EQUITY    125581108       626     52,814  SH   --     SOLE       1      52,814      --        --
CIT GROUP INC COM                   EQUITY    125581108        12      1,000  SH   --   DEFINED      4          --      --     1,000
CIT GROUP INC COM                   EQUITY    125581108         4        328  SH   --   DEFINED      5          --      --       328
CIT GROUP INC NEW                   EQUITY    125581108        14      1,209  SH   --     SOLE       2       1,209      --        --
CITADEL BROADCASTING CORP           EQUITY    17285T106       259    156,309  SH   --     SOLE       1     156,309      --        --
CITI TRENDS INC                     EQUITY    17306X102     2,308    125,106  SH   --     SOLE       1     125,106      --        --
CITIGROUP INC                       EQUITY    172967101    87,891  4,103,226  SH   --     SOLE       1   4,103,226      --        --
CITIGROUP INC                       EQUITY    172967101    24,583  1,147,684  SH   --     SOLE       2   1,147,684      --        --
CITIGROUP INC COM                   EQUITY    172967101       183      8,545  SH   --   DEFINED      4          --      --     8,545
CITIGROUP INC COM                   EQUITY    172967101       461     21,537  SH   --   DEFINED      5          --      --    21,537
CITIZENS COMMUNICATIONS CO          EQUITY    17453B101         4        392  SH   --     SOLE       2         392      --        --
CITIZENS COMMUNICATIONS CO COM      EQUITY    17453B101        57      5,428  SH   --   DEFINED      5          --      --     5,428
CITIZENS COMMUNICATIONS INC         EQUITY    17453B101     1,506    143,603  SH   --     SOLE       1     143,603      --        --
CITIZENS INC                        EQUITY    174740100       211     31,593  SH   --     SOLE       1      31,593      --        --
CITIZENS REPUBLIC BANCORP INC       EQUITY    174420109       807     64,954  SH   --     SOLE       1      64,954      --        --
CITRIX SYS INC                      EQUITY    177376100         6        221  SH   --     SOLE       2         221      --        --
CITRIX SYS INC COM                  EQUITY    177376100        12        400  SH   --   DEFINED      4          --      --       400
CITRIX SYSTEMS, INC.                EQUITY    177376100     2,686     91,587  SH   --     SOLE       1      91,587      --        --





                                                                                          
CITY HOLDING CO.                    EQUITY    177835105     2,058     51,586  SH   --     SOLE       1      51,586      --        --
CITY NATIONAL CORP.                 EQUITY    178566105     4,821     97,465  SH   --     SOLE       1      97,465      --        --
CITY NATL CORP COM                  EQUITY    178566105         5        100  SH   --   DEFINED      4          --      --       100
CITY NATL CORP COM                  EQUITY    178566105         3         67  SH   --   DEFINED      5          --      --        67
CITYBANK                            EQUITY    17770A109       261     11,714  SH   --     SOLE       1      11,714      --        --
CKE RESTAURANTS INC                 EQUITY    12561E105       551     49,090  SH   --     SOLE       1      49,090      --        --
CKX INC                             EQUITY    12562M106       309     32,475  SH   --     SOLE       1      32,475      --        --
CLARCOR, INC.                       EQUITY    179895107     1,564     43,992  SH   --     SOLE       1      43,992      --        --
CLAYMORE ETF TRUST 2 S&P GBL
WATER                               EQUITY    18383Q507         8        350  SH   --   DEFINED      4          --      --       350
CLAYMORE ETF TRUST 2 S&P GBL
WATER                               EQUITY    18383Q507         2        100  SH   --   DEFINED      5          --      --       100
CLAYMORE EXCHANGE TRADED FD BNY
BRI&C PTF                           EQUITY    18383M100        53      1,162  SH   --   DEFINED      4          --      --     1,162
CLAYMORE EXCHANGE TRADED FD BNY
BRI&C PTF                           EQUITY    18383M100        68      1,482  SH   --   DEFINED      5          --      --     1,482
CLAYTON HOLDINGS INC                EQUITY    18418N107        48     10,286  SH   --     SOLE       1      10,286      --        --
CLAYTON WILLIAMS ENERGY, INC.       EQUITY    969490101       249      4,740  SH   --     SOLE       1       4,740      --        --
CLEAN ENERGY FUELS CORP             EQUITY    184499101       114      8,568  SH   --     SOLE       1       8,568      --        --
CLEAN ENERGY FUELS CORP COM         EQUITY    184499101         4        300  SH   --   DEFINED      5          --      --       300
CLEAN HARBORS INC                   EQUITY    184496107       924     14,222  SH   --     SOLE       1      14,222      --        --
CLEAN HBRS INC                      EQUITY    184496107       306      4,700  SH   --     SOLE       2       4,700      --        --
CLEAR CHANNEL COMMUNICATIO          EQUITY    184502102        17        595  SH   --     SOLE       2         595      --        --
CLEAR CHANNEL COMMUNICATIONS        EQUITY    184502102    10,959    375,035  SH   --     SOLE       1     375,035      --        --
CLEAR CHANNEL COMMUNICATIONS COM    EQUITY    184502102        56      1,907  SH   --   DEFINED      4          --      --     1,907
CLEAR CHANNEL COMMUNICATIONS COM    EQUITY    184502102         2         55  SH   --   DEFINED      5          --      --        55
CLEAR CHANNEL OUTDOOR HOLDINGS
INC                                 EQUITY    18451C109        41      2,133  SH   --     SOLE       1       2,133      --        --
CLEARWIRE CORP                      EQUITY    185385309        13        889  SH   --     SOLE       1         889      --        --
CLEARWIRE CORP CL A                 EQUITY    185385309         1        100  SH   --   DEFINED      4          --      --       100
CLEARWIRE CORP CL A                 EQUITY    185385309         4        250  SH   --   DEFINED      5          --      --       250
CLECO CORP                          EQUITY    12561W105     1,136     51,203  SH   --     SOLE       1      51,203      --        --
CLECO CORP NEW COM                  EQUITY    12561W105        13        600  SH   --   DEFINED      5          --      --       600
CLEVELAND CLIFFS INC COM            EQUITY    185896107     4,853     40,500  SH   --     SOLE       3      40,500      --    40,500
CLEVELAND CLIFFS INC COM            EQUITY    185896107        11         91  SH   --   DEFINED      4          --      --        91
CLEVELAND CLIFFS INC COM            EQUITY    185896107        12        100  SH   --   DEFINED      5          --      --       100
CLEVELAND-CLIFFS, INC.              EQUITY    185896107    12,896    107,630  SH   --     SOLE       1     107,630      --        --
CLIFTON SAVINGS BANCORP INC         EQUITY    18712Q103        97      9,586  SH   --     SOLE       1       9,586      --        --
CLOROX CO                           EQUITY    189054109     2,368     41,816  SH   --     SOLE       2      41,816      --        --
CLOROX CO DEL COM                   EQUITY    189054109        66      1,174  SH   --   DEFINED      4          --      --     1,174
CLOROX CO DEL COM                   EQUITY    189054109         9        156  SH   --   DEFINED      5          --      --       156
CLOROX CO.                          EQUITY    189054109     7,817    138,018  SH   --     SOLE       1     138,018      --        --
CLOUGH GLOBAL OPPORTUNITIES SH
BEN INT                             EQUITY    18914E106        19      1,148  SH   --   DEFINED      4          --      --     1,148
CME GROUP INC                       EQUITY    12572Q105    11,685     24,909  SH   --     SOLE       1      24,909      --        --
CME GROUP INC                       EQUITY    12572Q105     2,690      5,734  SH   --     SOLE       2       5,734      --        --





                                                                                          
CME GROUP INC COM                   EQUITY    12572Q105     3,753      8,000  SH   --     SOLE       3       8,000      --     8,000
CME GROUP INC COM                   EQUITY    12572Q105        21         45  SH   --   DEFINED      5          --      --        45
CMGI INC                            EQUITY    125750307       554     41,797  SH   --     SOLE       1      41,797      --        --
CMGI INC COM NEW                    EQUITY    125750307         1        100  SH   --   DEFINED      4          --      --       100
CMS ENERGY CORP                     EQUITY    125896100       326     24,089  SH   --     SOLE       2      24,089      --        --
CMS ENERGY CORP.                    EQUITY    125896100     4,880    360,402  SH   --     SOLE       1     360,402      --        --
CNA FINANCIAL CORP                  EQUITY    126117100       291     11,266  SH   --     SOLE       1      11,266      --        --
CNA SURETY CORP.                    EQUITY    12612L108       218     14,188  SH   --     SOLE       1      14,188      --        --
CNET NETWORKS INC.                  EQUITY    12613R104       921    129,733  SH   --     SOLE       1     129,733      --        --
CNX GAS CORP COM                    EQUITY    12618H309        10        300  SH   --   DEFINED      5          --      --       300
COACH INC                           EQUITY    189754104     9,805    325,219  SH   --     SOLE       1     325,219      --        --
COACH INC                           EQUITY    189754104       330     10,932  SH   --     SOLE       2      10,932      --        --
COACH INC COM                       EQUITY    189754104        20        650  SH   --   DEFINED      4          --      --       650
COACH INC COM                       EQUITY    189754104        37      1,233  SH   --   DEFINED      5          --      --     1,233
COBIZ FINANCIAL INC                 EQUITY    190897108       207     15,870  SH   --     SOLE       1      15,870      --        --
COCA COLA CO                        EQUITY    191216100     2,711     44,541  SH   --     SOLE       2      44,541      --        --
COCA COLA CO COM                    EQUITY    191216100       158      2,599  SH   --   DEFINED      4          --      --     2,599
COCA COLA CO COM                    EQUITY    191216100       781     12,830  SH   --   DEFINED      5          --      --    12,830
COCA COLA ENTERPRISES INC           EQUITY    191219104       167      6,894  SH   --     SOLE       2       6,894      --        --
COCA COLA ENTERPRISES, INC.         EQUITY    191219104     4,892    202,141  SH   --     SOLE       1     202,141      --        --
COCA COLA FEMSA S A B DE C V
SPON ADR REP L                      EQUITY    191241108       370      6,564  SH   --   DEFINED      4          --      --     6,564
COCA-COLA BOTTLING CO.              EQUITY    191098102       314      5,103  SH   --     SOLE       1       5,103      --        --
COCA-COLA CO.                       EQUITY    191216100    75,502  1,240,377  SH   --     SOLE       1   1,240,377      --        --
COEUR D ALENE MINES CORP IDA COM    EQUITY    192108108         5      1,200  SH   --   DEFINED      5          --      --     1,200
COEUR D'ALENE MINES CORP            EQUITY    192108108     1,701    421,062  SH   --     SOLE       1     421,062      --        --
COGENT COMMUNICATIONS GROUP         EQUITY    19239V302       734     40,088  SH   --     SOLE       1      40,088      --        --
COGENT INC                          EQUITY    19239Y108       352     37,357  SH   --     SOLE       1      37,357      --        --
COGNEX CORP.                        EQUITY    192422103       829     37,954  SH   --     SOLE       1      37,954      --        --
COGNIZANT TECH SOLUTION             EQUITY    192446102    21,134    733,042  SH   --     SOLE       1     733,042      --        --
COGNIZANT TECHNOLOGY SOLUT          EQUITY    192446102     1,394     48,345  SH   --     SOLE       2      48,345      --        --
COGNIZANT TECHNOLOGY SOLUTIO
CL A                                EQUITY    192446102        23        800  SH   --   DEFINED      5          --      --       800
COHEN & STEERS ADV INC RLTY COM     EQUITY    19247W102        76      4,927  SH   --   DEFINED      4          --      --     4,927
COHEN & STEERS INC                  EQUITY    19247A100       397     15,002  SH   --     SOLE       1      15,002      --        --
COHEN & STEERS PREM INC RLTY COM    EQUITY    19247V104        29      1,850  SH   --   DEFINED      4          --      --     1,850
COHEN & STEERS QUALITY RLTY COM     EQUITY    19247L106        12        775  SH   --   DEFINED      4          --      --       775
COHEN & STEERS QUALITY RLTY COM     EQUITY    19247L106        14        900  SH   --   DEFINED      5          --      --       900
COHEN & STEERS REIT & PFD IN COM    EQUITY    19247X100         8        400  SH   --   DEFINED      4          --      --       400
COHEN & STEERS REIT & PFD IN COM    EQUITY    19247X100         8        400  SH   --   DEFINED      5          --      --       400
COHEN & STEERS REIT & UTIL I COM    EQUITY    19247Y108        19      1,100  SH   --   DEFINED      5          --      --     1,100
COHEN & STEERS SELECT UTIL F COM    EQUITY    19248A109        11        500  SH   --   DEFINED      4          --      --       500





                                                                                          
COHEN & STEERS SELECT UTIL F COM    EQUITY    19248A109        11        500  SH   --   DEFINED      5          --      --       500
COHEN & STEERS TOTAL RETURN COM     EQUITY    19247R103         8        500  SH   --   DEFINED      4          --      --       500
COHEN & STEERS WRLDWD RLT IN COM    EQUITY    19248J100        42      2,850  SH   --   DEFINED      4          --      --     2,850
COHU, INC.                          EQUITY    192576106       317     19,505  SH   --     SOLE       1      19,505      --        --
COINSTAR, INC                       EQUITY    19259P300       671     23,859  SH   --     SOLE       1      23,859      --        --
COLDWATER CREEK INC COM             EQUITY    193068103       185     36,545  SH   --   DEFINED      5          --      --    36,545
COLDWATER CREEK, INC.               EQUITY    193068103       712    141,064  SH   --     SOLE       1     141,064      --        --
COLE, K. PRODUCTIONS, INC.
CLASS A                             EQUITY    193294105       144      8,517  SH   --     SOLE       1       8,517      --        --
COLEMAN CABLE INC                   EQUITY    193459302        79      7,201  SH   --     SOLE       1       7,201      --        --
COLGATE PALMOLIVE CO                EQUITY    194162103     1,693     21,727  SH   --     SOLE       2      21,727      --        --
COLGATE PALMOLIVE CO COM            EQUITY    194162103       171      2,189  SH   --   DEFINED      4          --      --     2,189
COLGATE PALMOLIVE CO COM            EQUITY    194162103       332      4,260  SH   --   DEFINED      5          --      --     4,260
COLGATE-PALMOLIVE CO.               EQUITY    194162103    63,785    818,700  SH   --     SOLE       1     818,700      --        --
COLLECTIVE BRANDS INC               EQUITY    19421W100     2,560    211,206  SH   --     SOLE       1     211,206      --        --
COLONIAL BANCGROUP INC COM          EQUITY    195493309         5        500  SH   --   DEFINED      4          --      --       500
COLONIAL BANCGROUP, INC.            EQUITY    195493309     4,488    466,087  SH   --     SOLE       1     466,087      --        --
COLONIAL PPTYS TR COM SH BEN INT    EQUITY    195872106        86      3,569  SH   --   DEFINED      4          --      --     3,569
COLUMBIA BANKING SYSTEM, INC        EQUITY    197236102       344     15,350  SH   --     SOLE       1      15,350      --        --
COLUMBIA SPORTSWEAR                 EQUITY    198516106       522     11,865  SH   --     SOLE       1      11,865      --        --
COLUMBUS MCKINNON CORP NY           EQUITY    199333105     4,452    143,700  SH   --     SOLE       2     143,700      --        --
COLUMBUS MCKINNON CORP/NY           EQUITY    199333105       501     16,156  SH   --     SOLE       1      16,156      --        --
COMCAST CORP NEW                    EQUITY    20030N200       494     25,784  SH   --     SOLE       2      25,784      --        --
COMCAST CORP NEW CL A               EQUITY    20030N101        16        805  SH   --   DEFINED      4          --      --       805
COMCAST CORP NEW CL A               EQUITY    20030N101        80      4,119  SH   --   DEFINED      5          --      --     4,119
COMCAST CORP NEW CL A SPL           EQUITY    20030N200         4        187  SH   --   DEFINED      4          --      --       187
COMCAST CORP NEW CL A SPL           EQUITY    20030N200        57      3,006  SH   --   DEFINED      5          --      --     3,006
COMCAST CORP-CL A                   EQUITY    20030N101    38,561  1,993,843  SH   --     SOLE       1   1,993,843      --        --
COMERICA INC                        EQUITY    200340107         6        180  SH   --     SOLE       2         180      --        --
COMERICA INC COM                    EQUITY    200340107         9        250  SH   --   DEFINED      5          --      --       250
COMERICA, INC.                      EQUITY    200340107     3,602    102,674  SH   --     SOLE       1     102,674      --        --
COMFORT SYS USA INC                 EQUITY    199908104       457     35,135  SH   --     SOLE       1      35,135      --        --
COMMERCE BANCSHARES                 EQUITY    200525103       100      2,369  SH   --     SOLE       1       2,369      --        --
COMMERCE GROUP, INC.                EQUITY    200641108     5,216    144,636  SH   --     SOLE       1     144,636      --        --
COMMERCIAL METALS CO.               EQUITY    201723103     8,379    279,577  SH   --     SOLE       1     279,577      --        --
COMMERCIAL VEHICLE GROUP INC        EQUITY    202608105       182     18,357  SH   --     SOLE       1      18,357      --        --
COMMSCOPE INC                       EQUITY    203372107       132      3,800  SH   --     SOLE       2       3,800      --        --
COMMSCOPE INC COM                   EQUITY    203372107         3         85  SH   --   DEFINED      5          --      --        85
COMMSCOPE INC.                      EQUITY    203372107     5,600    160,767  SH   --     SOLE       1     160,767      --        --
COMMUNITY BANCORP                   EQUITY    20343T100       121      8,943  SH   --     SOLE       1       8,943      --        --
COMMUNITY BANK SYSTEM, INC.         EQUITY    203607106       634     25,816  SH   --     SOLE       1      25,816      --        --





                                                                                          
COMMUNITY BK SYS INC COM            EQUITY    203607106        74      3,000  SH   --   DEFINED      4          --      --     3,000
COMMUNITY CAP CORP S C COM          EQUITY    20363C102         2        115  SH   --   DEFINED      5          --      --       115
COMMUNITY HEALTH SYS                EQUITY    203668108     7,747    230,767  SH   --     SOLE       1     230,767      --        --
COMMUNITY HEALTH SYS INC NEW COM    EQUITY    203668108        10        300  SH   --   DEFINED      4          --      --       300
COMMUNITY TRUST BANCORP             EQUITY    204149108       383     13,056  SH   --     SOLE       1      13,056      --        --
COMMVAULT SYSTEMS INC               EQUITY    204166102     1,407    113,459  SH   --     SOLE       1     113,459      --        --
COMPANHIA DE BEBIDAS-PR ADR         EQUITY    20441W203     8,048    106,531  SH   --     SOLE       1     106,531      --        --
COMPANHIA DE SANEAMENTO BASI
SPONSORED ADR                       EQUITY    20441A102         9        200  SH   --   DEFINED      5          --      --       200
COMPANHIA SIDERURGICA NACION
SPONSORED ADR                       EQUITY    20440W105         4        108  SH   --   DEFINED      4          --      --       108
COMPANHIA VALE DO RIO DOCE          EQUITY    204412209     4,361    125,900  SH   --     SOLE       2     125,900      --        --
COMPANHIA VALE DO RIO DOCE CALL     OPTION    204412909         6         10  -- CALL   DEFINED      5          --      --        10
COMPANHIA VALE DO RIO DOCE
SPONSORED ADR                       EQUITY    204412209        63      1,820  SH   --   DEFINED      4          --      --     1,820
COMPANHIA VALE DO RIO DOCE
SPONSORED ADR                       EQUITY    204412209        89      2,580  SH   --   DEFINED      5          --      --     2,580
COMPASS DIVERSIFIED HOLDINGS        EQUITY    20451Q104       239     18,160  SH   --     SOLE       1      18,160      --        --
COMPASS MINERALS INTERNATION        EQUITY    20451N101     1,628     27,595  SH   --     SOLE       1      27,595      --        --
COMPELLENT TECHNOLOGIES INC         EQUITY    20452A108        70      5,671  SH   --     SOLE       1       5,671      --        --
COMPLETE PRODUCTION SERVICES INC    EQUITY    20453E109       841     36,666  SH   --     SOLE       1      36,666      --        --
COMPTON PETE CORP COM               EQUITY    204940100        11      1,000  SH   --   DEFINED      5          --      --     1,000
COMPTON PETROLEUM                   EQUITY    204940100       349     31,481  SH   --    OTHER       1          --  31,481        --
COMPUCREDIT CORPORATION             EQUITY    20478N100       138     15,599  SH   --     SOLE       1      15,599      --        --
COMPUTER ASSOC INTL INC NOTE
1.625%12/1                       FIXED INCOME 204912AQ2         1          1 PRN   --   DEFINED      4          --      --         1
COMPUTER PROGRAMS & SY              EQUITY    205306103       163      7,791  SH   --     SOLE       1       7,791      --        --
COMPUTER SCIENCES CORP              EQUITY    205363104         8        196  SH   --     SOLE       2         196      --        --
COMPUTER SCIENCES CORP COM          EQUITY    205363104         7        178  SH   --   DEFINED      4          --      --       178
COMPUTER SCIENCES CORP COM          EQUITY    205363104        13        310  SH   --   DEFINED      5          --      --       310
COMPUTER SCIENCES CORP.             EQUITY    205363104     5,420    132,866  SH   --     SOLE       1     132,866      --        --
COMPUWARE CORP                      EQUITY    205638109       161     21,978  SH   --     SOLE       2      21,978      --        --
COMPUWARE CORP.                     EQUITY    205638109       556     75,738  SH   --     SOLE       1      75,738      --        --
COMPX INTERNATIONAL INC.            EQUITY    20563P101        10      1,040  SH   --     SOLE       1       1,040      --        --
COMSCORE INC                        EQUITY    20564W105       103      5,134  SH   --     SOLE       1       5,134      --        --
COMSTOCK RES INC COM NEW            EQUITY    205768203         8        200  SH   --   DEFINED      4          --      --       200
COMSTOCK RESOURCES, INC.            EQUITY    205768203     1,535     38,096  SH   --     SOLE       1      38,096      --        --
COMSYS IT PARTNERS INC              EQUITY    20581E104       127     15,043  SH   --     SOLE       1      15,043      --        --
COMTECH GROUP INC                   EQUITY    205821200       182     16,857  SH   --     SOLE       1      16,857      --        --
COMTECH TELECOMMUNICATIONS          EQUITY    205826209       775     19,863  SH   --     SOLE       1      19,863      --        --
COMTECH TELECOMMUNICATIONS          EQUITY    205826209       507     13,000  SH   --     SOLE       2      13,000      --        --
COMVERGE INC                        EQUITY    205859101        58      5,650  SH   --     SOLE       1       5,650      --        --
CON WAY INC                         EQUITY    205944101       166      3,350  SH   --     SOLE       2       3,350      --        --
CONAGRA FOODS INC COM               EQUITY    205887102        24      1,000  SH   --   DEFINED      4          --      --     1,000
CONAGRA FOODS INC COM               EQUITY    205887102        11        470  SH   --   DEFINED      5          --      --       470





                                                                                          
CONAGRA INC                         EQUITY    205887102        14        583  SH   --     SOLE       2         583      --        --
CONAGRA, INC.                       EQUITY    205887102    11,679    487,630  SH   --     SOLE       1     487,630      --        --
CONCEPTUS INC                       EQUITY    206016107       468     25,228  SH   --     SOLE       1      25,228      --        --
CONCHO RESOURCES INC                EQUITY    20605P101       507     19,780  SH   --     SOLE       1      19,780      --        --
CONCUR TECHNOLOGIES COM             EQUITY    206708109     1,512     48,700  SH   --     SOLE       3      48,700      --    48,700
CONCUR TECHNOLOGIES INC             EQUITY    206708109     1,898     61,132  SH   --     SOLE       1      61,132      --        --
CONEXANT SYSTEMS INC.               EQUITY    207142100       244    420,838  SH   --     SOLE       1     420,838      --        --
CONMED CORP.                        EQUITY    207410101       622     24,269  SH   --     SOLE       1      24,269      --        --
CONN'S INC                          EQUITY    208242107       170     10,453  SH   --     SOLE       1      10,453      --        --
CONOCOPHILLIPS                      EQUITY    20825C104    26,719    350,593  SH   --     SOLE       2     350,593      --        --
CONOCOPHILLIPS COM                  EQUITY    20825C104        79      1,032  SH   --   DEFINED      4          --      --     1,032
CONOCOPHILLIPS COM                  EQUITY    20825C104     1,196     15,693  SH   --   DEFINED      5          --      --    15,693
CONOCOPHILLIPS PETROLEUM CO         EQUITY    20825C104    80,724  1,059,233  SH   --     SOLE       1   1,059,233      --        --
CONS TOMOKA LAND CO-FLORIDA         EQUITY    210226106       275      4,904  SH   --     SOLE       1       4,904      --        --
CONSECO INC                         EQUITY    208464883        65      6,383  SH   --     SOLE       1       6,383      --        --
CONSECO INC COM NEW                 EQUITY    208464883         1        115  SH   --   DEFINED      5          --      --       115
CONSOL ENERGY INC                   EQUITY    20854P109     5,804     83,878  SH   --     SOLE       1      83,878      --        --
CONSOL ENERGY INC                   EQUITY    20854P109        15        218  SH   --     SOLE       2         218      --        --
CONSOL ENERGY INC COM               EQUITY    20854P109     5,300     76,600  SH   --     SOLE       3      76,600      --    76,600
CONSOL ENERGY INC COM               EQUITY    20854P109       107      1,550  SH   --   DEFINED      4          --      --     1,550
CONSOL ENERGY INC COM               EQUITY    20854P109        62        900  SH   --   DEFINED      5          --      --       900
CONSOLIDATED COMMUNICATIONS         EQUITY    209034107       300     19,797  SH   --     SOLE       1      19,797      --        --
CONSOLIDATED EDISON INC             EQUITY    209115104        13        325  SH   --     SOLE       2         325      --        --
CONSOLIDATED EDISON INC COM         EQUITY    209115104        97      2,448  SH   --   DEFINED      4          --      --     2,448
CONSOLIDATED EDISON INC COM         EQUITY    209115104       191      4,800  SH   --   DEFINED      5          --      --     4,800
CONSOLIDATED EDISON, INC.           EQUITY    209115104     7,288    183,567  SH   --     SOLE       1     183,567      --        --
CONSOLIDATED GRAPHICS INC COM       EQUITY    209341106        10        186  SH   --   DEFINED      5          --      --       186
CONSOLIDATED GRAPHICS, INC.         EQUITY    209341106       409      7,302  SH   --     SOLE       1       7,302      --        --
CONSTANT CONTACT INC                EQUITY    210313102        90      6,208  SH   --     SOLE       1       6,208      --        --
CONSTANT CONTACT INC COM            EQUITY    210313102         1        100  SH   --   DEFINED      5          --      --       100
CONSTELLATION BRANDS                EQUITY    21036P108     2,037    115,280  SH   --     SOLE       1     115,280      --        --
CONSTELLATION BRANDS INC            EQUITY    21036P108         4        232  SH   --     SOLE       2         232      --        --
CONSTELLATION BRANDS INC CL A       EQUITY    21036P108        13        734  SH   --   DEFINED      5          --      --       734
CONSTELLATION ENERGY GROUP          EQUITY    210371100       131      1,483  SH   --     SOLE       2       1,483      --        --
CONSTELLATION ENERGY GROUP I COM    EQUITY    210371100         2         22  SH   --   DEFINED      5          --      --        22
CONSTELLATION ENERGY GRUOP INC      EQUITY    210371100    58,423    661,865  SH   --     SOLE       1     661,865      --        --
CONTANGO OIL & GAS CO               EQUITY    21075N204       727     11,250  SH   --     SOLE       1      11,250      --        --
CONTINENTAL AIRLS INC COM CL B      EQUITY    210795308        77      3,984  SH   --     SOLE       1       3,984      --        --
CONTINENTAL RESOURCES INC COM       EQUITY    212015101        10        300  SH   --   DEFINED      4          --      --       300
CONTINENTAL RESOURCES INC COM       EQUITY    212015101       172      5,400  SH   --   DEFINED      5          --      --     5,400





                                                                                          
CONTINENTAL RESOURCES INC/OK        EQUITY    212015101     1,688     52,917  SH   --     SOLE       1      52,917      --        --
CONVERGYS CORP                      EQUITY    212485106     1,765    117,187  SH   --     SOLE       1     117,187      --        --
CONVERGYS CORP                      EQUITY    212485106         2        151  SH   --     SOLE       2         151      --        --
CONVERGYS CORP COM                  EQUITY    212485106        19      1,290  SH   --   DEFINED      5          --      --     1,290
CON-WAY INC                         EQUITY    205944101     5,405    109,239  SH   --     SOLE       1     109,239      --        --
CON-WAY INC COM                     EQUITY    205944101        57      1,148  SH   --   DEFINED      5          --      --     1,148
COOPER COMPANIES, INC.              EQUITY    216648402        28        818  SH   --     SOLE       1         818      --        --
COOPER INDS LTD CL A                EQUITY    G24182100         3         86  SH   --   DEFINED      5          --      --        86
COOPER INDUSTRIES LTD               EQUITY    G24182100         8        211  SH   --     SOLE       2         211      --        --
COOPER TIRE & RUBBER CO             EQUITY    216831107       792     52,914  SH   --     SOLE       1      52,914      --        --
COPART INC COM                      EQUITY    217204106         4        100  SH   --   DEFINED      5          --      --       100
COPART, INC.                        EQUITY    217204106     6,420    165,630  SH   --     SOLE       1     165,630      --        --
CORE LABORATORIES N V COM           EQUITY    N22717107        12        100  SH   --   DEFINED      5          --      --       100
CORE-MARK HOLDING CO INC            EQUITY    218681104       226      7,867  SH   --     SOLE       1       7,867      --        --
CORINTHIAN COLLEGES INC             EQUITY    218868107     1,996    276,032  SH   --     SOLE       1     276,032      --        --
CORN PRODUCTS INTERNATIONAL         EQUITY    219023108     6,586    177,322  SH   --     SOLE       1     177,322      --        --
CORNELL COMPANIES INC               EQUITY    219141108     1,898     84,519  SH   --     SOLE       1      84,519      --        --
CORNELL COMPANIES INC COM           EQUITY    219141108     5,947    264,800  SH   --     SOLE       3     264,800      --   264,800
CORNING INC                         EQUITY    219350105    11,052    459,737  SH   --     SOLE       2     459,737      --        --
CORNING INC COM                     EQUITY    219350105        25      1,037  SH   --   DEFINED      4          --      --     1,037
CORNING INC COM                     EQUITY    219350105     1,516     63,078  SH   --   DEFINED      5          --      --    63,078
CORNING, INC.                       EQUITY    219350105    79,858  3,321,895  SH   --     SOLE       1   3,321,895      --        --
CORP EXEC BOARD CO.                 EQUITY    21988R102     6,183    152,736  SH   --     SOLE       1     152,736      --        --
CORPORATE EXECUTIVE BRD CO COM      EQUITY    21988R102        73      1,797  SH   --   DEFINED      4          --      --     1,797
CORPORATE EXECUTIVE BRD CO COM      EQUITY    21988R102        36        900  SH   --   DEFINED      5          --      --       900
CORPORATE OFFICE PROPERTIES
TRUST SBI MD                        EQUITY    22002T108     2,041     60,738  SH   --     SOLE       1      60,738      --        --
CORRECTIONS CORP AMER NEW           EQUITY    22025Y407     6,707    243,700  SH   --     SOLE       2     243,700      --        --
CORRECTIONS CORP. OF AMERICA        EQUITY    22025Y407     8,946    325,085  SH   --     SOLE       1     325,085      --        --
CORRECTIONS CP AM NEW COM NEW       EQUITY    22025Y407     1,456     52,900  SH   --     SOLE       3      52,900      --    52,900
CORUS BANKSHARES, INC.              EQUITY    220873103       325     33,393  SH   --     SOLE       1      33,393      --        --
CORUS ENTERTAINMENT INC             EQUITY    220874101       419     24,072  SH   --    OTHER       1          --  24,072        --
CORVEL CORP.                        EQUITY    221006109       200      6,531  SH   --     SOLE       1       6,531      --        --
COSAN LTD SHS A (F)                 EQUITY    G25343107     1,613    130,900  SH   --     SOLE       3     130,900      --   130,900
COSTAR GROUP, INC.                  EQUITY    22160N109       708     16,468  SH   --     SOLE       1      16,468      --        --
COSTCO COMPANIES INC NOTE 8/1    FIXED INCOME 22160QAC6         4          3 PRN   --   DEFINED      4          --      --         3
COSTCO WHOLESALE CORPORATION        EQUITY    22160K105    18,258    281,020  SH   --     SOLE       1     281,020      --        --
COSTCO WHSL CORP NEW                EQUITY    22160K105     1,333     20,520  SH   --     SOLE       2      20,520      --        --
COSTCO WHSL CORP NEW COM            EQUITY    22160K105       877     13,500  SH   --     SOLE       3      13,500      --    13,500
COSTCO WHSL CORP NEW COM            EQUITY    22160K105        20        315  SH   --   DEFINED      4          --      --       315
COSTCO WHSL CORP NEW COM            EQUITY    22160K105       168      2,585  SH   --   DEFINED      5          --      --     2,585





                                                                                          
COTT CORP                           EQUITY    22163N106       481    135,193  SH   --    OTHER       1          -- 135,193        --
COUNTRYWIDE FINANCIAL               EQUITY    222372104     2,124    386,115  SH   --     SOLE       1     386,115      --        --
COUNTRYWIDE FINANCIAL CORP COM      EQUITY    222372104        40      7,271  SH   --   DEFINED      5          --      --     7,271
COUNTRYWIDE FINL CORP               EQUITY    222372104         4        694  SH   --     SOLE       2         694      --        --
COURIER CORP                        EQUITY    222660102       223      8,934  SH   --     SOLE       1       8,934      --        --
COVAD COMMUNICATIONS GROUP I COM    EQUITY    222814204         2      2,000  SH   --   DEFINED      5          --      --     2,000
COVANCE INC COM                     EQUITY    222816100     5,598     67,473  SH   --     SOLE       3      67,473      --    67,473
COVANCE INC COM                     EQUITY    222816100        31        368  SH   --   DEFINED      5          --      --       368
COVANCE INC.                        EQUITY    222816100    12,716    153,262  SH   --     SOLE       1     153,262      --        --
COVANTA HOLDING CORP                EQUITY    22282E102        44      1,601  SH   --     SOLE       1       1,601      --        --
COVENTRY HEALTH CARE INC            EQUITY    222862104     4,289    106,285  SH   --     SOLE       2     106,285      --        --
COVENTRY HEALTH CARE, INC.          EQUITY    222862104     2,718     67,367  SH   --     SOLE       1      67,367      --        --
COVIDIEN LTD                        EQUITY    G2552X108        26        596  SH   --     SOLE       2         596      --        --
COVIDIEN LTD COM                    EQUITY    G2552X108       136      3,084  SH   --   DEFINED      4          --      --     3,084
COVIDIEN LTD COM                    EQUITY    G2552X108       402      9,079  SH   --   DEFINED      5          --      --     9,079
COWEN GROUP INC                     EQUITY    223621103        89     12,503  SH   --     SOLE       1      12,503      --        --
COX RADIO INC-CL A                  EQUITY    224051102       314     26,451  SH   --     SOLE       1      26,451      --        --
CPFL ENERGIA S A SPONSORED ADR      EQUITY    126153105        43        704  SH   --   DEFINED      4          --      --       704
CPFL ENERGIA S A SPONSORED ADR      EQUITY    126153105         3         57  SH   --   DEFINED      5          --      --        57
CPI CORP.                           EQUITY    125902106        77      4,460  SH   --     SOLE       1       4,460      --        --
CPI INTERNATIONAL INC               EQUITY    12618M100        61      6,159  SH   --     SOLE       1       6,159      --        --
CRA INTERNATIONAL INC               EQUITY    12618T105       303      9,427  SH   --     SOLE       1       9,427      --        --
CRA INTL INC COM                    EQUITY    12618T105        30        948  SH   --   DEFINED      4          --      --       948
CRANE CO.                           EQUITY    224399105     4,993    123,737  SH   --     SOLE       1     123,737      --        --
CRAWFORD & CO. CLASS B              EQUITY    224633107       114     21,776  SH   --     SOLE       1      21,776      --        --
CRAY INC                            EQUITY    225223304       166     27,865  SH   --     SOLE       1      27,865      --        --
CREDENCE SYSTEMS CORP.              EQUITY    225302108       148     86,792  SH   --     SOLE       1      86,792      --        --
CREDICORP LTD COM                   EQUITY    G2519Y108       507      7,064  SH   --   DEFINED      4          --      --     7,064
CREDIT ACCEPTANCE CORP.             EQUITY    225310101        68      4,393  SH   --     SOLE       1       4,393      --        --
CREDIT SUISSE ASSET MGMT INC COM    EQUITY    224916106         5      1,330  SH   --   DEFINED      4          --      --     1,330
CREDIT SUISSE GROUP SPONSORED
ADR                                 EQUITY    225401108        38        751  SH   --   DEFINED      4          --      --       751
CREDIT SUISSE GROUP SPONSORED
ADR                                 EQUITY    225401108         7        131  SH   --   DEFINED      5          --      --       131
CREE INC                            EQUITY    225447101     6,625    236,943  SH   --     SOLE       1     236,943      --        --
CREE INC COM                        EQUITY    225447101     5,511    197,100  SH   --     SOLE       3     197,100      --   197,100
CREE INC COM                        EQUITY    225447101        72      2,575  SH   --   DEFINED      4          --      --     2,575
CRESUD SA                           EQUITY    226406106     1,449     93,370  SH   --     SOLE       1      93,370      --        --
CROCS INC                           EQUITY    227046109        22      1,287  SH   --     SOLE       1       1,287      --        --
CROCS INC COM                       EQUITY    227046109        21      1,220  SH   --   DEFINED      5          --      --     1,220
CROSS COUNTRY HEALTHCARE INC        EQUITY    227483104       340     27,510  SH   --     SOLE       1      27,510      --        --
CROSS TIMBERS RTY TR TR UNIT        EQUITY    22757R109         5        100  SH   --   DEFINED      4          --      --       100





                                                                                          
CROSSTEX ENERGY INC                 EQUITY    22765Y104     1,074     31,632  SH   --     SOLE       1      31,632      --        --
CROWN CASTLE INTERNATIONAL          EQUITY    228227104     3,488    101,128  SH   --     SOLE       1     101,128      --        --
CROWN CASTLE INTL CORP COM          EQUITY    228227104         4        112  SH   --   DEFINED      4          --      --       112
CROWN HOLDINGS INC                  EQUITY    228368106        44      1,764  SH   --     SOLE       1       1,764      --        --
CROWN HOLDINGS INC COM              EQUITY    228368106        25      1,000  SH   --   DEFINED      4          --      --     1,000
CROWN MEDIA HOLDINGS-CLASS A        EQUITY    228411104        72     13,852  SH   --     SOLE       1      13,852      --        --
CRYOLIFE INC.                       EQUITY    228903100       199     21,128  SH   --     SOLE       1      21,128      --        --
CRYSTAL RIV CAP INC COM             EQUITY    229393301         8        900  SH   --   DEFINED      5          --      --       900
CRYSTAL RIVER CAPITAL INC           EQUITY    229393301       192     21,451  SH   --     SOLE       1      21,451      --        --
CSG SYSTEMS INTERNATIONAL, INC      EQUITY    126349109     1,271    111,781  SH   --     SOLE       1     111,781      --        --
CSK AUTO CORP                       EQUITY    125965103       351     37,713  SH   --     SOLE       1      37,713      --        --
CSS INDUSTRIES, INC.                EQUITY    125906107       235      6,724  SH   --     SOLE       1       6,724      --        --
CSX CORP                            EQUITY    126408103    24,948    444,942  SH   --     SOLE       1     444,942      --        --
CSX CORP                            EQUITY    126408103       734     13,082  SH   --     SOLE       2      13,082      --        --
CSX CORP COM                        EQUITY    126408103        97      1,730  SH   --   DEFINED      4          --      --     1,730
CSX CORP COM                        EQUITY    126408103       179      3,200  SH   --   DEFINED      5          --      --     3,200
CTC MEDIA INC                       EQUITY    12642X106        30      1,099  SH   --     SOLE       1       1,099      --        --
CTRIP COM INTL LTD ADR              EQUITY    22943F100         5        100  SH   --   DEFINED      5          --      --       100
CTRIP COM INTL LTD ADR (F)          EQUITY    22943F100     3,383     63,800  SH   --     SOLE       3      63,800      --    63,800
CTS CORP.                           EQUITY    126501105       310     28,944  SH   --     SOLE       1      28,944      --        --
CUBIC CORP.                         EQUITY    229669106       379     13,342  SH   --     SOLE       1      13,342      --        --
CUBIST PHARMA INC                   EQUITY    229678107       875     47,477  SH   --     SOLE       1      47,477      --        --
CUBIST PHARMACEUTICALS INC COM      EQUITY    229678107         8        449  SH   --   DEFINED      5          --      --       449
CULLEN FROST BANKERS INC COM        EQUITY    229899109         5        100  SH   --   DEFINED      4          --      --       100
CULLEN FROST BANKERS INC COM        EQUITY    229899109        11        207  SH   --   DEFINED      5          --      --       207
CULLEN/FROST BANKERS                EQUITY    229899109     7,492    141,259  SH   --     SOLE       1     141,259      --        --
CUMMINS INC                         EQUITY    231021106     6,371    136,069  SH   --     SOLE       1     136,069      --        --
CUMMINS INC                         EQUITY    231021106       180      3,852  SH   --     SOLE       2       3,852      --        --
CUMMINS INC COM                     EQUITY    231021106        18        379  SH   --   DEFINED      4          --      --       379
CUMMINS INC COM                     EQUITY    231021106         9        200  SH   --   DEFINED      5          --      --       200
CUMULUS MEDIA, INC.                 EQUITY    231082108       155     24,367  SH   --     SOLE       1      24,367      --        --
CURRENCY SHARES EURO TR EURO SHS    EQUITY    23130C108     1,569      9,910  SH   --   DEFINED      4 310,394,383      --     9,910
CURRENCY SHARES EURO TR EURO SHS    EQUITY    23130C108         7         42  SH   --   DEFINED      5          --      --        42
CURRENCYSHARES AUSTRALIAN DL
AUSTRALIAN DOL                      EQUITY    23129U101        40        435  SH   --   DEFINED      4          --      --       435
CURRENCYSHARES AUSTRALIAN DL
AUSTRALIAN DOL                      EQUITY    23129U101         2         20  SH   --   DEFINED      5          --      --        20
CURRENCYSHARES CDN DLR TR CDN
DOLLAR SHS                          EQUITY    23129X105        44        450  SH   --   DEFINED      4          --      --       450
CURRENCYSHARES CDN DLR TR CDN
DOLLAR SHS                          EQUITY    23129X105       115      1,176  SH   --   DEFINED      5          --      --     1,176
CURRENCYSHARES SWEDISH KRONA
SWEDISH KRONA                       EQUITY    23129R108         5         30  SH   --   DEFINED      4          --      --        30
CURRENCYSHARES SWISS FRANC T
SWISS FRANC SH                      EQUITY    23129V109         5         50  SH   --   DEFINED      4          --      --        50
CURRENCYSHARES SWISS FRANC T
SWISS FRANC SH                      EQUITY    23129V109       105      1,038  SH   --   DEFINED      5          --      --     1,038





                                                                                          
CURRENCYSHS BRIT POUND STER BRIT
POUND STE                           EQUITY    23129S106         9         45  SH   --   DEFINED      4          --      --        45
CURRENCYSHS BRIT POUND STER BRIT
POUND STE                           EQUITY    23129S106         5         25  SH   --   DEFINED      5          --      --        25
CURRENCYSHS JAPANESE YEN TR
JAPANESE YEN                        EQUITY    23130A102         5         50  SH   --   DEFINED      4          --      --        50
CURRENCYSHS JAPANESE YEN TR
JAPANESE YEN                        EQUITY    23130A102       242      2,410  SH   --   DEFINED      5          --      --     2,410
CURTISS-WRIGHT CORP.                EQUITY    231561101     1,576     37,999  SH   --     SOLE       1      37,999      --        --
CUSHING MLP TOTAL RETURN FD COM
SHS                                 EQUITY    231631102        21      1,250  SH   --   DEFINED      5          --      --     1,250
CUTERA INC                          EQUITY    232109108       147     10,890  SH   --     SOLE       1      10,890      --        --
CV THERAPEUTICS, INC.               EQUITY    126667104       363     50,937  SH   --     SOLE       1      50,937      --        --
CVB FINANCIAL CORP                  EQUITY    126600105       592     56,900  SH   --     SOLE       1      56,900      --        --
CVR ENERGY INC                      EQUITY    12662P108       396     17,188  SH   --     SOLE       1      17,188      --        --
CVS CAREMARK CORP                   EQUITY    126650100    46,207  1,140,635  SH   --     SOLE       1   1,140,635      --        --
CVS CAREMARK CORP                   EQUITY    126650100    18,654    460,474  SH   --     SOLE       2     460,474      --        --
CVS CAREMARK CORPORATION COM        EQUITY    126650100        69      1,692  SH   --   DEFINED      4          --      --     1,692
CVS CAREMARK CORPORATION COM        EQUITY    126650100       235      5,794  SH   --   DEFINED      5          --      --     5,794
CYBERONICS                          EQUITY    23251P102       293     20,186  SH   --     SOLE       1      20,186      --        --
CYBERSOURCE CORP                    EQUITY    23251J106       803     54,974  SH   --     SOLE       1      54,974      --        --
CYBERSOURCE CORP DEL                EQUITY    23251J106       387     26,500  SH   --     SOLE       2      26,500      --        --
CYMER, INC.                         EQUITY    232572107       677     25,984  SH   --     SOLE       1      25,984      --        --
CYNOSURE INC                        EQUITY    232577205       147      6,890  SH   --     SOLE       1       6,890      --        --
CYNOSURE INC CL A                   EQUITY    232577205         4        200  SH   --   DEFINED      4          --      --       200
CYPRESS BIOSCIENCE INC              EQUITY    232674507       227     31,739  SH   --     SOLE       1      31,739      --        --
CYPRESS SEMICONDUCTOR CORP COM      EQUITY    232806109         2        100  SH   --   DEFINED      4          --      --       100
CYPRESS SEMICONDUCTOR CORP COM      EQUITY    232806109        23        965  SH   --   DEFINED      5          --      --       965
CYPRESS SEMICONDUCTOR CORP.         EQUITY    232806109     8,583    363,516  SH   --     SOLE       1     363,516      --        --
CYTEC INDUSTRIES, INC.              EQUITY    232820100     5,455    101,299  SH   --     SOLE       1     101,299      --        --
CYTOKINETICS INC                    EQUITY    23282W100        98     29,538  SH   --     SOLE       1      29,538      --        --
CYTRX CORP                          EQUITY    232828301        86     74,486  SH   --     SOLE       1      74,486      --        --
CYTRX CORP COM NEW                  EQUITY    232828301        17     15,000  SH   --   DEFINED      4          --      --    15,000
CYTRX CORP COM NEW                  EQUITY    232828301         7      6,000  SH   --   DEFINED      5          --      --     6,000
D R HORTON INC                      EQUITY    23331A109     3,130    198,727  SH   --     SOLE       2     198,727      --        --
D.R. HORTON INC                     EQUITY    23331A109     1,988    126,223  SH   --     SOLE       1     126,223      --        --
DAKTRONICS INC                      EQUITY    234264109     3,301    184,300  SH   --     SOLE       2     184,300      --        --
DAKTRONICS INC COM                  EQUITY    234264109        36      2,000  SH   --   DEFINED      4          --      --     2,000
DANAHER CORP                        EQUITY    235851102     7,285     95,824  SH   --     SOLE       2      95,824      --        --
DANAHER CORP DEL COM                EQUITY    235851102         9        120  SH   --   DEFINED      4          --      --       120
DANAHER CORP DEL COM                EQUITY    235851102        67        885  SH   --   DEFINED      5          --      --       885
DANAHER CORP.                       EQUITY    235851102    23,116    304,038  SH   --     SOLE       1     304,038      --        --
DANAOS CORPORATION SHS              EQUITY    Y1968P105         7        300  SH   --   DEFINED      5          --      --       300
DARDEN RESTAURANTS INC              EQUITY    237194105     3,121     95,871  SH   --     SOLE       2      95,871      --        --
DARDEN RESTAURANTS INC COM          EQUITY    237194105         2         50  SH   --   DEFINED      5          --      --        50





                                                                                          
DARDEN RESTAURANTS, INC.            EQUITY    237194105     1,999     61,401  SH   --     SOLE       1      61,401      --        --
DARLING INTERNATIONAL INC           EQUITY    237266101     2,691    207,770  SH   --     SOLE       1     207,770      --        --
DARLING INTL INC                    EQUITY    237266101       512     39,500  SH   --     SOLE       2      39,500      --        --
DARLING INTL INC COM                EQUITY    237266101     6,211    479,600  SH   --     SOLE       3     479,600      --   479,600
DARWIN PROFESSIONAL UNDERWRITERS
INC                                 EQUITY    237502109       148      6,587  SH   --     SOLE       1       6,587      --        --
DATA DOMAIN INC                     EQUITY    23767P109       185      7,766  SH   --     SOLE       1       7,766      --        --
DATASCOPE CORP.                     EQUITY    238113104       457     11,027  SH   --     SOLE       1      11,027      --        --
DAVITA INC                          EQUITY    23918K108       108      2,256  SH   --     SOLE       1       2,256      --        --
DAVITA INC                          EQUITY    23918K108     2,775     58,100  SH   --     SOLE       2      58,100      --        --
DAWSON GEOPHYSICAL CO               EQUITY    239359102       441      6,539  SH   --     SOLE       1       6,539      --        --
DCT INDUSTRIAL TRUST INC            EQUITY    233153105     1,373    137,893  SH   --     SOLE       1     137,893      --        --
DCT INDUSTRIAL TRUST INC COM        EQUITY    233153105       251     25,227  SH   --   DEFINED      4          --      --    25,227
DEALERTRACK HLDGS INC               EQUITY    242309102       621     30,697  SH   --     SOLE       1      30,697      --        --
DEAN FOODS CO                       EQUITY    242370104     7,639    380,243  SH   --     SOLE       1     380,243      --        --
DEAN FOODS CO NEW                   EQUITY    242370104         4        181  SH   --     SOLE       2         181      --        --
DECKERS OUTDOOR CORP                EQUITY    243537107     1,743     16,169  SH   --     SOLE       1      16,169      --        --
DECKERS OUTDOOR CORP                EQUITY    243537107       863      8,000  SH   --     SOLE       2       8,000      --        --
DECKERS OUTDOOR CORP COM            EQUITY    243537107     1,121     10,400  SH   --     SOLE       3      10,400      --    10,400
DECKERS OUTDOOR CORP COM            EQUITY    243537107        40        368  SH   --   DEFINED      4          --      --       368
DEERE & CO COM                      EQUITY    244199105        81      1,012  SH   --   DEFINED      4          --      --     1,012
DEERE & CO COM                      EQUITY    244199105       162      2,014  SH   --   DEFINED      5          --      --     2,014
DEERE & CO.                         EQUITY    244199105    25,620    318,499  SH   --     SOLE       1     318,499      --        --
DEERE + CO                          EQUITY    244199105     1,952     24,271  SH   --     SOLE       2      24,271      --        --
DEERFIELD CAPITAL CORP              EQUITY    244331104        81     57,220  SH   --     SOLE       1      57,220      --        --
DEERFIELD CAPITAL CORP COM ADDED    EQUITY    244331104         3      2,000  SH   --   DEFINED      4          --      --     2,000
DEERFIELD CAPITAL CORP COM ADDED    EQUITY    244331104         1      1,000  SH   --   DEFINED      5          --      --     1,000
DEL MONTE                           EQUITY    24522P103        72      7,602  SH   --     SOLE       1       7,602      --        --
DEL MONTE FOODS CO COM              EQUITY    24522P103         1        117  SH   --   DEFINED      5          --      --       117
DELAWARE INV MN MUN INC FD I COM    EQUITY    24610V103        23      1,700  SH   --   DEFINED      4          --      --     1,700
DELAWARE INVTS DIV & INCOME COM     EQUITY    245915103         3        289  SH   --   DEFINED      4          --      --       289
DELEK US HOLDINGS INC               EQUITY    246647101       128     10,091  SH   --     SOLE       1      10,091      --        --
DELL INC                            EQUITY    24702R101    28,274  1,419,371  SH   --     SOLE       1   1,419,371      --        --
DELL INC                            EQUITY    24702R101       209     10,488  SH   --     SOLE       2      10,488      --        --
DELL INC COM                        EQUITY    24702R101       176      8,823  SH   --   DEFINED      4          --      --     8,823
DELL INC COM                        EQUITY    24702R101        82      4,111  SH   --   DEFINED      5          --      --     4,111
DELPHI FINANCIAL GROUP, INC.,
CLASS A                             EQUITY    247131105     1,089     37,258  SH   --     SOLE       1      37,258      --        --
DELTA AIR LINES INC                 EQUITY    247361702     1,034    120,254  SH   --     SOLE       1     120,254      --        --
DELTA AIR LINES INC DEL COM NEW     EQUITY    247361702         4        500  SH   --   DEFINED      4          --      --       500
DELTA NAT GAS INC COM               EQUITY    247748106         2        100  SH   --   DEFINED      4          --      --       100
DELTA PETROLEUM CORP                EQUITY    247907207     1,270     56,356  SH   --     SOLE       1      56,356      --        --





                                                                                          
DELTEK INC                          EQUITY    24784L105       100      7,717  SH   --     SOLE       1       7,717      --        --
DELTIC TIMBER CORP.                 EQUITY    247850100       501      9,002  SH   --     SOLE       1       9,002      --        --
DELUXE CORP COM                     EQUITY    248019101         5        239  SH   --   DEFINED      4          --      --       239
DELUXE CORP COM                     EQUITY    248019101         4        200  SH   --   DEFINED      5          --      --       200
DELUXE CORP.                        EQUITY    248019101     3,195    166,324  SH   --     SOLE       1     166,324      --        --
DENBURY RESOURCES INC               EQUITY    247916208    16,766    587,250  SH   --     SOLE       1     587,250      --        --
DENDREON CORP                       EQUITY    24823Q107       345     71,643  SH   --     SOLE       1      71,643      --        --
DENDREON CORP COM                   EQUITY    24823Q107       469     97,300  SH   --   DEFINED      5          --      --    97,300
DENISON MINES CORP                  EQUITY    248356107       151     24,123  SH   --    OTHER       1          --  24,123        --
DENNY'S CORPORATION                 EQUITY    24869P104       240     80,371  SH   --     SOLE       1      80,371      --        --
DENTSPLY INTERNATIONAL INC.         EQUITY    249030107    16,544    428,594  SH   --     SOLE       1     428,594      --        --
DENTSPLY INTL INC NEW COM           EQUITY    249030107        70      1,819  SH   --   DEFINED      4          --      --     1,819
DENTSPLY INTL INC NEW COM           EQUITY    249030107         9        241  SH   --   DEFINED      5          --      --       241
DEVELOPERS DIVERSIFIED RLT          EQUITY    251591103         6        143  SH   --     SOLE       2         143      --        --
DEVELOPERS DIVERSIFIED RLTY COM     EQUITY    251591103        83      1,987  SH   --   DEFINED      4          --      --     1,987
DEVELOPERS DIVERSIFIED RLTY COM     EQUITY    251591103        12        282  SH   --   DEFINED      5          --      --       282
DEVON ENERGY CORP NEW COM           EQUITY    25179M103        35        338  SH   --   DEFINED      4          --      --       338
DEVON ENERGY CORP NEW COM           EQUITY    25179M103       360      3,454  SH   --   DEFINED      5          --      --     3,454
DEVON ENERGY CORP.                  EQUITY    25179M103    28,544    273,590  SH   --     SOLE       1     273,590      --        --
DEVON ENERGY CORPORATION N          EQUITY    25179M103     1,203     11,531  SH   --     SOLE       2      11,531      --        --
DEVRY, INC.                         EQUITY    251893103     8,089    193,329  SH   --     SOLE       1     193,329      --        --
DG FASTCHANNEL INC                  EQUITY    23326R109       245     12,793  SH   --     SOLE       1      12,793      --        --
DG FASTCHANNEL INC COM              EQUITY    23326R109     1,111     57,900  SH   --     SOLE       3      57,900      --    57,900
DIAGEO P L C SPON ADR NEW           EQUITY    25243Q205         8        100  SH   --   DEFINED      4          --      --       100
DIAGEO P L C SPON ADR NEW           EQUITY    25243Q205        18        218  SH   --   DEFINED      5          --      --       218
DIAGEO PLC                          EQUITY    25243Q205       337      4,141  SH   --     SOLE       2       4,141      --        --
DIAMOND HILL INVESTMENT GROU
COM NEW                             EQUITY    25264R207         8        100  SH   --   DEFINED      5          --      --       100
DIAMOND MANAGEMENT & TECHNOLOGY
CONSULTANTS INC                     EQUITY    25269L106       146     22,617  SH   --     SOLE       1      22,617      --        --
DIAMOND OFFSHORE DRILLING           EQUITY    25271C102     6,155     52,876  SH   --     SOLE       1      52,876      --        --
DIAMOND OFFSHORE DRILLING IN COM    EQUITY    25271C102       260      2,234  SH   --   DEFINED      5          --      --     2,234
DIAMONDROCK HOSPITALITY CO          EQUITY    252784301     3,003    237,000  SH   --     SOLE       1     237,000      --        --
DIAMONDS TR UNIT SER 1              EQUITY    252787106        17        139  SH   --   DEFINED      4          --      --       139
DIAMONDS TR UNIT SER 1              EQUITY    252787106       114        929  SH   --   DEFINED      5          --      --       929
DIANA SHIPPING INC COM              EQUITY    Y2066G104       241      9,148  SH   --   DEFINED      4          --      --     9,148
DIANA SHIPPING INC COM              EQUITY    Y2066G104        97      3,700  SH   --   DEFINED      5          --      --     3,700
DICE HOLDINGS INC                   EQUITY    253017107       130     14,538  SH   --     SOLE       1      14,538      --        --
DICK'S SPORTING GOODS INC           EQUITY    253393102     5,327    198,934  SH   --     SOLE       1     198,934      --        --
DIEBOLD, INC.                       EQUITY    253651103     5,903    157,198  SH   --     SOLE       1     157,198      --        --
DIGI INTERNATIONAL INC              EQUITY    253798102       250     21,665  SH   --     SOLE       1      21,665      --        --
DIGITAL ALLY INC COM ADDED          EQUITY    25382P109         7      1,000  SH   --   DEFINED      5          --      --     1,000





                                                                                          
DIGITAL REALTY TRUST INC            EQUITY    253868103     3,834    107,995  SH   --     SOLE       1     107,995      --        --
DIGITAL RIV INC                     EQUITY    25388B104     4,075    131,576  SH   --     SOLE       1     131,576      --        --
DIGITAL RIV INC COM                 EQUITY    25388B104         8        248  SH   --   DEFINED      5          --      --       248
DILLARDS INC                        EQUITY    254067101         1         68  SH   --     SOLE       2          68      --        --
DILLARDS, INC. CLASS A              EQUITY    254067101       297     17,282  SH   --     SOLE       1      17,282      --        --
DIME COMMUNITY BANCSHARES           EQUITY    253922108       369     21,126  SH   --     SOLE       1      21,126      --        --
DIODES INC                          EQUITY    254543101       561     25,549  SH   --     SOLE       1      25,549      --        --
DIODES INC                          EQUITY    254543101     2,196    100,000  SH   --     SOLE       2     100,000      --        --
DIODES INC COM                      EQUITY    254543101       268     12,220  SH   --   DEFINED      4          --      --    12,220
DIONEX CORP                         EQUITY    254546104       462      6,000  SH   --     SOLE       2       6,000      --        --
DIONEX CORP.                        EQUITY    254546104     1,256     16,320  SH   --     SOLE       1      16,320      --        --
DIRECTV GROUP INC                   EQUITY    25459L106        21        852  SH   --     SOLE       2         852      --        --
DIRECTV GROUP INC COM               EQUITY    25459L106         1         46  SH   --   DEFINED      4          --      --        46
DIRECTV GROUP INC COM               EQUITY    25459L106        13        512  SH   --   DEFINED      5          --      --       512
DIRECTV GROUP INC/THE               EQUITY    25459L106    10,476    422,607  SH   --     SOLE       1     422,607      --        --
DISCOVER FINANCIAL SERVICES         EQUITY    254709108     5,677    346,799  SH   --     SOLE       1     346,799      --        --
DISCOVER FINL SVCS                  EQUITY    254709108       116      7,058  SH   --     SOLE       2       7,058      --        --
DISCOVER FINL SVCS COM              EQUITY    254709108        11        644  SH   --   DEFINED      5          --      --       644
DISCOVERY HOLDING CO CL A COM       EQUITY    25468Y107         1         49  SH   --   DEFINED      4          --      --        49
DISCOVERY HOLDING CO-A              EQUITY    25468Y107       445     20,973  SH   --     SOLE       1      20,973      --        --
DISCOVERY LABORATORIES INC          EQUITY    254668106       195     82,854  SH   --     SOLE       1      82,854      --        --
DISH NETWORK CORP                   EQUITY    25470M109     3,449    120,038  SH   --     SOLE       1     120,038      --        --
DISNEY WALT CO                      EQUITY    254687106     1,578     50,289  SH   --     SOLE       2      50,289      --        --
DISNEY WALT CO COM DISNEY           EQUITY    254687106       131      4,189  SH   --   DEFINED      4          --      --     4,189
DISNEY WALT CO COM DISNEY           EQUITY    254687106       539     17,178  SH   --   DEFINED      5          --      --    17,178
DISNEY WALT CO NOTE 2.125% 4/1   FIXED INCOME 254687AU0         4          4 PRN   --   DEFINED      4          --      --         4
DITECH NETWORKS INC                 EQUITY    25500T108        65     22,168  SH   --     SOLE       1      22,168      --        --
DIVIDEND CAP RLTY INCM ALLC COM     EQUITY    25537T105        33      4,572  SH   --   DEFINED      4          --      --     4,572
DIVX INC                            EQUITY    255413106       139     19,925  SH   --     SOLE       1      19,925      --        --
DNP SELECT INCOME FD COM            EQUITY    23325P104        10        950  SH   --   DEFINED      4          --      --       950
DNP SELECT INCOME FD COM            EQUITY    23325P104        79      7,271  SH   --   DEFINED      5          --      --     7,271
DOLAN MEDIA CO                      EQUITY    25659P402       192      9,566  SH   --     SOLE       1       9,566      --        --
DOLBY LABORATORIES INC COM          EQUITY    25659T107     4,188    115,500  SH   --     SOLE       3     115,500      --   115,500
DOLBY LABORATORIES INC-CL A         EQUITY    25659T107       134      3,699  SH   --     SOLE       1       3,699      --        --
DOLLAR FINANCIAL CORP               EQUITY    256664103       317     13,771  SH   --     SOLE       1      13,771      --        --
DOLLAR THRIFTY AUTOMOTIVE           EQUITY    256743105       251     18,418  SH   --     SOLE       1      18,418      --        --
DOLLAR TREE INC                     EQUITY    256746108     6,228    225,742  SH   --     SOLE       1     225,742      --        --
DOMINION RES BLACK WARRIOR T
UNITS BEN INT                       EQUITY    25746Q108       225     10,578  SH   --   DEFINED      4          --      --    10,578
DOMINION RES INC VA NEW             EQUITY    25746U109     1,533     37,545  SH   --     SOLE       2      37,545      --        --
DOMINION RES INC VA NEW COM         EQUITY    25746U109         4        100  SH   --   DEFINED      4          --      --       100





                                                                                          
DOMINION RES INC VA NEW COM         EQUITY    25746U109       102      2,500  SH   --   DEFINED      5          --      --     2,500
DOMINION RESOURCES, INC.            EQUITY    25746U109    25,664    628,396  SH   --     SOLE       1     628,396      --        --
DOMINO'S PIZZA INC                  EQUITY    25754A201       812     60,216  SH   --     SOLE       1      60,216      --        --
DOMTAR CORP                         EQUITY    257559104       163     23,800  SH   --     SOLE       2      23,800      --        --
DOMTAR CORP COM                     EQUITY    257559104         2        289  SH   --   DEFINED      5          --      --       289
DONALDSON CO., INC.                 EQUITY    257651109     6,757    167,740  SH   --     SOLE       1     167,740      --        --
DONEGAL GROUP INC-CL A              EQUITY    257701201       198     11,388  SH   --     SOLE       1      11,388      --        --
DONNELLEY R R + SONS CO             EQUITY    257867101       162      5,357  SH   --     SOLE       2       5,357      --        --
DORCHESTER MINERALS LP              EQUITY    25820R105        88      4,200  SH   --     SOLE       1       4,200      --        --
DORCHESTER MINERALS LP COM UNIT     EQUITY    25820R105         4        185  SH   --   DEFINED      4          --      --       185
DOT HILL SYS CORP COM               EQUITY    25848T109        72     23,890  SH   --   DEFINED      5          --      --    23,890
DOUBLE HULL TANKERS INC COM         EQUITY    Y21110104        11      1,000  SH   --   DEFINED      5          --      --     1,000
DOUBLE-TAKE SOFTWARE INC            EQUITY    258598101        84      7,198  SH   --     SOLE       1       7,198      --        --
DOUGLAS EMMETT INC                  EQUITY    25960P109        86      3,897  SH   --     SOLE       1       3,897      --        --
DOUGLAS EMMETT INC COM              EQUITY    25960P109         2        100  SH   --   DEFINED      5          --      --       100
DOVER CORP                          EQUITY    260003108     4,241    101,519  SH   --     SOLE       2     101,519      --        --
DOVER CORP COM                      EQUITY    260003108        11        268  SH   --   DEFINED      5          --      --       268
DOVER CORP.                         EQUITY    260003108     3,587     85,856  SH   --     SOLE       1      85,856      --        --
DOVER DOWNS GAMING & ENTERTA        EQUITY    260095104       114     13,416  SH   --     SOLE       1      13,416      --        --
DOW CHEM CO                         EQUITY    260543103        41      1,123  SH   --     SOLE       2       1,123      --        --
DOW CHEM CO COM                     EQUITY    260543103       294      7,965  SH   --   DEFINED      5          --      --     7,965
DOW CHEMICAL CO.                    EQUITY    260543103    20,325    551,567  SH   --     SOLE       1     551,567      --        --
DOWNEY FINANCIAL CORP.              EQUITY    261018105       333     18,113  SH   --     SOLE       1      18,113      --        --
DPL INC COM                         EQUITY    233293109        48      1,887  SH   --   DEFINED      4          --      --     1,887
DPL, INC.                           EQUITY    233293109     7,063    275,479  SH   --     SOLE       1     275,479      --        --
DR REDDYS LABS LTD ADR              EQUITY    256135203        20      1,400  SH   --   DEFINED      5          --      --     1,400
DREAMWORKS ANIMATION SKG-A          EQUITY    26153C103        17        672  SH   --     SOLE       1         672      --        --
DREMAN/CLAYMORE DIVID & INC COM     EQUITY    26153R100        13        914  SH   --   DEFINED      4          --      --       914
DREMAN/CLAYMORE DIVID & INC COM     EQUITY    26153R100         8        588  SH   --   DEFINED      5          --      --       588
DRESS BARN, INC.                    EQUITY    261570105       522     40,357  SH   --     SOLE       1      40,357      --        --
DRESSER-RAND GROUP INC              EQUITY    261608103        57      1,841  SH   --     SOLE       1       1,841      --        --
DRESSER-RAND GROUP INC COM          EQUITY    261608103        65      2,100  SH   --   DEFINED      5          --      --     2,100
DREW INDUSTRIES INC                 EQUITY    26168L205       381     15,568  SH   --     SOLE       1      15,568      --        --
DREYFUS MUN INCOME INC COM          EQUITY    26201R102        75      8,827  SH   --   DEFINED      4          --      --     8,827
DREYFUS STRATEGIC MUN BD FD COM     EQUITY    26202F107       243     30,900  SH   --   DEFINED      5          --      --    30,900
DRILL QUIP                          EQUITY    262037104     1,062     22,860  SH   --     SOLE       1      22,860      --        --
DRIL-QUIP INC COM                   EQUITY    262037104        28        608  SH   --   DEFINED      4          --      --       608
DRS TECHNOLOGIES INC                EQUITY    23330X100     6,113    104,883  SH   --     SOLE       1     104,883      --        --
DRS TECHNOLOGIES INC COM            EQUITY    23330X100         1         21  SH   --   DEFINED      4          --      --        21
DRYSHIPS INC SHS                    EQUITY    Y2109Q101         6        100  SH   --   DEFINED      4          --      --       100





                                                                                          
DRYSHIPS INC SHS                    EQUITY    Y2109Q101        48        800  SH   --   DEFINED      5          --      --       800
DRYSHIPS INC SHS (F)                EQUITY    Y2109Q101     4,955     82,700  SH   --     SOLE       3      82,700      --    82,700
DSP GROUP, INC. COM                 EQUITY    23332B106       328     25,780  SH   --     SOLE       1      25,780      --        --
DST SYS INC DEL                     EQUITY    233326107     2,577     39,200  SH   --     SOLE       2      39,200      --        --
DST SYS INC DEL DBCV 4.125% 8/1  FIXED INCOME 233326AB3         1          1 PRN   --   DEFINED      4          --      --         1
DST SYSTEMS INC                     EQUITY    233326107     7,898    120,144  SH   --     SOLE       1     120,144      --        --
DSW INC-CLASS A                     EQUITY    23334L102       180     13,903  SH   --     SOLE       1      13,903      --        --
DTE ENERGY CO                       EQUITY    233331107         8        195  SH   --     SOLE       2         195      --        --
DTE ENERGY CO COM                   EQUITY    233331107        11        276  SH   --   DEFINED      4          --      --       276
DTE ENERGY CO COM                   EQUITY    233331107        18        450  SH   --   DEFINED      5          --      --       450
DTE ENERGY CO.                      EQUITY    233331107    20,669    531,468  SH   --     SOLE       1     531,468      --        --
DTS INC                             EQUITY    23335C101       374     15,604  SH   --     SOLE       1      15,604      --        --
DU PONT E I DE NEMOURS & CO COM     EQUITY    263534109       118      2,523  SH   --   DEFINED      4          --      --     2,523
DU PONT E I DE NEMOURS & CO COM     EQUITY    263534109        46        990  SH   --   DEFINED      5          --      --       990
DU PONT E I DE NEMOURS + C          EQUITY    263534109    24,005    513,369  SH   --     SOLE       2     513,369      --        --
DUFF & PHELPS CORP                  EQUITY    26433B107       146      8,093  SH   --     SOLE       1       8,093      --        --
DUFF & PHELPS UTIL CORP BD T COM    EQUITY    26432K108        39      3,500  SH   --   DEFINED      5          --      --     3,500
DUKE ENERGY CORP                    EQUITY    26441C105     9,368    524,790  SH   --     SOLE       1     524,790      --        --
DUKE ENERGY CORP NEW COM            EQUITY    26441C105        31      1,746  SH   --   DEFINED      4          --      --     1,746
DUKE ENERGY CORP NEW COM            EQUITY    26441C105       295     16,527  SH   --   DEFINED      5          --      --    16,527
DUKE ENERGY HLDG CORP               EQUITY    26441C105       670     37,509  SH   --     SOLE       2      37,509      --        --
DUKE REALTY                         EQUITY    264411505     3,351    146,921  SH   --     SOLE       1     146,921      --        --
DUKE REALTY CORP COM NEW            EQUITY    264411505       431     18,900  SH   --   DEFINED      5          --      --    18,900
DUN & BRADSTREET CORP NEW WI        EQUITY    26483E100    11,011    135,307  SH   --     SOLE       1     135,307      --        --
DUPONT FABROS TECHNOLOGY INC        EQUITY    26613Q106       495     30,021  SH   --     SOLE       1      30,021      --        --
DURECT CORP COM                     EQUITY    266605104     2,377    452,800  SH   --     SOLE       3     452,800      --   452,800
DURECT CORPORATION                  EQUITY    266605104       920    175,239  SH   --     SOLE       1     175,239      --        --
DUVERNAY OIL CORP COM (F)           EQUITY    267393106     6,304    147,400  SH   --     SOLE       3     147,400      --   147,400
DWS DREMAN VAL INCOME EDGE F COM    EQUITY    23339M105        11        853  SH   --   DEFINED      5          --      --       853
DWS HIGH INCOME TR SHS              EQUITY    23337C109        51     11,200  SH   --   DEFINED      5          --      --    11,200
DWS MULTI MKT INCOME TR SHS         EQUITY    23338L108         6        700  SH   --   DEFINED      4          --      --       700
DWS MULTI MKT INCOME TR SHS         EQUITY    23338L108        15      1,887  SH   --   DEFINED      5          --      --     1,887
DWS RREEF REAL ESTATE FD II COM     EQUITY    23338X102        21      1,700  SH   --   DEFINED      5          --      --     1,700
DWS RREEF REAL ESTATE FD INC COM    EQUITY    233384106         8        450  SH   --   DEFINED      5          --      --       450
DYCOM INDUSTRIES, INC.              EQUITY    267475101     1,578    131,424  SH   --     SOLE       1     131,424      --        --
DYNAMEX INC                         EQUITY    26784F103       230      9,097  SH   --     SOLE       1       9,097      --        --
DYNAMIC MATERIALS CORP              EQUITY    267888105     1,248     28,878  SH   --     SOLE       1      28,878      --        --
DYNAMIC MATLS CORP COM              EQUITY    267888105     2,795     64,700  SH   --     SOLE       3      64,700      --    64,700
DYNCORP INTERNATIONAL INC           EQUITY    26817C101       357     21,418  SH   --     SOLE       1      21,418      --        --
DYNEGY INC                          EQUITY    26817G102     1,708    216,449  SH   --     SOLE       1     216,449      --        --





                                                                                          
DYNEGY INC DEL                      EQUITY    26817G102         5        593  SH   --     SOLE       2         593      --        --
DYNEGY INC DEL CL A                 EQUITY    26817G102         4        490  SH   --   DEFINED      5          --      --       490
DYNEX CAP INC COM NEW               EQUITY    26817Q506         2        260  SH   --   DEFINED      5          --      --       260
DYNEX CAP INC PFD D 9.50%           EQUITY    26817Q605         9        852  SH   --   DEFINED      5          --      --       852
E M C CORP MASS COM                 EQUITY    268648102       190     13,284  SH   --   DEFINED      4          --      --    13,284
E M C CORP MASS COM                 EQUITY    268648102       365     25,435  SH   --   DEFINED      5          --      --    25,435
E TRADE FINANCIAL CORP COM          EQUITY    269246104        19      5,050  SH   --   DEFINED      5          --      --     5,050
E TRADE FINL CORP                   EQUITY    269246104         2        552  SH   --     SOLE       2         552      --        --
E*TRADE FINANCIAL CORP              EQUITY    269246104       477    123,654  SH   --     SOLE       1     123,654      --        --
EAGLE BULK SHIPPING INC             EQUITY    Y2187A101     3,349    130,000  SH   --     SOLE       2     130,000      --        --
EAGLE BULK SHIPPING INC COM         EQUITY    Y2187A101        74      2,888  SH   --   DEFINED      4          --      --     2,888
EAGLE BULK SHIPPING INC COM         EQUITY    Y2187A101        95      3,700  SH   --   DEFINED      5          --      --     3,700
EAGLE MATERIALS INC                 EQUITY    26969P108        10        270  SH   --     SOLE       1         270      --        --
EAGLE MATERIALS INC COM             EQUITY    26969P108         6        171  SH   --   DEFINED      4          --      --       171
EAGLE MATERIALS INC COM             EQUITY    26969P108        28        800  SH   --   DEFINED      5          --      --       800
EAGLE TEST SYSTEMS INC              EQUITY    270006109       110     10,520  SH   --     SOLE       1      10,520      --        --
EARTHLINK INC                       EQUITY    270321102       716     94,839  SH   --     SOLE       1      94,839      --        --
EARTHLINK INC COM                   EQUITY    270321102         2        300  SH   --   DEFINED      4          --      --       300
EAST WEST BANCORP                   EQUITY    27579R104        35      1,967  SH   --     SOLE       1       1,967      --        --
EAST WEST BANCORP INC COM           EQUITY    27579R104        26      1,438  SH   --   DEFINED      4          --      --     1,438
EASTERN AMERN NAT GAS TR SPERS
RCT UNIT                            EQUITY    276217106        56      2,000  SH   --   DEFINED      5          --      --     2,000
EASTGROUP PROPERTIES, INC.          EQUITY    277276101     7,848    168,921  SH   --     SOLE       1     168,921      --        --
EASTMAN CHEM CO                     EQUITY    277432100         6         95  SH   --     SOLE       2          95      --        --
EASTMAN CHEMICAL CO.                EQUITY    277432100     5,805     92,955  SH   --     SOLE       1      92,955      --        --
EASTMAN KODAK CO                    EQUITY    277461109         6        344  SH   --     SOLE       2         344      --        --
EASTMAN KODAK CO COM                EQUITY    277461109         9        520  SH   --   DEFINED      5          --      --       520
EASTMAN KODAK CO.                   EQUITY    277461109     9,115    515,835  SH   --     SOLE       1     515,835      --        --
EATON CORP                          EQUITY    278058102        14        175  SH   --     SOLE       2         175      --        --
EATON CORP COM                      EQUITY    278058102        49        610  SH   --   DEFINED      4          --      --       610
EATON CORP COM                      EQUITY    278058102         8        100  SH   --   DEFINED      5          --      --       100
EATON CORP.                         EQUITY    278058102     5,275     66,207  SH   --     SOLE       1      66,207      --        --
EATON VANCE CORP.                   EQUITY    278265103     8,424    276,110  SH   --     SOLE       1     276,110      --        --
EATON VANCE CR OPPORTUNIT FD COM    EQUITY    278271101         3        250  SH   --   DEFINED      5          --      --       250
EATON VANCE ENH EQTY INC FD COM     EQUITY    278277108        43      2,500  SH   --   DEFINED      4          --      --     2,500
EATON VANCE ENH EQTY INC FD COM     EQUITY    278277108        24      1,400  SH   --   DEFINED      5          --      --     1,400
EATON VANCE ENHANCED EQ INC COM     EQUITY    278274105        52      3,001  SH   --   DEFINED      5          --      --     3,001
EATON VANCE FLTING RATE INC COM     EQUITY    278279104        56      3,950  SH   --   DEFINED      4          --      --     3,950
EATON VANCE INS MUN BD FD COM       EQUITY    27827X101        33      2,500  SH   --   DEFINED      5          --      --     2,500
EATON VANCE LTD DUR INCOME F COM    EQUITY    27828H105        87      6,150  SH   --   DEFINED      4          --      --     6,150
EATON VANCE LTD DUR INCOME F COM    EQUITY    27828H105        23      1,610  SH   --   DEFINED      5          --      --     1,610





                                                                                          
EATON VANCE MUNI INCOME TRUS SH
BEN INT                             EQUITY    27826U108       444     32,800  SH   --   DEFINED      4          --      --    32,800
EATON VANCE MUNI INCOME TRUS SH
BEN INT                             EQUITY    27826U108        38      2,819  SH   --   DEFINED      5          --      --     2,819
EATON VANCE SH TM DR DIVR IN COM    EQUITY    27828V104        19      1,250  SH   --   DEFINED      4          --      --     1,250
EATON VANCE SR FLTNG RTE TR COM     EQUITY    27828Q105        80      5,767  SH   --   DEFINED      4          --      --     5,767
EATON VANCE SR FLTNG RTE TR COM     EQUITY    27828Q105       144     10,465  SH   --   DEFINED      5          --      --    10,465
EATON VANCE SR INCOME TR SH BEN
INT                                 EQUITY    27826S103         9      1,450  SH   --   DEFINED      4          --      --     1,450
EATON VANCE TAX ADVT DIV INC COM    EQUITY    27828G107        13        560  SH   --   DEFINED      5          --      --       560
EATON VANCE TAX MNGED BUY WR COM    EQUITY    27828X100         8        500  SH   --   DEFINED      5          --      --       500
EATON VANCE TX ADV GLBL DIV COM     EQUITY    27828S101        30      1,347  SH   --   DEFINED      4          --      --     1,347
EATON VANCE TX ADV GLBL DIV COM     EQUITY    27828S101        19        862  SH   --   DEFINED      5          --      --       862
EATON VANCE TX MGD DIV EQ IN COM    EQUITY    27828N102        17      1,100  SH   --   DEFINED      4          --      --     1,100
EATON VANCE TX MGD DIV EQ IN COM    EQUITY    27828N102         8        540  SH   --   DEFINED      5          --      --       540
EATON VANCE TX MNG BY WRT OP COM    EQUITY    27828Y108         3        220  SH   --   DEFINED      4          --      --       220
EATON VANCE TX MNG BY WRT OP COM    EQUITY    27828Y108        16      1,000  SH   --   DEFINED      5          --      --     1,000
EBAY INC                            EQUITY    278642103     3,946    132,233  SH   --     SOLE       2     132,233      --        --
EBAY INC COM                        EQUITY    278642103        59      1,965  SH   --   DEFINED      4          --      --     1,965
EBAY INC COM                        EQUITY    278642103       228      7,657  SH   --   DEFINED      5          --      --     7,657
EBAY, INC.                          EQUITY    278642103    35,782  1,199,134  SH   --     SOLE       1   1,199,134      --        --
ECHELON                             EQUITY    27874N105       347     25,677  SH   --     SOLE       1      25,677      --        --
ECHELON CORP COM                    EQUITY    27874N105        14      1,000  SH   --   DEFINED      4          --      --     1,000
ECHELON CORP COM                    EQUITY    27874N105         7        500  SH   --   DEFINED      5          --      --       500
ECHOSTAR CORP                       EQUITY    278768106        35      1,193  SH   --     SOLE       1       1,193      --        --
ECLIPSYS CORP COM                   EQUITY    278856109         2        125  SH   --   DEFINED      5          --      --       125
ECLIPSYS CORP.                      EQUITY    278856109       768     39,189  SH   --     SOLE       1      39,189      --        --
ECOLAB INC                          EQUITY    278865100         9        210  SH   --     SOLE       2         210      --        --
ECOLAB INC COM                      EQUITY    278865100       190      4,366  SH   --   DEFINED      5          --      --     4,366
ECOLAB, INC.                        EQUITY    278865100     4,971    114,449  SH   --     SOLE       1     114,449      --        --
EDDIE BAUER HOLDINGS INC            EQUITY    071625107       102     26,135  SH   --     SOLE       1      26,135      --        --
EDGE PETROLEUM CORP                 EQUITY    279862106        98     24,424  SH   --     SOLE       1      24,424      --        --
EDISON INTERNATIONAL INC            EQUITY    281020107    31,642    645,487  SH   --     SOLE       1     645,487      --        --
EDISON INTL                         EQUITY    281020107     1,051     21,439  SH   --     SOLE       2      21,439      --        --
EDISON INTL COM                     EQUITY    281020107        48        985  SH   --   DEFINED      5          --      --       985
EDWARDS LIFESCIENCES CP             EQUITY    28176E108     6,034    135,435  SH   --     SOLE       1     135,435      --        --
EHEALTH INC                         EQUITY    28238P109       253     11,450  SH   --     SOLE       1      11,450      --        --
EI DU PONT DE NEMOURS & CO          EQUITY    263534109    31,809    680,253  SH   --     SOLE       1     680,253      --        --
EL PASO CORP                        EQUITY    28336L109     6,375    383,113  SH   --     SOLE       1     383,113      --        --
EL PASO CORP                        EQUITY    28336L109        14        838  SH   --     SOLE       2         838      --        --
EL PASO CORP COM                    EQUITY    28336L109        10        580  SH   --   DEFINED      4          --      --       580
EL PASO CORP COM                    EQUITY    28336L109        13        800  SH   --   DEFINED      5          --      --       800
EL PASO ELECTRIC CO.                EQUITY    283677854       839     39,277  SH   --     SOLE       1      39,277      --        --





                                                                                          
ELAN PLC ADR                        EQUITY    284131208        16        752  SH   --   DEFINED      5          --      --       752
ELBIT SYSTEMS LTD                   EQUITY    M3760D101       283      5,100  SH   --     SOLE       2       5,100      --        --
ELDORADO GOLD CORPORATION           EQUITY    284902103        38      5,518  SH   --    OTHER       1          --   5,518        --
ELECTRO RENT CORP.                  EQUITY    285218103       225     14,862  SH   --     SOLE       1      14,862      --        --
ELECTRO SCIENTIFIC INDUSTRIES,      EQUITY    285229100       413     25,068  SH   --     SOLE       1      25,068      --        --
ELECTRONIC ARTS                     EQUITY    285512109    49,510    991,788  SH   --     SOLE       1     991,788      --        --
ELECTRONIC ARTS INC                 EQUITY    285512109     5,601    112,195  SH   --     SOLE       2     112,195      --        --
ELECTRONIC ARTS INC COM             EQUITY    285512109        50        997  SH   --   DEFINED      4          --      --       997
ELECTRONIC ARTS INC COM             EQUITY    285512109         3         65  SH   --   DEFINED      5          --      --        65
ELECTRONIC DATA SYS CORP N          EQUITY    285661104        10        609  SH   --     SOLE       2         609      --        --
ELECTRONIC DATA SYS NEW COM         EQUITY    285661104        54      3,220  SH   --   DEFINED      5          --      --     3,220
ELECTRONIC DATA SYSTEMS CORP.       EQUITY    285661104     3,759    225,761  SH   --     SOLE       1     225,761      --        --
ELECTRONICS FOR IMAGING, INC.       EQUITY    286082102       685     45,884  SH   --     SOLE       1      45,884      --        --
ELI LILLY AND CO.                   EQUITY    532457108   100,498  1,948,017  SH   --     SOLE       1   1,948,017      --        --
ELIZABETH ARDEN INC                 EQUITY    28660G106       417     20,922  SH   --     SOLE       1      20,922      --        --
EMBARQ CORP                         EQUITY    29078E105    12,653    315,530  SH   --     SOLE       1     315,530      --        --
EMBARQ CORP                         EQUITY    29078E105       161      4,013  SH   --     SOLE       2       4,013      --        --
EMBARQ CORP COM                     EQUITY    29078E105        53      1,318  SH   --   DEFINED      5          --      --     1,318
EMC CORP                            EQUITY    268648102     1,517    105,811  SH   --     SOLE       2     105,811      --        --
EMC CORP.                           EQUITY    268648102    30,275  2,111,197  SH   --     SOLE       1   2,111,197      --        --
EMC INS GROUP INC                   EQUITY    268664109       138      5,125  SH   --     SOLE       1       5,125      --        --
EMCOR GROUP, INC.                   EQUITY    29084Q100     1,215     54,715  SH   --     SOLE       1      54,715      --        --
EMERGENCY MED SVCS CORP             EQUITY    29100P102     3,573    144,700  SH   --     SOLE       2     144,700      --        --
EMERGENCY MEDICAL SERVICES CORP     EQUITY    29100P102       197      7,969  SH   --     SOLE       1       7,969      --        --
EMERGENT BIOSOLUTIONS INC           EQUITY    29089Q105        46      5,124  SH   --     SOLE       1       5,124      --        --
EMERITUS CORP                       EQUITY    291005106       219     10,479  SH   --     SOLE       1      10,479      --        --
EMERSON ELEC CO                     EQUITY    291011104     7,159    139,113  SH   --     SOLE       2     139,113      --        --
EMERSON ELEC CO COM                 EQUITY    291011104       199      3,860  SH   --   DEFINED      4          --      --     3,860
EMERSON ELEC CO COM                 EQUITY    291011104        58      1,127  SH   --   DEFINED      5          --      --     1,127
EMERSON ELECTRIC CO.                EQUITY    291011104    21,940    426,350  SH   --     SOLE       1     426,350      --        --
EMMIS COMMUNICATIONS CORP.
CLASS A                             EQUITY    291525103        90     25,817  SH   --     SOLE       1      25,817      --        --
EMPIRE DIST ELEC CO COM             EQUITY    291641108        56      2,750  SH   --   DEFINED      4          --      --     2,750
EMPIRE DISTRICT ELECTRIC CO.        EQUITY    291641108       583     28,782  SH   --     SOLE       1      28,782      --        --
EMPLOYERS HOLDINGS INC              EQUITY    292218104       789     42,568  SH   --     SOLE       1      42,568      --        --
EMS TECHNOLOGIES INC                EQUITY    26873N108       357     13,171  SH   --     SOLE       1      13,171      --        --
EMULEX CORP                         EQUITY    292475209     1,189     73,223  SH   --     SOLE       1      73,223      --        --
EMULEX CORP                         EQUITY    292475209       991     61,000  SH   --     SOLE       2      61,000      --        --
EMULEX CORP COM NEW                 EQUITY    292475209         8        500  SH   --   DEFINED      5          --      --       500
ENBRIDGE ENERGY MANAGEMENT L SHS
UNITS LLI                           EQUITY    29250X103         3         58  SH   --   DEFINED      4          --      --        58
ENBRIDGE ENERGY PARTNERS L P COM    EQUITY    29250R106       182      3,830  SH   --   DEFINED      4          --      --     3,830





                                                                                          
ENBRIDGE ENERGY PARTNERS L P COM    EQUITY    29250R106       147      3,100  SH   --   DEFINED      5          --      --     3,100
ENBRIDGE INC                        EQUITY    29250N105     2,012     48,809  SH   --    OTHER       1          --  48,809        --
ENCANA CORP                         EQUITY    292505104    15,771    207,193  SH   --    OTHER       1          -- 207,193        --
ENCANA CORP COM                     EQUITY    292505104        91      1,204  SH   --   DEFINED      4          --      --     1,204
ENCANA CORP COM                     EQUITY    292505104        77      1,018  SH   --   DEFINED      5          --      --     1,018
ENCORE ACQUISITION CO               EQUITY    29255W100     7,228    179,445  SH   --     SOLE       1     179,445      --        --
ENCORE CAP GROUP INC COM            EQUITY    292554102         5        700  SH   --   DEFINED      5          --      --       700
ENCORE CAPITAL GROUP INC            EQUITY    292554102        94     13,786  SH   --     SOLE       1      13,786      --        --
ENCORE WIRE CORP                    EQUITY    292562105       365     20,035  SH   --     SOLE       1      20,035      --        --
ENCORIUM GROUP INC COM              EQUITY    29257R109         4      2,000  SH   --   DEFINED      5          --      --     2,000
ENCYSIVE PHARMACEUTICALS INC        EQUITY    29256X107       145     61,510  SH   --     SOLE       1      61,510      --        --
ENDO PHARMACEUTICALS                EQUITY    29264F205     7,710    322,070  SH   --     SOLE       1     322,070      --        --
ENDO PHARMACEUTICALS HLDGS I COM    EQUITY    29264F205         4        175  SH   --   DEFINED      4          --      --       175
ENERGEN CORP                        EQUITY    29265N108       690     11,070  SH   --     SOLE       2      11,070      --        --
ENERGEN CORP COM                    EQUITY    29265N108         1         19  SH   --   DEFINED      4          --      --        19
ENERGEN CORP.                       EQUITY    29265N108    10,747    172,501  SH   --     SOLE       1     172,501      --        --
ENERGIZER HLDGS INC                 EQUITY    29266R108     7,224     79,840  SH   --     SOLE       2      79,840      --        --
ENERGIZER HLDGS INC COM             EQUITY    29266R108        16        176  SH   --   DEFINED      5          --      --       176
ENERGIZER HOLDINGS INC              EQUITY    29266R108    12,416    137,224  SH   --     SOLE       1     137,224      --        --
ENERGY CONVERSION DEVICES IN COM    EQUITY    292659109        21        700  SH   --   DEFINED      4          --      --       700
ENERGY CONVERSION DEVICES IN COM    EQUITY    292659109        19        650  SH   --   DEFINED      5          --      --       650
ENERGY CONVERSION DEVICES, INC      EQUITY    292659109     1,016     33,973  SH   --     SOLE       1      33,973      --        --
ENERGY EAST CORP                    EQUITY    29266M109     9,160    379,788  SH   --     SOLE       1     379,788      --        --
ENERGY EAST CORP COM                EQUITY    29266M109        65      2,702  SH   --   DEFINED      4          --      --     2,702
ENERGY INCOME & GROWTH FD COM       EQUITY    292697109        32      1,473  SH   --   DEFINED      4          --      --     1,473
ENERGY INCOME & GROWTH FD COM       EQUITY    292697109        26      1,200  SH   --   DEFINED      5          --      --     1,200
ENERGY INFRASTRUCTURE
ACQUISITION CORP                    EQUITY    29269P109       191     19,157  SH   --     SOLE       1      19,157      --        --
ENERGY PARTNERS LTD                 EQUITY    29270U105       230     24,243  SH   --     SOLE       1      24,243      --        --
ENERGY SOLUTIONS INC                EQUITY    292756202       321     14,000  SH   --     SOLE       2      14,000      --        --
ENERGY TRANSFER EQUITY LP           EQUITY    29273V100     6,794    217,466  SH   --     SOLE       1     217,466      --        --
ENERGYSOLUTIONS INC                 EQUITY    292756202       591     25,749  SH   --     SOLE       1      25,749      --        --
ENERGYSOUTH INC                     EQUITY    292970100       318      6,084  SH   --     SOLE       1       6,084      --        --
ENERNOC INC                         EQUITY    292764107       220     19,313  SH   --     SOLE       1      19,313      --        --
ENERPLUS RES FD UNIT TR G NEW       EQUITY    29274D604       228      5,263  SH   --   DEFINED      4          --      --     5,263
ENERPLUS RES FD UNIT TR G NEW       EQUITY    29274D604        17        400  SH   --   DEFINED      5          --      --       400
ENERPLUS RESOURCES FUND             EQUITY    29274D604     1,691     38,855  SH   --    OTHER       1          --  38,855        --
ENERSIS S A SPONSORED ADR           EQUITY    29274F104        20      1,105  SH   --   DEFINED      5          --      --     1,105
ENERSYS                             EQUITY    29275Y102       439     18,353  SH   --     SOLE       1      18,353      --        --
ENGLOBAL CORP                       EQUITY    293306106       123     14,345  SH   --     SOLE       1      14,345      --        --
ENGLOBAL CORP COM                   EQUITY    293306106         5        600  SH   --   DEFINED      5          --      --       600





                                                                                          
ENNIS INC                           EQUITY    293389102       368     21,950  SH   --     SOLE       1      21,950      --        --
ENPRO INDUSTRIES INC                EQUITY    29355X107       574     18,408  SH   --     SOLE       1      18,408      --        --
ENSCO INTERNATIONAL, INC.           EQUITY    26874Q100    14,395    229,872  SH   --     SOLE       1     229,872      --        --
ENSCO INTL INC                      EQUITY    26874Q100       180      2,872  SH   --     SOLE       2       2,872      --        --
ENSCO INTL INC COM                  EQUITY    26874Q100        11        171  SH   --   DEFINED      5          --      --       171
ENSIGN GROUP INC/THE                EQUITY    29358P101        37      3,955  SH   --     SOLE       1       3,955      --        --
ENTEGRIS INC                        EQUITY    29362U104       714     99,342  SH   --     SOLE       1      99,342      --        --
ENTEGRIS INC COM                    EQUITY    29362U104         3        382  SH   --   DEFINED      5          --      --       382
ENTERCOM COMMUNICATIONS CORP
CL A                                EQUITY    293639100         2        214  SH   --   DEFINED      4          --      --       214
ENTERCOM COMMUNICATIONS CORP.       EQUITY    293639100       881     88,720  SH   --     SOLE       1      88,720      --        --
ENTERGY ARKANSAS INC                EQUITY    29364G103     8,635     79,163  SH   --     SOLE       1      79,163      --        --
ENTERGY CORP NEW                    EQUITY    29364G103        25        228  SH   --     SOLE       2         228      --        --
ENTERGY CORP NEW COM                EQUITY    29364G103        41        373  SH   --   DEFINED      4          --      --       373
ENTERGY CORP NEW COM                EQUITY    29364G103        11        100  SH   --   DEFINED      5          --      --       100
ENTERPRISE FINANCIAL SERVICE        EQUITY    293712105       221      8,840  SH   --     SOLE       1       8,840      --        --
ENTERPRISE PROD PTNRS               EQUITY    293792107     2,921     98,350  SH   --     SOLE       1      98,350      --        --
ENTERPRISE PRODS PARTNERS L COM     EQUITY    293792107         9        290  SH   --   DEFINED      4          --      --       290
ENTERPRISE PRODS PARTNERS L COM     EQUITY    293792107       312     10,495  SH   --   DEFINED      5          --      --    10,495
ENTERTAINMENT PROPERTIES TRUST      EQUITY    29380T105     7,964    161,445  SH   --     SOLE       1     161,445      --        --
ENTRAVISION COMMUNIC                EQUITY    29382R107       359     53,856  SH   --     SOLE       1      53,856      --        --
ENTROPIC COMMUNICATIONS INC         EQUITY    29384R105        32      7,910  SH   --     SOLE       1       7,910      --        --
ENZO BIOCHEM, INC.                  EQUITY    294100102       242     26,633  SH   --     SOLE       1      26,633      --        --
ENZON PHARMACEUTICALS INC           EQUITY    293904108       348     37,803  SH   --     SOLE       1      37,803      --        --
EOG RES INC COM                     EQUITY    26875P101        22        185  SH   --   DEFINED      5          --      --       185
EOG RESOURCES INC                   EQUITY    26875P101    25,705    214,208  SH   --     SOLE       1     214,208      --        --
EOG RESOURCES INC                   EQUITY    26875P101        35        295  SH   --     SOLE       2         295      --        --
EPICOR SOFTWARE CORP                EQUITY    29426L108     4,145    370,100  SH   --     SOLE       2     370,100      --        --
EPICOR SOFTWARE CORPORATION         EQUITY    29426L108       558     49,847  SH   --     SOLE       1      49,847      --        --
EPIQ SYS INC COM                    EQUITY    26882D109       821     52,900  SH   --     SOLE       3      52,900      --    52,900
EPIQ SYSTEMS INC                    EQUITY    26882D109       412     26,524  SH   --     SOLE       1      26,524      --        --
EPOCH HOLDING CORP                  EQUITY    29428R103        89      7,461  SH   --     SOLE       1       7,461      --        --
EQUIFAX INC                         EQUITY    294429105    10,246    297,155  SH   --     SOLE       2     297,155      --        --
EQUIFAX, INC.                       EQUITY    294429105     1,882     54,589  SH   --     SOLE       1      54,589      --        --
EQUINIX INC                         EQUITY    29444U502     2,051     30,853  SH   --     SOLE       1      30,853      --        --
EQUINIX INC                         EQUITY    29444U502       691     10,400  SH   --     SOLE       2      10,400      --        --
EQUITABLE RES INC COM               EQUITY    294549100       636     10,800  SH   --   DEFINED      5          --      --    10,800
EQUITABLE RESOURCES, INC.           EQUITY    294549100    17,136    290,932  SH   --     SOLE       1     290,932      --        --
EQUITY LIFESTYLE PROPERTIES INC     EQUITY    29472R108     7,615    154,248  SH   --     SOLE       1     154,248      --        --
EQUITY ONE INC                      EQUITY    294752100     2,848    118,819  SH   --     SOLE       1     118,819      --        --
EQUITY RESIDENTIAL                  EQUITY    29476L107     6,996    168,630  SH   --     SOLE       1     168,630      --        --





                                                                                          
EQUITY RESIDENTIAL                  EQUITY    29476L107        13        322  SH   --     SOLE       2         322      --        --
ERESEARCH TECHNOLOGY INC            EQUITY    29481V108       720     58,000  SH   --     SOLE       2      58,000      --        --
ERESEARCHTECHNOLOGY IN              EQUITY    29481V108       417     33,600  SH   --     SOLE       1      33,600      --        --
ERESEARCHTECHNOLOGY INC COM         EQUITY    29481V108         2        200  SH   --   DEFINED      5          --      --       200
ERICSSON L M TEL CO ADR B SEK 10    EQUITY    294821608         2         80  SH   --   DEFINED      4          --      --        80
ERIE INDEMNITY COMPA                EQUITY    29530P102        68      1,323  SH   --     SOLE       1       1,323      --        --
ESCO ELECTRONICS CORP               EQUITY    296315104       884     22,258  SH   --     SOLE       1      22,258      --        --
ESMARK INC                          EQUITY    296475106       128     11,313  SH   --     SOLE       1      11,313      --        --
ESPEED INC                          EQUITY    296643109       195     16,693  SH   --     SOLE       1      16,693      --        --
ESSEX PROPERTY TRUST, INC.          EQUITY    297178105    11,739    102,989  SH   --     SOLE       1     102,989      --        --
ESTEE LAUDER COMPANIES-CL A         EQUITY    518439104     2,291     49,966  SH   --     SOLE       1      49,966      --        --
ESTERLINE TECHNOLOGIES CORP.        EQUITY    297425100     1,264     25,090  SH   --     SOLE       1      25,090      --        --
ETABLISSEMENTS DELHAIZE FRER
SPONSORED ADR                       EQUITY    29759W101        13        162  SH   --   DEFINED      4          --      --       162
ETHAN ALLEN INTERIOR                EQUITY    297602104       599     21,063  SH   --     SOLE       1      21,063      --        --
EURONET WORLDWIDE INC               EQUITY    298736109       758     39,332  SH   --     SOLE       1      39,332      --        --
EV3 INC                             EQUITY    26928A200       323     39,734  SH   --     SOLE       1      39,734      --        --
EVERCORE PARTNERS INC               EQUITY    29977A105       140      7,907  SH   --     SOLE       1       7,907      --        --
EVEREST RE GROUP LTD COM            EQUITY    G3223R108        10        116  SH   --   DEFINED      5          --      --       116
EVERGREEN ENERGY INC                EQUITY    30024B104       111     71,786  SH   --     SOLE       1      71,786      --        --
EVERGREEN ENERGY INC COM            EQUITY    30024B104         2      1,000  SH   --   DEFINED      5          --      --     1,000
EVERGREEN GBL DIVID OPP FUND COM    EQUITY    30024H101         8        500  SH   --   DEFINED      5          --      --       500
EVERGREEN INCOME ADVANTAGE F COM
SHS                                 EQUITY    30023Y105        56      5,334  SH   --   DEFINED      4          --      --     5,334
EVERGREEN INCOME ADVANTAGE F COM
SHS                                 EQUITY    30023Y105         7        709  SH   --   DEFINED      5          --      --       709
EVERGREEN INTL BALANCED INCO COM    EQUITY    30024R109         3        175  SH   --   DEFINED      5          --      --       175
EVERGREEN MULTI SECT INC FUN COM
SHS                                 EQUITY    30024Y104        12        755  SH   --   DEFINED      5          --      --       755
EVERGREEN SOLAR INC                 EQUITY    30033R108       799     86,161  SH   --     SOLE       1      86,161      --        --
EVERGREEN UTLS & HIGH INCM F COM    EQUITY    30034Q109        23      1,000  SH   --   DEFINED      5          --      --     1,000
EXACT SCIENCES CORP COM             EQUITY    30063P105         3      1,000  SH   --   DEFINED      5          --      --     1,000
EXAR CORP.                          EQUITY    300645108       290     35,225  SH   --     SOLE       1      35,225      --        --
EXCEL MARITIME CARRIERS LTD COM     EQUITY    V3267N107       305     10,400  SH   --   DEFINED      5          --      --    10,400
EXCEL TECHNOLOGY                    EQUITY    30067T103       256      9,479  SH   --     SOLE       1       9,479      --        --
EXCO RESOURCES INC                  EQUITY    269279402       978     52,887  SH   --     SOLE       1      52,887      --        --
EXELIXIS, INC.                      EQUITY    30161Q104       622     89,461  SH   --     SOLE       1      89,461      --        --
EXELON CORP                         EQUITY    30161N101    27,200    334,687  SH   --     SOLE       1     334,687      --        --
EXELON CORP                         EQUITY    30161N101        64        790  SH   --     SOLE       2         790      --        --
EXELON CORP COM                     EQUITY    30161N101       344      4,233  SH   --   DEFINED      4          --      --     4,233
EXELON CORP COM                     EQUITY    30161N101        47        577  SH   --   DEFINED      5          --      --       577
EXIDE TECHNOLOGIES                  EQUITY    302051206       838     63,984  SH   --     SOLE       1      63,984      --        --
EXLSERVICE HOLDINGS INC             EQUITY    302081104       445     19,387  SH   --     SOLE       1      19,387      --        --
EXPEDIA INC                         EQUITY    30212P105     6,057    276,695  SH   --     SOLE       1     276,695      --        --





                                                                                          
EXPEDIA INC DEL                     EQUITY    30212P105       138      6,299  SH   --     SOLE       2       6,299      --        --
EXPEDIA INC DEL COM                 EQUITY    30212P105         2         85  SH   --   DEFINED      4          --      --        85
EXPEDITORS INTERNATIONAL OF WA      EQUITY    302130109     4,623    102,317  SH   --     SOLE       1     102,317      --        --
EXPEDITORS INTL WA INC              EQUITY    302130109        12        255  SH   --     SOLE       2         255      --        --
EXPEDITORS INTL WASH INC COM        EQUITY    302130109        20        448  SH   --   DEFINED      5          --      --       448
EXPONENT INC                        EQUITY    30214U102       418     12,730  SH   --     SOLE       1      12,730      --        --
EXPRESS SCRIPTS INC                 EQUITY    302182100     1,434     22,302  SH   --     SOLE       2      22,302      --        --
EXPRESS SCRIPTS INC COM             EQUITY    302182100        51        800  SH   --   DEFINED      4          --      --       800
EXPRESS SCRIPTS, INC.               EQUITY    302182100    10,535    163,789  SH   --     SOLE       1     163,789      --        --
EXPRESSJET HOLDINGS IN              EQUITY    30218U108       122     46,463  SH   --     SOLE       1      46,463      --        --
EXTERRAN HLDGS INC                  EQUITY    30225X103    22,047    341,600  SH   --     SOLE       2     341,600      --        --
EXTERRAN HOLDINGS INC               EQUITY    30225X103    13,324    206,450  SH   --     SOLE       1     206,450      --        --
EXTRA SPACE STORAGE INC             EQUITY    30225T102       716     44,208  SH   --     SOLE       1      44,208      --        --
EXTREME NETWORK INC                 EQUITY    30226D106       315    101,627  SH   --     SOLE       1     101,627      --        --
EXTREME NETWORKS INC COM            EQUITY    30226D106         2        500  SH   --   DEFINED      5          --      --       500
EXXON MOBIL CORP                    EQUITY    30231G102    44,029    520,561  SH   --     SOLE       2     520,561      --        --
EXXON MOBIL CORP COM                EQUITY    30231G102     1,197     14,147  SH   --   DEFINED      4          --      --    14,147
EXXON MOBIL CORP COM                EQUITY    30231G102     2,721     32,173  SH   --   DEFINED      5          --      --    32,173
EXXON MOBIL CORP.                   EQUITY    30231G102   317,005  3,747,995  SH   --     SOLE       1   3,747,995      --        --
EZCORP INC                          EQUITY    302301106       391     31,778  SH   --     SOLE       1      31,778      --        --
EZCORP INC                          EQUITY    302301106       528     42,900  SH   --     SOLE       2      42,900      --        --
F M C CORP COM NEW                  EQUITY    302491303     8,656    156,000  SH   --     SOLE       3     156,000      --   156,000
F M C CORP COM NEW                  EQUITY    302491303         9        154  SH   --   DEFINED      4          --      --       154
F M C CORP COM NEW                  EQUITY    302491303         3         60  SH   --   DEFINED      5          --      --        60
F5 NETWORKS INC                     EQUITY    315616102     3,690    203,106  SH   --     SOLE       1     203,106      --        --
FACTSET RESEARCH SYSTEMS, INC.      EQUITY    303075105        73      1,354  SH   --     SOLE       1       1,354      --        --
FACTSET RESH SYS INC COM            EQUITY    303075105        11        200  SH   --   DEFINED      5          --      --       200
FAIR ISSAC CORP                     EQUITY    303250104     2,539    117,975  SH   --     SOLE       1     117,975      --        --
FAIRCHILD SEMICONDUCTOR CORP.       EQUITY    303726103     3,549    297,711  SH   --     SOLE       1     297,711      --        --
FAIRCHILD SEMICONDUCTOR INTL COM    EQUITY    303726103         2        150  SH   --   DEFINED      5          --      --       150
FAIRFAX FINANCIAL HOLDINGS LTD      EQUITY    303901102     1,149      3,861  SH   --    OTHER       1          --   3,861        --
FAIRPOINT COMMUNICATIONS INC        EQUITY    305560104       697     77,305  SH   --     SOLE       1      77,305      --        --
FAIRPOINT COMMUNICATIONS INC COM    EQUITY    305560104        88      9,750  SH   --   DEFINED      5          --      --     9,750
FALCONSTOR SOFTWARE INC             EQUITY    306137100       209     27,456  SH   --     SOLE       1      27,456      --        --
FAMILY DLR STORES INC               EQUITY    307000109     2,798    143,488  SH   --     SOLE       2     143,488      --        --
FAMILY DLR STORES INC COM           EQUITY    307000109        38      1,950  SH   --   DEFINED      5          --      --     1,950
FAMILY DOLLAR STORES, INC.          EQUITY    307000109     3,841    196,995  SH   --     SOLE       1     196,995      --        --
FARMER BROS. CO.                    EQUITY    307675108       134      5,776  SH   --     SOLE       1       5,776      --        --
FARO TECHNOLOGIES INC               EQUITY    311642102       444     14,231  SH   --     SOLE       1      14,231      --        --
FASTENAL CO COM                     EQUITY    311900104       488     10,618  SH   --   DEFINED      4          --      --    10,618





                                                                                          
FASTENAL CO COM                     EQUITY    311900104       481     10,475  SH   --   DEFINED      5          --      --    10,475
FASTENAL CO.                        EQUITY    311900104    14,066    306,249  SH   --     SOLE       1     306,249      --        --
FBL FINANCIAL GROUP, INC.,
CLASS A                             EQUITY    30239F106       352     12,342  SH   --     SOLE       1      12,342      --        --
FBR CAPITAL MARKETS CORP            EQUITY    30247C301       180     26,655  SH   --     SOLE       1      26,655      --        --
FCSTONE GROUP INC                   EQUITY    31308T100       209      7,557  SH   --     SOLE       1       7,557      --        --
FEDERAL AGRIC MTG CORP              EQUITY    313148306       231      8,854  SH   --     SOLE       1       8,854      --        --
FEDERAL HOME LN MTG CORP            EQUITY    313400301       139      5,492  SH   --     SOLE       2       5,492      --        --
FEDERAL HOME LN MTG CORP COM        EQUITY    313400301         6        242  SH   --   DEFINED      4          --      --       242
FEDERAL HOME LN MTG CORP COM        EQUITY    313400301         4        144  SH   --   DEFINED      5          --      --       144
FEDERAL NATIONAL MORTGAGE ASSO      EQUITY    313586109    20,570    781,546  SH   --     SOLE       1     781,546      --        --
FEDERAL NATL MTG ASSN               EQUITY    313586109       634     24,106  SH   --     SOLE       2      24,106      --        --
FEDERAL NATL MTG ASSN COM           EQUITY    313586109         4        162  SH   --   DEFINED      4          --      --       162
FEDERAL NATL MTG ASSN COM           EQUITY    313586109        15        564  SH   --   DEFINED      5          --      --       564
FEDERAL REALTY INVS TRUST           EQUITY    313747206    18,808    241,283  SH   --     SOLE       1     241,283      --        --
FEDERAL REALTY INVT TR SH BEN
INT NEW                             EQUITY    313747206        22        280  SH   --   DEFINED      4          --      --       280
FEDERAL SIGNAL CORP.                EQUITY    313855108     2,156    154,428  SH   --     SOLE       1     154,428      --        --
FEDERATED INVESTORS                 EQUITY    314211103    10,078    257,356  SH   --     SOLE       1     257,356      --        --
FEDERATED INVS INC PA               EQUITY    314211103       190      4,853  SH   --     SOLE       2       4,853      --        --
FEDEX CORP                          EQUITY    31428X106        34        370  SH   --     SOLE       2         370      --        --
FEDEX CORP COM                      EQUITY    31428X106         2         17  SH   --   DEFINED      4          --      --        17
FEDEX CORP COM                      EQUITY    31428X106       569      6,142  SH   --   DEFINED      5          --      --     6,142
FEDEX CORPORATION                   EQUITY    31428X106    11,784    127,160  SH   --     SOLE       1     127,160      --        --
FEI COMPANY                         EQUITY    30241L109       680     31,127  SH   --     SOLE       1      31,127      --        --
FELCOR LODGING TR INC PFD
CV A $1.95                          EQUITY    31430F200        10        500  SH   --   DEFINED      5          --      --       500
FELCOR LODGING TRUST, INC.          EQUITY    31430F101     1,792    148,924  SH   --     SOLE       1     148,924      --        --
FERRELLGAS PARTNERS L.P. UNIT
LTD PART                            EQUITY    315293100        52      2,442  SH   --   DEFINED      4          --      --     2,442
FERRELLGAS PARTNERS L.P. UNIT
LTD PART                            EQUITY    315293100       146      6,900  SH   --   DEFINED      5          --      --     6,900
FERRO CORP.                         EQUITY    315405100     2,088    140,527  SH   --     SOLE       1     140,527      --        --
FIBERTOWER CORP                     EQUITY    31567R100       230    130,643  SH   --     SOLE       1     130,643      --        --
FIDELITY COMWLTH TR NDQ CP IDX
TRK                                 EQUITY    315912808        54        600  SH   --   DEFINED      5          --      --       600
FIDELITY NATIONAL FINANCIAL CL A    EQUITY    31620R105         7        378  SH   --   DEFINED      5          --      --       378
FIDELITY NATIONAL FINL-A            EQUITY    31620R105     9,429    514,426  SH   --     SOLE       1     514,426      --        --
FIDELITY NAT'L INFO SVCS INC        EQUITY    31620M106     2,802     73,460  SH   --     SOLE       1      73,460      --        --
FIDELITY NATL INFORMATION           EQUITY    31620M106    19,749    517,805  SH   --     SOLE       2     517,805      --        --
FIDELITY NATL INFORMATION SV COM    EQUITY    31620M106         4        107  SH   --   DEFINED      5          --      --       107
FIDUCIARY CLAYMORE MLP OPP F COM    EQUITY    31647Q106        24      1,166  SH   --   DEFINED      5          --      --     1,166
FIFTH THIRD BANCORP                 EQUITY    316773100     4,576    218,723  SH   --     SOLE       1     218,723      --        --
FIFTH THIRD BANCORP                 EQUITY    316773100        53      2,537  SH   --     SOLE       2       2,537      --        --
FIFTH THIRD BANCORP COM             EQUITY    316773100        20        939  SH   --   DEFINED      4          --      --       939
FIFTH THIRD BANCORP COM             EQUITY    316773100        32      1,553  SH   --   DEFINED      5          --      --     1,553





                                                                                          
FINANCIAL FEDERAL CORP.             EQUITY    317492106       477     21,848  SH   --     SOLE       1      21,848      --        --
FINANCIAL SELECT SECTOR SPDR
FUND                                EQUITY    81369Y605       497     20,000  SH   --     SOLE       1      20,000      --        --
FINISAR COM                         EQUITY    31787A101        12      9,703  SH   --   DEFINED      5          --      --     9,703
FINISAR CORPORATION                 EQUITY    31787A101       294    229,846  SH   --     SOLE       1     229,846      --        --
FINISH LINE INC CL A                EQUITY    317923100         1        300  SH   --   DEFINED      5          --      --       300
FINISH LINE, INC.                   EQUITY    317923100       173     36,449  SH   --     SOLE       1      36,449      --        --
FIRST ACCEPTANCE CORP               EQUITY    318457108        42     14,580  SH   --     SOLE       1      14,580      --        --
FIRST ADVANTAGE CORP CL A           EQUITY    31845F100        34      1,618  SH   --   DEFINED      4          --      --     1,618
FIRST ADVANTAGE CORP-CL A           EQUITY    31845F100       135      6,375  SH   --     SOLE       1       6,375      --        --
FIRST AMERICAN CAP TRUST CLASS A    EQUITY    318522307     7,495    220,839  SH   --     SOLE       1     220,839      --        --
FIRST AMERN CORP CALIF COM          EQUITY    318522307        39      1,138  SH   --   DEFINED      5          --      --     1,138
FIRST BANCORP N C COM               EQUITY    318910106        33      1,650  SH   --   DEFINED      4          --      --     1,650
FIRST BANCORP NORTH CAROLINA        EQUITY    318910106       206     10,328  SH   --     SOLE       1      10,328      --        --
FIRST BANCORP P R COM               EQUITY    318672102         5        522  SH   --   DEFINED      5          --      --       522
FIRST BANCORP/PUERTO RICO           EQUITY    318672102       806     79,363  SH   --     SOLE       1      79,363      --        --
FIRST BUSEY CORP                    EQUITY    319383105       470     22,267  SH   --     SOLE       1      22,267      --        --
FIRST CASH FINL SVCS INC            EQUITY    31942D107       221     21,349  SH   --     SOLE       1      21,349      --        --
FIRST CHARTER CORP COM              EQUITY    319439105        30      1,120  SH   --   DEFINED      5          --      --     1,120
FIRST CHARTER CORP.                 EQUITY    319439105       805     30,156  SH   --     SOLE       1      30,156      --        --
FIRST CITIZENS BANCSHARES, INC
CLASS A                             EQUITY    31946M103         6         42  SH   --     SOLE       1          42      --        --
FIRST CMNTY BANCORP CA              EQUITY    31983B101     7,951    296,109  SH   --     SOLE       1     296,109      --        --
FIRST COMMONWEALTH FINANCIAL        EQUITY    319829107       736     63,490  SH   --     SOLE       1      63,490      --        --
FIRST COMMUNITY BANCSHARES INC      EQUITY    31983A103       314      8,616  SH   --     SOLE       1       8,616      --        --
FIRST FINANCIAL BANCORP             EQUITY    320209109       383     28,486  SH   --     SOLE       1      28,486      --        --
FIRST FINANCIAL BANKSHARES          EQUITY    32020R109       730     17,805  SH   --     SOLE       1      17,805      --        --
FIRST FINANCIAL CORP.               EQUITY    320218100       349     11,329  SH   --     SOLE       1      11,329      --        --
FIRST FINANCIAL HOLDINGS, INC.      EQUITY    320239106       240     10,239  SH   --     SOLE       1      10,239      --        --
FIRST HORIZON NATIONAL CORP         EQUITY    320517105       484     34,556  SH   --     SOLE       1      34,556      --        --
FIRST HORIZON NATL CORP             EQUITY    320517105         2        151  SH   --     SOLE       2         151      --        --
FIRST HORIZON NATL CORP COM         EQUITY    320517105       182     12,993  SH   --   DEFINED      5          --      --    12,993
FIRST INDUSTRIAL REALITY TRUST      EQUITY    32054K103     7,883    255,194  SH   --     SOLE       1     255,194      --        --
FIRST INDUSTRIAL REALTY TRUS COM    EQUITY    32054K103        17        551  SH   --   DEFINED      4          --      --       551
FIRST INDUSTRIAL REALTY TRUS COM    EQUITY    32054K103        12        403  SH   --   DEFINED      5          --      --       403
FIRST MARBLEHEAD CORP COM           EQUITY    320771108        15      2,000  SH   --   DEFINED      5          --      --     2,000
FIRST MARBLEHEAD CORP/THE           EQUITY    320771108        11      1,417  SH   --     SOLE       1       1,417      --        --
FIRST MERCHANTS CORP.               EQUITY    320817109       449     15,715  SH   --     SOLE       1      15,715      --        --
FIRST MERCURY FINANCIAL CORP        EQUITY    320841109       185     10,604  SH   --     SOLE       1      10,604      --        --
FIRST MIDWEST BANCORP, INC.         EQUITY    320867104    10,460    376,651  SH   --     SOLE       1     376,651      --        --
FIRST NIAGARA FINANCIAL GRP         EQUITY    33582V108     4,604    338,774  SH   --     SOLE       1     338,774      --        --
FIRST NIAGARA FINL GP INC COM       EQUITY    33582V108         4        258  SH   --   DEFINED      5          --      --       258





                                                                                          
FIRST PLACE FINANCIAL CORP          EQUITY    33610T109       183     14,087  SH   --     SOLE       1      14,087      --        --
FIRST REGIONAL BANCORP/CAL          EQUITY    33615C101       117      7,152  SH   --     SOLE       1       7,152      --        --
FIRST SOLAR INC                     EQUITY    336433107       153        660  SH   --     SOLE       1         660      --        --
FIRST SOLAR INC                     EQUITY    336433107     1,456      6,300  SH   --     SOLE       2       6,300      --        --
FIRST SOLAR INC COM                 EQUITY    336433107     9,639     41,700  SH   --     SOLE       3      41,700      --    41,700
FIRST SOLAR INC COM                 EQUITY    336433107        71        306  SH   --   DEFINED      4          --      --       306
FIRST SOLAR INC COM                 EQUITY    336433107        30        130  SH   --   DEFINED      5          --      --       130
FIRST SOUTH BANCORP IN              EQUITY    33646W100       164      7,303  SH   --     SOLE       1       7,303      --        --
FIRST ST BANCORPORATIO              EQUITY    336453105       235     17,544  SH   --     SOLE       1      17,544      --        --
FIRST TR ABERDEEN GLBL OPP F
COM SHS                             EQUITY    337319107         3        200  SH   --   DEFINED      4          --      --       200
FIRST TR FTSE EPRA/NAREIT GL COM    EQUITY    33736N101        55      1,243  SH   --   DEFINED      4          --      --     1,243
FIRST TR STRTGC HIGH INCM FD COM    EQUITY    337347108         6        550  SH   --   DEFINED      4          --      --       550
FIRST TR VALUE LINE 100 ETF
COM SHS                             EQUITY    33735G107         2        122  SH   --   DEFINED      5          --      --       122
FIRSTENERGY CORP                    EQUITY    337932107       474      6,904  SH   --     SOLE       2       6,904      --        --
FIRSTENERGY CORP COM                EQUITY    337932107        10        150  SH   --   DEFINED      4          --      --       150
FIRSTENERGY CORP.                   EQUITY    337932107    12,129    176,754  SH   --     SOLE       1     176,754      --        --
FIRSTFED FINANCIAL CORP.            EQUITY    337907109       318     11,700  SH   --     SOLE       1      11,700      --        --
FIRSTMERIT CORP.                    EQUITY    337915102     5,366    259,730  SH   --     SOLE       1     259,730      --        --
FISERV INC                          EQUITY    337738108    32,499    675,797  SH   --     SOLE       2     675,797      --        --
FISERV INC COM                      EQUITY    337738108        63      1,318  SH   --   DEFINED      5          --      --     1,318
FISERV, INC.                        EQUITY    337738108     3,921     81,534  SH   --     SOLE       1      81,534      --        --
FISHER COMMUNICATIONS INC           EQUITY    337756209       167      5,358  SH   --     SOLE       1       5,358      --        --
FISHER SCIENTIFIC INTL INC NOTE
2.500%10/0                       FIXED INCOME 338032AW5         2          1 PRN   --   DEFINED      4          --      --         1
FLAGSTAR BANCORP, INC.              EQUITY    337930101       276     38,171  SH   --     SOLE       1      38,171      --        --
FLAGSTONE REINSURANCE HLDGS SHS     EQUITY    G3529T105         4        300  SH   --   DEFINED      5          --      --       300
FLAHERTY & CRMRN CLYMRE T R COM     EQUITY    338479108        16      1,000  SH   --   DEFINED      5          --      --     1,000
FLAHERTY & CRUMRINE PFD INC COM     EQUITY    338480106       543     53,309  SH   --   DEFINED      4          --      --    53,309
FLEETWOOD ENTERPRISES, INC.         EQUITY    339099103       253     54,959  SH   --     SOLE       1      54,959      --        --
FLEXTRONICS INTL LTD ORD            EQUITY    Y2573F102         3        300  SH   --   DEFINED      5          --      --       300
FLIR SYS INC                        EQUITY    302445101       797     26,500  SH   --     SOLE       2      26,500      --        --
FLIR SYSTEMS INC (USD)              EQUITY    302445101     3,423    113,746  SH   --     SOLE       1     113,746      --        --
FLOTEK INDS INC DEL COM             EQUITY    343389102        16      1,116  SH   --   DEFINED      4          --      --     1,116
FLOTEK INDUSTRIES INC               EQUITY    343389102       287     19,689  SH   --     SOLE       1      19,689      --        --
FLOW INTERNATIONAL CORP             EQUITY    343468104       297     31,974  SH   --     SOLE       1      31,974      --        --
FLOWERS FOODS INC                   EQUITY    343498101     1,630     65,844  SH   --     SOLE       1      65,844      --        --
FLOWERS FOODS INC                   EQUITY    343498101       647     26,150  SH   --     SOLE       2      26,150      --        --
FLOWSERVE CORP COM                  EQUITY    34354P105     5,720     54,800  SH   --     SOLE       3      54,800      --    54,800
FLOWSERVE CORP.                     EQUITY    34354P105    14,257    136,587  SH   --     SOLE       1     136,587      --        --
FLUOR CORP                          EQUITY    343412102     6,538     46,316  SH   --     SOLE       1      46,316      --        --
FLUOR CORP NEW                      EQUITY    343412102        15        106  SH   --     SOLE       2         106      --        --





                                                                                          
FLUOR CORP NEW COM                  EQUITY    343412102     6,592     46,700  SH   --     SOLE       3      46,700      --    46,700
FLUOR CORP NEW COM                  EQUITY    343412102        22        157  SH   --   DEFINED      4          --      --       157
FLUSHING FINANCIAL CORP             EQUITY    343873105       318     18,117  SH   --     SOLE       1      18,117      --        --
FMC CORP.                           EQUITY    302491303    10,032    180,783  SH   --     SOLE       1     180,783      --        --
FMC TECHNOLOGIES INC                EQUITY    30249U101    17,828    313,384  SH   --     SOLE       1     313,384      --        --
FMC TECHNOLOGIES INC COM            EQUITY    30249U101       185      3,247  SH   --   DEFINED      4          --      --     3,247
FNB CORP.                           EQUITY    302520101       808     51,783  SH   --     SOLE       1      51,783      --        --
FOCUS MEDIA HLDG LTD
SPONSORED ADR                       EQUITY    34415V109        51      1,465  SH   --   DEFINED      5          --      --     1,465
FOCUS MEDIA HOLDING-ADR             EQUITY    34415V109       207      5,880  SH   --     SOLE       1       5,880      --        --
FOMENTO ECONOMICO MEX -SP ADR       EQUITY    344419106    10,386    248,581  SH   --     SOLE       1     248,581      --        --
FOMENTO ECONOMICO MEXICANO S
SPON ADR UNITS                      EQUITY    344419106        10        246  SH   --   DEFINED      4          --      --       246
FOOT LOCKER INC                     EQUITY    344849104     4,388    372,784  SH   --     SOLE       1     372,784      --        --
FORCE PROTECTION INC                EQUITY    345203202       117     58,395  SH   --     SOLE       1      58,395      --        --
FORCE PROTECTION INC COM NEW        EQUITY    345203202         7      3,250  SH   --   DEFINED      5          --      --     3,250
FORD MOTOR CO.                      EQUITY    345370860     5,698    996,098  SH   --     SOLE       1     996,098      --        --
FORD MTR CO CAP TR II PFD TR
CV6.5%                              EQUITY    345395206     1,120     38,100  SH   --   DEFINED      5          --      --    38,100
FORD MTR CO DEL                     EQUITY    345370860        15      2,638  SH   --     SOLE       2       2,638      --        --
FORD MTR CO DEL COM PAR $0.01       EQUITY    345370860        19      3,333  SH   --   DEFINED      4          --      --     3,333
FORD MTR CO DEL COM PAR $0.01       EQUITY    345370860       175     30,550  SH   --   DEFINED      5          --      --    30,550
FORDING CANADIAN COAL TRUST         EQUITY    345425102     2,386     45,748  SH   --    OTHER       1          --  45,748        --
FORDING CDN COAL TR TR UNIT         EQUITY    345425102         8        162  SH   --   DEFINED      4          --      --       162
FOREST CITY ENTERPRISES, INC.
CLASS A                             EQUITY    345550107        47      1,278  SH   --     SOLE       1       1,278      --        --
FOREST LABORATORIES, INC.           EQUITY    345838106    14,173    354,240  SH   --     SOLE       1     354,240      --        --
FOREST LABS INC                     EQUITY    345838106        15        372  SH   --     SOLE       2         372      --        --
FOREST LABS INC COM                 EQUITY    345838106        16        400  SH   --   DEFINED      4          --      --       400
FOREST LABS INC COM                 EQUITY    345838106         1         25  SH   --   DEFINED      5          --      --        25
FOREST OIL CORP                     EQUITY    346091705    10,414    212,697  SH   --     SOLE       1     212,697      --        --
FORESTAR REAL ESTATE GROUP INC      EQUITY    346233109        33      1,328  SH   --     SOLE       1       1,328      --        --
FORMFACTOR INC                      EQUITY    346375108       783     40,985  SH   --     SOLE       1      40,985      --        --
FORRESTER RESEARCH, INC.            EQUITY    346563109       345     12,963  SH   --     SOLE       1      12,963      --        --
FORRESTER RESH INC COM              EQUITY    346563109         4        144  SH   --   DEFINED      5          --      --       144
FORTRESS INVESTMENT GROUP LL
CL A                                EQUITY    34958B106        85      6,900  SH   --   DEFINED      5          --      --     6,900
FORTUNE BRANDS INC                  EQUITY    349631101        13        184  SH   --     SOLE       2         184      --        --
FORTUNE BRANDS INC COM              EQUITY    349631101        27        385  SH   --   DEFINED      4          --      --       385
FORTUNE BRANDS INC COM              EQUITY    349631101        51        733  SH   --   DEFINED      5          --      --       733
FORTUNE BRANDS INC PFD CV $2.67     EQUITY    349631200         7         14  SH   --   DEFINED      5          --      --        14
FORTUNE BRANDS, INC.                EQUITY    349631101     4,810     69,205  SH   --     SOLE       1      69,205      --        --
FORWARD AIR CORP                    EQUITY    349853101       917     25,880  SH   --     SOLE       1      25,880      --        --
FORWARD AIR CORP                    EQUITY    349853101       567     16,000  SH   --     SOLE       2      16,000      --        --
FOSSIL INC                          EQUITY    349882100       611     20,000  SH   --     SOLE       2      20,000      --        --





                                                                                          
FOSSIL, INC.                        EQUITY    349882100     1,143     37,439  SH   --     SOLE       1      37,439      --        --
FOSTER WHEELER LTD SHS NEW          EQUITY    G36535139        58      1,020  SH   --   DEFINED      4          --      --     1,020
FOSTER WHEELER LTD SHS NEW          EQUITY    G36535139        88      1,562  SH   --   DEFINED      5          --      --     1,562
FOUNDATION COAL HLDGS COM           EQUITY    35039W100     5,874    116,700  SH   --     SOLE       3     116,700      --   116,700
FOUNDATION COAL HOLDINGS INC        EQUITY    35039W100       866     17,198  SH   --     SOLE       1      17,198      --        --
FOUNDRY NETWORKS INC                EQUITY    35063R100     5,564    480,487  SH   --     SOLE       1     480,487      --        --
FOUNDRY NETWORKS INC                EQUITY    35063R100     4,044    349,200  SH   --     SOLE       2     349,200      --        --
FOUNDRY NETWORKS INC COM            EQUITY    35063R100        40      3,456  SH   --   DEFINED      5          --      --     3,456
FPIC INS GROUP INC                  EQUITY    302563101       369      7,825  SH   --     SOLE       1       7,825      --        --
FPIC INS GROUP INC                  EQUITY    302563101       542     11,500  SH   --     SOLE       2      11,500      --        --
FPL GROUP INC                       EQUITY    302571104     6,853    109,222  SH   --     SOLE       2     109,222      --        --
FPL GROUP INC COM                   EQUITY    302571104        17        264  SH   --   DEFINED      4          --      --       264
FPL GROUP INC COM                   EQUITY    302571104       176      2,800  SH   --   DEFINED      5          --      --     2,800
FPL GROUP, INC.                     EQUITY    302571104    10,572    168,502  SH   --     SOLE       1     168,502      --        --
FRANCE TELECOM SPONSORED ADR        EQUITY    35177Q105        27        818  SH   --   DEFINED      5          --      --       818
FRANKLIN BANK CORP/HOUSTON          EQUITY    352451108        66     21,703  SH   --     SOLE       1      21,703      --        --
FRANKLIN ELECTRIC CO., INC.         EQUITY    353514102       566     16,555  SH   --     SOLE       1      16,555      --        --
FRANKLIN RES INC                    EQUITY    354613101        18        188  SH   --     SOLE       2         188      --        --
FRANKLIN RES INC COM                EQUITY    354613101        28        284  SH   --   DEFINED      4          --      --       284
FRANKLIN RES INC COM                EQUITY    354613101        44        450  SH   --   DEFINED      5          --      --       450
FRANKLIN RESOURCES, INC.            EQUITY    354613101     7,777     80,186  SH   --     SOLE       1      80,186      --        --
FRANKLIN TEMPLETON LTD DUR I COM    EQUITY    35472T101        20      1,858  SH   --   DEFINED      4          --      --     1,858
FRANKLIN TEMPLETON LTD DUR I COM    EQUITY    35472T101        14      1,300  SH   --   DEFINED      5          --      --     1,300
FREDDIE MAC                         EQUITY    313400301     9,116    360,030  SH   --     SOLE       1     360,030      --        --
FRED'S INC.                         EQUITY    356108100       352     34,377  SH   --     SOLE       1      34,377      --        --
FREEPORT MCMORAN COPPER +           EQUITY    35671D857     8,901     92,504  SH   --     SOLE       2      92,504      --        --
FREEPORT-MCMORAN COPPER & GO COM    EQUITY    35671D857       238      2,474  SH   --   DEFINED      4          --      --     2,474
FREEPORT-MCMORAN COPPER & GO COM    EQUITY    35671D857       934      9,705  SH   --   DEFINED      5          --      --     9,705
FREEPORT-MCMORAN COPPER & GOLD
COMMON                              EQUITY    35671D857    23,126    240,349  SH   --     SOLE       1     240,349      --        --
FREIGHTCAR AMERICA INC              EQUITY    357023100       361     10,514  SH   --     SOLE       1      10,514      --        --
FREMONT GENERAL CORP.               EQUITY    357288109        28     58,135  SH   --     SOLE       1      58,135      --        --
FRESH DEL MONTE PRODUCE             EQUITY    G36738105       182      5,000  SH   --     SOLE       2       5,000      --        --
FRIEDMAN BILLINGS RAMSEY GRO
CL A                                EQUITY    358434108        40     23,791  SH   --   DEFINED      5          --      --    23,791
FRIEDMAN BILLINGS RAMSEY-A          EQUITY    358434108       205    120,419  SH   --     SOLE       1     120,419      --        --
FRONTEER DEV GROUP INC COM          EQUITY    35903Q106         3        645  SH   --   DEFINED      4          --      --       645
FRONTEER DEV GROUP INC COM          EQUITY    35903Q106         2        489  SH   --   DEFINED      5          --      --       489
FRONTIER FINANCIAL CORP.            EQUITY    35907K105       627     35,446  SH   --     SOLE       1      35,446      --        --
FRONTIER FINL CORP WASH COM         EQUITY    35907K105        35      2,000  SH   --   DEFINED      5          --      --     2,000
FRONTIER OIL CORP COM               EQUITY    35914P105        92      3,365  SH   --   DEFINED      5          --      --     3,365
FRONTIER OIL CORP.                  EQUITY    35914P105     6,795    249,257  SH   --     SOLE       1     249,257      --        --





                                                                                          
FRONTLINE LTD                       EQUITY    G3682E127     5,260    114,300  SH   --     SOLE       2     114,300      --        --
FRONTLINE LTD SHS                   EQUITY    G3682E127       248      5,395  SH   --   DEFINED      4          --      --     5,395
FRONTLINE LTD SHS                   EQUITY    G3682E127       442      9,595  SH   --   DEFINED      5          --      --     9,595
FTD GROUP INC                       EQUITY    30267U108       220     16,414  SH   --     SOLE       1      16,414      --        --
FTI CONSULTING INC                  EQUITY    302941109     2,888     40,659  SH   --     SOLE       1      40,659      --        --
FTI CONSULTING INC                  EQUITY    302941109     1,051     14,800  SH   --     SOLE       2      14,800      --        --
FTI CONSULTING INC COM              EQUITY    302941109         7         93  SH   --   DEFINED      5          --      --        93
FUEL TECH INC                       EQUITY    359523107       305     14,855  SH   --     SOLE       1      14,855      --        --
FUEL TECH INC COM                   EQUITY    359523107        14        700  SH   --   DEFINED      4          --      --       700
FUEL TECH INC COM                   EQUITY    359523107         4        200  SH   --   DEFINED      5          --      --       200
FUELCELL ENERGY INC                 EQUITY    35952H106       378     56,838  SH   --     SOLE       1      56,838      --        --
FULTON FIN CORP                     EQUITY    360271100        80      6,520  SH   --     SOLE       1       6,520      --        --
FULTON FINL CORP PA COM             EQUITY    360271100         9        767  SH   --   DEFINED      4          --      --       767
FULTON FINL CORP PA COM             EQUITY    360271100         1        105  SH   --   DEFINED      5          --      --       105
FURMANITE CORP                      EQUITY    361086101       778     91,400  SH   --     SOLE       1      91,400      --        --
FURMANITE CORPORATION COM           EQUITY    361086101     3,430    403,500  SH   --     SOLE       3     403,500      --   403,500
FURNITURE BRANDS INTERNATIONAL      EQUITY    360921100     1,831    156,482  SH   --     SOLE       1     156,482      --        --
FUSHI COPPERWELD INC                EQUITY    36113E107       747     49,800  SH   --     SOLE       1      49,800      --        --
FUSHI COPPERWELD INC COM            EQUITY    36113E107     2,885    191,800  SH   --     SOLE       3     191,800      --   191,800
FX ENERGY INC                       EQUITY    302695101       147     34,577  SH   --     SOLE       1      34,577      --        --
FX REAL ESTATE AND ENTERTAINMENT
INC                                 EQUITY    302709100        38      6,494  SH   --     SOLE       1       6,494      --        --
G & K SERVICES, INC. CLASS A        EQUITY    361268105       609     17,111  SH   --     SOLE       1      17,111      --        --
GABELLI CONV & INCOME SECS F
CONV SECS FD                        EQUITY    36240B109        31      4,300  SH   --   DEFINED      5          --      --     4,300
GABELLI EQUITY TR INC COM           EQUITY    362397101        22      2,539  SH   --   DEFINED      5          --      --     2,539
GABELLI HLTHCARE & WELLNESS SHS     EQUITY    36246K103         6        861  SH   --   DEFINED      4          --      --       861
GABELLI HLTHCARE & WELLNESS SHS     EQUITY    36246K103         6        954  SH   --   DEFINED      5          --      --       954
GABELLI UTIL TR COM                 EQUITY    36240A101        53      5,700  SH   --   DEFINED      5          --      --     5,700
GAFISA S A SPONS ADR                EQUITY    362607301       223      6,686  SH   --   DEFINED      4          --      --     6,686
GAIAM INC                           EQUITY    36268Q103       257     14,847  SH   --     SOLE       1      14,847      --        --
GALLAGHER ARTHUR J & CO COM         EQUITY    363576109         9        400  SH   --   DEFINED      5          --      --       400
GALLAGHER, ARTHUR J & CO            EQUITY    363576109    22,934    970,958  SH   --     SOLE       1     970,958      --        --
GAMCO INVESTORS INC                 EQUITY    361438104       239      4,736  SH   --     SOLE       1       4,736      --        --
GAMESTOP CORP NEW                   EQUITY    36467W109       915     17,700  SH   --     SOLE       2      17,700      --        --
GAMESTOP CORP NEW CL A              EQUITY    36467W109     4,830     93,400  SH   --     SOLE       3      93,400      --    93,400
GAMESTOP CORP-CL A                  EQUITY    36467W109     5,806    112,282  SH   --     SOLE       1     112,282      --        --
GAMING PARTNERS INTL CORP COM       EQUITY    36467A107         2        343  SH   --   DEFINED      5          --      --       343
GAMMON GOLD INC COM                 EQUITY    36467T106         4        500  SH   --   DEFINED      5          --      --       500
GANDER MOUNTAIN CO                  EQUITY    36471P108        26      4,339  SH   --     SOLE       1       4,339      --        --
GANNETT CO., INC.                   EQUITY    364730101    21,186    729,298  SH   --     SOLE       1     729,298      --        --
GANNETT INC                         EQUITY    364730101     5,670    195,197  SH   --     SOLE       2     195,197      --        --





                                                                                          
GAP INC                             EQUITY    364760108       377     19,144  SH   --     SOLE       2      19,144      --        --
GAP INC DEL COM                     EQUITY    364760108        86      4,371  SH   --   DEFINED      4          --      --     4,371
GAP INC DEL COM                     EQUITY    364760108        12        600  SH   --   DEFINED      5          --      --       600
GAP, INC.                           EQUITY    364760108    16,711    849,111  SH   --     SOLE       1     849,111      --        --
GARDNER DENVER INC                  EQUITY    365558105       464     12,500  SH   --     SOLE       2      12,500      --        --
GARDNER DENVER, INC.                EQUITY    365558105       410     11,052  SH   --     SOLE       1      11,052      --        --
GARMIN LTD ORD                      EQUITY    G37260109         5         99  SH   --   DEFINED      4          --      --        99
GARMIN LTD ORD                      EQUITY    G37260109       208      3,855  SH   --   DEFINED      5          --      --     3,855
GARTNER INC. CLASS A                EQUITY    366651107     4,064    210,145  SH   --     SOLE       1     210,145      --        --
GASCO ENERGY INC COM                EQUITY    367220100         3      1,200  SH   --   DEFINED      4          --      --     1,200
GATEHOUSE MEDIA INC                 EQUITY    367348109       112     19,165  SH   --     SOLE       1      19,165      --        --
GATX CORP.                          EQUITY    361448103     4,517    115,621  SH   --     SOLE       1     115,621      --        --
GAYLORD ENTERTAINMENT CO.           EQUITY    367905106     1,064     35,142  SH   --     SOLE       1      35,142      --        --
GCI, INC.                           EQUITY    369385109       283     46,011  SH   --     SOLE       1      46,011      --        --
GEHL COMPANY                        EQUITY    368483103       152      8,991  SH   --     SOLE       1       8,991      --        --
GEMSTAR-TV GUIDE INTERNATIONAL      EQUITY    36866W106     1,010    214,820  SH   --     SOLE       1     214,820      --        --
GEN PROBE INC NEW                   EQUITY    36866T103       699     14,500  SH   --     SOLE       2      14,500      --        --
GENCO SHIPPING & TRADING LTD SHS    EQUITY    Y2685T107         9        159  SH   --   DEFINED      4          --      --       159
GENCO SHIPPING + TRADING L          EQUITY    Y2685T107     2,816     49,900  SH   --     SOLE       2      49,900      --        --
GENCORP, INC.                       EQUITY    368682100       495     48,132  SH   --     SOLE       1      48,132      --        --
GENENTECH INC                       EQUITY    368710406     4,643     57,200  SH   --     SOLE       2      57,200      --        --
GENENTECH INC COM NEW               EQUITY    368710406        11        135  SH   --   DEFINED      4          --      --       135
GENENTECH INC COM NEW               EQUITY    368710406        15        185  SH   --   DEFINED      5          --      --       185
GENENTECH, INC.                     EQUITY    368710406    11,425    140,733  SH   --     SOLE       1     140,733      --        --
GENERAL CABLE CORP DEL NEW COM      EQUITY    369300108         9        144  SH   --   DEFINED      5          --      --       144
GENERAL CABLE CORP.                 EQUITY    369300108        58        989  SH   --     SOLE       1         989      --        --
GENERAL DYNAMICS CORP               EQUITY    369550108    18,931    227,069  SH   --     SOLE       2     227,069      --        --
GENERAL DYNAMICS CORP COM           EQUITY    369550108       204      2,452  SH   --   DEFINED      4          --      --     2,452
GENERAL DYNAMICS CORP COM           EQUITY    369550108        67        800  SH   --   DEFINED      5          --      --       800
GENERAL DYNAMICS CORP.              EQUITY    369550108    26,420    316,902  SH   --     SOLE       1     316,902      --        --
GENERAL ELEC CO                     EQUITY    369604103    44,991  1,215,641  SH   --     SOLE       2   1,215,641      --        --
GENERAL ELECTRIC CO COM             EQUITY    369604103     3,605     97,408  SH   --   DEFINED      4          --      --    97,408
GENERAL ELECTRIC CO COM             EQUITY    369604103     3,379     91,289  SH   --   DEFINED      5          --      --    91,289
GENERAL ELECTRIC CO.                EQUITY    369604103   240,126  6,488,141  SH   --     SOLE       1   6,488,141      --        --
GENERAL GROWTH PPTYS INC            EQUITY    370021107        12        319  SH   --     SOLE       2         319      --        --
GENERAL GROWTH PROPERTIES INC       EQUITY    370021107     4,459    116,829  SH   --     SOLE       1     116,829      --        --
GENERAL MARITIME CORP SHS           EQUITY    Y2692M103         7        300  SH   --   DEFINED      5          --      --       300
GENERAL MILLS, INC.                 EQUITY    370334104    30,648    511,828  SH   --     SOLE       1     511,828      --        --
GENERAL MLS INC                     EQUITY    370334104    18,908    315,762  SH   --     SOLE       2     315,762      --        --
GENERAL MLS INC COM                 EQUITY    370334104        36        596  SH   --   DEFINED      5          --      --       596





                                                                                          
GENERAL MOLY INC                    EQUITY    370373102       333     41,650  SH   --     SOLE       1      41,650      --        --
GENERAL MOTORS CORP                 EQUITY    370442105     4,817    252,862  SH   --     SOLE       1     252,862      --        --
GENERAL MTRS CORP                   EQUITY    370442105     2,002    105,077  SH   --     SOLE       2     105,077      --        --
GENERAL MTRS CORP COM               EQUITY    370442105        13        657  SH   --   DEFINED      4          --      --       657
GENERAL MTRS CORP COM               EQUITY    370442105        98      5,121  SH   --   DEFINED      5          --      --     5,121
GENERAL MTRS CORP DEB SR CV C 33    EQUITY    370442717        83      5,000  SH   --   DEFINED      5          --      --     5,000
GENESCO, INC.                       EQUITY    371532102       451     19,530  SH   --     SOLE       1      19,530      --        --
GENESEE & WYO INC                   EQUITY    371559105       922     26,805  SH   --     SOLE       1      26,805      --        --
GENESIS ENERGY L P UNIT LTD
PARTN                               EQUITY    371927104         8        400  SH   --   DEFINED      4          --      --       400
GENESIS LEASE LTD ADR               EQUITY    37183T107        13        900  SH   --   DEFINED      5          --      --       900
GENOMIC HEALTH INC                  EQUITY    37244C101       221     11,715  SH   --     SOLE       1      11,715      --        --
GENOPTIX INC                        EQUITY    37243V100       123      4,916  SH   --     SOLE       1       4,916      --        --
GEN-PROBE INC                       EQUITY    36866T103     6,425    133,304  SH   --     SOLE       1     133,304      --        --
GEN-PROBE INC NEW COM               EQUITY    36866T103     2,492     51,700  SH   --     SOLE       3      51,700      --    51,700
GENTEK INC                          EQUITY    37245X203       223      7,428  SH   --     SOLE       1       7,428      --        --
GENTEX CORP.                        EQUITY    371901109     5,879    342,817  SH   --     SOLE       1     342,817      --        --
GENTIVA HEALTH SERVICES             EQUITY    37247A102       515     23,688  SH   --     SOLE       1      23,688      --        --
GENUINE PARTS CO                    EQUITY    372460105     2,283     56,762  SH   --     SOLE       2      56,762      --        --
GENUINE PARTS CO.                   EQUITY    372460105     3,019     75,073  SH   --     SOLE       1      75,073      --        --
GENVEC INC                          EQUITY    37246C109       100     56,853  SH   --     SOLE       1      56,853      --        --
GENWORTH FINANCIAL INC-CL A         EQUITY    37247D106     7,618    336,480  SH   --     SOLE       1     336,480      --        --
GENWORTH FINL INC                   EQUITY    37247D106       150      6,617  SH   --     SOLE       2       6,617      --        --
GENWORTH FINL INC COM CL A          EQUITY    37247D106         1         65  SH   --   DEFINED      5          --      --        65
GENZYME CORP                        EQUITY    372917104    11,214    150,442  SH   --     SOLE       1     150,442      --        --
GENZYME CORP                        EQUITY    372917104     9,727    130,487  SH   --     SOLE       2     130,487      --        --
GENZYME CORP COM                    EQUITY    372917104        14        185  SH   --   DEFINED      4          --      --       185
GEO GROUP INC                       EQUITY    36159R103     2,502     87,959  SH   --     SOLE       1      87,959      --        --
GEO GROUP INC COM                   EQUITY    36159R103     2,557     89,900  SH   --     SOLE       3      89,900      --    89,900
GEOEYE INC                          EQUITY    37250W108       390     15,018  SH   --     SOLE       1      15,018      --        --
GEOGLOBAL RESOURCES INC             EQUITY    37249T109        77     27,622  SH   --     SOLE       1      27,622      --        --
GEOKINETICS INC                     EQUITY    372910307       106      5,854  SH   --     SOLE       1       5,854      --        --
GEOMET INC                          EQUITY    37250U201       103     15,526  SH   --     SOLE       1      15,526      --        --
GEORGIA GULF CORP.                  EQUITY    373200203       205     29,516  SH   --     SOLE       1      29,516      --        --
GERBER SCIENTIFIC, INC.             EQUITY    373730100       176     19,834  SH   --     SOLE       1      19,834      --        --
GERDAU S A SPONSORED ADR            EQUITY    373737105        48      1,556  SH   --   DEFINED      4          --      --     1,556
GERDAU S A SPONSORED ADR            EQUITY    373737105        39      1,287  SH   --   DEFINED      5          --      --     1,287
GERDAU SA                           EQUITY    373737105    30,687  1,003,830  SH   --     SOLE       1   1,003,830      --        --
GERON CORP                          EQUITY    374163103       305     62,521  SH   --     SOLE       1      62,521      --        --
GERON CORP COM                      EQUITY    374163103       210     43,090  SH   --   DEFINED      5          --      --    43,090
GETTY IMAGES INC                    EQUITY    374276103     3,620    113,140  SH   --     SOLE       1     113,140      --        --





                                                                                          
GETTY IMAGES INC COM                EQUITY    374276103        15        475  SH   --   DEFINED      4          --      --       475
GEVITY HR INC                       EQUITY    374393106       182     20,978  SH   --     SOLE       1      20,978      --        --
GFI GROUP INC                       EQUITY    361652209       788     13,748  SH   --     SOLE       1      13,748      --        --
GIBRALTAR INDS INC COM              EQUITY    374689107        14      1,168  SH   --   DEFINED      5          --      --     1,168
GIBRALTAR INDUSTRIES INC            EQUITY    374689107       252     21,457  SH   --     SOLE       1      21,457      --        --
GIGAMEDIA LTD ORD                   EQUITY    Y2711Y104         6        400  SH   --   DEFINED      5          --      --       400
G-III APPAREL GROUP LTD             EQUITY    36237H101       150     11,168  SH   --     SOLE       1      11,168      --        --
GILDAN ACTIVEWEAR INC               EQUITY    375916103       471     12,474  SH   --    OTHER       1          --  12,474        --
GILDAN ACTIVEWEAR INC COM           EQUITY    375916103         9        254  SH   --   DEFINED      4          --      --       254
GILEAD SCIENCES INC                 EQUITY    375558103    10,052    195,070  SH   --     SOLE       2     195,070      --        --
GILEAD SCIENCES INC COM             EQUITY    375558103        65      1,264  SH   --   DEFINED      4          --      --     1,264
GILEAD SCIENCES INC COM             EQUITY    375558103        41        787  SH   --   DEFINED      5          --      --       787
GILEAD SCIENCES, INC.               EQUITY    375558103    46,122    895,046  SH   --     SOLE       1     895,046      --        --
GLACIER BANCORP, INC.               EQUITY    37637Q105       867     45,202  SH   --     SOLE       1      45,202      --        --
GLADSTONE CAPITAL CORP              EQUITY    376535100       331     17,702  SH   --     SOLE       1      17,702      --        --
GLATFELTER, P.H. CO.                EQUITY    377316104       584     38,628  SH   --     SOLE       1      38,628      --        --
GLAXOSMITHKLINE PLC SPONSORED
ADR                                 EQUITY    37733W105        27        646  SH   --   DEFINED      4          --      --       646
GLAXOSMITHKLINE PLC SPONSORED
ADR                                 EQUITY    37733W105       111      2,619  SH   --   DEFINED      5          --      --     2,619
GLG PARTNERS INC                    EQUITY    37929X107        12      1,005  SH   --     SOLE       1       1,005      --        --
GLG PARTNERS INC                    EQUITY    37929X107        97      8,200  SH   --     SOLE       2       8,200      --        --
GLOBAL CASH ACCESS INC              EQUITY    378967103       222     37,904  SH   --     SOLE       1      37,904      --        --
GLOBAL HIGH INCOME FUND INC COM     EQUITY    37933G108        12        900  SH   --   DEFINED      5          --      --       900
GLOBAL INDS LTD COM                 EQUITY    379336100        13        821  SH   --   DEFINED      4          --      --       821
GLOBAL INDUSTRIES INC               EQUITY    379336100     5,464    339,600  SH   --     SOLE       2     339,600      --        --
GLOBAL INDUSTRIES LT                EQUITY    379336100       442     27,444  SH   --     SOLE       1      27,444      --        --
GLOBAL PAYMENTS INC.                EQUITY    37940X102     7,847    189,715  SH   --     SOLE       1     189,715      --        --
GLOBAL PMTS INC                     EQUITY    37940X102    30,168    729,400  SH   --     SOLE       2     729,400      --        --
GLOBAL PMTS INC COM                 EQUITY    37940X102        34        813  SH   --   DEFINED      4          --      --       813
GLOBAL PMTS INC COM                 EQUITY    37940X102         2         60  SH   --   DEFINED      5          --      --        60
GLOBAL SOURCES LTD                  EQUITY    G39300101       103      6,930  SH   --     SOLE       2       6,930      --        --
GLOBAL SOURCES LTD ORD              EQUITY    G39300101         4        237  SH   --   DEFINED      4          --      --       237
GLOBAL TRAFFIC NETWORK COM          EQUITY    37947B103       950    108,400  SH   --     SOLE       3     108,400      --   108,400
GLOBALSTAR INC                      EQUITY    378973408       121     16,628  SH   --     SOLE       1      16,628      --        --
GLOBECOMM SYSTEMS INC COM           EQUITY    37956X103     1,282    147,400  SH   --     SOLE       3     147,400      --   147,400
GLU MOBILE INC                      EQUITY    379890106        29      6,377  SH   --     SOLE       1       6,377      --        --
GMH COMMUNITIES TRUST               EQUITY    36188G102       734     84,610  SH   --     SOLE       1      84,610      --        --
GMX RES INC                         EQUITY    38011M108       262      7,500  SH   --     SOLE       2       7,500      --        --
GMX RES INC COM                     EQUITY    38011M108       761     21,800  SH   --     SOLE       3      21,800      --    21,800
GMX RESOURCES INC                   EQUITY    38011M108       401     11,488  SH   --     SOLE       1      11,488      --        --
GOLDCORP INC NEW COM                EQUITY    380956409       102      2,631  SH   --   DEFINED      5          --      --     2,631





                                                                                          
GOLDCORP INC.                       EQUITY    380956409     9,164    236,161  SH   --    OTHER       1          -- 236,161        --
GOLDMAN SACHS GROUP INC             EQUITY    38141G104    32,169    194,502  SH   --     SOLE       1     194,502      --        --
GOLDMAN SACHS GROUP INC             EQUITY    38141G104     4,664     28,203  SH   --     SOLE       2      28,203      --        --
GOLDMAN SACHS GROUP INC COM         EQUITY    38141G104        73        441  SH   --   DEFINED      4          --      --       441
GOLDMAN SACHS GROUP INC COM         EQUITY    38141G104       487      2,943  SH   --   DEFINED      5          --      --     2,943
GOODRICH CORP                       EQUITY    382388106         9        149  SH   --     SOLE       2         149      --        --
GOODRICH CORP COM                   EQUITY    382388106        49        846  SH   --   DEFINED      4          --      --       846
GOODRICH CORP COM                   EQUITY    382388106         5         80  SH   --   DEFINED      5          --      --        80
GOODRICH CORP.                      EQUITY    382388106     3,053     53,093  SH   --     SOLE       1      53,093      --        --
GOODRICH PETE CORP COM NEW          EQUITY    382410405       987     32,800  SH   --     SOLE       3      32,800      --    32,800
GOODRICH PETROLEUM CORP             EQUITY    382410405       492     16,347  SH   --     SOLE       1      16,347      --        --
GOODYEAR TIRE & RUBBER CO.          EQUITY    382550101     3,525    136,634  SH   --     SOLE       1     136,634      --        --
GOODYEAR TIRE & RUBR CO COM         EQUITY    382550101        24        937  SH   --   DEFINED      5          --      --       937
GOODYEAR TIRE AND RUBBER            EQUITY    382550101         7        287  SH   --     SOLE       2         287      --        --
GOOGLE INC                          EQUITY    38259P508    73,795    167,538  SH   --     SOLE       1     167,538      --        --
GOOGLE INC                          EQUITY    38259P508    11,760     26,698  SH   --     SOLE       2      26,698      --        --
GOOGLE INC CL A                     EQUITY    38259P508        40         91  SH   --   DEFINED      4          --      --        91
GOOGLE INC CL A                     EQUITY    38259P508       503      1,141  SH   --   DEFINED      5          --      --     1,141
GORMAN RUPP CO COM                  EQUITY    383082104       405     12,308  SH   --     SOLE       1      12,308      --        --
GRACE, W.R. & CO.                   EQUITY    38388F108     1,372     60,123  SH   --     SOLE       1      60,123      --        --
GRACO INC COM                       EQUITY    384109104       286      7,900  SH   --   DEFINED      5          --      --     7,900
GRACO, INC.                         EQUITY    384109104     5,255    144,931  SH   --     SOLE       1     144,931      --        --
GRAFTECH INTERNATIONAL LTD          EQUITY    384313102     1,450     89,458  SH   --     SOLE       1      89,458      --        --
GRAFTECH INTL LTD                   EQUITY    384313102       357     22,050  SH   --     SOLE       2      22,050      --        --
GRAINGER W W INC                    EQUITY    384802104         6         80  SH   --     SOLE       2          80      --        --
GRAMERCY CAPITAL CORP               EQUITY    384871109       447     21,353  SH   --     SOLE       1      21,353      --        --
GRANITE CONSTRUCTION, INC.          EQUITY    387328107     3,486    106,573  SH   --     SOLE       1     106,573      --        --
GRANT PRIDECO INC                   EQUITY    38821G101    28,431    578,105  SH   --     SOLE       1     578,105      --        --
GRANT PRIDECO INC COM               EQUITY    38821G101         9        192  SH   --   DEFINED      4          --      --       192
GRANT PRIDECO INC COM               EQUITY    38821G101        10        200  SH   --   DEFINED      5          --      --       200
GRAPHIC PACKAGING HOLDING CO        EQUITY    388689101       172     58,961  SH   --     SOLE       1      58,961      --        --
GRAY TELEVISION INC                 EQUITY    389375106       204     35,917  SH   --     SOLE       1      35,917      --        --
GREAT ATLANTIC & PACIFIC TEA CO     EQUITY    390064103       628     23,946  SH   --     SOLE       1      23,946      --        --
GREAT LAKES DREDGE & DOCK CORP      EQUITY    390607109        52     10,066  SH   --     SOLE       1      10,066      --        --
GREAT NORTHN IRON ORE PPTYS CTFS
BEN INT                             EQUITY    391064102         4         30  SH   --   DEFINED      4          --      --        30
GREAT PLAINS ENERGY INC             EQUITY    391164100     5,052    204,968  SH   --     SOLE       1     204,968      --        --
GREAT PLAINS ENERGY INC COM         EQUITY    391164100         6        250  SH   --   DEFINED      4          --      --       250
GREAT PLAINS ENERGY INC COM         EQUITY    391164100         9        350  SH   --   DEFINED      5          --      --       350
GREAT SOUTHERN BANCORP, INC.        EQUITY    390905107       139      8,928  SH   --     SOLE       1       8,928      --        --
GREAT WOLF RESORTS INC              EQUITY    391523107       168     26,327  SH   --     SOLE       1      26,327      --        --





                                                                                          
GREATBATCH INC                      EQUITY    39153L106       353     19,156  SH   --     SOLE       1      19,156      --        --
GREATBATCH INC COM                  EQUITY    39153L106         6        300  SH   --   DEFINED      5          --      --       300
GREEN BANKSHARES INC                EQUITY    394361208       173      9,804  SH   --     SOLE       1       9,804      --        --
GREEN MOUNTAIN COFFEE ROASTE        EQUITY    393122106       467     14,765  SH   --     SOLE       1      14,765      --        --
GREENBRIER COMPANIES INC            EQUITY    393657101       364     13,715  SH   --     SOLE       1      13,715      --        --
GREENFIELD ONLINE                   EQUITY    395150105       221     18,623  SH   --     SOLE       1      18,623      --        --
GREENHAVEN CONT CMDTY INDEX UNIT
BEN INT ADDED                       EQUITY    395258106        73      2,250  SH   --   DEFINED      5          --      --     2,250
GREENHILL & CO INC                  EQUITY    395259104     1,067     15,340  SH   --     SOLE       1      15,340      --        --
GREENHILL & CO INC COM              EQUITY    395259104         3         40  SH   --   DEFINED      5          --      --        40
GREENHILL + CO INC                  EQUITY    395259104       654      9,400  SH   --     SOLE       2       9,400      --        --
GREIF INC                           EQUITY    397624107       516      7,600  SH   --     SOLE       2       7,600      --        --
GREIF INC CL A                      EQUITY    397624107     2,743     40,374  SH   --     SOLE       1      40,374      --        --
GREIF INC CL A                      EQUITY    397624107     4,871     71,700  SH   --     SOLE       3      71,700      --    71,700
GREY WOLF, INC.                     EQUITY    397888108     1,075    158,600  SH   --     SOLE       1     158,600      --        --
GRIFFON CORP.                       EQUITY    398433102       220     25,588  SH   --     SOLE       1      25,588      --        --
GROUP 1 AUTOMOTIVE, INC.            EQUITY    398905109       459     19,543  SH   --     SOLE       1      19,543      --        --
GRUBB & ELLIS CO                    EQUITY    400095204       232     33,737  SH   --     SOLE       1      33,737      --        --
GRUPO AEROPORTUARIO CTR NORT
SPON ADR                            EQUITY    400501102        15        657  SH   --   DEFINED      4          --      --       657
GRUPO AEROPORTUARIO CTR NORT
SPON ADR                            EQUITY    400501102         3        150  SH   --   DEFINED      5          --      --       150
GRUPO AEROPORTUARIO DEL PACIFICO
SA DE CV                            EQUITY    400506101    33,260    739,120  SH   --     SOLE       1     739,120      --        --
GSI COMMERCE INC                    EQUITY    36238G102       225     17,145  SH   --     SOLE       1      17,145      --        --
GTX INC                             EQUITY    40052B108       232     14,457  SH   --     SOLE       1      14,457      --        --
GUANGSHEN RY LTD SPONSORED ADR      EQUITY    40065W107         3        100  SH   --   DEFINED      5          --      --       100
GUARANTY FINANCIAL GROUP INC        EQUITY    40108N106         6        582  SH   --     SOLE       1         582      --        --
GUESS INC                           EQUITY    401617105     1,295     32,000  SH   --     SOLE       2      32,000      --        --
GUESS INC COM                       EQUITY    401617105     7,026    173,600  SH   --     SOLE       3     173,600      --   173,600
GUESS INC COM                       EQUITY    401617105         7        164  SH   --   DEFINED      5          --      --       164
GUESS? INC                          EQUITY    401617105     6,242    154,236  SH   --     SOLE       1     154,236      --        --
GUIDANCE SOFTWARE INC               EQUITY    401692108        25      2,791  SH   --     SOLE       1       2,791      --        --
GULF ISLAND FABRICATION, INC.       EQUITY    402307102       264      9,200  SH   --     SOLE       1       9,200      --        --
GULFMARK OFFSHORE, INC.             EQUITY    402629109     1,074     19,622  SH   --     SOLE       1      19,622      --        --
GULFPORT ENERGY CORP                EQUITY    402635304       208     19,649  SH   --     SOLE       1      19,649      --        --
GYMBOREE CORP                       EQUITY    403777105       606     15,200  SH   --     SOLE       2      15,200      --        --
GYMBOREE CORP COM                   EQUITY    403777105     1,468     36,800  SH   --     SOLE       3      36,800      --    36,800
GYMBOREE CORP.                      EQUITY    403777105     1,718     43,086  SH   --     SOLE       1      43,086      --        --
H & Q HEALTHCARE FD SH BEN INT      EQUITY    404052102         3        200  SH   --   DEFINED      5          --      --       200
H J HEINZ CO.                       EQUITY    423074103     9,792    208,463  SH   --     SOLE       1     208,463      --        --
H&E EQUIPMENT SERVICES INC          EQUITY    404030108       192     15,263  SH   --     SOLE       1      15,263      --        --
H.B. FULLER CO.                     EQUITY    359694106     1,007     49,335  SH   --     SOLE       1      49,335      --        --
HACKETT GROUP INC COM ADDED         EQUITY    404609109         3        700  SH   --   DEFINED      4          --      --       700





                                                                                          
HAEMONETICS CORP COM                EQUITY    405024100        18        300  SH   --   DEFINED      5          --      --       300
HAEMONETICS CORP.                   EQUITY    405024100     1,357     22,771  SH   --     SOLE       1      22,771      --        --
HAIN CELESTIAL GROUP INC            EQUITY    405217100     1,004     34,044  SH   --     SOLE       1      34,044      --        --
HAIN CELESTIAL GROUP INC COM        EQUITY    405217100        99      3,350  SH   --   DEFINED      5          --      --     3,350
HALLIBURTON CO                      EQUITY    406216101     5,201    132,252  SH   --     SOLE       2     132,252      --        --
HALLIBURTON CO COM                  EQUITY    406216101       705     17,929  SH   --   DEFINED      4          --      --    17,929
HALLIBURTON CO COM                  EQUITY    406216101        40      1,020  SH   --   DEFINED      5          --      --     1,020
HALLIBURTON CO NOTE 3.125% 7/1   FIXED INCOME 406216AM3         6          3 PRN   --   DEFINED      4          --      --         3
HALLIBURTON CO.                     EQUITY    406216101   110,899  2,819,701  SH   --     SOLE       1   2,819,701      --        --
HALLMARK FINANCIAL SERVICES         EQUITY    40624Q203        44      3,952  SH   --     SOLE       1       3,952      --        --
HALOZYME THERAPEUTICS INC           EQUITY    40637H109       351     55,240  SH   --     SOLE       1      55,240      --        --
HANCOCK HOLDING CO.                 EQUITY    410120109       964     22,953  SH   --     SOLE       1      22,953      --        --
HANCOCK JOHN INV TRUST TAX ADV
GLB SH                              EQUITY    41013P749       153      9,900  SH   --   DEFINED      5          --      --     9,900
HANCOCK JOHN PATRIOT PREM II COM
SH BEN INT                          EQUITY    41013T105        11      1,228  SH   --   DEFINED      4          --      --     1,228
HANCOCK JOHN PFD INCOME FD I COM    EQUITY    41013X106       781     41,104  SH   --   DEFINED      4          --      --    41,104
HANCOCK JOHN PFD INCOME FD I COM    EQUITY    41021P103        13        747  SH   --   DEFINED      5          --      --       747
HANCOCK JOHN TAX-ADV DIV INC COM    EQUITY    41013V100        12        812  SH   --   DEFINED      4          --      --       812
HANESBRANDS INC                     EQUITY    410345102     6,833    233,993  SH   --     SOLE       1     233,993      --        --
HANMI FINL CORP                     EQUITY    410495105       242     32,738  SH   --     SOLE       1      32,738      --        --
HANOVER INSURANCE GROUP INC/        EQUITY    410867105     5,134    124,797  SH   --     SOLE       1     124,797      --        --
HANSEN MEDICAL INC                  EQUITY    411307101       115      8,214  SH   --     SOLE       1       8,214      --        --
HANSEN MEDICAL INC COM              EQUITY    411307101        14      1,000  SH   --   DEFINED      5          --      --     1,000
HANSEN NATURAL CORP                 EQUITY    411310105     5,297    150,055  SH   --     SOLE       1     150,055      --        --
HARDINGE INC                        EQUITY    412324303       131      9,534  SH   --     SOLE       1       9,534      --        --
HARLEY DAVIDSON INC                 EQUITY    412822108     6,674    177,985  SH   --     SOLE       2     177,985      --        --
HARLEY DAVIDSON INC COM             EQUITY    412822108        22        577  SH   --   DEFINED      4          --      --       577
HARLEY DAVIDSON INC COM             EQUITY    412822108       183      4,883  SH   --   DEFINED      5          --      --     4,883
HARLEY-DAVIDSON                     EQUITY    412822108     3,850    102,665  SH   --     SOLE       1     102,665      --        --
HARLEYSVILLE GROUP, INC.            EQUITY    412824104       457     12,674  SH   --     SOLE       1      12,674      --        --
HARLEYSVILLE NATIONAL CORP.         EQUITY    412850109       380     26,353  SH   --     SOLE       1      26,353      --        --
HARMAN INTL INDS INC COM            EQUITY    413086109         1         29  SH   --   DEFINED      4          --      --        29
HARMAN INTL INDS INC NEW            EQUITY    413086109         3         72  SH   --     SOLE       2          72      --        --
HARMAN INT'L INDUSTRIES, INC.       EQUITY    413086109     1,127     25,887  SH   --     SOLE       1      25,887      --        --
HARMONIC INC COM                    EQUITY    413160102        23      3,000  SH   --   DEFINED      5          --      --     3,000
HARMONIC INC.                       EQUITY    413160102       608     80,030  SH   --     SOLE       1      80,030      --        --
HARRIS CORP DEL                     EQUITY    413875105     3,572     73,600  SH   --     SOLE       2      73,600      --        --
HARRIS CORP.                        EQUITY    413875105    15,776    325,086  SH   --     SOLE       1     325,086      --        --
HARRIS INTERACTIVE INC              EQUITY    414549105       124     45,264  SH   --     SOLE       1      45,264      --        --
HARRIS INTERACTIVE INC COM          EQUITY    414549105         3        966  SH   --   DEFINED      5          --      --       966
HARRIS STRATEX NETWORKS INC         EQUITY    41457P106       217     21,670  SH   --     SOLE       1      21,670      --        --





                                                                                          
HARRY WINSTON DIAMOND CORP          EQUITY    41587B100       306     12,790  SH   --    OTHER       1          --  12,790        --
HARSCO CORP                         EQUITY    415864107       997     18,000  SH   --     SOLE       2      18,000      --        --
HARSCO CORP COM                     EQUITY    415864107         1         21  SH   --   DEFINED      4          --      --        21
HARSCO CORP COM                     EQUITY    415864107         4         70  SH   --   DEFINED      5          --      --        70
HARSCO CORP.                        EQUITY    415864107    11,155    201,425  SH   --     SOLE       1     201,425      --        --
HARTE-HANKS COMMUNICATIONS          EQUITY    416196103     1,503    109,949  SH   --     SOLE       1     109,949      --        --
HARTFORD FINANCIAL SVCS GR          EQUITY    416515104     7,583    100,085  SH   --     SOLE       2     100,085      --        --
HARTFORD FINANCIAL SVCS GROUP       EQUITY    416515104    30,495    402,465  SH   --     SOLE       1     402,465      --        --
HARTFORD FINL SVCS GROUP INC COM    EQUITY    416515104        44        578  SH   --   DEFINED      4          --      --       578
HARTFORD FINL SVCS GROUP INC COM    EQUITY    416515104        61        806  SH   --   DEFINED      5          --      --       806
HARVEST ENERGY TR TRUST UNIT        EQUITY    41752X101     1,384     61,857  SH   --   DEFINED      4          --      --    61,857
HARVEST ENERGY TR TRUST UNIT        EQUITY    41752X101       204      9,108  SH   --   DEFINED      5          --      --     9,108
HARVEST ENERGY TRUST                EQUITY    41752X101       339     15,129  SH   --    OTHER       1          --  15,129        --
HARVEST NATURAL RESOUR              EQUITY    41754V103       361     29,928  SH   --     SOLE       1      29,928      --        --
HASBRO INC                          EQUITY    418056107         5        170  SH   --     SOLE       2         170      --        --
HASBRO INC COM                      EQUITY    418056107         3        100  SH   --   DEFINED      5          --      --       100
HASBRO, INC.                        EQUITY    418056107     1,793     64,258  SH   --     SOLE       1      64,258      --        --
HAVERTY FURNITURE COMPANIES         EQUITY    419596101       169     15,882  SH   --     SOLE       1      15,882      --        --
HAWAIIAN ELEC INDUSTRIES COM        EQUITY    419870100        17        700  SH   --   DEFINED      5          --      --       700
HAWAIIAN ELECTRIC INDUSTRIES,       EQUITY    419870100     4,755    199,202  SH   --     SOLE       1     199,202      --        --
HAYES LEMMERZ INTERNATIONAL         EQUITY    420781304       239     85,794  SH   --     SOLE       1      85,794      --        --
HAYNES INTERNATIONAL INV            EQUITY    420877201     9,981    181,871  SH   --     SOLE       1     181,871      --        --
HCC INS HLDGS INC                   EQUITY    404132102     3,544    156,200  SH   --     SOLE       2     156,200      --        --
HCC INSURANCE HOLDINGS, INC.        EQUITY    404132102     6,304    277,835  SH   --     SOLE       1     277,835      --        --
HCP INC                             EQUITY    40414L109    11,762    347,882  SH   --     SOLE       1     347,882      --        --
HCP INC                             EQUITY    40414L109         9        260  SH   --     SOLE       2         260      --        --
HCP INC COM                         EQUITY    40414L109        34        997  SH   --   DEFINED      4          --      --       997
HCP INC COM                         EQUITY    40414L109       130      3,846  SH   --   DEFINED      5          --      --     3,846
HEADWATERS INC                      EQUITY    42210P102       446     33,814  SH   --     SOLE       1      33,814      --        --
HEADWATERS INC COM                  EQUITY    42210P102         7        500  SH   --   DEFINED      5          --      --       500
HEALTH CARE REIT INC COM            EQUITY    42217K106        36        802  SH   --   DEFINED      5          --      --       802
HEALTH MANAGEMENT ASSOC.            EQUITY    421933102     3,073    581,001  SH   --     SOLE       1     581,001      --        --
HEALTH MGMT ASSOC INC NEW CL A      EQUITY    421933102        35      6,653  SH   --   DEFINED      4          --      --     6,653
HEALTH NET INC.                     EQUITY    42222G108     8,291    269,184  SH   --     SOLE       1     269,184      --        --
HEALTHCARE RLTY TR COM              EQUITY    421946104       224      8,555  SH   --   DEFINED      4          --      --     8,555
HEALTHCARE RLTY TR COM              EQUITY    421946104        42      1,600  SH   --   DEFINED      5          --      --     1,600
HEALTHCARE SVCS GRP IN              EQUITY    421906108       736     35,676  SH   --     SOLE       1      35,676      --        --
HEALTHEXTRAS INC                    EQUITY    422211102     1,107     44,566  SH   --     SOLE       1      44,566      --        --
HEALTHEXTRAS INC                    EQUITY    422211102       720     29,000  SH   --     SOLE       2      29,000      --        --
HEALTHSOUTH CORP                    EQUITY    421924309     1,202     67,548  SH   --     SOLE       1      67,548      --        --





                                                                                          
HEALTHSPRING INC                    EQUITY    42224N101       578     41,027  SH   --     SOLE       1      41,027      --        --
HEALTHSPRING INC COM                EQUITY    42224N101        14        959  SH   --   DEFINED      4          --      --       959
HEALTHWAYS INC                      EQUITY    422245100     1,063     30,075  SH   --     SOLE       1      30,075      --        --
HEARST-ARGYLE TELEVI                EQUITY    422317107         5        261  SH   --     SOLE       1         261      --        --
HEARTLAND EXPRESS, INC.             EQUITY    422347104       709     49,729  SH   --     SOLE       1      49,729      --        --
HEARTLAND FINANCIAL USA INC         EQUITY    42234Q102       231     10,899  SH   --     SOLE       1      10,899      --        --
HEARTLAND PAYMENT SYSTEMS IN        EQUITY    42235N108       322     14,005  SH   --     SOLE       1      14,005      --        --
HECLA MNG CO                        EQUITY    422704106     1,151    103,178  SH   --     SOLE       1     103,178      --        --
HECLA MNG CO                        EQUITY    422704106       474     42,500  SH   --     SOLE       2      42,500      --        --
HECLA MNG CO COM                    EQUITY    422704106        10        910  SH   --   DEFINED      5          --      --       910
HEELYS INC                          EQUITY    42279M107        24      5,482  SH   --     SOLE       1       5,482      --        --
HEELYS INC COM                      EQUITY    42279M107         2        350  SH   --   DEFINED      5          --      --       350
HEICO CORP.                         EQUITY    422806109     1,069     21,929  SH   --     SOLE       1      21,929      --        --
HEIDRICK & STRUGGLES INT'L          EQUITY    422819102       502     15,437  SH   --     SOLE       1      15,437      --        --
HEINZ H J CO                        EQUITY    423074103     5,664    120,577  SH   --     SOLE       2     120,577      --        --
HEINZ H J CO COM                    EQUITY    423074103         2         50  SH   --   DEFINED      4          --      --        50
HEINZ H J CO COM                    EQUITY    423074103        80      1,704  SH   --   DEFINED      5          --      --     1,704
HELIX ENERGY SOLUTIONS GRO          EQUITY    42330P107    23,112    733,700  SH   --     SOLE       2     733,700      --        --
HELIX ENERGY SOLUTIONS GROUP        EQUITY    42330P107        37      1,171  SH   --     SOLE       1       1,171      --        --
HELIX ENERGY SOLUTIONS GRP I COM    EQUITY    42330P107         3        104  SH   --   DEFINED      5          --      --       104
HELMERICH & PAYNE INC COM           EQUITY    423452101     5,971    127,400  SH   --     SOLE       3     127,400      --   127,400
HELMERICH & PAYNE INC COM           EQUITY    423452101       238      5,069  SH   --   DEFINED      5          --      --     5,069
HELMERICH & PAYNE, INC.             EQUITY    423452101    11,665    248,873  SH   --     SOLE       1     248,873      --        --
HELMERICH AND PAYNE INC             EQUITY    423452101       558     11,900  SH   --     SOLE       2      11,900      --        --
HENRY JACK & ASSOC INC COM          EQUITY    426281101        37      1,510  SH   --   DEFINED      5          --      --     1,510
HENRY JACK & ASSOCIATES             EQUITY    426281101     6,154    249,438  SH   --     SOLE       1     249,438      --        --
HENRY SCHEIN INC                    EQUITY    806407102    12,573    219,038  SH   --     SOLE       1     219,038      --        --
HERBALIFE LTD                       EQUITY    G4412G101       223      4,700  SH   --     SOLE       2       4,700      --        --
HERCULES INC                        EQUITY    427056106         2        136  SH   --     SOLE       2         136      --        --
HERCULES OFFSHORE INC               EQUITY    427093109     1,790     71,241  SH   --     SOLE       1      71,241      --        --
HERCULES TECH GROWTH CAP INC COM    EQUITY    427096508       200     18,401  SH   --   DEFINED      4          --      --    18,401
HERCULES TECH GROWTH CAP INC COM    EQUITY    427096508         2        200  SH   --   DEFINED      5          --      --       200
HERCULES TECHNOLOGY GROWTH          EQUITY    427096508     3,955    364,151  SH   --     SOLE       2     364,151      --        --
HERCULES TECHNOLOGY GROWTH
CAPITAL INC                         EQUITY    427096508       302     27,774  SH   --     SOLE       1      27,774      --        --
HERCULES, INC.                      EQUITY    427056106     2,303    125,899  SH   --     SOLE       1     125,899      --        --
HERITAGE COMMERCE CORP              EQUITY    426927109       210     11,478  SH   --     SOLE       1      11,478      --        --
HERITAGE CRYSTAL CLEAN INC          EQUITY    42726M106     2,664    170,000  SH   --     SOLE       2     170,000      --        --
HERLEY INDS INC DEL COM             EQUITY    427398102         4        388  SH   --   DEFINED      4          --      --       388
HERMAN MILLER, INC.                 EQUITY    600544100     4,491    182,766  SH   --     SOLE       1     182,766      --        --
HERSHEY CO / THE                    EQUITY    427866108         8        201  SH   --     SOLE       2         201      --        --





                                                                                          
HERSHEY CO COM                      EQUITY    427866108        21        560  SH   --   DEFINED      5          --      --       560
HERTZ GLOBAL HOLDINGS INC           EQUITY    42805T105       105      8,674  SH   --     SOLE       1       8,674      --        --
HESS CORP                           EQUITY    42809H107    17,853    202,465  SH   --     SOLE       1     202,465      --        --
HESS CORP                           EQUITY    42809H107       144      1,633  SH   --     SOLE       2       1,633      --        --
HESS CORP COM                       EQUITY    42809H107        49        552  SH   --   DEFINED      4          --      --       552
HESS CORP COM                       EQUITY    42809H107        37        424  SH   --   DEFINED      5          --      --       424
HEWITT ASSOCIATES INC-CL A          EQUITY    42822Q100       213      5,368  SH   --     SOLE       1       5,368      --        --
HEWITT ASSOCS INC                   EQUITY    42822Q100       149      3,750  SH   --     SOLE       2       3,750      --        --
HEWLETT PACKARD CO                  EQUITY    428236103    16,647    364,590  SH   --     SOLE       2     364,590      --        --
HEWLETT PACKARD CO COM              EQUITY    428236103        74      1,624  SH   --   DEFINED      4          --      --     1,624
HEWLETT PACKARD CO COM              EQUITY    428236103       263      5,769  SH   --   DEFINED      5          --      --     5,769
HEWLETT PACKARD CO.                 EQUITY    428236103   140,208  3,070,689  SH   --     SOLE       1   3,070,689      --        --
HEXCEL CORP NEW                     EQUITY    428291108     1,663     87,000  SH   --     SOLE       2      87,000      --        --
HEXCEL CORP NEW COM                 EQUITY    428291108        13        700  SH   --   DEFINED      5          --      --       700
HEXCEL CORP.                        EQUITY    428291108     1,546     80,912  SH   --     SOLE       1      80,912      --        --
HFF INC                             EQUITY    40418F108        71     14,097  SH   --     SOLE       1      14,097      --        --
HHGREGG INC                         EQUITY    42833L108        90      8,024  SH   --     SOLE       1       8,024      --        --
HIBBETT SPORTS INC.                 EQUITY    428567101       419     27,122  SH   --     SOLE       1      27,122      --        --
HIGHWOODS PPTYS INC COM             EQUITY    431284108         5        150  SH   --   DEFINED      5          --      --       150
HIGHWOODS PROPERTIES, INC.          EQUITY    431284108     5,726    184,296  SH   --     SOLE       1     184,296      --        --
HILB, ROGAL & HAMILTON CO.          EQUITY    431294107       993     31,545  SH   --     SOLE       1      31,545      --        --
HILLENBRAND INDUSTRIES, INC.        EQUITY    431573104     7,154    149,656  SH   --     SOLE       1     149,656      --        --
HILLTOP HOLDINGS INC                EQUITY    432748101       423     40,693  SH   --     SOLE       1      40,693      --        --
HITTITE MICROWAVE CORP              EQUITY    43365Y104       526     14,045  SH   --     SOLE       1      14,045      --        --
HLTH CORP                           EQUITY    40422Y101       384     40,265  SH   --     SOLE       1      40,265      --        --
HMS HLDGS CORP COM                  EQUITY    40425J101     6,792    237,900  SH   --     SOLE       3     237,900      --   237,900
HMS HOLDINGS CORP                   EQUITY    40425J101     2,339     81,922  SH   --     SOLE       1      81,922      --        --
HNI CORP                            EQUITY    404251100     2,857    106,241  SH   --     SOLE       1     106,241      --        --
HOLLY CORP                          EQUITY    435758305       127      2,920  SH   --     SOLE       2       2,920      --        --
HOLLY CORP.                         EQUITY    435758305        59      1,369  SH   --     SOLE       1       1,369      --        --
HOLLYWOOD PARK, INC.                EQUITY    723456109       655     51,205  SH   --     SOLE       1      51,205      --        --
HOLOGIC INC                         EQUITY    436440101    23,065    414,835  SH   --     SOLE       1     414,835      --        --
HOLOGIC INC                         EQUITY    436440101     4,815     86,600  SH   --     SOLE       2      86,600      --        --
HOLOGIC INC COM                     EQUITY    436440101     3,697     66,500  SH   --     SOLE       3      66,500      --    66,500
HOLOGIC INC COM                     EQUITY    436440101        19        339  SH   --   DEFINED      4          --      --       339
HOLOGIC INC COM                     EQUITY    436440101        52        933  SH   --   DEFINED      5          --      --       933
HOME BANCSHARES INC/CONWAY AR       EQUITY    436893200       219     10,493  SH   --     SOLE       1      10,493      --        --
HOME DEPOT INC                      EQUITY    437076102     7,519    268,817  SH   --     SOLE       2     268,817      --        --
HOME DEPOT INC COM                  EQUITY    437076102       173      6,191  SH   --   DEFINED      4          --      --     6,191
HOME DEPOT INC COM                  EQUITY    437076102       417     14,897  SH   --   DEFINED      5          --      --    14,897





                                                                                          
HOME DEPOT, INC.                    EQUITY    437076102    40,195  1,437,063  SH   --     SOLE       1   1,437,063      --        --
HOME INNS & HOTELS MGMT INC
SPON ADR                            EQUITY    43713W107        20      1,000  SH   --   DEFINED      5          --      --     1,000
HOME PROPERTIES INC.                EQUITY    437306103     1,369     28,518  SH   --     SOLE       1      28,518      --        --
HONDA MOTOR LTD AMERN SHS           EQUITY    438128308         3        110  SH   --   DEFINED      5          --      --       110
HONEYWELL INTERNATIONAL INC.        EQUITY    438516106    25,057    444,123  SH   --     SOLE       1     444,123      --        --
HONEYWELL INTL INC                  EQUITY    438516106     1,463     25,934  SH   --     SOLE       2      25,934      --        --
HONEYWELL INTL INC COM              EQUITY    438516106       142      2,512  SH   --   DEFINED      4          --      --     2,512
HONEYWELL INTL INC COM              EQUITY    438516106       164      2,899  SH   --   DEFINED      5          --      --     2,899
HOOKER FURNITURE CORP               EQUITY    439038100       212      9,511  SH   --     SOLE       1       9,511      --        --
HORACE MANN EDUCATORS CORP.         EQUITY    440327104     2,296    131,360  SH   --     SOLE       1     131,360      --        --
HORIZON FINANCIAL CORP              EQUITY    44041F105       145     10,516  SH   --     SOLE       1      10,516      --        --
HORIZON FINL CORP WASH COM          EQUITY    44041F105        21      1,500  SH   --   DEFINED      5          --      --     1,500
HORIZON LINES INC-CL A              EQUITY    44044K101       477     25,648  SH   --     SOLE       1      25,648      --        --
HORMEL FOODS CORP.                  EQUITY    440452100     7,109    170,633  SH   --     SOLE       1     170,633      --        --
HORNBECK OFFSHORE SERVICES          EQUITY    440543106       900     19,715  SH   --     SOLE       1      19,715      --        --
HORSEHEAD HOLDING CORP              EQUITY    440694305        55      4,789  SH   --     SOLE       1       4,789      --        --
HOSPIRA INC                         EQUITY    441060100     2,861     66,890  SH   --     SOLE       1      66,890      --        --
HOSPIRA INC                         EQUITY    441060100         8        190  SH   --     SOLE       2         190      --        --
HOSPITALITY PPTYS TR                EQUITY    44106M102       163      4,800  SH   --     SOLE       2       4,800      --        --
HOSPITALITY PPTYS TR COM SH
BEN INT                             EQUITY    44106M102        57      1,680  SH   --   DEFINED      4          --      --     1,680
HOSPITALITY PPTYS TR COM SH
BEN INT                             EQUITY    44106M102        14        400  SH   --   DEFINED      5          --      --       400
HOST HOTELS & RESORTS INC           EQUITY    44107P104    22,511  1,414,019  SH   --     SOLE       1   1,414,019      --        --
HOST HOTELS + RESORTS INC           EQUITY    44107P104        10        626  SH   --     SOLE       2         626      --        --
HOT TOPIC INC                       EQUITY    441339108       164     37,968  SH   --     SOLE       1      37,968      --        --
HOUSTON WIRE & CABLE CO             EQUITY    44244K109       215     13,446  SH   --     SOLE       1      13,446      --        --
HOVNANIAN ENTERPRISES INC           EQUITY    442487203     1,585    149,523  SH   --     SOLE       1     149,523      --        --
HOVNANIAN ENTERPRISES INC CL A      EQUITY    442487203        26      2,432  SH   --   DEFINED      4          --      --     2,432
HQ SUSTAINABLE MARITIM COM NEW      EQUITY    40426A208     1,865    159,400  SH   --     SOLE       3     159,400      --   159,400
HRPT PPTYS TR COM SH BEN INT        EQUITY    40426W101         2        325  SH   --   DEFINED      4          --      --       325
HSBC HLDGS PLC ADR A 1/40PF A       EQUITY    404280604        22      1,000  SH   --   DEFINED      5          --      --     1,000
HSBC HLDGS PLC SPON ADR NEW         EQUITY    404280406       101      1,223  SH   --   DEFINED      4          --      --     1,223
HSBC HLDGS PLC SPON ADR NEW         EQUITY    404280406        16        199  SH   --   DEFINED      5          --      --       199
HSBC HOLDINGS PLC                   EQUITY    404280604     1,465     67,400  SH   --     SOLE       1      67,400      --        --
HSW INTERNATIONAL INC               EQUITY    40431N104        66     13,110  SH   --     SOLE       1      13,110      --        --
HUANENG PWR INTL INC SPON ADR
H SHS                               EQUITY    443304100         3         94  SH   --   DEFINED      4          --      --        94
HUB GROUP INC-CL A                  EQUITY    443320106     1,094     33,265  SH   --     SOLE       1      33,265      --        --
HUBBELL INC. CLASS B                EQUITY    443510201     6,274    143,601  SH   --     SOLE       1     143,601      --        --
HUDSON CITY BANCORP                 EQUITY    443683107     4,056    229,399  SH   --     SOLE       1     229,399      --        --
HUDSON CITY BANCORP INC             EQUITY    443683107        11        620  SH   --     SOLE       2         620      --        --
HUDSON HIGHLAND GROUP INC           EQUITY    443792106       183     21,648  SH   --     SOLE       1      21,648      --        --





                                                                                          
HUGHES COMMUNICATIONS INC           EQUITY    444398101       280      5,517  SH   --     SOLE       1       5,517      --        --
HUGOTON RTY TR TEX UNIT BEN INT     EQUITY    444717102         4        148  SH   --   DEFINED      4          --      --       148
HUMAN GENOME SCIENCES, INC.         EQUITY    444903108       678    115,193  SH   --     SOLE       1     115,193      --        --
HUMANA INC                          EQUITY    444859102       107      2,393  SH   --     SOLE       2       2,393      --        --
HUMANA INC COM                      EQUITY    444859102        10        220  SH   --   DEFINED      5          --      --       220
HUMANA, INC.                        EQUITY    444859102     7,567    168,689  SH   --     SOLE       1     168,689      --        --
HUNGARIAN TELEPHONE & CABLE         EQUITY    445542103        54      3,095  SH   --     SOLE       1       3,095      --        --
HUNT JB TRANS SVC INC COM           EQUITY    445658107     3,690    117,400  SH   --     SOLE       3     117,400      --   117,400
HUNTINGTON BANCSHARES INC           EQUITY    446150104        74      6,858  SH   --     SOLE       2       6,858      --        --
HUNTINGTON BANCSHARES INC COM       EQUITY    446150104       134     12,442  SH   --   DEFINED      4          --      --    12,442
HUNTINGTON BANCSHARES, INC.         EQUITY    446150104     2,529    235,298  SH   --     SOLE       1     235,298      --        --
HUNTSMAN CORP                       EQUITY    447011107       499     21,177  SH   --     SOLE       1      21,177      --        --
HURCO COS INC                       EQUITY    447324104       224      4,791  SH   --     SOLE       1       4,791      --        --
HURON CONSULTING GROUP INC          EQUITY    447462102       665     15,997  SH   --     SOLE       1      15,997      --        --
HUTCHINSON TECHNOLOGY, INC.         EQUITY    448407106       355     22,331  SH   --     SOLE       1      22,331      --        --
HYPERCOM CORP                       EQUITY    44913M105       198     45,692  SH   --     SOLE       1      45,692      --        --
HYTHIAM INC                         EQUITY    44919F104        39     31,861  SH   --     SOLE       1      31,861      --        --
I2 TECHNOLOGIES INC                 EQUITY    465754208       150     13,281  SH   --     SOLE       1      13,281      --        --
I2 TECHNOLOGIES INC COM NEW         EQUITY    465754208         5        488  SH   --   DEFINED      5          --      --       488
IAC INTERACTIVECORP                 EQUITY    44919P300         4        216  SH   --     SOLE       2         216      --        --
IAC INTERACTIVECORP COM NEW         EQUITY    44919P300         1         55  SH   --   DEFINED      4          --      --        55
IAC/INTERACTIVECORP                 EQUITY    44919P300     4,314    207,781  SH   --     SOLE       1     207,781      --        --
IAMGOLD CORPORATION                 EQUITY    450913108       301     40,895  SH   --    OTHER       1          --  40,895        --
IBASIS INC                          EQUITY    450732201       117     28,464  SH   --     SOLE       1      28,464      --        --
IBERIABANK CORP                     EQUITY    450828108       441      9,955  SH   --     SOLE       1       9,955      --        --
ICICI BK LTD ADR                    EQUITY    45104G104        38      1,000  SH   --   DEFINED      5          --      --     1,000
ICO GLOBAL COMMUNICATIONS
HOLDINGS LTD                        EQUITY    44930K108       273     88,243  SH   --     SOLE       1      88,243      --        --
ICON PUB LTD CO                     EQUITY    45103T107     1,038     16,000  SH   --     SOLE       2      16,000      --        --
ICONIX BRAND GROUP INC              EQUITY    451055107       755     43,500  SH   --     SOLE       1      43,500      --        --
ICT GROUP INC                       EQUITY    44929Y101        70      6,957  SH   --     SOLE       1       6,957      --        --
ICU MEDICAL, INC.                   EQUITY    44930G107       319     11,081  SH   --     SOLE       1      11,081      --        --
ICX TECHNOLOGIES INC                EQUITY    44934T105        19      4,283  SH   --     SOLE       1       4,283      --        --
IDACORP INC COM                     EQUITY    451107106         2         70  SH   --   DEFINED      5          --      --        70
IDACORP, INC.                       EQUITY    451107106     4,638    144,435  SH   --     SOLE       1     144,435      --        --
IDEARC INC                          EQUITY    451663108        21      5,789  SH   --     SOLE       1       5,789      --        --
IDEARC INC                          EQUITY    451663108       655    179,900  SH   --     SOLE       2     179,900      --        --
IDEARC INC COM                      EQUITY    451663108         1        384  SH   --   DEFINED      5          --      --       384
IDENIX PHARMACEUTICALS INC          EQUITY    45166R204       108     21,424  SH   --     SOLE       1      21,424      --        --
IDEX CORP.                          EQUITY    45167R104     5,951    193,897  SH   --     SOLE       1     193,897      --        --
IDEXX LABORATORIES, INC.            EQUITY    45168D104        41        837  SH   --     SOLE       1         837      --        --





                                                                                          
IDEXX LABS INC                      EQUITY    45168D104       517     10,500  SH   --     SOLE       2      10,500      --        --
IDEXX LABS INC COM                  EQUITY    45168D104        24        490  SH   --   DEFINED      4          --      --       490
IDT CORP-CL B                       EQUITY    448947309       152     39,167  SH   --     SOLE       1      39,167      --        --
I-FLOW CORP                         EQUITY    449520303       247     17,599  SH   --     SOLE       1      17,599      --        --
IGATE CORP                          EQUITY    45169U105       133     18,716  SH   --     SOLE       1      18,716      --        --
IHOP CORP.                          EQUITY    449623107       716     14,956  SH   --     SOLE       1      14,956      --        --
IHS INC                             EQUITY    451734107       669     10,400  SH   --     SOLE       2      10,400      --        --
IHS INC-CLASS A                     EQUITY    451734107     1,852     28,796  SH   --     SOLE       1      28,796      --        --
II VI INC COM                       EQUITY    902104108        93      2,451  SH   --   DEFINED      5          --      --     2,451
II-VI INC                           EQUITY    902104108       772     20,329  SH   --     SOLE       1      20,329      --        --
IKON OFFICE SOLUTIONS INC COM       EQUITY    451713101         4        590  SH   --   DEFINED      4          --      --       590
IKON OFFICE SOLUTIONS INC.          EQUITY    451713101       524     68,890  SH   --     SOLE       1      68,890      --        --
ILLINOIS TOOL WKS INC               EQUITY    452308109        23        479  SH   --     SOLE       2         479      --        --
ILLINOIS TOOL WKS INC COM           EQUITY    452308109         4         80  SH   --   DEFINED      5          --      --        80
ILLINOIS TOOL WORKS, INC.           EQUITY    452308109    10,152    210,499  SH   --     SOLE       1     210,499      --        --
ILLUMINA INC                        EQUITY    452327109     3,491     45,989  SH   --     SOLE       1      45,989      --        --
ILLUMINA INC                        EQUITY    452327109       577      7,600  SH   --     SOLE       2       7,600      --        --
ILLUMINA INC COM                    EQUITY    452327109         8        100  SH   --   DEFINED      4          --      --       100
IMATION CORP.                       EQUITY    45245A107     2,324    102,192  SH   --     SOLE       1     102,192      --        --
IMCLONE SYS INC                     EQUITY    45245W109       513     12,085  SH   --     SOLE       2      12,085      --        --
IMCLONE SYSTEMS                     EQUITY    45245W109         6        146  SH   --     SOLE       1         146      --        --
IMERGENT INC                        EQUITY    45247Q100       112      9,838  SH   --     SOLE       1       9,838      --        --
IMMERSION CORP                      EQUITY    452521107       184     25,859  SH   --     SOLE       1      25,859      --        --
IMMERSION CORP COM                  EQUITY    452521107         9      1,200  SH   --   DEFINED      4          --      --     1,200
IMMERSION CORP COM                  EQUITY    452521107         9      1,300  SH   --   DEFINED      5          --      --     1,300
IMMUCOR INC                         EQUITY    452526106     1,261     59,093  SH   --     SOLE       1      59,093      --        --
IMMUNOMEDICS, INC.                  EQUITY    452907108       140     49,785  SH   --     SOLE       1      49,785      --        --
IMPAC MORTGAGE HOLDINGS INC         EQUITY    45254P102        83     65,269  SH   --     SOLE       1      65,269      --        --
IMPAC MTG HLDGS INC COM             EQUITY    45254P102         3      2,000  SH   --   DEFINED      5          --      --     2,000
IMPERIAL CAPITAL BANCORP INC        EQUITY    452680101       102      4,716  SH   --     SOLE       1       4,716      --        --
IMPERIAL OIL LTD                    EQUITY    453038408     1,989     37,963  SH   --    OTHER       1          --  37,963        --
IMPERIAL SUGAR CO                   EQUITY    453096208       190     10,082  SH   --     SOLE       1      10,082      --        --
IMPERIAL TOBACCO GROUP PLC
SPONSORED ADR                       EQUITY    453142101        14        153  SH   --   DEFINED      4          --      --       153
IMPERIAL TOBACCO GROUP PLC
SPONSORED ADR                       EQUITY    453142101         1         15  SH   --   DEFINED      5          --      --        15
IMS HEALTH INC                      EQUITY    449934108     3,469    165,119  SH   --     SOLE       2     165,119      --        --
IMS HEALTH, INC.                    EQUITY    449934108     1,655     78,781  SH   --     SOLE       1      78,781      --        --
INCYTE CORP                         EQUITY    45337C102       757     72,062  SH   --     SOLE       1      72,062      --        --
INDEPENDENCE HLDG CO N              EQUITY    453440307        64      5,398  SH   --     SOLE       1       5,398      --        --
INDEPENDENT BANK CORP MASS COM      EQUITY    453836108        62      2,104  SH   --   DEFINED      5          --      --     2,104
INDEPENDENT BANK CORP.-
MASSACHUSETTS                       EQUITY    453836108       360     12,182  SH   --     SOLE       1      12,182      --        --





                                                                                          
INDEPENDENT BANK CORP.-
MICHIGAN                            EQUITY    453838104       201     19,381  SH   --     SOLE       1      19,381      --        --
INDEVUS PHARMACEUTICALS INC         EQUITY    454072109       249     52,302  SH   --     SOLE       1      52,302      --        --
INDIA FD INC COM                    EQUITY    454089103         2         50  SH   --   DEFINED      4          --      --        50
INDIA FD INC COM                    EQUITY    454089103       352      7,745  SH   --   DEFINED      5          --      --     7,745
INDYMAC BANCORP INC COM             EQUITY    456607100         5      1,078  SH   --   DEFINED      5          --      --     1,078
INDYMAC BANCORP INC WIRES 2031      EQUITY    456607209        28      1,453  SH   --   DEFINED      5          --      --     1,453
INDYMAC BANCORP, INC.               EQUITY    456607100       967    194,984  SH   --     SOLE       1     194,984      --        --
INFINERA CORP                       EQUITY    45667G103       176     14,651  SH   --     SOLE       1      14,651      --        --
INFINITY PROPERTY & CASUALTY        EQUITY    45665Q103       584     14,034  SH   --     SOLE       1      14,034      --        --
INFORMATICA CORP                    EQUITY    45666Q102     1,281     75,074  SH   --     SOLE       1      75,074      --        --
INFORMATICA CORP                    EQUITY    45666Q102       678     39,750  SH   --     SOLE       2      39,750      --        --
INFORMATION SERVICES GROUP INC      EQUITY    45675Y104       110     21,396  SH   --     SOLE       1      21,396      --        --
INFOSPACE INC.                      EQUITY    45678T201       327     28,304  SH   --     SOLE       1      28,304      --        --
INFOSYS TECHNOLOGIES LTD            EQUITY    456788108        73      2,040  SH   --     SOLE       2       2,040      --        --
INFOSYS TECHNOLOGIES LTD
SPONSORED ADR                       EQUITY    456788108        54      1,500  SH   --   DEFINED      5          --      --     1,500
INFOSYS TECHNOLOGIES-SP ADR         EQUITY    456788108       217      6,060  SH   --     SOLE       1       6,060      --        --
INFOUSA INC. CLASS B                EQUITY    456818301       170     27,893  SH   --     SOLE       1      27,893      --        --
ING CLARION GLB RE EST INCM COM     EQUITY    44982G104        46      3,262  SH   --   DEFINED      4          --      --     3,262
ING CLARION GLB RE EST INCM COM     EQUITY    44982G104        28      1,953  SH   --   DEFINED      5          --      --     1,953
ING GLBL ADV & PREM OPP FUND COM    EQUITY    44982N109        54      3,300  SH   --   DEFINED      5          --      --     3,300
ING GLOBAL EQTY DIV & PREM O COM    EQUITY    45684E107        91      5,475  SH   --   DEFINED      5          --      --     5,475
ING PRIME RATE TR SH BEN INT        EQUITY    44977W106         9      1,602  SH   --   DEFINED      5          --      --     1,602
INGERSOLL RAND COMPANY LIM          EQUITY    G4776G101        15        326  SH   --     SOLE       2         326      --        --
INGERSOLL-RAND COMPANY LTD CL A     EQUITY    G4776G101        11        256  SH   --   DEFINED      4          --      --       256
INGERSOLL-RAND COMPANY LTD CL A     EQUITY    G4776G101        12        264  SH   --   DEFINED      5          --      --       264
INGLES MARKETS INC CLASS A          EQUITY    457030104       262     10,640  SH   --     SOLE       1      10,640      --        --
INGRAM MICRO INC. CLASS A           EQUITY    457153104     5,657    357,362  SH   --     SOLE       1     357,362      --        --
INLAND REAL ESTATE CORP COM NEW     EQUITY    457461200         5        327  SH   --   DEFINED      4          --      --       327
INLAND REAL ESTATE CORP COM NEW     EQUITY    457461200        94      6,210  SH   --   DEFINED      5          --      --     6,210
INNERWORKINGS INC                   EQUITY    45773Y105       281     19,995  SH   --     SOLE       1      19,995      --        --
INNOPHOS HOLDINGS INC               EQUITY    45774N108       287     17,834  SH   --     SOLE       1      17,834      --        --
INNOSPEC INC                        EQUITY    45768S105       437     20,603  SH   --     SOLE       1      20,603      --        --
INNOVATIVE SOLUTIONS & SUPPORT      EQUITY    45769N105       114     10,802  SH   --     SOLE       1      10,802      --        --
INSIGHT ENTERPRISES, INC.           EQUITY    45765U103       726     41,476  SH   --     SOLE       1      41,476      --        --
INSITUFORM TECHNOLOGIES, INC.
CLASS A                             EQUITY    457667103       324     23,403  SH   --     SOLE       1      23,403      --        --
INSPIRE PHARMACEUTICALS INC COM     EQUITY    457733103         3        800  SH   --   DEFINED      5          --      --       800
INSTEEL INDUSTRIES INC              EQUITY    45774W108       182     15,684  SH   --     SOLE       1      15,684      --        --
INSULET CORP                        EQUITY    45784P101       104      7,223  SH   --     SOLE       1       7,223      --        --
INSURED MUN INCOME FD COM           EQUITY    45809F104         2        200  SH   --   DEFINED      5          --      --       200
INSWEB CORP                         EQUITY    45809K202        99      9,194  SH   --     SOLE       1       9,194      --        --





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





                                                                                          
INTERNATIONAL GAME TECHNOLOG COM    EQUITY    459902102       665     16,530  SH   --   DEFINED      4          --      --    16,530
INTERNATIONAL GAME TECHNOLOG COM    EQUITY    459902102        30        750  SH   --   DEFINED      5          --      --       750
INTERNATIONAL GAME TECHNOLOGY       EQUITY    459902102     5,392    134,099  SH   --     SOLE       1     134,099      --        --
INTERNATIONAL PAPER CO              EQUITY    460146103     4,233    155,611  SH   --     SOLE       2     155,611      --        --
INTERNATIONAL PAPER CO.             EQUITY    460146103    10,132    372,505  SH   --     SOLE       1     372,505      --        --
INTERNATIONAL RECTIFIER CORP COM    EQUITY    460254105         2        100  SH   --   DEFINED      4          --      --       100
INTERNATIONAL RECTIFIER CORP COM    EQUITY    460254105        50      2,348  SH   --   DEFINED      5          --      --     2,348
INTERNATIONAL RECTIFIER CORP.       EQUITY    460254105     3,738    173,849  SH   --     SOLE       1     173,849      --        --
INTERNATIONAL SHIPHOLDING CO
COM NEW                             EQUITY    460321201         8        411  SH   --   DEFINED      4          --      --       411
INTERNATIONAL SPEEDWAY COR          EQUITY    460335201     7,799    189,300  SH   --     SOLE       2     189,300      --        --
INTERNATIONAL SPEEDWAY CORP CL A    EQUITY    460335201         8        200  SH   --   DEFINED      5          --      --       200
INTERNATIONAL SPEEDWAY CORP.        EQUITY    460335201     3,038     73,739  SH   --     SOLE       1      73,739      --        --
INTERNET BRANDS INC                 EQUITY    460608102        38      5,163  SH   --     SOLE       1       5,163      --        --
INTERNET CAPITAL GROUP, INC.        EQUITY    46059C205       347     33,161  SH   --     SOLE       1      33,161      --        --
INTEROIL CORP COM                   EQUITY    460951106        25      1,500  SH   --   DEFINED      5          --      --     1,500
INTERPUBLIC GROUP CORP              EQUITY    460690100     1,718    204,228  SH   --     SOLE       1     204,228      --        --
INTERPUBLIC GROUP COS INC           EQUITY    460690100         5        563  SH   --     SOLE       2         563      --        --
INTERSIL CORP                       EQUITY    46069S109     1,258     49,000  SH   --     SOLE       2      49,000      --        --
INTERSIL CORP -CL A                 EQUITY    46069S109     7,810    304,264  SH   --     SOLE       1     304,264      --        --
INTERVOICE-BRITE INC.               EQUITY    461142101       265     33,328  SH   --     SOLE       1      33,328      --        --
INTERWOVEN INC                      EQUITY    46114T508       399     37,393  SH   --     SOLE       1      37,393      --        --
INTEVAC INC                         EQUITY    461148108       238     18,356  SH   --     SOLE       1      18,356      --        --
INTL PAPER CO COM                   EQUITY    460146103         6        225  SH   --   DEFINED      4          --      --       225
INTL PAPER CO COM                   EQUITY    460146103         3        125  SH   --   DEFINED      5          --      --       125
INT'L. FLAVORS & FRAGRANCES,        EQUITY    459506101     3,565     80,938  SH   --     SOLE       1      80,938      --        --
INTRNTNL FLAVRS + FRAGRNCS          EQUITY    459506101         4         97  SH   --     SOLE       2          97      --        --
INTUIT                              EQUITY    461202103        11        392  SH   --     SOLE       2         392      --        --
INTUIT, INC.                        EQUITY    461202103     4,332    160,367  SH   --     SOLE       1     160,367      --        --
INTUITIVE SURGICAL INC              EQUITY    46120E602    30,749     94,802  SH   --     SOLE       1      94,802      --        --
INTUITIVE SURGICAL INC COM NEW      EQUITY    46120E602     5,936     18,300  SH   --     SOLE       3      18,300      --    18,300
INTUITIVE SURGICAL INC COM NEW      EQUITY    46120E602        20         61  SH   --   DEFINED      4          --      --        61
INVACARE CORP.                      EQUITY    461203101       550     24,690  SH   --     SOLE       1      24,690      --        --
INVENTIV HEALTH INC                 EQUITY    46122E105       769     26,702  SH   --     SOLE       1      26,702      --        --
INVERNESS MED INNOVATIONS           EQUITY    46126P106     1,523     50,600  SH   --     SOLE       2      50,600      --        --
INVERNESS MEDICAL INNOVATION        EQUITY    46126P106     1,948     64,733  SH   --     SOLE       1      64,733      --        --
INVESCO LTD                         EQUITY    G491BT108    12,476    512,150  SH   --     SOLE       2     512,150      --        --
INVESCO LTD SHS                     EQUITY    G491BT108        14        580  SH   --   DEFINED      4          --      --       580
INVESTMENT GRADE MUN INCOME COM     EQUITY    461368102        10        808  SH   --   DEFINED      4          --      --       808
INVESTMENT TEC GRP NEW COM          EQUITY    46145F105     7,846    169,900  SH   --     SOLE       3     169,900      --   169,900
INVESTMENT TECHNOLOGY GROU          EQUITY    46145F105       688     14,900  SH   --     SOLE       2      14,900      --        --





                                                                                          
INVESTMENT TECHNOLOGY GROUP         EQUITY    46145F105     1,227     26,564  SH   --     SOLE       1      26,564      --        --
INVESTOOLS INC                      EQUITY    46145P103       493     44,870  SH   --     SOLE       1      44,870      --        --
INVESTORS BANCORP INC               EQUITY    46146P102       672     43,797  SH   --     SOLE       1      43,797      --        --
INVITROGEN CORP                     EQUITY    46185R100    12,333    144,300  SH   --     SOLE       1     144,300      --        --
ION GEOPHYSICAL CORP                EQUITY    462044108       982     71,163  SH   --     SOLE       1      71,163      --        --
ION MEDIA NETWORKS INC              EQUITY    46205AAB9         5     17,168  SH   --     SOLE       1      17,168      --        --
IOWA TELECOMM SERVICES INC COM      EQUITY    462594201        40      2,259  SH   --   DEFINED      5          --      --     2,259
IOWA TELECOMMUNICATIONS SERV        EQUITY    462594201       482     27,205  SH   --     SOLE       1      27,205      --        --
IPASS INC                           EQUITY    46261V108       131     43,332  SH   --     SOLE       1      43,332      --        --
IPC HLDGS LTD ORD                   EQUITY    G4933P101        10        352  SH   --   DEFINED      5          --      --       352
IPC THE HOSPITALIST CO INC          EQUITY    44984A105       100      5,071  SH   --     SOLE       1       5,071      --        --
IPCS INC                            EQUITY    44980Y305    52,636  2,364,549  SH   --     SOLE       1   2,364,549      --        --
IPCS INC DEL                        EQUITY    44980Y305     5,843    250,233  SH   --     SOLE       2     250,233      --        --
IPG PHOTONICS CORP                  EQUITY    44980X109       135      8,611  SH   --     SOLE       1       8,611      --        --
IPG PHOTONICS CORP COM              EQUITY    44980X109         4        286  SH   --   DEFINED      5          --      --       286
IROBOT CORP                         EQUITY    462726100       226     13,183  SH   --     SOLE       1      13,183      --        --
IRON MOUNTAIN INC.                  EQUITY    462846106        61      2,304  SH   --     SOLE       1       2,304      --        --
IRON MTN INC COM                    EQUITY    462846106         8        300  SH   --   DEFINED      5          --      --       300
IRON MTN INC PA                     EQUITY    462846106    27,334  1,033,800  SH   --     SOLE       2   1,033,800      --        --
IRWIN FINANCIAL CORP.               EQUITY    464119106        86     16,122  SH   --     SOLE       1      16,122      --        --
ISHARES COMEX GOLD TR ISHARES       EQUITY    464285105       181      1,991  SH   --   DEFINED      4          --      --     1,991
ISHARES COMEX GOLD TR ISHARES       EQUITY    464285105         9        100  SH   --   DEFINED      5          --      --       100
ISHARES INC MSCI AUSTRALIA          EQUITY    464286103        15        600  SH   --   DEFINED      4          --      --       600
ISHARES INC MSCI AUSTRALIA          EQUITY    464286103        29      1,110  SH   --   DEFINED      5          --      --     1,110
ISHARES INC MSCI BELGIUM            EQUITY    464286301         7        305  SH   --   DEFINED      4          --      --       305
ISHARES INC MSCI BRAZIL             EQUITY    464286400     1,627     21,123  SH   --   DEFINED      4          --      --    21,123
ISHARES INC MSCI BRAZIL             EQUITY    464286400     1,088     14,127  SH   --   DEFINED      5          --      --    14,127
ISHARES INC MSCI CDA INDEX          EQUITY    464286509     1,270     41,909  SH   --   DEFINED      5          --      --    41,909
ISHARES INC MSCI EMU INDEX          EQUITY    464286608        68        625  SH   --   DEFINED      4          --      --       625
ISHARES INC MSCI FRANCE             EQUITY    464286707         7        200  SH   --   DEFINED      4          --      --       200
ISHARES INC MSCI GERMAN             EQUITY    464286806     1,529     48,515  SH   --   DEFINED      4          --      --    48,515
ISHARES INC MSCI GERMAN             EQUITY    464286806        85      2,688  SH   --   DEFINED      5          --      --     2,688
ISHARES INC MSCI HONG KONG          EQUITY    464286871        60      3,340  SH   --   DEFINED      4          --      --     3,340
ISHARES INC MSCI HONG KONG          EQUITY    464286871        26      1,476  SH   --   DEFINED      5          --      --     1,476
ISHARES INC MSCI JAPAN              EQUITY    464286848        40      3,215  SH   --   DEFINED      4          --      --     3,215
ISHARES INC MSCI JAPAN              EQUITY    464286848       320     25,862  SH   --   DEFINED      5          --      --    25,862
ISHARES INC MSCI JAPAN INDEX FD     EQUITY    464286848    12,273    994,600  SH   --     SOLE       1     994,600      --        --
ISHARES INC MSCI MALAYSIA           EQUITY    464286830     1,605    135,453  SH   --   DEFINED      4          --      --   135,453
ISHARES INC MSCI MALAYSIA           EQUITY    464286830        63      5,298  SH   --   DEFINED      5          --      --     5,298
ISHARES INC MSCI MEXICO             EQUITY    464286822        10        165  SH   --   DEFINED      4          --      --       165





                                                                                          
ISHARES INC MSCI NETHERLND          EQUITY    464286814         6        200  SH   --   DEFINED      4          --      --       200
ISHARES INC MSCI PAC J IDX          EQUITY    464286665       520      3,835  SH   --   DEFINED      4          --      --     3,835
ISHARES INC MSCI PAC J IDX          EQUITY    464286665        93        684  SH   --   DEFINED      5          --      --       684
ISHARES INC MSCI S KOREA            EQUITY    464286772        10        188  SH   --   DEFINED      4          --      --       188
ISHARES INC MSCI S KOREA            EQUITY    464286772        26        465  SH   --   DEFINED      5          --      --       465
ISHARES INC MSCI SINGAPORE          EQUITY    464286673       304     23,790  SH   --   DEFINED      4          --      --    23,790
ISHARES INC MSCI SINGAPORE          EQUITY    464286673        43      3,400  SH   --   DEFINED      5          --      --     3,400
ISHARES INC MSCI SPAIN              EQUITY    464286764        10        160  SH   --   DEFINED      4          --      --       160
ISHARES INC MSCI STH AFRCA          EQUITY    464286780        14        120  SH   --   DEFINED      4          --      --       120
ISHARES INC MSCI STH AFRCA          EQUITY    464286780         6         55  SH   --   DEFINED      5          --      --        55
ISHARES INC MSCI SWEDEN             EQUITY    464286756        18        582  SH   --   DEFINED      4          --      --       582
ISHARES INC MSCI SWITZERLD          EQUITY    464286749         5        200  SH   --   DEFINED      4          --      --       200
ISHARES INC MSCI TAIWAN             EQUITY    464286731        10        600  SH   --   DEFINED      4          --      --       600
ISHARES INC MSCI TAIWAN             EQUITY    464286731     2,111    133,164  SH   --   DEFINED      5          --      --   133,164
ISHARES INC MSCI UTD KINGD          EQUITY    464286699         9        400  SH   --   DEFINED      4          --      --       400
ISHARES MSCI AUSTRALIA
INDEX FUND                          EQUITY    464286103     2,880    111,800  SH   --     SOLE       1     111,800      --        --
ISHARES MSCI CANADA INDEX FUND      EQUITY    464286509    25,259    833,350  SH   --     SOLE       1     833,350      --        --
ISHARES MSCI EAFE INDEX FUND        EQUITY    464287465    15,415    214,400  SH   --     SOLE       1     214,400      --        --
ISHARES MSCI HONG KONG INDEX        EQUITY    464286871     4,450    247,900  SH   --     SOLE       1     247,900      --        --
ISHARES MSCI SINGAPORE
INDEX FUND                          EQUITY    464286673       361     28,300  SH   --     SOLE       1      28,300      --        --
ISHARES RUSSELL 2000                EQUITY    464287655     5,173     75,500  SH   --     SOLE       1      75,500      --        --
ISHARES S&P GLOBAL 100
INDEX FUND                          EQUITY    464287572       255      3,500  SH   --     SOLE       1       3,500      --        --
ISHARES S&P GSCI COMMODITY I
UNIT BEN INT                        EQUITY    46428R107        53        917  SH   --   DEFINED      4          --      --       917
ISHARES S&P GSCI COMMODITY I
UNIT BEN INT                        EQUITY    46428R107       445      7,696  SH   --   DEFINED      5          --      --     7,696
ISHARES SILVER TRUST ISHARES        EQUITY    46428Q109       984      5,776  SH   --   DEFINED      4          --      --     5,776
ISHARES SILVER TRUST ISHARES        EQUITY    46428Q109       635      3,727  SH   --   DEFINED      5          --      --     3,727
ISHARES TR 1-3 YR TRS BD            EQUITY    464287457     2,324     27,593  SH   --   DEFINED      4          --      --    27,593
ISHARES TR 1-3 YR TRS BD            EQUITY    464287457       630      7,476  SH   --   DEFINED      5          --      --     7,476
ISHARES TR 20+ YR TRS BD            EQUITY    464287432     2,901     30,251  SH   --   DEFINED      4          --      --    30,251
ISHARES TR 20+ YR TRS BD            EQUITY    464287432       136      1,414  SH   --   DEFINED      5          --      --     1,414
ISHARES TR 7-10 YR TRS BD           EQUITY    464287440        10        111  SH   --   DEFINED      4          --      --       111
ISHARES TR 7-10 YR TRS BD           EQUITY    464287440       300      3,268  SH   --   DEFINED      5          --      --     3,268
ISHARES TR COHEN&ST RLTY            EQUITY    464287564        61        754  SH   --   DEFINED      4          --      --       754
ISHARES TR COHEN&ST RLTY            EQUITY    464287564       399      4,966  SH   --   DEFINED      5          --      --     4,966
ISHARES TR CONS GOODS IDX           EQUITY    464287812       433      7,150  SH   --   DEFINED      4          --      --     7,150
ISHARES TR CONS GOODS IDX           EQUITY    464287812        75      1,234  SH   --   DEFINED      5          --      --     1,234
ISHARES TR CONS SRVC IDX            EQUITY    464287580       384      6,680  SH   --   DEFINED      4          --      --     6,680
ISHARES TR CONS SRVC IDX            EQUITY    464287580        20        354  SH   --   DEFINED      5          --      --       354
ISHARES TR DJ AEROSPACE             EQUITY    464288760       260      4,405  SH   --   DEFINED      4          --      --     4,405
ISHARES TR DJ EPAC DIVIDE           EQUITY    464288448       113      2,700  SH   --   DEFINED      5          --      --     2,700





                                                                                          
ISHARES TR DJ HEALTH CARE           EQUITY    464288828        72      1,536  SH   --   DEFINED      4          --      --     1,536
ISHARES TR DJ HEALTH CARE           EQUITY    464288828         6        130  SH   --   DEFINED      5          --      --       130
ISHARES TR DJ HOME CONSTN           EQUITY    464288752        10        500  SH   --   DEFINED      5          --      --       500
ISHARES TR DJ OIL EQUIP             EQUITY    464288844        43        702  SH   --   DEFINED      5          --      --       702
ISHARES TR DJ OIL&GAS EXP           EQUITY    464288851     1,308     18,975  SH   --   DEFINED      4          --      --    18,975
ISHARES TR DJ PHARMA INDX           EQUITY    464288836        14        300  SH   --   DEFINED      4          --      --       300
ISHARES TR DJ PHARMA INDX           EQUITY    464288836        19        400  SH   --   DEFINED      5          --      --       400
ISHARES TR DJ SEL DIV INX           EQUITY    464287168     6,175    106,711  SH   --   DEFINED      4          --      --   106,711
ISHARES TR DJ SEL DIV INX           EQUITY    464287168     1,076     18,588  SH   --   DEFINED      5          --      --    18,588
ISHARES TR DJ US BAS MATL           EQUITY    464287838       332      4,468  SH   --   DEFINED      4          --      --     4,468
ISHARES TR DJ US BAS MATL           EQUITY    464287838     1,042     14,040  SH   --   DEFINED      5          --      --    14,040
ISHARES TR DJ US ENERGY             EQUITY    464287796     1,698     13,193  SH   --   DEFINED      4          --      --    13,193
ISHARES TR DJ US ENERGY             EQUITY    464287796     1,725     13,400  SH   --   DEFINED      5          --      --    13,400
ISHARES TR DJ US FINL SEC           EQUITY    464287788       815      9,978  SH   --   DEFINED      4          --      --     9,978
ISHARES TR DJ US FINL SEC           EQUITY    464287788       164      2,006  SH   --   DEFINED      5          --      --     2,006
ISHARES TR DJ US FINL SVC           EQUITY    464287770        42        483  SH   --   DEFINED      4          --      --       483
ISHARES TR DJ US FINL SVC           EQUITY    464287770        28        325  SH   --   DEFINED      5          --      --       325
ISHARES TR DJ US HEALTHCR           EQUITY    464287762       134      2,145  SH   --   DEFINED      4          --      --     2,145
ISHARES TR DJ US HEALTHCR           EQUITY    464287762        13        200  SH   --   DEFINED      5          --      --       200
ISHARES TR DJ US INDEX FD           EQUITY    464287846       760     11,798  SH   --   DEFINED      5          --      --    11,798
ISHARES TR DJ US INDUSTRL           EQUITY    464287754     1,030     15,045  SH   --   DEFINED      4          --      --    15,045
ISHARES TR DJ US INDUSTRL           EQUITY    464287754         7        105  SH   --   DEFINED      5          --      --       105
ISHARES TR DJ US REAL EST           EQUITY    464287739         5         80  SH   --   DEFINED      4          --      --        80
ISHARES TR DJ US REAL EST           EQUITY    464287739       197      3,026  SH   --   DEFINED      5          --      --     3,026
ISHARES TR DJ US TECH SEC           EQUITY    464287721       463      8,815  SH   --   DEFINED      4          --      --     8,815
ISHARES TR DJ US TECH SEC           EQUITY    464287721         6        110  SH   --   DEFINED      5          --      --       110
ISHARES TR DJ US TELECOMM           EQUITY    464287713         2        100  SH   --   DEFINED      5          --      --       100
ISHARES TR DJ US UTILS              EQUITY    464287697       260      2,828  SH   --   DEFINED      4          --      --     2,828
ISHARES TR DJ US UTILS              EQUITY    464287697       162      1,758  SH   --   DEFINED      5          --      --     1,758
ISHARES TR FTSE XNHUA IDX           EQUITY    464287184       158      1,168  SH   --   DEFINED      4          --      --     1,168
ISHARES TR FTSE XNHUA IDX           EQUITY    464287184       118        870  SH   --   DEFINED      5          --      --       870
ISHARES TR HIGH YLD CORP            EQUITY    464288513       313      3,238  SH   --   DEFINED      4          --      --     3,238
ISHARES TR HIGH YLD CORP            EQUITY    464288513        97      1,000  SH   --   DEFINED      5          --      --     1,000
ISHARES TR IBOXX INV CPBD           EQUITY    464287242       363      3,451  SH   --   DEFINED      5          --      --     3,451
ISHARES TR LARGE VAL INDX           EQUITY    464288109        34        470  SH   --   DEFINED      4          --      --       470
ISHARES TR LARGE VAL INDX           EQUITY    464288109        23        320  SH   --   DEFINED      5          --      --       320
ISHARES TR LEHMAN 3-7 YR            EQUITY    464288661       624      5,643  SH   --   DEFINED      4          --      --     5,643
ISHARES TR LEHMAN 3-7 YR            EQUITY    464288661        87        785  SH   --   DEFINED      5          --      --       785
ISHARES TR LEHMAN AGG BND           EQUITY    464287226     3,413     33,240  SH   --   DEFINED      4          --      --    33,240
ISHARES TR LEHMAN AGG BND           EQUITY    464287226     1,317     12,826  SH   --   DEFINED      5          --      --    12,826





                                                                                          
ISHARES TR LRGE CORE INDX           EQUITY    464287127       290      3,899  SH   --   DEFINED      4          --      --     3,899
ISHARES TR LRGE CORE INDX           EQUITY    464287127        17        230  SH   --   DEFINED      5          --      --       230
ISHARES TR LRGE GRW INDX            EQUITY    464287119        60        954  SH   --   DEFINED      4          --      --       954
ISHARES TR LRGE GRW INDX            EQUITY    464287119        42        657  SH   --   DEFINED      5          --      --       657
ISHARES TR MID CORE INDEX           EQUITY    464288208        11        140  SH   --   DEFINED      4          --      --       140
ISHARES TR MID CORE INDEX           EQUITY    464288208        10        135  SH   --   DEFINED      5          --      --       135
ISHARES TR MID GRWTH INDX           EQUITY    464288307        39        443  SH   --   DEFINED      4          --      --       443
ISHARES TR MID GRWTH INDX           EQUITY    464288307       120      1,377  SH   --   DEFINED      5          --      --     1,377
ISHARES TR MID VAL INDEX            EQUITY    464288406        31        438  SH   --   DEFINED      4          --      --       438
ISHARES TR MID VAL INDEX            EQUITY    464288406         5         70  SH   --   DEFINED      5          --      --        70
ISHARES TR MSCI EAFE IDX            EQUITY    464287465     2,134     29,686  SH   --   DEFINED      4          --      --    29,686
ISHARES TR MSCI EAFE IDX            EQUITY    464287465     2,908     40,442  SH   --   DEFINED      5          --      --    40,442
ISHARES TR MSCI EMERG MKT           EQUITY    464287234     5,959     44,343  SH   --   DEFINED      4          --      --    44,343
ISHARES TR MSCI EMERG MKT           EQUITY    464287234     1,735     12,908  SH   --   DEFINED      5          --      --    12,908
ISHARES TR MSCI GRW IDX             EQUITY    464288885       732     10,126  SH   --   DEFINED      4          --      --    10,126
ISHARES TR MSCI VAL IDX             EQUITY    464288877       115      1,750  SH   --   DEFINED      4          --      --     1,750
ISHARES TR MSCI VAL IDX             EQUITY    464288877       533      8,133  SH   --   DEFINED      5          --      --     8,133
ISHARES TR NASDQ BIO INDX           EQUITY    464287556       291      3,845  SH   --   DEFINED      4          --      --     3,845
ISHARES TR NASDQ BIO INDX           EQUITY    464287556        51        673  SH   --   DEFINED      5          --      --       673
ISHARES TR NYSE 100INX FD           EQUITY    464287135         5         76  SH   --   DEFINED      4          --      --        76
ISHARES TR NYSE COMP INDX           EQUITY    464287143       397      4,933  SH   --   DEFINED      5          --      --     4,933
ISHARES TR RSSL MCRCP IDX           EQUITY    464288869        36        770  SH   --   DEFINED      4          --      --       770
ISHARES TR RSSL MCRCP IDX           EQUITY    464288869        26        566  SH   --   DEFINED      5          --      --       566
ISHARES TR RUSL 2000 GROW           EQUITY    464287648       194      2,680  SH   --   DEFINED      4          --      --     2,680
ISHARES TR RUSL 2000 GROW           EQUITY    464287648        32        435  SH   --   DEFINED      5          --      --       435
ISHARES TR RUSL 2000 VALU           EQUITY    464287630        61        930  SH   --   DEFINED      4          --      --       930
ISHARES TR RUSL 2000 VALU           EQUITY    464287630        66      1,011  SH   --   DEFINED      5          --      --     1,011
ISHARES TR RUSL 3000 GROW           EQUITY    464287671        31        703  SH   --   DEFINED      4          --      --       703
ISHARES TR RUSL 3000 GROW           EQUITY    464287671        26        595  SH   --   DEFINED      5          --      --       595
ISHARES TR RUSL 3000 VALU           EQUITY    464287663        60        639  SH   --   DEFINED      4          --      --       639
ISHARES TR RUSL 3000 VALU           EQUITY    464287663        29        310  SH   --   DEFINED      5          --      --       310
ISHARES TR RUSSELL 1000             EQUITY    464287622       239      3,321  SH   --   DEFINED      4          --      --     3,321
ISHARES TR RUSSELL 1000             EQUITY    464287622        14        200  SH   --   DEFINED      5          --      --       200
ISHARES TR RUSSELL 2000             EQUITY    464287655       753     11,026  SH   --   DEFINED      4          --      --    11,026
ISHARES TR RUSSELL 2000             EQUITY    464287655       222      3,257  SH   --   DEFINED      5          --      --     3,257
ISHARES TR RUSSELL 3000             EQUITY    464287689        79      1,035  SH   --   DEFINED      5          --      --     1,035
ISHARES TR RUSSELL MCP GR           EQUITY    464287481       654      6,455  SH   --   DEFINED      4          --      --     6,455
ISHARES TR RUSSELL MCP GR           EQUITY    464287481        72        710  SH   --   DEFINED      5          --      --       710
ISHARES TR RUSSELL MCP VL           EQUITY    464287473       779      6,058  SH   --   DEFINED      4          --      --     6,058
ISHARES TR RUSSELL MCP VL           EQUITY    464287473        79        616  SH   --   DEFINED      5          --      --       616





                                                                                          
ISHARES TR RUSSELL MIDCAP           EQUITY    464287499       415      4,438  SH   --   DEFINED      4          --      --     4,438
ISHARES TR RUSSELL MIDCAP           EQUITY    464287499       282      3,012  SH   --   DEFINED      5          --      --     3,012
ISHARES TR RUSSELL1000GRW           EQUITY    464287614     2,321     42,642  SH   --   DEFINED      4          --      --    42,642
ISHARES TR RUSSELL1000GRW           EQUITY    464287614       202      3,719  SH   --   DEFINED      5          --      --     3,719
ISHARES TR RUSSELL1000VAL           EQUITY    464287598     3,729     50,768  SH   --   DEFINED      4          --      --    50,768
ISHARES TR RUSSELL1000VAL           EQUITY    464287598       204      2,774  SH   --   DEFINED      5          --      --     2,774
ISHARES TR S&G GL MATERIA           EQUITY    464288695        50        660  SH   --   DEFINED      4          --      --       660
ISHARES TR S&G GL MATERIA           EQUITY    464288695        21        277  SH   --   DEFINED      5          --      --       277
ISHARES TR S&P 100 IDX FD           EQUITY    464287101       432      7,035  SH   --   DEFINED      4          --      --     7,035
ISHARES TR S&P 100 IDX FD           EQUITY    464287101        55        890  SH   --   DEFINED      5          --      --       890
ISHARES TR S&P 1500 INDEX           EQUITY    464287150         9         76  SH   --   DEFINED      4          --      --        76
ISHARES TR S&P 1500 INDEX           EQUITY    464287150        81        687  SH   --   DEFINED      5          --      --       687
ISHARES TR S&P 500 INDEX            EQUITY    464287200     1,771     13,395  SH   --   DEFINED      4          --      --    13,395
ISHARES TR S&P 500 INDEX            EQUITY    464287200       803      6,074  SH   --   DEFINED      5          --      --     6,074
ISHARES TR S&P 500 VALUE            EQUITY    464287408     1,331     19,225  SH   --   DEFINED      4          --      --    19,225
ISHARES TR S&P 500 VALUE            EQUITY    464287408     1,078     15,564  SH   --   DEFINED      5          --      --    15,564
ISHARES TR S&P EURO PLUS            EQUITY    464287861       141      1,346  SH   --   DEFINED      4          --      --     1,346
ISHARES TR S&P EURO PLUS            EQUITY    464287861        13        124  SH   --   DEFINED      5          --      --       124
ISHARES TR S&P GBL ENER             EQUITY    464287341     1,021      7,884  SH   --   DEFINED      4          --      --     7,884
ISHARES TR S&P GBL ENER             EQUITY    464287341       370      2,856  SH   --   DEFINED      5          --      --     2,856
ISHARES TR S&P GBL FIN              EQUITY    464287333       864     12,325  SH   --   DEFINED      4          --      --    12,325
ISHARES TR S&P GBL FIN              EQUITY    464287333       148      2,115  SH   --   DEFINED      5          --      --     2,115
ISHARES TR S&P GBL HLTHCR           EQUITY    464287325       698     13,293  SH   --   DEFINED      4          --      --    13,293
ISHARES TR S&P GBL HLTHCR           EQUITY    464287325        73      1,394  SH   --   DEFINED      5          --      --     1,394
ISHARES TR S&P GBL INF              EQUITY    464287291       826     14,605  SH   --   DEFINED      4          --      --    14,605
ISHARES TR S&P GBL INF              EQUITY    464287291       256      4,528  SH   --   DEFINED      5          --      --     4,528
ISHARES TR S&P GBL TELCM            EQUITY    464287275       852     12,710  SH   --   DEFINED      4          --      --    12,710
ISHARES TR S&P GBL TELCM            EQUITY    464287275       188      2,801  SH   --   DEFINED      5          --      --     2,801
ISHARES TR S&P GL C STAPL           EQUITY    464288737        14        224  SH   --   DEFINED      4          --      --       224
ISHARES TR S&P GL C STAPL           EQUITY    464288737        54        895  SH   --   DEFINED      5          --      --       895
ISHARES TR S&P GL CONSUME           EQUITY    464288745        42        841  SH   --   DEFINED      5          --      --       841
ISHARES TR S&P GL INDUSTR           EQUITY    464288729        54        903  SH   --   DEFINED      5          --      --       903
ISHARES TR S&P GL UTILITI           EQUITY    464288711     1,575     24,747  SH   --   DEFINED      4          --      --    24,747
ISHARES TR S&P GL UTILITI           EQUITY    464288711        32        499  SH   --   DEFINED      5          --      --       499
ISHARES TR S&P GLB100INDX           EQUITY    464287572        60        820  SH   --   DEFINED      4          --      --       820
ISHARES TR S&P GLB100INDX           EQUITY    464287572         8        112  SH   --   DEFINED      5          --      --       112
ISHARES TR S&P GSSI NATL            EQUITY    464287374     1,081      8,466  SH   --   DEFINED      4          --      --     8,466
ISHARES TR S&P GSSI NATL            EQUITY    464287374       339      2,657  SH   --   DEFINED      5          --      --     2,657
ISHARES TR S&P GSTI NTWRK           EQUITY    464287531         4        150  SH   --   DEFINED      5          --      --       150
ISHARES TR S&P GSTI SOFTW           EQUITY    464287515     1,232     27,497  SH   --   DEFINED      4          --      --    27,497





                                                                                          
ISHARES TR S&P GSTI SOFTW           EQUITY    464287515        98      2,197  SH   --   DEFINED      5          --      --     2,197
ISHARES TR S&P GSTI TECHN           EQUITY    464287549       653     12,870  SH   --   DEFINED      4          --      --    12,870
ISHARES TR S&P LTN AM 40            EQUITY    464287390     1,710      6,774  SH   --   DEFINED      4          --      --     6,774
ISHARES TR S&P LTN AM 40            EQUITY    464287390       241        955  SH   --   DEFINED      5          --      --       955
ISHARES TR S&P MC 400 GRW           EQUITY    464287606        25        305  SH   --   DEFINED      4          --      --       305
ISHARES TR S&P MC 400 GRW           EQUITY    464287606       827     10,148  SH   --   DEFINED      5          --      --    10,148
ISHARES TR S&P MIDCAP 400           EQUITY    464287507       482      6,197  SH   --   DEFINED      4          --      --     6,197
ISHARES TR S&P MIDCAP 400           EQUITY    464287507       861     11,073  SH   --   DEFINED      5          --      --    11,073
ISHARES TR S&P MIDCP VALU           EQUITY    464287705        25        339  SH   --   DEFINED      4          --      --       339
ISHARES TR S&P MIDCP VALU           EQUITY    464287705       713      9,761  SH   --   DEFINED      5          --      --     9,761
ISHARES TR S&P NATL MUN B           EQUITY    464288414       205      2,048  SH   --   DEFINED      4          --      --     2,048
ISHARES TR S&P SMLCAP 600           EQUITY    464287804       288      4,799  SH   --   DEFINED      4          --      --     4,799
ISHARES TR S&P SMLCAP 600           EQUITY    464287804     1,047     17,464  SH   --   DEFINED      5          --      --    17,464
ISHARES TR S&P SMLCP GROW           EQUITY    464287887     1,788     14,463  SH   --   DEFINED      4          --      --    14,463
ISHARES TR S&P SMLCP GROW           EQUITY    464287887       414      3,351  SH   --   DEFINED      5          --      --     3,351
ISHARES TR S&P SMLCP VALU           EQUITY    464287879     1,224     18,702  SH   --   DEFINED      4          --      --    18,702
ISHARES TR S&P SMLCP VALU           EQUITY    464287879        16        251  SH   --   DEFINED      5          --      --       251
ISHARES TR S&P/TOPIX 150            EQUITY    464287382         6         54  SH   --   DEFINED      4          --      --        54
ISHARES TR S&P500 GRW               EQUITY    464287309     1,395     22,255  SH   --   DEFINED      4          --      --    22,255
ISHARES TR S&P500 GRW               EQUITY    464287309       908     14,485  SH   --   DEFINED      5          --      --    14,485
ISHARES TR SMLL CORE INDX           EQUITY    464288505       291      3,878  SH   --   DEFINED      4          --      --     3,878
ISHARES TR SMLL CORE INDX           EQUITY    464288505        39        521  SH   --   DEFINED      5          --      --       521
ISHARES TR SMLL GRWTH IDX           EQUITY    464288604        23        328  SH   --   DEFINED      4          --      --       328
ISHARES TR SMLL VAL INDX            EQUITY    464288703     1,560     22,277  SH   --   DEFINED      4          --      --    22,277
ISHARES TR TRANSP AVE IDX           EQUITY    464287192     1,054     12,330  SH   --   DEFINED      4          --      --    12,330
ISHARES TR US PFD STK IDX           EQUITY    464288687       285      6,700  SH   --   DEFINED      5          --      --     6,700
ISHARES TR US TIPS BD FD            EQUITY    464287176     2,385     21,700  SH   --   DEFINED      4          --      --    21,700
ISHARES TR US TIPS BD FD            EQUITY    464287176       957      8,705  SH   --   DEFINED      5          --      --     8,705
ISILON SYSTEMS INC                  EQUITY    46432L104        35      7,271  SH   --     SOLE       1       7,271      --        --
ISIS PHARMACEUTICALS INC COM        EQUITY    464330109         8        600  SH   --   DEFINED      4          --      --       600
ISIS PHARMACEUTICALS INC COM        EQUITY    464330109        18      1,280  SH   --   DEFINED      5          --      --     1,280
ISIS PHARMACEUTICALS, INC.          EQUITY    464330109     1,125     79,738  SH   --     SOLE       1      79,738      --        --
ISLE OF CAPRI CASINOS               EQUITY    464592104        99     13,789  SH   --     SOLE       1      13,789      --        --
ISTAR FINANCIAL INC                 EQUITY    45031U101        72      5,142  SH   --     SOLE       1       5,142      --        --
ISTAR FINL INC COM                  EQUITY    45031U101         2        150  SH   --   DEFINED      4          --      --       150
ISTAR FINL INC COM                  EQUITY    45031U101        62      4,400  SH   --   DEFINED      5          --      --     4,400
ITC HOLDINGS CORP                   EQUITY    465685105     2,166     41,611  SH   --     SOLE       1      41,611      --        --
ITRON INC                           EQUITY    465741106       677      7,500  SH   --     SOLE       2       7,500      --        --
ITRON INC COM                       EQUITY    465741106         9        100  SH   --   DEFINED      5          --      --       100
ITRON, INC.                         EQUITY    465741106     2,323     25,748  SH   --     SOLE       1      25,748      --        --





                                                                                          
ITT CORP NEW                        EQUITY    450911102        11        217  SH   --     SOLE       2         217      --        --
ITT CORP NEW COM                    EQUITY    450911102        10        200  SH   --   DEFINED      5          --      --       200
ITT CORPORATION                     EQUITY    450911102     6,378    123,100  SH   --     SOLE       1     123,100      --        --
ITT EDL SVCS INC                    EQUITY    45068B109       325      7,080  SH   --     SOLE       2       7,080      --        --
ITT EDUCATIONAL SERVICES, INC.      EQUITY    45068B109     4,103     89,323  SH   --     SOLE       1      89,323      --        --
IVANHOE MINES LTD                   EQUITY    46579N103        52      4,997  SH   --    OTHER       1          --   4,997        --
IXIA                                EQUITY    45071R109       292     37,592  SH   --     SOLE       1      37,592      --        --
IXYS CORP.                          EQUITY    46600W106       143     20,993  SH   --     SOLE       1      20,993      --        --
J & J SNACK FOODS CORP              EQUITY    466032109       330     12,015  SH   --     SOLE       1      12,015      --        --
J CREW GROUP INC                    EQUITY    46612H402     1,476     33,417  SH   --     SOLE       1      33,417      --        --
J.B. HUNT TRANSPORT SERVICES        EQUITY    445658107     6,419    204,223  SH   --     SOLE       1     204,223      --        --
J.C. PENNEY CO., INC.               EQUITY    708160106     3,634     96,373  SH   --     SOLE       1      96,373      --        --
J0-ANN STORES INC                   EQUITY    47758P307       315     21,407  SH   --     SOLE       1      21,407      --        --
J2 GLOBAL COMMUNICATIO              EQUITY    46626E205       945     42,352  SH   --     SOLE       1      42,352      --        --
JA SOLAR HLDGS CO LTD               EQUITY    466090107       567     30,500  SH   --     SOLE       2      30,500      --        --
JA SOLAR HLDGS CO LTD SPON ADR      EQUITY    466090107     3,190    171,500  SH   --     SOLE       3     171,500      --   171,500
JA SOLAR HOLDINGS CO LTD            EQUITY    466090107     1,200     64,500  SH   --     SOLE       1      64,500      --        --
JABIL CIRCUIT INC                   EQUITY    466313103         2        249  SH   --     SOLE       2         249      --        --
JABIL CIRCUIT INC COM               EQUITY    466313103         9      1,000  SH   --   DEFINED      5          --      --     1,000
JABIL CIRCUT, INC.                  EQUITY    466313103       492     52,021  SH   --     SOLE       1      52,021      --        --
JACK IN THE BOX INC                 EQUITY    466367109       529     19,700  SH   --     SOLE       2      19,700      --        --
JACK IN THE BOX INC.                EQUITY    466367109     1,369     50,959  SH   --     SOLE       1      50,959      --        --
JACKSON HEWITT TAX SERVICE          EQUITY    468202106       280     24,386  SH   --     SOLE       1      24,386      --        --
JACOBS ENGINEERING GROUP, INC.      EQUITY    469814107     3,819     51,901  SH   --     SOLE       1      51,901      --        --
JACOBS ENGR GROUP INC               EQUITY    469814107        11        145  SH   --     SOLE       2         145      --        --
JACOBS ENGR GROUP INC DEL COM       EQUITY    469814107       480      6,528  SH   --   DEFINED      4          --      --     6,528
JACOBS ENGR GROUP INC DEL COM       EQUITY    469814107        16        220  SH   --   DEFINED      5          --      --       220
JAGUAR MINING INC                   EQUITY    47009M103       605     57,700  SH   --     SOLE       1      57,700      --        --
JAGUAR MNG INC COM (F)              EQUITY    47009M103     2,296    217,200  SH   --     SOLE       3     217,200      --   217,200
JAKKS PACIFIC, INC.                 EQUITY    47012E106       666     24,145  SH   --     SOLE       1      24,145      --        --
JAMBA INC                           EQUITY    47023A101       118     44,640  SH   --     SOLE       1      44,640      --        --
JANUS CAP GROUP INC                 EQUITY    47102X105         4        177  SH   --     SOLE       2         177      --        --
JANUS CAPITAL GROUP                 EQUITY    47102X105     3,777    162,314  SH   --     SOLE       1     162,314      --        --
JAPAN SMALLER CAPTLZTN FD IN COM    EQUITY    47109U104         3        300  SH   --   DEFINED      4          --      --       300
JARDEN CORP                         EQUITY    471109108        60      2,781  SH   --     SOLE       1       2,781      --        --
JARDEN CORP COM                     EQUITY    471109108         1         67  SH   --   DEFINED      5          --      --        67
JAVELIN PHARMACEUTICALS INC         EQUITY    471894105       102     36,421  SH   --     SOLE       1      36,421      --        --
JAZZ PHARMACEUTICALS INC            EQUITY    472147107        46      5,119  SH   --     SOLE       1       5,119      --        --
JDA SOFTWARE GROUP, INC.            EQUITY    46612K108       402     22,028  SH   --     SOLE       1      22,028      --        --
JDS UNIPHASE CORP                   EQUITY    46612J507     2,170    162,060  SH   --     SOLE       1     162,060      --        --





                                                                                          
JDS UNIPHASE CORP                   EQUITY    46612J507         4        269  SH   --     SOLE       2         269      --        --
JDS UNIPHASE CORP COM PAR $0.001    EQUITY    46612J507       582     43,501  SH   --   DEFINED      5          --      --    43,501
JEFFERIES GROUP, INC.               EQUITY    472319102     4,348    269,574  SH   --     SOLE       1     269,574      --        --
JETBLUE AIRWAYS CORP                EQUITY    477143101     3,386    583,786  SH   --     SOLE       1     583,786      --        --
JETBLUE AWYS CORP COM               EQUITY    477143101         1        200  SH   --   DEFINED      4          --      --       200
JETBLUE AWYS CORP COM               EQUITY    477143101       242     41,666  SH   --   DEFINED      5          --      --    41,666
JM SMUCKER CO/THE NEW COM WI        EQUITY    832696405     6,778    133,922  SH   --     SOLE       1     133,922      --        --
JO-ANN STORES INC COM               EQUITY    47758P307         6        400  SH   --   DEFINED      5          --      --       400
JOHN HANCOCK BK &THRIFT OPP SH
BEN INT                             EQUITY    409735107         5        600  SH   --   DEFINED      5          --      --       600
JOHN WILEY & SONS, INC. CLASS A     EQUITY    968223206     4,265    107,440  SH   --     SOLE       1     107,440      --        --
JOHNSON & JOHNSON                   EQUITY    478160104    98,490  1,518,272  SH   --     SOLE       1   1,518,272      --        --
JOHNSON & JOHNSON COM               EQUITY    478160104       374      5,762  SH   --   DEFINED      4          --      --     5,762
JOHNSON & JOHNSON COM               EQUITY    478160104     1,536     23,671  SH   --   DEFINED      5          --      --    23,671
JOHNSON + JOHNSON                   EQUITY    478160104    34,214    527,426  SH   --     SOLE       2     527,426      --        --
JOHNSON CONTROLS, INC.              EQUITY    478366107    13,017    385,117  SH   --     SOLE       1     385,117      --        --
JOHNSON CTLS INC                    EQUITY    478366107     1,302     38,510  SH   --     SOLE       2      38,510      --        --
JOHNSON CTLS INC COM                EQUITY    478366107         4        126  SH   --   DEFINED      4          --      --       126
JOHNSON CTLS INC COM                EQUITY    478366107        20        600  SH   --   DEFINED      5          --      --       600
JONES APPAREL GROUP INC             EQUITY    480074103         1        103  SH   --     SOLE       2         103      --        --
JONES APPAREL GROUP, INC.           EQUITY    480074103       303     22,570  SH   --     SOLE       1      22,570      --        --
JONES LANG LASALLE, INC.            EQUITY    48020Q107     5,889     76,145  SH   --     SOLE       1      76,145      --        --
JONES SODA CO                       EQUITY    48023P106        77     22,190  SH   --     SOLE       1      22,190      --        --
JONES SODA CO COM                   EQUITY    48023P106        12      3,500  SH   --   DEFINED      5          --      --     3,500
JOS A BANK CLOTHIERS INC            EQUITY    480838101       318     15,513  SH   --     SOLE       1      15,513      --        --
JOURNAL COMMUNICATIONS INC-A        EQUITY    481130102       260     35,167  SH   --     SOLE       1      35,167      --        --
JOY GLOBAL INC COM                  EQUITY    481165108        24        370  SH   --   DEFINED      5          --      --       370
JOY GLOBAL INC.                     EQUITY    481165108    17,155    263,272  SH   --     SOLE       1     263,272      --        --
JP MORGAN CHASE & CO COM            EQUITY    46625H100       238      5,530  SH   --   DEFINED      4          --      --     5,530
JP MORGAN CHASE & CO COM            EQUITY    46625H100       754     17,565  SH   --   DEFINED      5          --      --    17,565
JPMORGAN CHASE + CO                 EQUITY    46625H100    31,855    741,667  SH   --     SOLE       2     741,667      --        --
JPMORGAN CHASE AND CO.              EQUITY    46625H100   130,426  3,036,688  SH   --     SOLE       1   3,036,688      --        --
JUNIPER NETWORKS INC                EQUITY    48203R104     1,412     56,481  SH   --     SOLE       2      56,481      --        --
JUNIPER NETWORKS INC COM            EQUITY    48203R104       147      5,889  SH   --   DEFINED      5          --      --     5,889
JUNIPER NETWORKS, INC.              EQUITY    48203R104    10,382    415,266  SH   --     SOLE       1     415,266      --        --
K V PHARMACEUT [A]                  EQUITY    482740206       757     30,339  SH   --     SOLE       1      30,339      --        --
K.FORCE INC.                        EQUITY    493732101       246     27,791  SH   --     SOLE       1      27,791      --        --
K12 INC                             EQUITY    48273U102       104      5,311  SH   --     SOLE       1       5,311      --        --
KADANT INC                          EQUITY    48282T104       351     11,955  SH   --     SOLE       1      11,955      --        --
KAISER ALUMINUM CORP                EQUITY    483007704       898     12,955  SH   --     SOLE       1      12,955      --        --
KAMAN CORP                          EQUITY    483548103     2,122     75,000  SH   --     SOLE       2      75,000      --        --





                                                                                          
KAMAN CORP., CLASS A                EQUITY    483548103       591     20,887  SH   --     SOLE       1      20,887      --        --
KANSAS CITY LIFE INSURANCE CO.      EQUITY    484836101       192      3,990  SH   --     SOLE       1       3,990      --        --
KANSAS CITY SOUTHERN                EQUITY    485170302     7,443    185,566  SH   --     SOLE       1     185,566      --        --
KANSAS CITY SOUTHERN COM NEW        EQUITY    485170302        32        800  SH   --   DEFINED      5          --      --       800
KAYDON CORP.                        EQUITY    486587108     1,065     24,265  SH   --     SOLE       1      24,265      --        --
KAYNE ANDERSON ENERGY
DEVELOPMENT CO                      EQUITY    48660Q102       214      8,580  SH   --     SOLE       1       8,580      --        --
KB HOME                             EQUITY    48666K109     1,195     48,310  SH   --     SOLE       1      48,310      --        --
KB HOME                             EQUITY    48666K109     3,007    121,592  SH   --     SOLE       2     121,592      --        --
KBR INC                             EQUITY    48242W106    11,291    407,173  SH   --     SOLE       1     407,173      --        --
KBW INC                             EQUITY    482423100       554     25,108  SH   --     SOLE       1      25,108      --        --
KEARNY FINANCIAL CORP               EQUITY    487169104       201     18,368  SH   --     SOLE       1      18,368      --        --
KELLOGG CO                          EQUITY    487836108       796     15,149  SH   --     SOLE       2      15,149      --        --
KELLOGG CO COM                      EQUITY    487836108       148      2,810  SH   --   DEFINED      5          --      --     2,810
KELLOGG CO.                         EQUITY    487836108    17,353    330,157  SH   --     SOLE       1     330,157      --        --
KELLY SERVICES, INC., CLASS A       EQUITY    488152208     1,496     72,786  SH   --     SOLE       1      72,786      --        --
KEMET CORP.                         EQUITY    488360108     1,099    271,932  SH   --     SOLE       1     271,932      --        --
KENDLE INTERNATIONAL INC            EQUITY    48880L107       489     10,891  SH   --     SOLE       1      10,891      --        --
KENEXA CORP                         EQUITY    488879107       373     20,177  SH   --     SOLE       1      20,177      --        --
KENNAMETAL, INC.                    EQUITY    489170100     5,438    184,781  SH   --     SOLE       1     184,781      --        --
KENSEY NASH CORP                    EQUITY    490057106       296     10,232  SH   --     SOLE       1      10,232      --        --
KENSEY NASH CORP COM                EQUITY    490057106         2         72  SH   --   DEFINED      5          --      --        72
KERYX BIOPHARMACEUTICALS            EQUITY    492515101        22     37,378  SH   --     SOLE       1      37,378      --        --
KEYCORP                             EQUITY    493267108     7,360    335,300  SH   --     SOLE       1     335,300      --        --
KEYCORP NEW                         EQUITY    493267108        10        477  SH   --     SOLE       2         477      --        --
KEYCORP NEW COM                     EQUITY    493267108         6        270  SH   --   DEFINED      5          --      --       270
KEYNOTE SYSTEMS INC                 EQUITY    493308100       159     13,465  SH   --     SOLE       1      13,465      --        --
K-FED BANCORP                       EQUITY    48246S101        48      4,224  SH   --     SOLE       1       4,224      --        --
KILROY REALTY CORP.                 EQUITY    49427F108        34        693  SH   --     SOLE       1         693      --        --
KIMBALL INTERNATIONAL, INC.
CLASS B                             EQUITY    494274103       242     22,569  SH   --     SOLE       1      22,569      --        --
KIMBERLY CLARK CORP                 EQUITY    494368103     2,947     45,653  SH   --     SOLE       2      45,653      --        --
KIMBERLY CLARK CORP COM             EQUITY    494368103        21        325  SH   --   DEFINED      4          --      --       325
KIMBERLY CLARK CORP COM             EQUITY    494368103       163      2,520  SH   --   DEFINED      5          --      --     2,520
KIMBERLY-CLARK CORP.                EQUITY    494368103    45,418    703,612  SH   --     SOLE       1     703,612      --        --
KIMCO REALTY                        EQUITY    49446R109    17,902    457,023  SH   --     SOLE       1     457,023      --        --
KIMCO REALTY CORP COM               EQUITY    49446R109        27        680  SH   --   DEFINED      5          --      --       680
KIMCO RLTY CORP                     EQUITY    49446R109        12        302  SH   --     SOLE       2         302      --        --
KINDER MORGAN ENERGY PARTNER UT
LTD PARTNER                         EQUITY    494550106        69      1,260  SH   --   DEFINED      4          --      --     1,260
KINDER MORGAN ENERGY PARTNER UT
LTD PARTNER                         EQUITY    494550106       358      6,552  SH   --   DEFINED      5          --      --     6,552
KINDER MORGAN MANAGEMENT LLC SHS    EQUITY    49455U100        25        500  SH   --   DEFINED      4          --      --       500
KINDRED HEALTHCARE INC              EQUITY    494580103     2,087     95,439  SH   --     SOLE       1      95,439      --        --





                                                                                          
KINETIC CONCEPTS INC COM NEW        EQUITY    49460W208        35        750  SH   --   DEFINED      4          --      --       750
KINETIC CONSEPTS INC                EQUITY    49460W208     6,288    136,026  SH   --     SOLE       1     136,026      --        --
KING PHARMACEUTICALS INC            EQUITY    495582108         3        294  SH   --     SOLE       2         294      --        --
KING PHARMACEUTICALS, INC.          EQUITY    495582108     1,421    163,283  SH   --     SOLE       1     163,283      --        --
KINROSS GOLD                        EQUITY    496902404     5,848    262,999  SH   --    OTHER       1          -- 262,999        --
KINROSS GOLD CORP COM NO PAR        EQUITY    496902404        24      1,100  SH   --   DEFINED      5          --      --     1,100
KIRBY CORP                          EQUITY    497266106       718     12,600  SH   --     SOLE       2      12,600      --        --
KIRBY CORP COM                      EQUITY    497266106     3,317     58,200  SH   --     SOLE       3      58,200      --    58,200
KIRBY CORP.                         EQUITY    497266106     1,735     30,444  SH   --     SOLE       1      30,444      --        --
KLA TENCOR CORP                     EQUITY    482480100       226      6,085  SH   --     SOLE       2       6,085      --        --
KLA-TENCOR CORP.                    EQUITY    482480100     3,783    101,962  SH   --     SOLE       1     101,962      --        --
KNIGHT CAPITAL GROUP INC            EQUITY    499005106     1,353     83,301  SH   --     SOLE       1      83,301      --        --
KNIGHT TRANSPORTATION INC           EQUITY    499064103       808     49,075  SH   --     SOLE       1      49,075      --        --
KNIGHTBRIDGE TANKERS LTD            EQUITY    G5299G106       391     14,669  SH   --     SOLE       1      14,669      --        --
KNOLL INC                           EQUITY    498904200       492     42,626  SH   --     SOLE       1      42,626      --        --
KNOLOGY INC                         EQUITY    499183804       289     22,339  SH   --     SOLE       1      22,339      --        --
KNOT INC/THE                        EQUITY    499184109       278     23,696  SH   --     SOLE       1      23,696      --        --
KOHLBERG CAPITAL CORP               EQUITY    500233101       127     12,264  SH   --     SOLE       1      12,264      --        --
KOHLS CORP                          EQUITY    500255104     3,768     87,842  SH   --     SOLE       2      87,842      --        --
KOHLS CORP COM                      EQUITY    500255104        47      1,090  SH   --   DEFINED      5          --      --     1,090
KOHLS CORP.                         EQUITY    500255104     5,443    126,915  SH   --     SOLE       1     126,915      --        --
KOPPERS HOLDINGS INC                EQUITY    50060P106       667     15,045  SH   --     SOLE       1      15,045      --        --
KOREA FD COM                        EQUITY    500634100        91      4,072  SH   --   DEFINED      5          --      --     4,072
KORN/FERRY INTERNATIONAL            EQUITY    500643200     2,548    150,774  SH   --     SOLE       1     150,774      --        --
KOSAN BIOSCIENCES INC               EQUITY    50064W107        57     36,428  SH   --     SOLE       1      36,428      --        --
KRAFT FOODS INC                     EQUITY    50075N104    46,648  1,504,302  SH   --     SOLE       1   1,504,302      --        --
KRAFT FOODS INC                     EQUITY    50075N104    27,327    881,216  SH   --     SOLE       2     881,216      --        --
KRAFT FOODS INC CL A                EQUITY    50075N104        94      3,033  SH   --   DEFINED      4          --      --     3,033
KRAFT FOODS INC CL A                EQUITY    50075N104       143      4,607  SH   --   DEFINED      5          --      --     4,607
KRATOS DEFENSE & SECURITY SO COM    EQUITY    50077B108         1        600  SH   --   DEFINED      5          --      --       600
KRISPY KREME DOUGHNU                EQUITY    501014104       169     55,475  SH   --     SOLE       1      55,475      --        --
KRISPY KREME DOUGHNUTS INC COM      EQUITY    501014104         3        975  SH   --   DEFINED      4          --      --       975
KROGER CO                           EQUITY    501044101     2,337     92,007  SH   --     SOLE       2      92,007      --        --
KROGER CO COM                       EQUITY    501044101        14        570  SH   --   DEFINED      4          --      --       570
KROGER CO COM                       EQUITY    501044101         9        374  SH   --   DEFINED      5          --      --       374
KROGER CO.                          EQUITY    501044101    17,097    673,106  SH   --     SOLE       1     673,106      --        --
KRONOS WORLDWIDE INC                EQUITY    50105F105        49      2,038  SH   --     SOLE       1       2,038      --        --
K-SWISS, INC.                       EQUITY    482686102       351     22,176  SH   --     SOLE       1      22,176      --        --
KULICKE & SOFFA INDUSTRIES          EQUITY    501242101       221     46,253  SH   --     SOLE       1      46,253      --        --
L 3 COMMUNICATIONS HLDG CO          EQUITY    502424104     4,335     39,646  SH   --     SOLE       2      39,646      --        --





                                                                                          
L-1 IDENTITY SOLUTIONS INC          EQUITY    50212A106       722     54,289  SH   --     SOLE       1      54,289      --        --
L-1 IDENTITY SOLUTIONS INC COM      EQUITY    50212A106        28      2,100  SH   --   DEFINED      5          --      --     2,100
L-3 COMMUNICATIONS HLDGS INC COM    EQUITY    502424104        21        195  SH   --   DEFINED      4          --      --       195
L-3 COMMUNICATIONS HLDGS INC COM    EQUITY    502424104       111      1,012  SH   --   DEFINED      5          --      --     1,012
L-3 COMMUNICATIONS HOLDINGS,        EQUITY    502424104     5,920     54,144  SH   --     SOLE       1      54,144      --        --
LABORATORY CORP AMER HLDGS          EQUITY    50540R409        10        132  SH   --     SOLE       2         132      --        --
LABORATORY CORP AMER HLDGS COM
NEW                                 EQUITY    50540R409        17        225  SH   --   DEFINED      4          --      --       225
LABORATORY CORP AMER HLDGS COM NEW  EQUITY    50540R409        42        573  SH   --   DEFINED      5          --      --       573
LABORATORY CRP OF AMER HLDGS        EQUITY    50540R409     3,505     47,568  SH   --     SOLE       1      47,568      --        --
LABRANCHE & CO. INC.                EQUITY    505447102       198     45,621  SH   --     SOLE       1      45,621      --        --
LACLEDE GAS CO.                     EQUITY    505597104       660     18,531  SH   --     SOLE       1      18,531      --        --
LACLEDE GROUP INC COM               EQUITY    505597104         2         66  SH   --   DEFINED      5          --      --        66
LADENBURG THALMANN FINANCIAL        EQUITY    50575Q102       157     84,086  SH   --     SOLE       1      84,086      --        --
LADISH CO INC                       EQUITY    505754200       448     12,445  SH   --     SOLE       1      12,445      --        --
LAKELAND BANCORP INC                EQUITY    511637100       222     17,207  SH   --     SOLE       1      17,207      --        --
LAKELAND FINL CORP                  EQUITY    511656100       237     10,458  SH   --     SOLE       1      10,458      --        --
LAKES ENTERTAINMENT INC             EQUITY    51206P109        68     15,279  SH   --     SOLE       1      15,279      --        --
LAM RESEARCH CORP COM               EQUITY    512807108        16        411  SH   --   DEFINED      5          --      --       411
LAM RESEARCH CORP.                  EQUITY    512807108    11,639    304,518  SH   --     SOLE       1     304,518      --        --
LAM RESH CORP                       EQUITY    512807108       161      4,220  SH   --     SOLE       2       4,220      --        --
LAMAR ADVERTISING CO                EQUITY    512815101     6,888    191,697  SH   --     SOLE       1     191,697      --        --
LANCASTER COLONY CORP.              EQUITY    513847103     2,714     67,910  SH   --     SOLE       1      67,910      --        --
LANCE, INC.                         EQUITY    514606102       521     26,590  SH   --     SOLE       1      26,590      --        --
LANDAMERICA FINANCIAL GROUP         EQUITY    514936103       527     13,355  SH   --     SOLE       1      13,355      --        --
LANDAUER, INC.                      EQUITY    51476K103       397      7,885  SH   --     SOLE       1       7,885      --        --
LANDEC CORP                         EQUITY    514766104       157     18,637  SH   --     SOLE       1      18,637      --        --
LANDRY'S RESTAURANTS INC.           EQUITY    51508L103       175     10,722  SH   --     SOLE       1      10,722      --        --
LANDSTAR SYSTEM, INC.               EQUITY    515098101        59      1,131  SH   --     SOLE       1       1,131      --        --
LANOPTICS LTD ORD                   EQUITY    M6706C103        20      1,800  SH   --   DEFINED      5          --      --     1,800
LAS VEGAS SANDS CORP COM            EQUITY    517834107        89      1,210  SH   --   DEFINED      5          --      --     1,210
LASALLE HOTEL PROPERTIES            EQUITY    517942108     5,722    199,154  SH   --     SOLE       1     199,154      --        --
LATTICE SEMICONDUCTOR CORP.         EQUITY    518415104       280     98,471  SH   --     SOLE       1      98,471      --        --
LAUDER ESTEE COS INC                EQUITY    518439104         6        136  SH   --     SOLE       2         136      --        --
LAWSON PRODUCTS, INC.               EQUITY    520776105        99      3,591  SH   --     SOLE       1       3,591      --        --
LAWSON SOFTWARE INC                 EQUITY    52078P102       797    105,863  SH   --     SOLE       1     105,863      --        --
LAWSON SOFTWARE INC NEW             EQUITY    52078P102     1,248    165,700  SH   --     SOLE       2     165,700      --        --
LAWSON SOFTWARE INC NEW COM         EQUITY    52078P102         4        500  SH   --   DEFINED      5          --      --       500
LAYNE CHRISTENSEN COMPANY           EQUITY    521050104       502     14,344  SH   --     SOLE       1      14,344      --        --
LA-Z-BOY CHAIR CO.                  EQUITY    505336107       368     44,078  SH   --     SOLE       1      44,078      --        --
LB FOSTER CO                        EQUITY    350060109       390      9,068  SH   --     SOLE       1       9,068      --        --





                                                                                          
LCA-VISION INC                      EQUITY    501803308       204     16,354  SH   --     SOLE       1      16,354      --        --
LCA-VISION INC COM PAR $.001        EQUITY    501803308         2        130  SH   --   DEFINED      4          --      --       130
LDK SOLAR CO LTD SPONSORED ADR      EQUITY    50183L107         5        200  SH   --   DEFINED      4          --      --       200
LEAP WIRELESS INTL INC              EQUITY    521863308       226      4,849  SH   --     SOLE       1       4,849      --        --
LEAPFROG ENTERPRISES                EQUITY    52186N106       208     29,548  SH   --     SOLE       1      29,548      --        --
LEAR CORP                           EQUITY    521865105     6,444    248,690  SH   --     SOLE       1     248,690      --        --
LEAR CORP                           EQUITY    521865105       127      4,900  SH   --     SOLE       2       4,900      --        --
LEAR CORP COM                       EQUITY    521865105         5        205  SH   --   DEFINED      4          --      --       205
LECG CORP                           EQUITY    523234102       203     21,666  SH   --     SOLE       1      21,666      --        --
LEE ENTERPRISES, INC.               EQUITY    523768109     1,348    134,708  SH   --     SOLE       1     134,708      --        --
LEGG MASON INC                      EQUITY    524901105         9        161  SH   --     SOLE       2         161      --        --
LEGG MASON INC COM                  EQUITY    524901105         1         26  SH   --   DEFINED      5          --      --        26
LEGG MASON, INC.                    EQUITY    524901105     3,947     70,516  SH   --     SOLE       1      70,516      --        --
LEGGETT & PLATT, INC.               EQUITY    524660107     4,861    318,745  SH   --     SOLE       1     318,745      --        --
LEGGETT + PLATT INC                 EQUITY    524660107         3        200  SH   --     SOLE       2         200      --        --
LEHMAN BROS HLDGS INC COM           EQUITY    524908100         1         35  SH   --   DEFINED      4          --      --        35
LEHMAN BROS HLDGS INC COM           EQUITY    524908100        10        253  SH   --   DEFINED      5          --      --       253
LEHMAN BROTHERS HLDGS INC           EQUITY    524908100       438     11,634  SH   --     SOLE       2      11,634      --        --
LEHMAN BROTHERS HOLDINGS, INC.      EQUITY    524908100    10,046    266,898  SH   --     SOLE       1     266,898      --        --
LENNAR CORP                         EQUITY    526057104         3        166  SH   --     SOLE       2         166      --        --
LENNAR CORP CL A                    EQUITY    526057104       204     10,855  SH   --   DEFINED      5          --      --    10,855
LENNAR CORP. COM CLASS A            EQUITY    526057104     2,824    150,131  SH   --     SOLE       1     150,131      --        --
LENNOX INTERNATIONAL INC            EQUITY    526107107        56      1,548  SH   --     SOLE       1       1,548      --        --
LEUCADIA NATIONAL CORP.             EQUITY    527288104     3,378     74,700  SH   --     SOLE       1      74,700      --        --
LEUCADIA NATL CORP                  EQUITY    527288104         9        202  SH   --     SOLE       2         202      --        --
LEUCADIA NATL CORP COM              EQUITY    527288104       136      3,000  SH   --   DEFINED      4          --      --     3,000
LEUCADIA NATL CORP COM              EQUITY    527288104         9        207  SH   --   DEFINED      5          --      --       207
LEVEL 3 COMMUNICATIONS INC COM      EQUITY    52729N100         2      1,000  SH   --   DEFINED      4          --      --     1,000
LEVEL 3 COMMUNICATIONS, INC.        EQUITY    52729N100       233    110,024  SH   --     SOLE       1     110,024      --        --
LEXINGTON REALTY TRUST              EQUITY    529043101       758     52,611  SH   --     SOLE       1      52,611      --        --
LEXMARK INTERNATIONAL GROUP         EQUITY    529771107     1,369     44,562  SH   --     SOLE       1      44,562      --        --
LEXMARK INTL INC                    EQUITY    529771107         3        113  SH   --     SOLE       2         113      --        --
LG DISPLAY CO LTD                   EQUITY    50186V102    21,653    969,680  SH   --     SOLE       1     969,680      --        --
LHC GROUP INC                       EQUITY    50187A107       209     12,445  SH   --     SOLE       1      12,445      --        --
LIBBEY INC COM                      EQUITY    529898108        10        585  SH   --   DEFINED      4          --      --       585
LIBBEY, INC.                        EQUITY    529898108       208     12,353  SH   --     SOLE       1      12,353      --        --
LIBERTY ALL STAR EQUITY FD SH
BEN INT                             EQUITY    530158104        34      5,306  SH   --   DEFINED      5          --      --     5,306
LIBERTY ALL-STAR GROWTH FD I COM    EQUITY    529900102        29      6,200  SH   --   DEFINED      5          --      --     6,200
LIBERTY GLOBAL INC-A                EQUITY    530555101       966     28,333  SH   --     SOLE       1      28,333      --        --
LIBERTY MEDIA CORP -
ENTERTAINMENT                       EQUITY    53071M500       440     19,431  SH   --     SOLE       1      19,431      --        --





                                                                                          
LIBERTY MEDIA CORP NEW DEB
0.750% 3/3                       FIXED INCOME 530718AF2         3          3 PRN   --   DEFINED      4          --      --         3
LIBERTY MEDIA CORP NEW ENT COM
SER A ADDED                         EQUITY    53071M500         2         84  SH   --   DEFINED      5          --      --        84
LIBERTY MEDIA CORP NEW INT COM
SER A                               EQUITY    53071M104         2        122  SH   --   DEFINED      4          --      --       122
LIBERTY MEDIA CORP NEW INT COM
SER A                               EQUITY    53071M104         2        102  SH   --   DEFINED      5          --      --       102
LIBERTY MEDIA HOLDING CORP          EQUITY    53071M302       140      8,876  SH   --     SOLE       1       8,876      --        --
LIBERTY MEDIA HOLDING CORP          EQUITY    53071M104       717     44,414  SH   --     SOLE       1      44,414      --        --
LIBERTY PROPERTY TRUST              EQUITY    531172104     6,890    221,462  SH   --     SOLE       1     221,462      --        --
LIFE TIME FITNESS INC               EQUITY    53217R207     3,384    108,414  SH   --     SOLE       1     108,414      --        --
LIFECELL CORP                       EQUITY    531927101       693     16,500  SH   --     SOLE       2      16,500      --        --
LIFECELL CORP COM                   EQUITY    531927101        42      1,000  SH   --   DEFINED      5          --      --     1,000
LIFECELL CORPORATION                EQUITY    531927101     1,222     29,078  SH   --     SOLE       1      29,078      --        --
LIFEPOINT HOSPITALS HLDG            EQUITY    53219L109     3,762    136,938  SH   --     SOLE       1     136,938      --        --
LIFEPOINT HOSPITALS INC COM         EQUITY    53219L109         1         40  SH   --   DEFINED      4          --      --        40
LIFEPOINT HOSPITALS INC COM         EQUITY    53219L109         1         48  SH   --   DEFINED      5          --      --        48
LIFEPOINT HOSPS INC                 EQUITY    53219L109     8,851    322,200  SH   --     SOLE       2     322,200      --        --
LIFETIME BRANDS INC                 EQUITY    53222Q103        79      8,812  SH   --     SOLE       1       8,812      --        --
LIGAND PHARMACEUTICALS INC          EQUITY    53220K207       292     73,036  SH   --     SOLE       1      73,036      --        --
LILLY ELI & CO COM                  EQUITY    532457108        17        320  SH   --   DEFINED      4          --      --       320
LILLY ELI & CO COM                  EQUITY    532457108       265      5,146  SH   --   DEFINED      5          --      --     5,146
LILLY ELI + CO                      EQUITY    532457108     1,578     30,582  SH   --     SOLE       2      30,582      --        --
LIMELIGHT NETWORKS INC              EQUITY    53261M104        51     15,792  SH   --     SOLE       1      15,792      --        --
LIMITED BRANDS INC                  EQUITY    532716107     4,227    247,171  SH   --     SOLE       2     247,171      --        --
LIMITED BRANDS INC COM              EQUITY    532716107        39      2,297  SH   --   DEFINED      5          --      --     2,297
LIMITED BRANDS, INC.                EQUITY    532716107     2,279    133,253  SH   --     SOLE       1     133,253      --        --
LIN TV CORP                         EQUITY    532774106       225     23,393  SH   --     SOLE       1      23,393      --        --
LINCARE HOLDINGS, INC.              EQUITY    532791100     4,937    175,648  SH   --     SOLE       1     175,648      --        --
LINCOLN EDUCATIONAL SERVICES        EQUITY    533535100        48      4,022  SH   --     SOLE       1       4,022      --        --
LINCOLN ELEC HLDGS INC COM          EQUITY    533900106         1         17  SH   --   DEFINED      4          --      --        17
LINCOLN ELECTRIC HOLDINGS, INC      EQUITY    533900106     6,638    102,936  SH   --     SOLE       1     102,936      --        --
LINCOLN NATIONAL CORP.              EQUITY    534187109     7,038    135,345  SH   --     SOLE       1     135,345      --        --
LINCOLN NATL CORP IN                EQUITY    534187109        84      1,616  SH   --     SOLE       2       1,616      --        --
LINCOLN NATL CORP IND COM           EQUITY    534187109       246      4,731  SH   --   DEFINED      4          --      --     4,731
LINCOLN NATL CORP IND COM           EQUITY    534187109        57      1,105  SH   --   DEFINED      5          --      --     1,105
LINDSAY CORP                        EQUITY    535555106     2,867     27,983  SH   --     SOLE       1      27,983      --        --
LINDSAY CORP COM                    EQUITY    535555106     1,354     13,216  SH   --   DEFINED      4          --      --    13,216
LINDSAY CORP COM                    EQUITY    535555106        10        100  SH   --   DEFINED      5          --      --       100
LINDSAY CORPORATION COM             EQUITY    535555106     6,435     62,800  SH   --     SOLE       3      62,800      --    62,800
LINEAR TECHNOLOGY CORP              EQUITY    535678106        62      2,014  SH   --     SOLE       2       2,014      --        --
LINEAR TECHNOLOGY CORP.             EQUITY    535678106     3,411    111,156  SH   --     SOLE       1     111,156      --        --
LINN ENERGY LLC UNIT LTD LIAB       EQUITY    536020100         2        100  SH   --   DEFINED      4          --      --       100





                                                                                          
LIONBRIDGE TECHNOLOGIES INC         EQUITY    536252109       174     51,923  SH   --     SOLE       1      51,923      --        --
LIQUIDITY SERVICES INC              EQUITY    53635B107        73      9,102  SH   --     SOLE       1       9,102      --        --
LITHIA MOTORS, INC.                 EQUITY    536797103       138     13,619  SH   --     SOLE       1      13,619      --        --
LITTELFUSE, INC.                    EQUITY    537008104       667     19,071  SH   --     SOLE       1      19,071      --        --
LIVE NATION                         EQUITY    538034109       763     62,927  SH   --     SOLE       1      62,927      --        --
LIVE NATION INC COM                 EQUITY    538034109         3        259  SH   --   DEFINED      4          --      --       259
LIVEPERSON INC                      EQUITY    538146101       108     34,690  SH   --     SOLE       1      34,690      --        --
LIZ CLAIBORNE INC                   EQUITY    539320101         2        119  SH   --     SOLE       2         119      --        --
LIZ CLAIBORNE INC COM               EQUITY    539320101         2        100  SH   --   DEFINED      5          --      --       100
LIZ CLAIBORNE, INC.                 EQUITY    539320101       488     26,880  SH   --     SOLE       1      26,880      --        --
LKQ CORP                            EQUITY    501889208     2,169     96,548  SH   --     SOLE       1      96,548      --        --
LKQ CORP COM                        EQUITY    501889208        20        880  SH   --   DEFINED      4          --      --       880
LLOYDS TSB GROUP PLC SPONSORED
ADR                                 EQUITY    539439109       323      9,006  SH   --   DEFINED      4          --      --     9,006
LLOYDS TSB GROUP PLC SPONSORED
ADR                                 EQUITY    539439109       371     10,326  SH   --   DEFINED      5          --      --    10,326
LMP CAP & INCOME FD INC COM         EQUITY    50208A102        16      1,023  SH   --   DEFINED      5          --      --     1,023
LOCKHEED MARTIN CORP                EQUITY    539830109     4,462     44,938  SH   --     SOLE       2      44,938      --        --
LOCKHEED MARTIN CORP COM            EQUITY    539830109        16        157  SH   --   DEFINED      4          --      --       157
LOCKHEED MARTIN CORP COM            EQUITY    539830109       149      1,496  SH   --   DEFINED      5          --      --     1,496
LOCKHEED MARTIN CORP DBCV 8/1    FIXED INCOME 539830AP4         4          3 PRN   --   DEFINED      4          --      --         3
LOCKHEED MARTIN CORP.               EQUITY    539830109    13,763    138,596  SH   --     SOLE       1     138,596      --        --
LODGENET ENTERTAINMENT CORP.        EQUITY    540211109       119     19,499  SH   --     SOLE       1      19,499      --        --
LODGIAN INC                         EQUITY    54021P403       164     14,751  SH   --     SOLE       1      14,751      --        --
LOEWS CORP                          EQUITY    540424108     5,395     78,495  SH   --     SOLE       2      78,495      --        --
LOEWS CORP - CAROLINA GROUP         EQUITY    540424207       231      3,179  SH   --     SOLE       1       3,179      --        --
LOEWS CORP CAROLNA GP STK           EQUITY    540424207         5         65  SH   --   DEFINED      4          --      --        65
LOEWS CORP CAROLNA GP STK           EQUITY    540424207        80      1,100  SH   --   DEFINED      5          --      --     1,100
LOEWS CORP COM                      EQUITY    540424108        34        837  SH   --   DEFINED      5          --      --       837
LOEWS CORP.                         EQUITY    540424108     7,823    194,511  SH   --     SOLE       1     194,511      --        --
LOGITECH INTL S A SHS               EQUITY    H50430232         3        125  SH   --   DEFINED      4          --      --       125
LO-JACK CORPORATION                 EQUITY    539451104     1,112     87,976  SH   --     SOLE       1      87,976      --        --
LONGS DRUG STORES CORP.             EQUITY    543162101     1,200     28,265  SH   --     SOLE       1      28,265      --        --
LOOPNET INC                         EQUITY    543524300       295     23,258  SH   --     SOLE       1      23,258      --        --
LORAL SPACE & COMMUNICATIONS LTD    EQUITY    543881106     4,876    204,514  SH   --     SOLE       1     204,514      --        --
LOUISIANA PAC CORP COM              EQUITY    546347105        19      2,022  SH   --   DEFINED      4          --      --     2,022
LOUISIANA PACIFIC CORP.             EQUITY    546347105     2,280    248,328  SH   --     SOLE       1     248,328      --        --
LOWE'S COMPANIES, INC.              EQUITY    548661107    21,499    937,166  SH   --     SOLE       1     937,166      --        --
LOWES COS INC                       EQUITY    548661107        40      1,748  SH   --     SOLE       2       1,748      --        --
LOWES COS INC COM                   EQUITY    548661107         7        309  SH   --   DEFINED      4          --      --       309
LOWES COS INC COM                   EQUITY    548661107       136      5,946  SH   --   DEFINED      5          --      --     5,946
LSB INDUSTRIES INC                  EQUITY    502160104       196     13,325  SH   --     SOLE       1      13,325      --        --





                                                                                          
LSI CORP                            EQUITY    502161102         4        790  SH   --     SOLE       2         790      --        --
LSI CORP.                           EQUITY    502161102     1,443    291,514  SH   --     SOLE       1     291,514      --        --
LSI CORPORATION COM                 EQUITY    502161102        40      8,123  SH   --   DEFINED      5          --      --     8,123
LSI INDUSTRIES, INC.                EQUITY    50216C108       208     15,747  SH   --     SOLE       1      15,747      --        --
LTC PROP INC                        EQUITY    502175102     2,153     83,760  SH   --     SOLE       1      83,760      --        --
LTX CORP.                           EQUITY    502392103       167     53,310  SH   --     SOLE       1      53,310      --        --
LUBRIZOL CORP.                      EQUITY    549271104     9,150    164,829  SH   --     SOLE       1     164,829      --        --
LUFKIN INDS INC COM                 EQUITY    549764108       824     12,907  SH   --     SOLE       1      12,907      --        --
LULULEMON ATHLETICA INC             EQUITY    550021109       307     10,792  SH   --     SOLE       1      10,792      --        --
LUMBER LIQUIDATORS INC COM          EQUITY    55003Q103         1        100  SH   --   DEFINED      5          --      --       100
LUMINENT MORTGAGE CAPITAL IN        EQUITY    550278303        23     37,046  SH   --     SOLE       1      37,046      --        --
LUMINEX CORP                        EQUITY    55027E102       604     30,738  SH   --     SOLE       1      30,738      --        --
LUNA INNOVATIONS COM                EQUITY    550351100        11      1,351  SH   --   DEFINED      4          --      --     1,351
LUNDIN MINING CORP                  EQUITY    550372106       367     53,851  SH   --    OTHER       1          --  53,851        --
M & F WORLDWIDE CORP                EQUITY    552541104       389     10,404  SH   --     SOLE       1      10,404      --        --
M & T BK CORP COM                   EQUITY    55261F104        24        304  SH   --   DEFINED      5          --      --       304
M + T BK CORP                       EQUITY    55261F104         7         92  SH   --     SOLE       2          92      --        --
M&T BANK CORP.                      EQUITY    55261F104     2,803     34,832  SH   --     SOLE       1      34,832      --        --
M.D.C. HOLDINGS, INC.               EQUITY    552676108     3,688     84,215  SH   --     SOLE       1      84,215      --        --
M/I HOMES INC                       EQUITY    55305B101       176     10,337  SH   --     SOLE       1      10,337      --        --
MACATAWA BK CORP                    EQUITY    554225102       138     13,261  SH   --     SOLE       1      13,261      --        --
MACATAWA BK CORP COM                EQUITY    554225102        11      1,081  SH   --   DEFINED      5          --      --     1,081
MACERICH CO/THE                     EQUITY    554382101    12,145    172,837  SH   --     SOLE       1     172,837      --        --
MACK CALI RLTY CORP COM             EQUITY    554489104         2         50  SH   --   DEFINED      5          --      --        50
MACQUARIE GLBL INFRA TOTL RE COM    EQUITY    55608D101         5        200  SH   --   DEFINED      4          --      --       200
MACQUARIE INFRASTR CO LLC
MEMBERSHIP INT                      EQUITY    55608B105         9        295  SH   --   DEFINED      5          --      --       295
MACROSHARES OIL DOWN TRADEAB SHS    EQUITY    55610N105         3        300  SH   --   DEFINED      5          --      --       300
MACROVISION CORP                    EQUITY    555904101     2,344    173,598  SH   --     SOLE       1     173,598      --        --
MACROVISION CORP                    EQUITY    555904101     3,135    232,200  SH   --     SOLE       2     232,200      --        --
MACYS INC                           EQUITY    55616P104       172      7,451  SH   --     SOLE       2       7,451      --        --
MACY'S INC                          EQUITY    55616P104    10,178    441,378  SH   --     SOLE       1     441,378      --        --
MACYS INC COM                       EQUITY    55616P104         5        230  SH   --   DEFINED      5          --      --       230
MADISON STRTG SECTOR PREM FD COM    EQUITY    558268108        79      5,500  SH   --   DEFINED      4          --      --     5,500
MADISON STRTG SECTOR PREM FD COM    EQUITY    558268108       409     28,350  SH   --   DEFINED      5          --      --    28,350
MAGELLAN HEALTH SERVICES INC        EQUITY    559079207     1,331     33,547  SH   --     SOLE       1      33,547      --        --
MAGELLAN MIDSTREAM HOLDINGS         EQUITY    55907R108     1,595     69,600  SH   --     SOLE       1      69,600      --        --
MAGMA DESIGN AUTOMATIO              EQUITY    559181102       334     34,869  SH   --     SOLE       1      34,869      --        --
MAGNA ENTERTAINMENT CL A            EQUITY    559211107        12     34,409  SH   --     SOLE       1      34,409      --        --
MAGNA INTL INC A                    EQUITY    559222401     2,177     29,923  SH   --    OTHER       1          --  29,923        --
MAIDENFORM BRANDS INC               EQUITY    560305104       321     19,722  SH   --     SOLE       1      19,722      --        --





                                                                                          
MAINSOURCE FINANCIAL G              EQUITY    56062Y102       249     16,069  SH   --     SOLE       1      16,069      --        --
MANHATTAN ASSOCIATES, INC.          EQUITY    562750109       503     21,924  SH   --     SOLE       1      21,924      --        --
MANHATTAN ASSOCS INC COM            EQUITY    562750109         2        103  SH   --   DEFINED      5          --      --       103
MANITOWOC CO., INC.                 EQUITY    563571108     2,804     68,735  SH   --     SOLE       1      68,735      --        --
MANITOWOC INC                       EQUITY    563571108       190      4,645  SH   --     SOLE       2       4,645      --        --
MANITOWOC INC COM                   EQUITY    563571108        67      1,648  SH   --   DEFINED      4          --      --     1,648
MANITOWOC INC COM                   EQUITY    563571108       197      4,824  SH   --   DEFINED      5          --      --     4,824
MANNATECH INC                       EQUITY    563771104        96     13,411  SH   --     SOLE       1      13,411      --        --
MANNKIND CORP                       EQUITY    56400P201       270     45,281  SH   --     SOLE       1      45,281      --        --
MANPOWER, INC.                      EQUITY    56418H100    10,737    190,842  SH   --     SOLE       1     190,842      --        --
MANTECH INTL CORP                   EQUITY    564563104       760     16,752  SH   --     SOLE       1      16,752      --        --
MANTECH INTL CORP                   EQUITY    564563104       685     15,100  SH   --     SOLE       2      15,100      --        --
MANULIFE FINANCIAL CORP             EQUITY    56501R106    13,660    357,228  SH   --    OTHER       1          -- 357,228        --
MANULIFE FINL CORP COM              EQUITY    56501R106        13        330  SH   --   DEFINED      4          --      --       330
MANULIFE FINL CORP COM              EQUITY    56501R106        75      1,985  SH   --   DEFINED      5          --      --     1,985
MAP PHARMACEUTICALS INC             EQUITY    56509R108        71      5,106  SH   --     SOLE       1       5,106      --        --
MARATHON ACQUISITION CORP           EQUITY    565756103       251     32,472  SH   --     SOLE       1      32,472      --        --
MARATHON OIL CORP                   EQUITY    565849106    16,965    372,044  SH   --     SOLE       1     372,044      --        --
MARATHON OIL CORP                   EQUITY    565849106     9,524    208,867  SH   --     SOLE       2     208,867      --        --
MARATHON OIL CORP COM               EQUITY    565849106        12        256  SH   --   DEFINED      4          --      --       256
MARATHON OIL CORP COM               EQUITY    565849106       116      2,540  SH   --   DEFINED      5          --      --     2,540
MARCHEX INC-CLASS B                 EQUITY    56624R108       240     24,005  SH   --     SOLE       1      24,005      --        --
MARCUS CORP                         EQUITY    566330106       349     18,160  SH   --     SOLE       1      18,160      --        --
MARINE PRODUCTS CORP                EQUITY    568427108        82     10,125  SH   --     SOLE       1      10,125      --        --
MARINEMAX INC                       EQUITY    567908108       175     14,023  SH   --     SOLE       1      14,023      --        --
MARINER ENERGY INC                  EQUITY    56845T305     2,019     74,750  SH   --     SOLE       1      74,750      --        --
MARKEL CORP                         EQUITY    570535104       181        411  SH   --     SOLE       1         411      --        --
MARKEL CORP COM                     EQUITY    570535104        73        167  SH   --   DEFINED      5          --      --       167
MARKET VECTORS ETF TR AGRIBUS
ETF                                 EQUITY    57060U605       538     10,039  SH   --   DEFINED      4          --      --    10,039
MARKET VECTORS ETF TR AGRIBUS
ETF                                 EQUITY    57060U605       116      2,159  SH   --   DEFINED      5          --      --     2,159
MARKET VECTORS ETF TR COAL ETF
ADDED                               EQUITY    57060U837        12        325  SH   --   DEFINED      4          --      --       325
MARKET VECTORS ETF TR GBL ALTER
ENRG                                EQUITY    57060U407        97      2,014  SH   --   DEFINED      5          --      --     2,014
MARKET VECTORS ETF TR GOLD MINER
ETF                                 EQUITY    57060U100        17        357  SH   --   DEFINED      4          --      --       357
MARKET VECTORS ETF TR GOLD MINER
ETF                                 EQUITY    57060U100       670     14,048  SH   --   DEFINED      5          --      --    14,048
MARKET VECTORS ETF TR MV ENVIR
SVCS                                EQUITY    57060U209        13        275  SH   --   DEFINED      4          --      --       275
MARKET VECTORS ETF TR MV STEEL
INDEX                               EQUITY    57060U308        71        814  SH   --   DEFINED      4          --      --       814
MARKET VECTORS ETF TR MV STEEL
INDEX                               EQUITY    57060U308     1,530     17,630  SH   --   DEFINED      5          --      --    17,630
MARKET VECTORS ETF TR NUC ENERGY
ETF                                 EQUITY    57060U704        71      2,373  SH   --   DEFINED      4          --      --     2,373
MARKET VECTORS ETF TR RUSSIA ETF    EQUITY    57060U506         3         70  SH   --   DEFINED      4          --      --        70
MARKET VECTORS ETF TR RUSSIA ETF    EQUITY    57060U506        23        500  SH   --   DEFINED      5          --      --       500





                                                                                          
MARKETAXESS HOLDINGS INC            EQUITY    57060D108       265     26,633  SH   --     SOLE       1      26,633      --        --
MARRIOTT INTERNATIONAL, INC.        EQUITY    571903202     4,199    122,218  SH   --     SOLE       1     122,218      --        --
MARRIOTT INTL INC NEW               EQUITY    571903202        12        360  SH   --     SOLE       2         360      --        --
MARRIOTT INTL INC NEW CL A          EQUITY    571903202        62      1,809  SH   --   DEFINED      5          --      --     1,809
MARSH & MCLENNAN COMPANIES INC      EQUITY    571748102     5,300    217,643  SH   --     SOLE       1     217,643      --        --
MARSH & MCLENNAN COS INC COM        EQUITY    571748102       278     11,417  SH   --   DEFINED      5          --      --    11,417
MARSH + MCLENNAN COS INC            EQUITY    571748102        15        623  SH   --     SOLE       2         623      --        --
MARSHALL & ILSLEY CORP              EQUITY    571837103     5,054    217,835  SH   --     SOLE       1     217,835      --        --
MARSHALL + ILSLEY CORP NEW          EQUITY    571837103       167      7,198  SH   --     SOLE       2       7,198      --        --
MARTEK BIOSCIENCES CORP.            EQUITY    572901106       846     27,668  SH   --     SOLE       1      27,668      --        --
MARTEN TRANSPORT LTD                EQUITY    573075108       204     13,116  SH   --     SOLE       1      13,116      --        --
MARTHA STEWART LIVING-CL A          EQUITY    573083102       169     22,794  SH   --     SOLE       1      22,794      --        --
MARTIN MARIETTA MATERIALS           EQUITY    573284106    10,470     98,613  SH   --     SOLE       1      98,613      --        --
MARVEL ENTERTAINMENT INC            EQUITY    57383T103     1,139     42,532  SH   --     SOLE       1      42,532      --        --
MARVELL TECHNOLOGY GROUP L          EQUITY    G5876H105     1,184    108,800  SH   --     SOLE       2     108,800      --        --
MARVELL TECHNOLOGY GROUP LTD ORD    EQUITY    G5876H105        15      1,336  SH   --   DEFINED      5          --      --     1,336
MASCO CORP                          EQUITY    574599106     4,698    236,936  SH   --     SOLE       2     236,936      --        --
MASCO CORP.                         EQUITY    574599106     8,612    434,311  SH   --     SOLE       1     434,311      --        --
MASIMO CORP                         EQUITY    574795100       306     11,758  SH   --     SOLE       1      11,758      --        --
MASSEY ENERGY COMPANY               EQUITY    576206106     1,215     33,291  SH   --     SOLE       1      33,291      --        --
MASSEY ENERGY CORP COM              EQUITY    576206106     2,230     61,100  SH   --     SOLE       3      61,100      --    61,100
MASSMUTUAL CORPORATE INVS IN COM    EQUITY    576292106        13        464  SH   --   DEFINED      4          --      --       464
MASTEC, INC.                        EQUITY    576323109       299     36,417  SH   --     SOLE       1      36,417      --        --
MASTERCARD INC                      EQUITY    57636Q104       893      4,003  SH   --     SOLE       1       4,003      --        --
MASTERCARD INC CL A                 EQUITY    57636Q104    11,105     49,800  SH   --     SOLE       3      49,800      --    49,800
MASTERCARD INC CL A                 EQUITY    57636Q104        53        238  SH   --   DEFINED      4          --      --       238
MASTERCARD INC CL A                 EQUITY    57636Q104       441      1,976  SH   --   DEFINED      5          --      --     1,976
MATRIA HEALTHCARE INC               EQUITY    576817209       408     18,296  SH   --     SOLE       1      18,296      --        --
MATRIX SERVICE CO                   EQUITY    576853105       392     22,806  SH   --     SOLE       1      22,806      --        --
MATTEL INC                          EQUITY    577081102     4,663    234,332  SH   --     SOLE       2     234,332      --        --
MATTEL INC COM                      EQUITY    577081102        31      1,548  SH   --   DEFINED      4          --      --     1,548
MATTEL, INC.                        EQUITY    577081102     3,786    190,263  SH   --     SOLE       1     190,263      --        --
MATTHEWS INTERNATIONAL CORP.
CLASS A                             EQUITY    577128101     4,854    100,605  SH   --     SOLE       1     100,605      --        --
MATTSON TECHNOLOGY INC COM          EQUITY    577223100         1        211  SH   --   DEFINED      5          --      --       211
MATTSON TECHNOLOGY, INC.            EQUITY    577223100       258     42,337  SH   --     SOLE       1      42,337      --        --
MAUI LAND & PINEAPPLE CO            EQUITY    577345101       121      3,804  SH   --     SOLE       1       3,804      --        --
MAXIMUS, INC.                       EQUITY    577933104       582     15,849  SH   --     SOLE       1      15,849      --        --
MAXWELL TECHNOLOGIES INC COM        EQUITY    577767106         3        300  SH   --   DEFINED      5          --      --       300
MAXYGEN                             EQUITY    577776107       135     20,920  SH   --     SOLE       1      20,920      --        --
MB FINANCIAL INC                    EQUITY    55264U108       914     29,710  SH   --     SOLE       1      29,710      --        --





                                                                                          
MBIA INC                            EQUITY    55262C100        20      1,651  SH   --     SOLE       2       1,651      --        --
MBIA INC COM                        EQUITY    55262C100        18      1,500  SH   --   DEFINED      5          --      --     1,500
MBIA, INC                           EQUITY    55262C100     1,181     96,683  SH   --     SOLE       1      96,683      --        --
MCAFEE INC                          EQUITY    579064106    12,833    387,818  SH   --     SOLE       1     387,818      --        --
MCAFEE INC                          EQUITY    579064106     4,464    134,900  SH   --     SOLE       2     134,900      --        --
MCAFEE INC COM                      EQUITY    579064106        14        430  SH   --   DEFINED      4          --      --       430
MCCLATCHY CO CL A                   EQUITY    579489105        19      1,740  SH   --   DEFINED      5          --      --     1,740
MCCLATCHY COMPANY-CL                EQUITY    579489105        19      1,731  SH   --     SOLE       1       1,731      --        --
MCCORMICK & CO., INC.               EQUITY    579780206     2,052     55,491  SH   --     SOLE       1      55,491      --        --
MCCORMICK & SCHMICK'S SEAFOO        EQUITY    579793100       146     12,568  SH   --     SOLE       1      12,568      --        --
MCCORMICK + CO INC                  EQUITY    579780206     2,545     68,853  SH   --     SOLE       2      68,853      --        --
MCDERMOTT INTERNATIONAL INC         EQUITY    580037109       217      3,952  SH   --     SOLE       1       3,952      --        --
MCDERMOTT INTL INC COM              EQUITY    580037109        54        989  SH   --   DEFINED      4          --      --       989
MCDONALDS CORP                      EQUITY    580135101     8,917    159,896  SH   --     SOLE       2     159,896      --        --
MCDONALD'S CORP                     EQUITY    580135101    57,087  1,023,612  SH   --     SOLE       1   1,023,612      --        --
MCDONALDS CORP COM                  EQUITY    580135101       395      7,078  SH   --   DEFINED      4          --      --     7,078
MCDONALDS CORP COM                  EQUITY    580135101       867     15,538  SH   --   DEFINED      5          --      --    15,538
MCG CAPITAL CORP                    EQUITY    58047P107     1,365    150,147  SH   --     SOLE       1     150,147      --        --
MCG CAPITAL CORP COM                EQUITY    58047P107       153     16,843  SH   --   DEFINED      4          --      --    16,843
MCGRATH RENTCORP                    EQUITY    580589109       521     21,608  SH   --     SOLE       1      21,608      --        --
MCGRAW HILL COS INC                 EQUITY    580645109        14        386  SH   --     SOLE       2         386      --        --
MCGRAW HILL COS INC COM             EQUITY    580645109        11        300  SH   --   DEFINED      4          --      --       300
MCGRAW HILL COS INC COM             EQUITY    580645109         6        170  SH   --   DEFINED      5          --      --       170
MCGRAW-HILL, INC.                   EQUITY    580645109     7,380    199,728  SH   --     SOLE       1     199,728      --        --
MCKESSON CORP                       EQUITY    58155Q103        18        346  SH   --     SOLE       2         346      --        --
MCKESSON CORP COM                   EQUITY    58155Q103        10        187  SH   --   DEFINED      5          --      --       187
MCKESSON CORP.                      EQUITY    58155Q103     6,284    119,986  SH   --     SOLE       1     119,986      --        --
MCMORAN EXPLORATION CO              EQUITY    582411104       668     38,631  SH   --     SOLE       1      38,631      --        --
MDS INC                             EQUITY    55269P302       242     12,448  SH   --    OTHER       1          --  12,448        --
MDU RES GROUP INC COM               EQUITY    552690109        58      2,351  SH   --   DEFINED      4          --      --     2,351
MDU RESOURCES GROUP, INC.           EQUITY    552690109    10,781    439,146  SH   --     SOLE       1     439,146      --        --
MEADOWBROOK INSURANCE GROUP INC     EQUITY    58319P108       215     27,501  SH   --     SOLE       1      27,501      --        --
MEADWESTVACO CORP                   EQUITY    583334107     2,144     78,768  SH   --     SOLE       1      78,768      --        --
MEADWESTVACO CORP                   EQUITY    583334107         6        208  SH   --     SOLE       2         208      --        --
MEASUREMENT SPECIALTIES IN          EQUITY    583421102       702     40,200  SH   --     SOLE       2      40,200      --        --
MEASUREMENT SPECIALTIES INC         EQUITY    583421102       214     12,239  SH   --     SOLE       1      12,239      --        --
MECHEL                              EQUITY    583840103    10,175     88,000  SH   --     SOLE       1      88,000      --        --
MEDAREX INC                         EQUITY    583916101       956    108,053  SH   --     SOLE       1     108,053      --        --
MEDASSETS INC                       EQUITY    584045108       185     12,502  SH   --     SOLE       1      12,502      --        --
MEDCATH CORP                        EQUITY    58404W109     3,478    168,409  SH   --     SOLE       1     168,409      --        --





                                                                                          
MEDCATH CORP                        EQUITY    58404W109       631     34,692  SH   --     SOLE       2      34,692      --        --
MEDCO HEALTH SOLUTIONS INC          EQUITY    58405U102    16,840    384,553  SH   --     SOLE       1     384,553      --        --
MEDCO HEALTH SOLUTIONS INC          EQUITY    58405U102       762     17,406  SH   --     SOLE       2      17,406      --        --
MEDCO HEALTH SOLUTIONS INC COM      EQUITY    58405U102        18        418  SH   --   DEFINED      4          --      --       418
MEDCO HEALTH SOLUTIONS INC COM      EQUITY    58405U102       139      3,168  SH   --   DEFINED      5          --      --     3,168
MEDIA GENERAL, INC. CLASS A         EQUITY    584404107     1,026     73,167  SH   --     SOLE       1      73,167      --        --
MEDIACOM COMMUNICATI                EQUITY    58446K105       179     41,312  SH   --     SOLE       1      41,312      --        --
MEDICAL ACTION IND INC              EQUITY    58449L100       196     11,939  SH   --     SOLE       1      11,939      --        --
MEDICINES COMPANY                   EQUITY    584688105       896     44,377  SH   --     SOLE       1      44,377      --        --
MEDICIS PHARMACEUTIC                EQUITY    584690309     3,572    181,409  SH   --     SOLE       1     181,409      --        --
MEDIS TECHNOLOGIES LTD              EQUITY    58500P107       190     20,961  SH   --     SOLE       1      20,961      --        --
MEDIVATION INC                      EQUITY    58501N101       261     18,307  SH   --     SOLE       1      18,307      --        --
MEDTOX SCIENTIFIC INC COM NEW       EQUITY    584977201         3        200  SH   --   DEFINED      4          --      --       200
MEDTRONIC INC                       EQUITY    585055106     9,743    201,430  SH   --     SOLE       2     201,430      --        --
MEDTRONIC INC COM                   EQUITY    585055106       109      2,260  SH   --   DEFINED      4          --      --     2,260
MEDTRONIC INC COM                   EQUITY    585055106       191      3,944  SH   --   DEFINED      5          --      --     3,944
MEDTRONIC, INC.                     EQUITY    585055106    48,454  1,001,732  SH   --     SOLE       1   1,001,732      --        --
MELCO PBL ENTMNT LTD ADR            EQUITY    585464100         3        250  SH   --   DEFINED      4          --      --       250
MEMC ELECTR MATLS INC               EQUITY    552715104     1,634     23,043  SH   --     SOLE       2      23,043      --        --
MEMC ELECTR MATLS INC COM           EQUITY    552715104     6,757     95,300  SH   --     SOLE       3      95,300      --    95,300
MEMC ELECTR MATLS INC COM           EQUITY    552715104       946     13,339  SH   --   DEFINED      4          --      --    13,339
MEMC ELECTR MATLS INC COM           EQUITY    552715104        15        205  SH   --   DEFINED      5          --      --       205
MEMC ELECTRONIC MATERIALS, INC      EQUITY    552715104     7,662    108,066  SH   --     SOLE       1     108,066      --        --
MENS WEARHOUSE INC COM              EQUITY    587118100         2         93  SH   --   DEFINED      4          --      --        93
MENS WEARHOUSE, INC.                EQUITY    587118100     1,082     46,506  SH   --     SOLE       1      46,506      --        --
MENTOR CORP.                        EQUITY    587188103       746     29,001  SH   --     SOLE       1      29,001      --        --
MENTOR GRAPHICS CORP.               EQUITY    587200106     2,557    289,547  SH   --     SOLE       1     289,547      --        --
MERCADOLIBRE INC                    EQUITY    58733R102       549     13,801  SH   --     SOLE       1      13,801      --        --
MERCANTILE BANK CORP COM            EQUITY    587376104         5        480  SH   --   DEFINED      5          --      --       480
MERCER INTL INC-SBI                 EQUITY    588056101       191     27,341  SH   --     SOLE       1      27,341      --        --
MERCK & CO INC COM                  EQUITY    589331107        31        828  SH   --   DEFINED      4          --      --       828
MERCK & CO INC COM                  EQUITY    589331107       191      5,023  SH   --   DEFINED      5          --      --     5,023
MERCK & CO., INC.                   EQUITY    589331107    60,204  1,586,403  SH   --     SOLE       1   1,586,403      --        --
MERCK + CO INC                      EQUITY    589331107    12,281    323,599  SH   --     SOLE       2     323,599      --        --
MERCURY COMPUTER SYSTEMS INC        EQUITY    589378108       107     19,063  SH   --     SOLE       1      19,063      --        --
MERCURY GENERAL CORP                EQUITY    589400100     3,728     84,131  SH   --     SOLE       1      84,131      --        --
MERCURY GENL CORP NEW COM           EQUITY    589400100     1,431     32,291  SH   --   DEFINED      4          --      --    32,291
MEREDITH CORP                       EQUITY    589433101     2,460     64,316  SH   --     SOLE       1      64,316      --        --
MEREDITH CORP                       EQUITY    589433101         2         45  SH   --     SOLE       2          45      --        --
MERIDIAN BIOSCIENCE INC             EQUITY    589584101     1,139     34,076  SH   --     SOLE       1      34,076      --        --





                                                                                          
MERIDIAN BIOSCIENCE INC COM         EQUITY    589584101       100      3,000  SH   --   DEFINED      5          --      --     3,000
MERIDIAN RESOURCE CORP              EQUITY    58977Q109       114     76,757  SH   --     SOLE       1      76,757      --        --
MERIT MED SYS INC                   EQUITY    589889104       372     23,492  SH   --     SOLE       1      23,492      --        --
MERITAGE HOMES CORPORATION          EQUITY    59001A102       435     22,502  SH   --     SOLE       1      22,502      --        --
MERRILL LYNCH & CO INC              EQUITY    590188108    30,532    749,443  SH   --     SOLE       1     749,443      --        --
MERRILL LYNCH & CO INC COM          EQUITY    590188108        44      1,084  SH   --   DEFINED      4          --      --     1,084
MERRILL LYNCH & CO INC COM          EQUITY    590188108        17        424  SH   --   DEFINED      5          --      --       424
MERRILL LYNCH + CO INC              EQUITY    590188108       960     23,561  SH   --     SOLE       2      23,561      --        --
MERUELO MADDUX PROPERTIES INC       EQUITY    590473104       100     39,247  SH   --     SOLE       1      39,247      --        --
MESA RTY TR UNIT BEN INT            EQUITY    590660106         9        139  SH   --   DEFINED      4          --      --       139
METABOLIX INC                       EQUITY    591018809       136     12,392  SH   --     SOLE       1      12,392      --        --
METAVANTE TECHNOLOGIES INC          EQUITY    591407101     4,289    214,552  SH   --     SOLE       1     214,552      --        --
METHANEX CORP                       EQUITY    59151K108       483     18,440  SH   --    OTHER       1          --  18,440        --
METHANEX CORP                       EQUITY    59151K108       311     11,900  SH   --     SOLE       2      11,900      --        --
METHANEX CORP COM                   EQUITY    59151K108        16        601  SH   --   DEFINED      4          --      --       601
METHODE ELECTRONICS, INC.           EQUITY    591520200       367     31,365  SH   --     SOLE       1      31,365      --        --
METLIFE INC                         EQUITY    59156R108     4,451     73,855  SH   --     SOLE       2      73,855      --        --
METLIFE INC COM                     EQUITY    59156R108         4         67  SH   --   DEFINED      4          --      --        67
METLIFE INC COM                     EQUITY    59156R108       135      2,237  SH   --   DEFINED      5          --      --     2,237
METLIFE, INC.                       EQUITY    59156R108    34,601    574,195  SH   --     SOLE       1     574,195      --        --
METROPCS COMMUNICATIONS INC         EQUITY    591708102       883     51,952  SH   --     SOLE       1      51,952      --        --
METTLER TOLEDO INTERNATIONAL COM    EQUITY    592688105         3         33  SH   --   DEFINED      5          --      --        33
METTLER TOLEDO INTL INC             EQUITY    592688105       510      5,250  SH   --     SOLE       2       5,250      --        --
METTLER-TOLEDO INTERNATIONAL        EQUITY    592688105       101      1,040  SH   --     SOLE       1       1,040      --        --
MFA MTG INVTS INC                   EQUITY    55272X102     1,356    215,300  SH   --     SOLE       2     215,300      --        --
MFA MTG INVTS INC COM               EQUITY    55272X102         4        700  SH   --   DEFINED      5          --      --       700
MFS INTER INCOME TR SH BEN INT      EQUITY    55273C107        11      1,700  SH   --   DEFINED      4          --      --     1,700
MFS INTER INCOME TR SH BEN INT      EQUITY    55273C107        27      4,300  SH   --   DEFINED      5          --      --     4,300
MFS MULTIMARKET INCOME TR SH BEN
INT                                 EQUITY    552737108        27      4,800  SH   --   DEFINED      4          --      --     4,800
MFS MUN INCOME TR SH BEN INT        EQUITY    552738106         2        269  SH   --   DEFINED      4          --      --       269
MFS MUN INCOME TR SH BEN INT        EQUITY    552738106        97     13,500  SH   --   DEFINED      5          --      --    13,500
MGE ENERGY INC                      EQUITY    55277P104       620     18,201  SH   --     SOLE       1      18,201      --        --
MGIC INVESTMENT CORP.               EQUITY    552848103       337     32,022  SH   --     SOLE       1      32,022      --        --
MGIC INVT CORP WIS                  EQUITY    552848103         2        143  SH   --     SOLE       2         143      --        --
MGM MIRAGE COM                      EQUITY    552953101        12        200  SH   --   DEFINED      4          --      --       200
MGM MIRAGE INC                      EQUITY    552953101         8        135  SH   --     SOLE       1         135      --        --
MGM MIRAGEINC                       EQUITY    552953101     1,303     22,179  SH   --     SOLE       2      22,179      --        --
MGP INGREDIENTS INC                 EQUITY    55302G103        59      8,492  SH   --     SOLE       1       8,492      --        --
MICHAEL BAKER CORP                  EQUITY    057149106       139      6,194  SH   --     SOLE       1       6,194      --        --
MICREL, INC.                        EQUITY    594793101       409     44,075  SH   --     SOLE       1      44,075      --        --





                                                                                          
MICROCHIP TECHNOLOGY INC            EQUITY    595017104     4,171    127,426  SH   --     SOLE       2     127,426      --        --
MICROCHIP TECHNOLOGY INC COM        EQUITY    595017104        10        300  SH   --   DEFINED      4          --      --       300
MICROCHIP TECHNOLOGY, INC.          EQUITY    595017104     2,971     90,775  SH   --     SOLE       1      90,775      --        --
MICRON TECHNOLOGY INC               EQUITY    595112103         5        909  SH   --     SOLE       2         909      --        --
MICRON TECHNOLOGY INC COM           EQUITY    595112103        13      2,261  SH   --   DEFINED      5          --      --     2,261
MICRON TECHNOLOGY, INC.             EQUITY    595112103     2,033    340,569  SH   --     SOLE       1     340,569      --        --
MICROS SYS INC                      EQUITY    594901100       734     21,800  SH   --     SOLE       2      21,800      --        --
MICROS SYS INC COM                  EQUITY    594901100        19        575  SH   --   DEFINED      4          --      --       575
MICROS SYSTEMS, INC.                EQUITY    594901100     2,340     69,523  SH   --     SOLE       1      69,523      --        --
MICROSEMI CORP                      EQUITY    595137100     2,979    130,679  SH   --     SOLE       2     130,679      --        --
MICROSEMI CORP.                     EQUITY    595137100     1,492     65,429  SH   --     SOLE       1      65,429      --        --
MICROSOFT CORP                      EQUITY    594918104    22,695    799,671  SH   --     SOLE       2     799,671      --        --
MICROSOFT CORP COM                  EQUITY    594918104       904     31,843  SH   --   DEFINED      4          --      --    31,843
MICROSOFT CORP COM                  EQUITY    594918104       974     34,318  SH   --   DEFINED      5          --      --    34,318
MICROSOFT CORP.                     EQUITY    594918104   201,581  7,102,912  SH   --     SOLE       1   7,102,912      --        --
MICROSTRATEGY INC                   EQUITY    594972408       607      8,203  SH   --     SOLE       1       8,203      --        --
MICROTUNE INC                       EQUITY    59514P109       168     45,981  SH   --     SOLE       1      45,981      --        --
MICROTUNE INC DEL                   EQUITY    59514P109     1,281    350,000  SH   --     SOLE       2     350,000      --        --
MICRUS ENDOVASCULAR CORP            EQUITY    59518V102       159     12,874  SH   --     SOLE       1      12,874      --        --
MID-AMERICA APT. COMMUNITIES        EQUITY    59522J103     7,710    154,688  SH   --     SOLE       1     154,688      --        --
MIDAS, INC.                         EQUITY    595626102       788     45,814  SH   --     SOLE       1      45,814      --        --
MIDCAP SPDR TR UNIT SER 1           EQUITY    595635103       860      6,090  SH   --   DEFINED      4          --      --     6,090
MIDCAP SPDR TR UNIT SER 1           EQUITY    595635103        51        363  SH   --   DEFINED      5          --      --       363
MIDDLEBY CORP                       EQUITY    596278101       774     12,405  SH   --     SOLE       1      12,405      --        --
MIDDLEBY CORP                       EQUITY    596278101       518      8,300  SH   --     SOLE       2       8,300      --        --
MIDLAND CO COM                      EQUITY    597486109       549      8,458  SH   --     SOLE       1       8,458      --        --
MIDWAY GAMES INC.                   EQUITY    598148104        53     19,727  SH   --     SOLE       1      19,727      --        --
MIDWEST BANC HOLDINGS INC.          EQUITY    598251106       242     18,939  SH   --     SOLE       1      18,939      --        --
MILLENNIUM PHARMACEUTC COM          EQUITY    599902103     2,684    173,600  SH   --     SOLE       3     173,600      --   173,600
MILLENNIUM PHARMACEUTICALS          EQUITY    599902103       264     17,100  SH   --     SOLE       2      17,100      --        --
MILLENNIUM PHARMACEUTICALS I COM    EQUITY    599902103         3        190  SH   --   DEFINED      4          --      --       190
MILLENNIUM PHARMACEUTICALS I COM    EQUITY    599902103         5        300  SH   --   DEFINED      5          --      --       300
MILLENNIUM PHARMACEUTICALS, IN      EQUITY    599902103    12,454    805,541  SH   --     SOLE       1     805,541      --        --
MILLER HERMAN INC COM               EQUITY    600544100        11        431  SH   --   DEFINED      5          --      --       431
MILLER INDUSTRIES INC/TN            EQUITY    600551204        83      8,579  SH   --     SOLE       1       8,579      --        --
MILLICOM INTL CELLULAR S A SHS
NEW                                 EQUITY    L6388F110         2         23  SH   --   DEFINED      4          --      --        23
MILLIPORE CORP                      EQUITY    601073109         4         66  SH   --     SOLE       2          66      --        --
MILLIPORE CORP.                     EQUITY    601073109     5,352     79,401  SH   --     SOLE       1      79,401      --        --
MINAS BUENAVENTURA-SPON ADR         EQUITY    204448104     8,254    120,500  SH   --     SOLE       1     120,500      --        --
MINDRAY MEDICAL INTL LTD SPON
ADR                                 EQUITY    602675100         6        200  SH   --   DEFINED      4          --      --       200





                                                                                          
MINDRAY MEDICAL INTL LTD SPON
ADR                                 EQUITY    602675100       127      4,403  SH   --   DEFINED      5          --      --     4,403
MINE SAFETY APPLIANCES CO COM       EQUITY    602720104        10        250  SH   --   DEFINED      5          --      --       250
MINE SAFETY APPLIANCES CO.          EQUITY    602720104     3,848     93,431  SH   --     SOLE       1      93,431      --        --
MINEFINDERS LTD COM                 EQUITY    602900102         5        391  SH   --   DEFINED      5          --      --       391
MINERALS TECHNOLOGIES, INC.         EQUITY    603158106     3,867     61,574  SH   --     SOLE       1      61,574      --        --
MINRAD INTERNATIONAL INC            EQUITY    60443P103        95     40,323  SH   --     SOLE       1      40,323      --        --
MIPS TECHNOLOGIES INC               EQUITY    604567107       147     37,222  SH   --     SOLE       1      37,222      --        --
MIRANT CORP                         EQUITY    60467R100    29,437    808,666  SH   --     SOLE       1     808,666      --        --
MIRANT CORP NEW                     EQUITY    60467R100       224      6,161  SH   --     SOLE       2       6,161      --        --
MIRANT CORP NEW *W EXP 01/03/201    EQUITY    60467R118         8        213  SH   --   DEFINED      4          --      --       213
MIRANT CORP NEW *W EXP 01/03/201    EQUITY    60467R118         1         78  SH   --   DEFINED      5          --      --        78
MITCHAM INDS INC                    EQUITY    606501104     2,051    115,076  SH   --     SOLE       2     115,076      --        --
MKS INSTRUMENTS, INC.               EQUITY    55306N104       836     39,087  SH   --     SOLE       1      39,087      --        --
MOBILE MINI INC.                    EQUITY    60740F105       585     30,803  SH   --     SOLE       1      30,803      --        --
MOBILE TELESYSTEMS OJSC
SPONSORED ADR                       EQUITY    607409109        28        375  SH   --   DEFINED      5          --      --       375
MOBILE TELESYSTEMS-SP ADR           EQUITY    607409109    15,291    202,580  SH   --     SOLE       1     202,580      --        --
MOD PAC CORP COM                    EQUITY    607495108         2        418  SH   --   DEFINED      5          --      --       418
MODINE MANUFACTURING CO.            EQUITY    607828100     1,526    105,312  SH   --     SOLE       1     105,312      --        --
MOHAWK INDUSTRIES, INC.             EQUITY    608190104    10,312    144,003  SH   --     SOLE       1     144,003      --        --
MOLECULAR INSIGHT
PHARMACEUTICALS INC                 EQUITY    60852M104        29      4,274  SH   --     SOLE       1       4,274      --        --
MOLEX INC                           EQUITY    608554101         4        168  SH   --     SOLE       2         168      --        --
MOLEX, INC.                         EQUITY    608554101     1,455     62,827  SH   --     SOLE       1      62,827      --        --
MOLINA HEALTHCARE INC               EQUITY    60855R100       286     11,719  SH   --     SOLE       1      11,719      --        --
MOLSON COORS BREWING CO             EQUITY    60871R209     3,182     60,536  SH   --     SOLE       1      60,536      --        --
MOLSON COORS BREWING CO             EQUITY    60871R209         9        164  SH   --     SOLE       2         164      --        --
MOLSON COORS BREWING CO CL B        EQUITY    60871R209         9        179  SH   --   DEFINED      4          --      --       179
MOMENTA PHARMACEUTICALS INC         EQUITY    60877T100       222     20,340  SH   --     SOLE       1      20,340      --        --
MONACO COACH CORP                   EQUITY    60886R103       244     25,687  SH   --     SOLE       1      25,687      --        --
MONARCH CASINO & RESOR              EQUITY    609027107       182     10,303  SH   --     SOLE       1      10,303      --        --
MONEYGRAM INTERNATIONAL             EQUITY    60935Y109         3      1,831  SH   --     SOLE       1       1,831      --        --
MONOGRAM BIOSCIENCES INC COM        EQUITY    60975U108         5      4,350  SH   --   DEFINED      5          --      --     4,350
MONOLITHIC POWER SYSTEMS INC        EQUITY    609839105       383     21,697  SH   --     SOLE       1      21,697      --        --
MONOTYPE IMAGING HOLDINGS INC       EQUITY    61022P100       143      9,440  SH   --     SOLE       1       9,440      --        --
MONRO MUFFLER BRAKE IN              EQUITY    610236101       235     13,889  SH   --     SOLE       1      13,889      --        --
MONSANTO CO                         EQUITY    61166W101    37,273    334,285  SH   --     SOLE       1     334,285      --        --
MONSANTO CO NEW                     EQUITY    61166W101    12,143    108,908  SH   --     SOLE       2     108,908      --        --
MONSANTO CO NEW COM                 EQUITY    61166W101     1,121     10,052  SH   --   DEFINED      4          --      --    10,052
MONSANTO CO NEW COM                 EQUITY    61166W101       130      1,162  SH   --   DEFINED      5          --      --     1,162
MONSTER WORLDWIDE INC               EQUITY    611742107     2,766    114,234  SH   --     SOLE       1     114,234      --        --
MONSTER WORLDWIDE INC               EQUITY    611742107         4        150  SH   --     SOLE       2         150      --        --





                                                                                          
MOODYS CORP                         EQUITY    615369105         9        246  SH   --     SOLE       2         246      --        --
MOODYS CORP COM                     EQUITY    615369105        98      2,825  SH   --   DEFINED      5          --      --     2,825
MOODY'S CORP.                       EQUITY    615369105     8,602    246,961  SH   --     SOLE       1     246,961      --        --
MOOG INC.                           EQUITY    615394202     1,372     32,502  SH   --     SOLE       1      32,502      --        --
MORGAN STANLEY                      EQUITY    617446448    29,401    643,343  SH   --     SOLE       1     643,343      --        --
MORGAN STANLEY                      EQUITY    617446448     9,684    211,894  SH   --     SOLE       2     211,894      --        --
MORGAN STANLEY COM NEW              EQUITY    617446448       120      2,634  SH   --   DEFINED      5          --      --     2,634
MORGAN STANLEY EMER MKTS DEB COM    EQUITY    61744H105        35      3,680  SH   --   DEFINED      5          --      --     3,680
MORGAN STANLEY MUN INC OPP II       EQUITY    61745P445        54      6,500  SH   --   DEFINED      5          --      --     6,500
MORGAN STANLEY MUN INCOME III       EQUITY    61745P437         5        536  SH   --   DEFINED      5          --      --       536
MORGAN STANLEY MUN PREM INCOM       EQUITY    61745P429        14      1,750  SH   --   DEFINED      5          --      --     1,750
MORGANS HOTEL GROUP CO              EQUITY    61748W108       259     17,501  SH   --     SOLE       1      17,501      --        --
MORNINGSTAR INC                     EQUITY    617700109       688     11,211  SH   --     SOLE       1      11,211      --        --
MORNINGSTAR INC                     EQUITY    617700109       675     11,000  SH   --     SOLE       2      11,000      --        --
MORTON'S RESTAURANT GROUP INC       EQUITY    619430101        72      9,127  SH   --     SOLE       1       9,127      --        --
MOSAIC CO COM                       EQUITY    61945A107     5,007     48,800  SH   --     SOLE       3      48,800      --    48,800
MOSAIC CO COM                       EQUITY    61945A107     1,012      9,864  SH   --   DEFINED      4          --      --     9,864
MOSAIC CO COM                       EQUITY    61945A107        43        423  SH   --   DEFINED      5          --      --       423
MOSAIC CO/THE                       EQUITY    61945A107     1,217     11,866  SH   --     SOLE       1      11,866      --        --
MOTOROLA INC                        EQUITY    620076109        25      2,695  SH   --     SOLE       2       2,695      --        --
MOTOROLA INC COM                    EQUITY    620076109        12      1,262  SH   --   DEFINED      4          --      --     1,262
MOTOROLA INC COM                    EQUITY    620076109       387     41,574  SH   --   DEFINED      5          --      --    41,574
MOTOROLA, INC.                      EQUITY    620076109    11,649  1,252,552  SH   --     SOLE       1   1,252,552      --        --
MOVADO GROUP, INC.                  EQUITY    624580106       288     14,763  SH   --     SOLE       1      14,763      --        --
MOVE INC                            EQUITY    62458M108       276     89,493  SH   --     SOLE       1      89,493      --        --
MPS GROUP INC                       EQUITY    553409103     3,640    307,961  SH   --     SOLE       1     307,961      --        --
MRV COMMUNICATIONS, INC.            EQUITY    553477100       186    135,776  SH   --     SOLE       1     135,776      --        --
MSC INDL DIRECT INC CL A            EQUITY    553530106         8        181  SH   --   DEFINED      4          --      --       181
MSC INDUSTRIAL DIRECT CO.           EQUITY    553530106     5,001    118,378  SH   --     SOLE       1     118,378      --        --
MSC SOFTWARE CORPORATION            EQUITY    553531104       489     37,647  SH   --     SOLE       1      37,647      --        --
MSCI INC                            EQUITY    55354G100        10        343  SH   --     SOLE       1         343      --        --
MSCI INC CL A                       EQUITY    55354G100         4        135  SH   --   DEFINED      5          --      --       135
MTC TECHNOLOGIES INC                EQUITY    55377A106       192      8,090  SH   --     SOLE       1       8,090      --        --
MTR GAMING GROUP INC                EQUITY    553769100       123     17,570  SH   --     SOLE       1      17,570      --        --
MTS SYSTEMS CORP.                   EQUITY    553777103       491     15,214  SH   --     SOLE       1      15,214      --        --
MUELLER INDUSTRIES, INC.            EQUITY    624756102       917     31,780  SH   --     SOLE       1      31,780      --        --
MUELLER WATER PRODUCTS INC          EQUITY    624758207        15      1,862  SH   --     SOLE       1       1,862      --        --
MUELLER WATER PRODUCTS INC          EQUITY    624758108       805     98,461  SH   --     SOLE       1      98,461      --        --
MULTI-COLOR CORP                    EQUITY    625383104       156      6,986  SH   --     SOLE       1       6,986      --        --
MULTI-FINELINE ELECTRONIX IN        EQUITY    62541B101       135      7,204  SH   --     SOLE       1       7,204      --        --





                                                                                          
MULTIMEDIA GAMES INC                EQUITY    625453105       106     19,764  SH   --     SOLE       1      19,764      --        --
MURPHY OIL CORP                     EQUITY    626717102        19        227  SH   --     SOLE       2         227      --        --
MURPHY OIL CORP.                    EQUITY    626717102    12,581    153,162  SH   --     SOLE       1     153,162      --        --
MUTUALFIRST FINL INC COM            EQUITY    62845B104         4        280  SH   --   DEFINED      5          --      --       280
MV OIL TR TR UNITS                  EQUITY    553859109       217     10,003  SH   --   DEFINED      4          --      --    10,003
MVC CAPITAL INC                     EQUITY    553829102       317     20,815  SH   --     SOLE       1      20,815      --        --
MWI VETERINARY SUPPLY INC           EQUITY    55402X105       258      7,307  SH   --     SOLE       1       7,307      --        --
MWI VETERINARY SUPPLY INC           EQUITY    55402X105     2,726     77,300  SH   --     SOLE       2      77,300      --        --
MWI VETERINARY SUPPLY INC COM       EQUITY    55402X105        11        300  SH   --   DEFINED      5          --      --       300
MYERS INDUSTRIES, INC.              EQUITY    628464109       316     24,030  SH   --     SOLE       1      24,030      --        --
MYLAN INC                           EQUITY    628530206    18,163     20,750  SH   --     SOLE       1      20,750      --        --
MYLAN INC                           EQUITY    628530107     6,738    580,864  SH   --     SOLE       2     580,864      --        --
MYLAN INC COM                       EQUITY    628530107       208     17,967  SH   --   DEFINED      4          --      --    17,967
MYLAN INC COM                       EQUITY    628530107        53      4,550  SH   --   DEFINED      5          --      --     4,550
MYLAN INC FORMERLY MYLAN L          EQUITY    628530206       800        925  SH   --     SOLE       2         925      --        --
MYLAN INC.                          EQUITY    628530107     1,495    128,915  SH   --     SOLE       1     128,915      --        --
MYRIAD GENETICS INC                 EQUITY    62855J104     1,488     36,932  SH   --     SOLE       1      36,932      --        --
MYRIAD GENETICS INC                 EQUITY    62855J104       334      8,300  SH   --     SOLE       2       8,300      --        --
MYRIAD GENETICS INC COM             EQUITY    62855J104         8        200  SH   --   DEFINED      5          --      --       200
NABI BIOPHARMACEUTICALS             EQUITY    629519109       182     45,184  SH   --     SOLE       1      45,184      --        --
NABORS INDS INC COM (F)             EQUITY    G6359F103     4,431    131,200  SH   --     SOLE       3     131,200      --   131,200
NABORS INDUSTRIES LTD               EQUITY    G6359F103       210      6,205  SH   --     SOLE       2       6,205      --        --
NABORS INDUSTRIES LTD SHS           EQUITY    G6359F103        15        450  SH   --   DEFINED      4          --      --       450
NABORS INDUSTRIES LTD SHS           EQUITY    G6359F103        11        337  SH   --   DEFINED      5          --      --       337
NACCO INDUSTRIES, INC. CLASS A      EQUITY    629579103       404      4,992  SH   --     SOLE       1       4,992      --        --
NALCO HLDG CO                       EQUITY    62985Q101     5,736    271,200  SH   --     SOLE       2     271,200      --        --
NALCO HOLDING CO                    EQUITY    62985Q101        41      1,949  SH   --     SOLE       1       1,949      --        --
NANOSPHERE INC                      EQUITY    63009F105        54      6,259  SH   --     SOLE       1       6,259      --        --
NARA BANCORP INC                    EQUITY    63080P105       249     19,193  SH   --     SOLE       1      19,193      --        --
NASB FINL INC                       EQUITY    628968109        84      3,222  SH   --     SOLE       1       3,222      --        --
NASDAQ OMX GROUP INC                EQUITY    631103108       159      4,100  SH   --     SOLE       2       4,100      --        --
NASDAQ OMX GROUP INC COM            EQUITY    631103108         2         60  SH   --   DEFINED      5          --      --        60
NASDAQ OMX GROUP/THE                EQUITY    631103108       994     25,709  SH   --     SOLE       1      25,709      --        --
NASHFINCH CO.                       EQUITY    631158102       391     11,501  SH   --     SOLE       1      11,501      --        --
NASTECH PHARMACEUTICAL              EQUITY    631728409        54     22,917  SH   --     SOLE       1      22,917      --        --
NATCO GROUP INC                     EQUITY    63227W203       739     15,816  SH   --     SOLE       1      15,816      --        --
NATIONAL BEVERAGE CORP.             EQUITY    635017106        67      8,782  SH   --     SOLE       1       8,782      --        --
NATIONAL BK GREECE S A
SPONSORED ADR                       EQUITY    633643408        21      2,014  SH   --   DEFINED      4          --      --     2,014
NATIONAL CINEMEDIA INC              EQUITY    635309107       810     36,034  SH   --     SOLE       1      36,034      --        --
NATIONAL CINEMEDIA INC              EQUITY    635309107     1,945     86,500  SH   --     SOLE       2      86,500      --        --





                                                                                          
NATIONAL CITY CORP                  EQUITY    635405103         8        758  SH   --     SOLE       2         758      --        --
NATIONAL CITY CORP COM              EQUITY    635405103        30      2,982  SH   --   DEFINED      5          --      --     2,982
NATIONAL CITY CORP.                 EQUITY    635405103     7,007    704,182  SH   --     SOLE       1     704,182      --        --
NATIONAL FINANCIAL PARTNERS         EQUITY    63607P208       726     32,311  SH   --     SOLE       1      32,311      --        --
NATIONAL FINL PARTNERS CORP COM     EQUITY    63607P208         2        100  SH   --   DEFINED      4          --      --       100
NATIONAL FUEL GAS CO N J COM        EQUITY    636180101        85      1,800  SH   --   DEFINED      5          --      --     1,800
NATIONAL FUEL GAS CO.               EQUITY    636180101     9,491    201,043  SH   --     SOLE       1     201,043      --        --
NATIONAL GRID PLC SPON ADR NEW      EQUITY    636274300        69        985  SH   --   DEFINED      4          --      --       985
NATIONAL HEALTHCARE CORP            EQUITY    635906100       292      5,991  SH   --     SOLE       1       5,991      --        --
NATIONAL INSTRUMENTS CORP.          EQUITY    636518102     3,609    138,077  SH   --     SOLE       1     138,077      --        --
NATIONAL INTERSTATE CORP            EQUITY    63654U100       106      4,547  SH   --     SOLE       1       4,547      --        --
NATIONAL OILWELL VARCO INC          EQUITY    637071101    19,533    334,592  SH   --     SOLE       1     334,592      --        --
NATIONAL OILWELL VARCO INC          EQUITY    637071101     3,046     52,177  SH   --     SOLE       2      52,177      --        --
NATIONAL OILWELL VARCO INC COM      EQUITY    637071101        97      1,663  SH   --   DEFINED      4          --      --     1,663
NATIONAL OILWELL VARCO INC COM      EQUITY    637071101       264      4,522  SH   --   DEFINED      5          --      --     4,522
NATIONAL PENN BANCSHARES INC COM    EQUITY    637138108       123      6,765  SH   --   DEFINED      4          --      --     6,765
NATIONAL PENN BANCSHARES, INC.      EQUITY    637138108     1,209     66,466  SH   --     SOLE       1      66,466      --        --
NATIONAL PRESTO INDUSTRIES          EQUITY    637215104       200      3,825  SH   --     SOLE       1       3,825      --        --
NATIONAL RETAIL PROPERTIES I COM    EQUITY    637417106       597     27,075  SH   --   DEFINED      4          --      --    27,075
NATIONAL RETAIL PROPERTIES INC      EQUITY    637417106     1,353     61,359  SH   --     SOLE       1      61,359      --        --
NATIONAL SEMICONDUCTOR COR          EQUITY    637640103         5        271  SH   --     SOLE       2         271      --        --
NATIONAL SEMICONDUCTOR CORP.        EQUITY    637640103     3,693    201,560  SH   --     SOLE       1     201,560      --        --
NATIONAL WESTERN LIFE INS. CO.
CLASS A                             EQUITY    638522102       419      1,935  SH   --     SOLE       1       1,935      --        --
NATIONWIDE FINANCIAL SERVICES       EQUITY    638612101       178      3,774  SH   --     SOLE       1       3,774      --        --
NATIONWIDE HEALTH PPTYS INC COM     EQUITY    638620104        57      1,700  SH   --   DEFINED      5          --      --     1,700
NATIONWIDE HEALTH PROPERTIES        EQUITY    638620104    24,774    734,033  SH   --     SOLE       1     734,033      --        --
NATURAL RESOURCE PARTNERS L COM
UNIT L P                            EQUITY    63900P103         4        150  SH   --   DEFINED      5          --      --       150
NATUS MEDICAL INC                   EQUITY    639050103     1,213     66,809  SH   --     SOLE       1      66,809      --        --
NATUS MEDICAL INC DEL COM           EQUITY    639050103     3,857    212,500  SH   --     SOLE       3     212,500      --   212,500
NAUTILUS INC                        EQUITY    63910B102        89     27,003  SH   --     SOLE       1      27,003      --        --
NAVIGANT CONSULTING CO.             EQUITY    63935N107     2,827    148,931  SH   --     SOLE       1     148,931      --        --
NAVIGATORS GROUP INC                EQUITY    638904102       612     11,258  SH   --     SOLE       1      11,258      --        --
NAVIGATORS GROUP INC                EQUITY    638904102       152      2,800  SH   --     SOLE       2       2,800      --        --
NAVIOS MARITIME HOLDINGS INC COM    EQUITY    Y62196103       165     17,750  SH   --   DEFINED      5          --      --    17,750
NAVTEQ CORP                         EQUITY    63936L100    14,099    207,343  SH   --     SOLE       1     207,343      --        --
NBT BANCORP INC COM                 EQUITY    628778102       100      4,500  SH   --   DEFINED      4          --      --     4,500
NBT BANCORP, INC.                   EQUITY    628778102       614     27,654  SH   --     SOLE       1      27,654      --        --
NBTY, INC.                          EQUITY    628782104     4,041    134,928  SH   --     SOLE       1     134,928      --        --
NCI BUILDING SYSTEMS, INC.          EQUITY    628852105       419     17,300  SH   --     SOLE       1      17,300      --        --
NCR CORP NEW COM                    EQUITY    62886E108         7        304  SH   --   DEFINED      5          --      --       304





                                                                                          
NCR CORP.                           EQUITY    62886E108     9,596    420,321  SH   --     SOLE       1     420,321      --        --
NDS GROUP PLC                       EQUITY    628891103     2,004     41,000  SH   --     SOLE       2      41,000      --        --
NECTAR THERAPEUTICS                 EQUITY    640268108       546     78,661  SH   --     SOLE       1      78,661      --        --
NEENAH PAPER INC                    EQUITY    640079109       328     12,708  SH   --     SOLE       1      12,708      --        --
NEKTAR THERAPEUTICS                 EQUITY    640268AH1     3,874  5,000,000  SH   --     SOLE       1   5,000,000      --        --
NELNET INC-CL A                     EQUITY    64031N108       176     15,021  SH   --     SOLE       1      15,021      --        --
NESS TECHNOLOGIES INC               EQUITY    64104X108       481     50,660  SH   --     SOLE       1      50,660      --        --
NET 1 UEPS TECHNOLOGIES IN          EQUITY    64107N206       665     29,500  SH   --     SOLE       2      29,500      --        --
NET 1 UEPS TECHNOLOGIES INC         EQUITY    64107N206       809     35,878  SH   --     SOLE       1      35,878      --        --
NET 1 UEPS TECHNOLOGIES INC COM
NEW                                 EQUITY    64107N206        72      3,215  SH   --   DEFINED      5          --      --     3,215
NETEZZA CORP                        EQUITY    64111N101        80      8,662  SH   --     SOLE       1       8,662      --        --
NETFLIX COM INC                     EQUITY    64110L106       631     18,200  SH   --     SOLE       2      18,200      --        --
NETFLIX.COM INC                     EQUITY    64110L106     4,917    141,917  SH   --     SOLE       1     141,917      --        --
NETGEAR INC                         EQUITY    64111Q104       592     29,695  SH   --     SOLE       1      29,695      --        --
NETLOGIC MICROSYSTEMS INC           EQUITY    64118B100       341     14,123  SH   --     SOLE       1      14,123      --        --
NETLOGIC MICROSYSTEMS INC COM       EQUITY    64118B100        78      3,246  SH   --   DEFINED      5          --      --     3,246
NETSUITE INC                        EQUITY    64118Q107       132      6,119  SH   --     SOLE       1       6,119      --        --
NETSUITE INC COM ADDED              EQUITY    64118Q107         7        315  SH   --   DEFINED      5          --      --       315
NETWORK EQUIPMENT TECH.             EQUITY    641208103       165     25,062  SH   --     SOLE       1      25,062      --        --
NEUBERGER BERMAN INTER MUNI COM     EQUITY    64124P101         2        150  SH   --   DEFINED      4          --      --       150
NEUBERGER BERMAN RE ES SEC F COM    EQUITY    64190A103         1        133  SH   --   DEFINED      5          --      --       133
NEURALSTEM INC COM                  EQUITY    64127R302         9      3,500  SH   --   DEFINED      4          --      --     3,500
NEUROCRINE BIOSCIENCES, INC.        EQUITY    64125C109       176     32,621  SH   --     SOLE       1      32,621      --        --
NEUROGEN CORP.                      EQUITY    64124E106        50     27,122  SH   --     SOLE       1      27,122      --        --
NEUSTAR INC                         EQUITY    64126X201       532     20,100  SH   --     SOLE       2      20,100      --        --
NEUSTAR INC-CLASS A                 EQUITY    64126X201     6,137    231,766  SH   --     SOLE       1     231,766      --        --
NEUTRAL TANDEM INC                  EQUITY    64128B108       103      5,708  SH   --     SOLE       1       5,708      --        --
NEW AMER HIGH INCOME FD INC COM     EQUITY    641876107       272    172,457  SH   --   DEFINED      5          --      --   172,457
NEW JERSEY RESOURCES CORP.          EQUITY    646025106     1,118     36,023  SH   --     SOLE       1      36,023      --        --
NEW ORIENTAL ENERGY & CHEM C COM    EQUITY    64758A107         5      1,000  SH   --   DEFINED      5          --      --     1,000
NEW YORK & CO                       EQUITY    649295102       107     18,643  SH   --     SOLE       1      18,643      --        --
NEW YORK CMNTY BANCORP INC COM      EQUITY    649445103       108      5,915  SH   --   DEFINED      5          --      --     5,915
NEW YORK COMMUNITY BANCORP INC      EQUITY    649445103    14,246    781,907  SH   --     SOLE       1     781,907      --        --
NEW YORK TIMES CO                   EQUITY    650111107         3        172  SH   --     SOLE       2         172      --        --
NEW YORK TIMES CO. CLASS  A         EQUITY    650111107     1,218     64,532  SH   --     SOLE       1      64,532      --        --
NEWALLIANCE BANCSHARES INC          EQUITY    650203102     1,193     97,330  SH   --     SOLE       1      97,330      --        --
NEWCASTLE INVESTMENT CORP           EQUITY    65105M108     5,023    608,097  SH   --     SOLE       1     608,097      --        --
NEWCASTLE INVT CORP COM             EQUITY    65105M108        28      3,400  SH   --   DEFINED      4          --      --     3,400
NEWCASTLE INVT CORP COM             EQUITY    65105M108         5        600  SH   --   DEFINED      5          --      --       600
NEWELL RUBBERMAID INC               EQUITY    651229106         8        331  SH   --     SOLE       2         331      --        --





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





                                                                                          
NIKE INC                            EQUITY    654106103       840     12,358  SH   --     SOLE       2      12,358      --        --
NIKE INC CL B                       EQUITY    654106103        26        383  SH   --   DEFINED      4          --      --       383
NIKE INC CL B                       EQUITY    654106103        40        587  SH   --   DEFINED      5          --      --       587
NIKE, INC. CLASS  B                 EQUITY    654106103    46,102    677,975  SH   --     SOLE       1     677,975      --        --
NISOURCE INC                        EQUITY    65473P105         6        328  SH   --     SOLE       2         328      --        --
NISOURCE INC COM                    EQUITY    65473P105         8        450  SH   --   DEFINED      4          --      --       450
NISOURCE INC COM                    EQUITY    65473P105         9        500  SH   --   DEFINED      5          --      --       500
NISOURCE, INC.                      EQUITY    65473P105     6,163    357,500  SH   --     SOLE       1     357,500      --        --
NITROMED INC                        EQUITY    654798503       143    133,346  SH   --     SOLE       1     133,346      --        --
NITROMED INC COM                    EQUITY    654798503         1      1,000  SH   --   DEFINED      5          --      --     1,000
NL INDS INC COM NEW                 EQUITY    629156407        15      1,400  SH   --   DEFINED      4          --      --     1,400
NL INDUSTRIES, INC.                 EQUITY    629156407        67      6,135  SH   --     SOLE       1       6,135      --        --
NOBLE CORPORATION                   EQUITY    G65422100        16        321  SH   --     SOLE       2         321      --        --
NOBLE CORPORATION SHS               EQUITY    G65422100        62      1,243  SH   --   DEFINED      4          --      --     1,243
NOBLE CORPORATION SHS               EQUITY    G65422100        26        526  SH   --   DEFINED      5          --      --       526
NOBLE ENERGY INC                    EQUITY    655044105        15        205  SH   --     SOLE       2         205      --        --
NOBLE ENERGY INC COM                EQUITY    655044105        38        527  SH   --   DEFINED      5          --      --       527
NOBLE ENERGYINC                     EQUITY    655044105    12,610    173,209  SH   --     SOLE       1     173,209      --        --
NOBLE INTERNATIONAL LTD             EQUITY    655053106        63     10,076  SH   --     SOLE       1      10,076      --        --
NOKIA CORP                          EQUITY    654902204     2,623     82,400  SH   --     SOLE       2      82,400      --        --
NOKIA CORP SPON-ADR                 EQUITY    654902204       567     17,825  SH   --     SOLE       1      17,825      --        --
NOKIA CORP SPONSORED ADR            EQUITY    654902204       260      8,163  SH   --   DEFINED      4          --      --     8,163
NOKIA CORP SPONSORED ADR            EQUITY    654902204        72      2,269  SH   --   DEFINED      5          --      --     2,269
NORDIC AMERICAN TANKER SHIPP COM    EQUITY    G65773106        62      2,200  SH   --   DEFINED      5          --      --     2,200
NORDSON CORP.                       EQUITY    655663102     5,853    108,698  SH   --     SOLE       1     108,698      --        --
NORDSTROM INC                       EQUITY    655664100         7        214  SH   --     SOLE       2         214      --        --
NORDSTROM INC COM                   EQUITY    655664100        49      1,509  SH   --   DEFINED      5          --      --     1,509
NORDSTROM, INC.                     EQUITY    655664100     2,528     77,539  SH   --     SOLE       1      77,539      --        --
NORFOLK SOUTHERN CORP               EQUITY    655844108    22,683    417,576  SH   --     SOLE       1     417,576      --        --
NORFOLK SOUTHERN CORP COM           EQUITY    655844108        23        427  SH   --   DEFINED      4          --      --       427
NORFOLK SOUTHERN CORP COM           EQUITY    655844108         5        100  SH   --   DEFINED      5          --      --       100
NORFOLK SOUTHN CORP                 EQUITY    655844108     1,686     31,040  SH   --     SOLE       2      31,040      --        --
NORTEL NETWORKS CORP                EQUITY    656568508       635     96,972  SH   --    OTHER       1          --  96,972        --
NORTH AMERN PALLADIUM LTD CALL      OPTION    656912902         2         20  -- CALL   DEFINED      5          --      --        20
NORTHEAST UTILITIES                 EQUITY    664397106     9,205    375,107  SH   --     SOLE       1     375,107      --        --
NORTHEAST UTILS                     EQUITY    664397106       550     22,400  SH   --     SOLE       2      22,400      --        --
NORTHEAST UTILS COM                 EQUITY    664397106         3        105  SH   --   DEFINED      5          --      --       105
NORTHERN TR CORP COM                EQUITY    665859104     2,446     36,800  SH   --     SOLE       3      36,800      --    36,800
NORTHERN TR CORP COM                EQUITY    665859104         2         34  SH   --   DEFINED      4          --      --        34
NORTHERN TRUST CORP                 EQUITY    665859104        15        229  SH   --     SOLE       2         229      --        --






                                                                                          
NORTHERN TRUST CORP.                EQUITY    665859104    14,176    213,270  SH   --     SOLE       1     213,270      --        --
NORTHFIELD BANCORP INC              EQUITY    66611L105       177     17,298  SH   --     SOLE       1      17,298      --        --
NORTHFIELD BANCORP INC NEW COM      EQUITY    66611L105        37      3,600  SH   --   DEFINED      5          --      --     3,600
NORTHGATE MINERALS CORP COM         EQUITY    666416102         3        800  SH   --   DEFINED      5          --      --       800
NORTHROP GRUMMAN CORP               EQUITY    666807102       687      8,824  SH   --     SOLE       2       8,824      --        --
NORTHROP GRUMMAN CORP COM           EQUITY    666807102       502      6,447  SH   --   DEFINED      5          --      --     6,447
NORTHROP GRUMMAN CORP.              EQUITY    666807102    59,499    764,666  SH   --     SOLE       1     764,666      --        --
NORTHSTAR NEUROSCIENCE INC          EQUITY    66704V101        26     16,763  SH   --     SOLE       1      16,763      --        --
NORTHSTAR RLTY FIN CORP COM         EQUITY    66704R100         2        220  SH   --   DEFINED      5          --      --       220
NORTHWEST AIRLINES CORP             EQUITY    667280408        64      7,079  SH   --     SOLE       1       7,079      --        --
NORTHWEST AIRLS CORP COM            EQUITY    667280408         7        786  SH   --   DEFINED      4          --      --       786
NORTHWEST BANCORP INC.              EQUITY    667328108       430     15,729  SH   --     SOLE       1      15,729      --        --
NORTHWEST NAT GAS CO COM            EQUITY    667655104        94      2,175  SH   --   DEFINED      4          --      --     2,175
NORTHWEST NATURAL GAS CO.           EQUITY    667655104     1,006     23,152  SH   --     SOLE       1      23,152      --        --
NORTHWEST PIPE CO                   EQUITY    667746101       326      7,665  SH   --     SOLE       1       7,665      --        --
NORTHWESTERN CORP                   EQUITY    668074305       815     33,435  SH   --     SOLE       1      33,435      --        --
NOVA BIOSOURCE FUELS INC            EQUITY    65488W103        41     26,929  SH   --     SOLE       1      26,929      --        --
NOVA CHEMICALS CORP                 EQUITY    66977W109       590     24,688  SH   --    OTHER       1          --  24,688        --
NOVACEA INC                         EQUITY    66987B103        16      6,070  SH   --     SOLE       1       6,070      --        --
NOVARTIS A G SPONSORED ADR          EQUITY    66987V109        16        320  SH   --   DEFINED      4          --      --       320
NOVARTIS A G SPONSORED ADR          EQUITY    66987V109       127      2,483  SH   --   DEFINED      5          --      --     2,483
NOVATEL WIRELESS INC                EQUITY    66987M604       268     27,679  SH   --     SOLE       1      27,679      --        --
NOVELL INC                          EQUITY    670006105         3        421  SH   --     SOLE       2         421      --        --
NOVELL, INC .                       EQUITY    670006105       595     94,645  SH   --     SOLE       1      94,645      --        --
NOVELLUS SYS INC                    EQUITY    670008101         3        122  SH   --     SOLE       2         122      --        --
NOVELLUS SYSTEMS, INC.              EQUITY    670008101       560     26,595  SH   --     SOLE       1      26,595      --        --
NOVEN PHARMACEUTICALS, INC.         EQUITY    670009109       191     21,312  SH   --     SOLE       1      21,312      --        --
NRG ENERGY INC                      EQUITY    629377508    10,387    266,399  SH   --     SOLE       1     266,399      --        --
NRG ENERGY INC COM NEW              EQUITY    629377508         7        172  SH   --   DEFINED      5          --      --       172
NSTAR                               EQUITY    67019E107    20,172    662,899  SH   --     SOLE       1     662,899      --        --
NSTAR COM                           EQUITY    67019E107       116      3,819  SH   --   DEFINED      5          --      --     3,819
NTELOS HOLDINGS CORP                EQUITY    67020Q107       576     23,806  SH   --     SOLE       1      23,806      --        --
NTN BUZZTIME INC                    EQUITY    629410309        27     45,639  SH   --     SOLE       1      45,639      --        --
NTR ACQUISITION CO                  EQUITY    629415100       202     21,079  SH   --     SOLE       1      21,079      --        --
NU SKIN ENTERPRISES, INC. CLASS
A                                   EQUITY    67018T105       778     43,154  SH   --     SOLE       1      43,154      --        --
NUANCE COMMUNICATIONS INC           EQUITY    67020Y100     2,242    128,795  SH   --     SOLE       1     128,795      --        --
NUANCE COMMUNICATIONS INC           EQUITY    67020Y100     1,079     62,000  SH   --     SOLE       2      62,000      --        --
NUCO2 INC                           EQUITY    629428103       366     13,178  SH   --     SOLE       1      13,178      --        --
NUCOR CORP                          EQUITY    670346105     1,270     18,744  SH   --     SOLE       2      18,744      --        --
NUCOR CORP COM                      EQUITY    670346105       272      4,021  SH   --   DEFINED      5          --      --     4,021





                                                                                          
NUCOR CORP.                         EQUITY    670346105    14,726    217,390  SH   --     SOLE       1     217,390      --        --
NUSTAR ENERGY LP                    EQUITY    67058H102     1,841     38,000  SH   --     SOLE       1      38,000      --        --
NUSTAR ENERGY LP UNIT COM           EQUITY    67058H102        54      1,122  SH   --   DEFINED      4          --      --     1,122
NUSTAR ENERGY LP UNIT COM           EQUITY    67058H102        34        700  SH   --   DEFINED      5          --      --       700
NUTRI/SYSTEM INC                    EQUITY    67069D108        11        754  SH   --     SOLE       1         754      --        --
NUVASIVE INC                        EQUITY    670704105     1,022     29,613  SH   --     SOLE       1      29,613      --        --
NUVEEN CA DIV ADV MUNI FD 3 COM
SH BEN INT                          EQUITY    67070Y109        17      1,340  SH   --   DEFINED      5          --      --     1,340
NUVEEN CALIF PERFORM PLUS MU
COM                                 EQUITY    67062Q106         1        108  SH   --   DEFINED      4          --      --       108
NUVEEN CONN PREM INCOME MUN SH
BEN INT                             EQUITY    67060D107        12        900  SH   --   DEFINED      5          --      --       900
NUVEEN DIV ADVANTAGE MUN FD COM     EQUITY    67070F100        41      2,815  SH   --   DEFINED      4          --      --     2,815
NUVEEN DIVERSIFIED DIV INCM COM     EQUITY    6706EP105        33      2,539  SH   --   DEFINED      5          --      --     2,539
NUVEEN DIVID ADVANTAGE MUN F COM    EQUITY    67066V101         1         85  SH   --   DEFINED      4          --      --        85
NUVEEN EQUITY PREM INCOME FD COM    EQUITY    6706ER101        72      4,728  SH   --   DEFINED      5          --      --     4,728
NUVEEN FLTNG RTE INCM OPP FD
COM SHS                             EQUITY    6706EN100         5        500  SH   --   DEFINED      4          --      --       500
NUVEEN GA DIV ADV MUN FD 2 COM      EQUITY    67072B107        10        733  SH   --   DEFINED      5          --      --       733
NUVEEN GBL VL OPPORTUNITIES COM     EQUITY    6706EH103        21      1,143  SH   --   DEFINED      5          --      --     1,143
NUVEEN GLB GOVT ENHANCED IN COM     EQUITY    67073C104        24      1,371  SH   --   DEFINED      5          --      --     1,371
NUVEEN INSD MUN OPPORTUNITY COM     EQUITY    670984103        37      2,760  SH   --   DEFINED      5          --      --     2,760
NUVEEN INSD PREM INCOME MUN COM     EQUITY    6706D8104        20      1,674  SH   --   DEFINED      5          --      --     1,674
NUVEEN MULT CURR ST GV INCM COM     EQUITY    67090N109        13        763  SH   --   DEFINED      5          --      --       763
NUVEEN MULTI STRAT INC & GR COM     EQUITY    67073B106        74      7,300  SH   --   DEFINED      4          --      --     7,300
NUVEEN MULTI STRAT INC & GR COM     EQUITY    67073B106        10        971  SH   --   DEFINED      5          --      --       971
NUVEEN MULTI STRAT INC GR FD
COM SHS                             EQUITY    67073D102        27      2,666  SH   --   DEFINED      4          --      --     2,666
NUVEEN MULTI STRAT INC GR FD
COM SHS                             EQUITY    67073D102        21      2,107  SH   --   DEFINED      5          --      --     2,107
NUVEEN MUN ADVANTAGE FD INC COM     EQUITY    67062H106         1         99  SH   --   DEFINED      4          --      --        99
NUVEEN MUN VALUE FD INC COM         EQUITY    670928100        15      1,512  SH   --   DEFINED      4          --      --     1,512
NUVEEN MUN VALUE FD INC COM         EQUITY    670928100        24      2,466  SH   --   DEFINED      5          --      --     2,466
NUVEEN N C DIV ADV FD 2 COM         EQUITY    67071D104        90      6,746  SH   --   DEFINED      4          --      --     6,746
NUVEEN N C PREM INCOME MUN F SH
BEN INT                             EQUITY    67060P100        82      6,400  SH   --   DEFINED      4          --      --     6,400
NUVEEN NC DIV ADV MUN FD 3 COM      EQUITY    67072D103        83      6,153  SH   --   DEFINED      4          --      --     6,153
NUVEEN NC DIVID ADVANTAGE MU
COM SH BEN INT                      EQUITY    67069N106       113      7,900  SH   --   DEFINED      4          --      --     7,900
NUVEEN PERFORMANCE PLUS MUN COM     EQUITY    67062P108        43      3,200  SH   --   DEFINED      5          --      --     3,200
NUVEEN PREM INCOME MUN FD 2 COM     EQUITY    67063W102         5        415  SH   --   DEFINED      4          --      --       415
NUVEEN PREMIER INSD MUN INCO COM    EQUITY    670987106       413     31,650  SH   --   DEFINED      4          --      --    31,650
NUVEEN QUALITY PFD INCOME FD COM    EQUITY    67072C105        11      1,000  SH   --   DEFINED      4          --      --     1,000
NUVEEN QUALITY PFD INCOME FD COM    EQUITY    67071S101        18      1,760  SH   --   DEFINED      5          --      --     1,760
NUVEEN SELECT TAX FREE INCM SH
BEN INT                             EQUITY    67063X100         3        189  SH   --   DEFINED      4          --      --       189
NUVEEN SELECT TAX FREE INCM SH
BEN INT                             EQUITY    67062F100        14        994  SH   --   DEFINED      5          --      --       994
NUVEEN SR INCOME FD COM             EQUITY    67067Y104        36      5,747  SH   --   DEFINED      5          --      --     5,747
NUVEEN TAX ADV FLTG RATE FUN COM    EQUITY    6706EV102        33      3,600  SH   --   DEFINED      4          --      --     3,600





                                                                                          
NVE CORP COM NEW                    EQUITY    629445206         5        200  SH   --   DEFINED      5          --      --       200
NVIDIA CORP                         EQUITY    67066G104    10,450    528,053  SH   --     SOLE       1     528,053      --        --
NVIDIA CORP                         EQUITY    67066G104       423     21,365  SH   --     SOLE       2      21,365      --        --
NVIDIA CORP COM                     EQUITY    67066G104        32      1,599  SH   --   DEFINED      4          --      --     1,599
NVIDIA CORP COM                     EQUITY    67066G104        80      4,035  SH   --   DEFINED      5          --      --     4,035
NVR, INC.                           EQUITY    62944T105     7,986     13,365  SH   --     SOLE       1      13,365      --        --
NXSTAGE MEDICAL INC                 EQUITY    67072V103        75     17,330  SH   --     SOLE       1      17,330      --        --
NYMAGIC, INC.                       EQUITY    629484106       114      5,001  SH   --     SOLE       1       5,001      --        --
NYMEX HOLDINGS INC                  EQUITY    62948N104       179      1,973  SH   --     SOLE       1       1,973      --        --
NYMEX HOLDINGS INC COM              EQUITY    62948N104         9        100  SH   --   DEFINED      5          --      --       100
NYSE EURONEXT                       EQUITY    629491101     6,630    107,440  SH   --     SOLE       1     107,440      --        --
NYSE EURONEXT                       EQUITY    629491101        20        317  SH   --     SOLE       2         317      --        --
NYSE EURONEXT COM                   EQUITY    629491101       294      4,768  SH   --   DEFINED      4          --      --     4,768
NYSE EURONEXT COM                   EQUITY    629491101       129      2,090  SH   --   DEFINED      5          --      --     2,090
O REILLY AUTOMOTIVE INC COM         EQUITY    686091109        27        945  SH   --   DEFINED      5          --      --       945
OBAGI MEDICAL PRODUCTS INC          EQUITY    67423R108        40      4,574  SH   --     SOLE       1       4,574      --        --
OCCIDENTAL PETE CORP                EQUITY    674599105     1,642     22,443  SH   --     SOLE       2      22,443      --        --
OCCIDENTAL PETE CORP DEL COM        EQUITY    674599105        72        988  SH   --   DEFINED      4          --      --       988
OCCIDENTAL PETE CORP DEL COM        EQUITY    674599105       309      4,218  SH   --   DEFINED      5          --      --     4,218
OCCIDENTAL PETROLEUM CORP.          EQUITY    674599105    48,209    658,861  SH   --     SOLE       1     658,861      --        --
OCEANEERING INTERNATIONAL, INC      EQUITY    675232102        32        502  SH   --     SOLE       1         502      --        --
OCEANEERING INTL INC COM            EQUITY    675232102        16        250  SH   --   DEFINED      5          --      --       250
OCEANFREIGHT INC SHS                EQUITY    Y64202107         2        100  SH   --   DEFINED      5          --      --       100
O'CHARLEY'S INC.                    EQUITY    670823103       219     19,045  SH   --     SOLE       1      19,045      --        --
OCULUS INNOVATIVE SCIENCES I COM    EQUITY    67575P108         8      1,500  SH   --   DEFINED      4          --      --     1,500
OCWEN FINANCIAL CORP                EQUITY    675746309       135     30,471  SH   --     SOLE       1      30,471      --        --
ODYSSEY HEALTHCARE INC              EQUITY    67611V101       261     28,978  SH   --     SOLE       1      28,978      --        --
ODYSSEY MARINE EXPLORATION          EQUITY    676118102       190     35,262  SH   --     SOLE       1      35,262      --        --
ODYSSEY MARINE EXPLORATION I COM    EQUITY    676118102        15      2,748  SH   --   DEFINED      5          --      --     2,748
ODYSSEY RE HLDGS CORP               EQUITY    67612W108       845     22,986  SH   --     SOLE       1      22,986      --        --
OFFICE DEPOT INC                    EQUITY    676220106         4        326  SH   --     SOLE       2         326      --        --
OFFICE DEPOT INC COM                EQUITY    676220106       231     20,911  SH   --   DEFINED      5          --      --    20,911
OFFICE DEPOT, INC.                  EQUITY    676220106     1,297    117,353  SH   --     SOLE       1     117,353      --        --
OFFICEMAX INC                       EQUITY    67622P101       386     20,175  SH   --     SOLE       1      20,175      --        --
OFFICEMAX INC DEL                   EQUITY    67622P101         2         91  SH   --     SOLE       2          91      --        --
OGE ENERGY CORP.                    EQUITY    670837103    11,882    381,205  SH   --     SOLE       1     381,205      --        --
OIL STATES INTERNATIONAL INC        EQUITY    678026105     1,893     42,241  SH   --     SOLE       1      42,241      --        --
OIL STATES INTL INC                 EQUITY    678026105       560     12,500  SH   --     SOLE       2      12,500      --        --
OIL SVC HOLDRS TR DEPOSTRY RCPT     EQUITY    678002106        18        100  SH   --   DEFINED      4          --      --       100
OILSANDS QUEST INC                  EQUITY    678046103       472    119,696  SH   --     SOLE       1     119,696      --        --





                                                                                          
OLD DOMINION FGHT LINE COM          EQUITY    679580100     2,056     64,600  SH   --     SOLE       3      64,600      --    64,600
OLD DOMINION FREIGHT LINE           EQUITY    679580100     1,842     57,861  SH   --     SOLE       1      57,861      --        --
OLD MUTUAL CLAYMORE LNG SHT COM     EQUITY    68003N103        13      1,000  SH   --   DEFINED      5          --      --     1,000
OLD NATL BANCORP                    EQUITY    680033107     1,026     56,984  SH   --     SOLE       1      56,984      --        --
OLD NATL BANCORP IND COM            EQUITY    680033107        18      1,000  SH   --   DEFINED      4          --      --     1,000
OLD REPUBLIC INTL CORP.             EQUITY    680223104     7,142    553,187  SH   --     SOLE       1     553,187      --        --
OLD SECOND BANCORP INC              EQUITY    680277100       313     11,789  SH   --     SOLE       1      11,789      --        --
OLIN CORP.                          EQUITY    680665205     4,742    239,960  SH   --     SOLE       1     239,960      --        --
OLYMPIC STEEL INC                   EQUITY    68162K106     1,655     36,696  SH   --     SOLE       1      36,696      --        --
OLYMPIC STEEL INC COM               EQUITY    68162K106     4,632    102,700  SH   --     SOLE       3     102,700      --   102,700
OM GROUP INC                        EQUITY    670872100     1,395     25,573  SH   --     SOLE       1      25,573      --        --
OMEGA FINANCIAL CORP.               EQUITY    682092101       339     10,850  SH   --     SOLE       1      10,850      --        --
OMEGA NAVIGATION ENTERPRISES
CLASS A                             EQUITY    Y6476R105         6        400  SH   --   DEFINED      5          --      --       400
OMEGA PROTEIN CORP COM              EQUITY    68210P107     5,153    377,500  SH   --     SOLE       3     377,500      --   377,500
OMNICARE, INC.                      EQUITY    681904108     5,318    292,845  SH   --     SOLE       1     292,845      --        --
OMNICELL INC                        EQUITY    68213N109       580     28,851  SH   --     SOLE       1      28,851      --        --
OMNICOM GROUP                       EQUITY    681919106       183      4,143  SH   --     SOLE       2       4,143      --        --
OMNICOM GROUP INC COM               EQUITY    681919106         9        196  SH   --   DEFINED      4          --      --       196
OMNICOM GROUP INC COM               EQUITY    681919106         2         36  SH   --   DEFINED      5          --      --        36
OMNICOM GROUP, INC.                 EQUITY    681919106     7,404    167,577  SH   --     SOLE       1     167,577      --        --
OMNITURE INC                        EQUITY    68212S109       882     38,002  SH   --     SOLE       1      38,002      --        --
OMNITURE INC COM                    EQUITY    68212S109         9        400  SH   --   DEFINED      5          --      --       400
OMNIVISION TECHNOLOGIE              EQUITY    682128103       793     47,120  SH   --     SOLE       1      47,120      --        --
OMRIX BIOPHARMACEUTICALS INC        EQUITY    681989109       165     11,751  SH   --     SOLE       1      11,751      --        --
ON ASSIGNMENT INC                   EQUITY    682159108       191     30,147  SH   --     SOLE       1      30,147      --        --
ON SEMICONDUCTOR CORP               EQUITY    682189105     1,468    258,500  SH   --     SOLE       2     258,500      --        --
ON SEMICONDUCTOR CORPORATION        EQUITY    682189105     1,557    274,180  SH   --     SOLE       1     274,180      --        --
ON TRACK INNOVATION LTD SHS         EQUITY    M8791A109         3      1,000  SH   --   DEFINED      5          --      --     1,000
ON2 TECHNOLOGIES INC                EQUITY    68338A107       140    137,069  SH   --     SOLE       1     137,069      --        --
ONCOLYTICS BIOTECH INC COM          EQUITY    682310107         2      1,000  SH   --   DEFINED      4          --      --     1,000
ONEOK INC NEW COM                   EQUITY    682680103        45      1,007  SH   --   DEFINED      5          --      --     1,007
ONEOK PARTNERS LP UNIT LTD PARTN    EQUITY    68268N103        35        600  SH   --   DEFINED      4          --      --       600
ONEOK PARTNERS LP UNIT LTD PARTN    EQUITY    68268N103        12        200  SH   --   DEFINED      5          --      --       200
ONEOK, INC.                         EQUITY    682680103    11,213    251,244  SH   --     SOLE       1     251,244      --        --
ONLINE RESOURCES CORP               EQUITY    68273G101       238     24,729  SH   --     SOLE       1      24,729      --        --
ONYX PHARMACEUTICALS INC            EQUITY    683399109     1,362     46,930  SH   --     SOLE       1      46,930      --        --
OPEN JT STK CO-VIMPEL COMMUN
SPONSORED ADR                       EQUITY    68370R109        49      1,642  SH   --   DEFINED      4          --      --     1,642
OPEN TEXT CORP                      EQUITY    683715106       257      8,194  SH   --    OTHER       1          --   8,194        --
OPEN TEXT CORP COM                  EQUITY    683715106       109      3,483  SH   --   DEFINED      4          --      --     3,483
OPENWAVE SYSTEMS INC.               EQUITY    683718308       174     71,006  SH   --     SOLE       1      71,006      --        --





                                                                                          
OPLINK COMMUNICATIONS INC           EQUITY    68375Q403       157     17,700  SH   --     SOLE       1      17,700      --        --
OPNEXT INC                          EQUITY    68375V105        87     16,024  SH   --     SOLE       1      16,024      --        --
OPTIONSXPRESS HLDGS INC             EQUITY    684010101       485     23,400  SH   --     SOLE       2      23,400      --        --
OPTIONSXPRESS HLDGS INC COM         EQUITY    684010101        17        804  SH   --   DEFINED      5          --      --       804
OPTIONSXPRESS HOLDINGS INC          EQUITY    684010101       776     37,474  SH   --     SOLE       1      37,474      --        --
OPTIUM CORP                         EQUITY    68402T107        74     10,473  SH   --     SOLE       1      10,473      --        --
ORACLE CORP                         EQUITY    68389X105    17,454    892,350  SH   --     SOLE       2     892,350      --        --
ORACLE CORP COM                     EQUITY    68389X105       368     18,828  SH   --   DEFINED      4          --      --    18,828
ORACLE CORP COM                     EQUITY    68389X105       300     15,323  SH   --   DEFINED      5          --      --    15,323
ORACLE CORP.                        EQUITY    68389X105    72,329  3,697,821  SH   --     SOLE       1   3,697,821      --        --
ORASURE TECHNOLOGIES INC            EQUITY    68554V108       290     39,616  SH   --     SOLE       1      39,616      --        --
ORBCOMM INC                         EQUITY    68555P100       112     22,529  SH   --     SOLE       1      22,529      --        --
ORBITAL SCIENCES CORP               EQUITY    685564106       518     21,500  SH   --     SOLE       2      21,500      --        --
ORBITAL SCIENCES CORP.              EQUITY    685564106     1,636     67,879  SH   --     SOLE       1      67,879      --        --
ORBITZ WORLDWIDE INC                EQUITY    68557K109       201     29,166  SH   --     SOLE       1      29,166      --        --
O'REILLY AUTOMOTIVE, INC.           EQUITY    686091109     7,864    275,747  SH   --     SOLE       1     275,747      --        --
OREXIGEN THERAPEUTICS INC           EQUITY    686164104        81      7,894  SH   --     SOLE       1       7,894      --        --
ORIENTAL FINANCIAL GROUP            EQUITY    68618W100       350     17,776  SH   --     SOLE       1      17,776      --        --
ORIGIN AGRITECH LIMITED SHS         EQUITY    G67828106        13      2,500  SH   --   DEFINED      5          --      --     2,500
ORION ENERGY SYSTEMS INC            EQUITY    686275108        72      7,554  SH   --     SOLE       1       7,554      --        --
ORITANI FINANCIAL CORP              EQUITY    686323106       158     10,426  SH   --     SOLE       1      10,426      --        --
ORLEANS HOMEBUILDERS INC COM        EQUITY    686588104       315     53,950  SH   --   DEFINED      5          --      --    53,950
ORMAT TECHNOLOGIES INC              EQUITY    686688102       506     11,773  SH   --     SOLE       1      11,773      --        --
ORMAT TECHNOLOGIES INC COM          EQUITY    686688102        19        435  SH   --   DEFINED      4          --      --       435
OSCIENT PHARMACEUTICALS             EQUITY    68812RAC9     2,441  7,628,000  SH   --     SOLE       1   7,628,000      --        --
OSCIENT PHARMACEUTICALS CORP        EQUITY    68812R303       129     74,221  SH   --     SOLE       1      74,221      --        --
OSHKOSH CORP CL B                   EQUITY    688239201     6,415    176,825  SH   --     SOLE       1     176,825      --        --
OSHKOSH CORP COM                    EQUITY    688239201        12        344  SH   --   DEFINED      5          --      --       344
OSI PHARMACEUTICALS                 EQUITY    671040103     1,850     49,468  SH   --     SOLE       1      49,468      --        --
OSI SYSTEMS INC                     EQUITY    671044105       299     12,994  SH   --     SOLE       1      12,994      --        --
OSI SYSTEMS INC COM                 EQUITY    671044105         4        187  SH   --   DEFINED      5          --      --       187
OSIRIS THERAPEUTICS INC             EQUITY    68827R108       159     12,629  SH   --     SOLE       1      12,629      --        --
OSIRIS THERAPEUTICS INC COM         EQUITY    68827R108        13      1,000  SH   --   DEFINED      5          --      --     1,000
OTELCO INC INCME DEP SECS           EQUITY    688823202         3        200  SH   --   DEFINED      5          --      --       200
OTTER TAIL CORP COM                 EQUITY    689648103       106      3,000  SH   --   DEFINED      4          --      --     3,000
OTTER TAIL POWER CO.                EQUITY    689648103       903     25,503  SH   --     SOLE       1      25,503      --        --
OVERSEAS SHIPHOLDING GROUP          EQUITY    690368105     4,540     64,815  SH   --     SOLE       1      64,815      --        --
OVERSTOCK.COM                       EQUITY    690370101       168     14,123  SH   --     SOLE       1      14,123      --        --
OWENS & MINOR INC NEW COM           EQUITY    690732102         1         35  SH   --   DEFINED      4          --      --        35
OWENS & MINOR, INC.                 EQUITY    690732102     1,367     34,749  SH   --     SOLE       1      34,749      --        --





                                                                                          
OWENS CORNING INC                   EQUITY    690742101     5,444    300,292  SH   --     SOLE       1     300,292      --        --
OWENS ILL INC COM NEW               EQUITY    690768403        53        943  SH   --   DEFINED      4          --      --       943
OWENS-ILLINOIS INC                  EQUITY    690768403       626     11,093  SH   --     SOLE       1      11,093      --        --
OXFORD INDS INC.                    EQUITY    691497309       268     11,884  SH   --     SOLE       1      11,884      --        --
OYO GEOSPACE CORP                   EQUITY    671074102       155      3,408  SH   --     SOLE       1       3,408      --        --
P F CHANGS CHINA BISTRO IN          EQUITY    69333Y108       483     17,000  SH   --     SOLE       2      17,000      --        --
P G & E CORP.                       EQUITY    69331C108    17,579    477,421  SH   --     SOLE       1     477,421      --        --
P. F. CHANGS CHINA BISTRO INC.      EQUITY    69333Y108       590     20,740  SH   --     SOLE       1      20,740      --        --
PACCAR INC                          EQUITY    693718108       128      2,838  SH   --     SOLE       2       2,838      --        --
PACCAR INC COM                      EQUITY    693718108        20        450  SH   --   DEFINED      5          --      --       450
PACCAR, INC                         EQUITY    693718108    28,502    633,380  SH   --     SOLE       1     633,380      --        --
PACER INTERNATIONAL INC             EQUITY    69373H106       487     29,653  SH   --     SOLE       1      29,653      --        --
PACHOLDER HIGH YIELD FD INC COM     EQUITY    693742108        12      1,477  SH   --   DEFINED      4          --      --     1,477
PACHOLDER HIGH YIELD FD INC COM     EQUITY    693742108        84     10,751  SH   --   DEFINED      5          --      --    10,751
PACIFIC CAPITAL BANCORP             EQUITY    69404P101       867     40,342  SH   --     SOLE       1      40,342      --        --
PACIFIC ETHANOL INC                 EQUITY    69423U107       134     30,521  SH   --     SOLE       1      30,521      --        --
PACIFIC ETHANOL INC COM             EQUITY    69423U107         2        500  SH   --   DEFINED      4          --      --       500
PACIFIC SUNWEAR OF CALIFORNIA       EQUITY    694873100     2,873    227,841  SH   --     SOLE       1     227,841      --        --
PACKAGING CORP AMER COM             EQUITY    695156109         1         62  SH   --   DEFINED      5          --      --        62
PACKAGING CORP OF AMERICA           EQUITY    695156109    16,195    725,251  SH   --     SOLE       1     725,251      --        --
PACKETEER INC COM                   EQUITY    695210104        10      2,000  SH   --   DEFINED      5          --      --     2,000
PACKETEER, INC                      EQUITY    695210104       157     30,871  SH   --     SOLE       1      30,871      --        --
PACTIV CORP                         EQUITY    695257105         4        156  SH   --     SOLE       2         156      --        --
PACTIV CORP COM                     EQUITY    695257105         7        275  SH   --   DEFINED      4          --      --       275
PACTIV CORPORATION                  EQUITY    695257105     2,212     84,387  SH   --     SOLE       1      84,387      --        --
PAETEC HOLDING CORP                 EQUITY    695459107       426     64,010  SH   --     SOLE       1      64,010      --        --
PAIN THERAPEUTICS INC               EQUITY    69562K100       261     30,876  SH   --     SOLE       1      30,876      --        --
PALL CORP                           EQUITY    696429307     1,867     53,225  SH   --     SOLE       1      53,225      --        --
PALL CORP                           EQUITY    696429307         5        147  SH   --     SOLE       2         147      --        --
PALL CORP COM                       EQUITY    696429307         1         35  SH   --   DEFINED      4          --      --        35
PALL CORP COM                       EQUITY    696429307        18        500  SH   --   DEFINED      5          --      --       500
PALM HARBOR HOMES, INC              EQUITY    696639103        44      8,395  SH   --     SOLE       1       8,395      --        --
PALM INC                            EQUITY    696643105     1,712    342,349  SH   --     SOLE       1     342,349      --        --
PALM INC NEW COM                    EQUITY    696643105         5      1,000  SH   --   DEFINED      5          --      --     1,000
PALOMAR MED TECHNOLOGIES INC
COM NEW                             EQUITY    697529303         3        176  SH   --   DEFINED      4          --      --       176
PALOMAR MEDICAL TECHNOLOGIES        EQUITY    697529303       238     15,729  SH   --     SOLE       1      15,729      --        --
PAN AMERICAN SILVER CORP            EQUITY    697900108        91      2,367  SH   --    OTHER       1          --   2,367        --
PAN AMERICAN SILVER CORP COM        EQUITY    697900108        17        441  SH   --   DEFINED      5          --      --       441
PAN AMERICAN SILVER CP COM (F)      EQUITY    697900108     3,756     97,900  SH   --     SOLE       3      97,900      --    97,900
PANERA BREAD CO CL A                EQUITY    69840W108       105      2,498  SH   --   DEFINED      4          --      --     2,498





                                                                                          
PANERA BREAD CO CL A                EQUITY    69840W108       268      6,400  SH   --   DEFINED      5          --      --     6,400
PANERA BREAD COMPANY CL A           EQUITY    69840W108        25        588  SH   --     SOLE       1         588      --        --
PANHANDLE OIL AND GAS INC CL A      EQUITY    698477106         6        207  SH   --   DEFINED      4          --      --       207
PANTRY INC                          EQUITY    698657103       414     19,634  SH   --     SOLE       1      19,634      --        --
PAPA JOHNS INTERNATIONAL, INC       EQUITY    698813102       447     18,457  SH   --     SOLE       1      18,457      --        --
PAR PHARMACEUTICAL COMPANIES,
INC                                 EQUITY    69888P106     1,927    110,819  SH   --     SOLE       1     110,819      --        --
PARAGON SHIPPING INC CL A           EQUITY    69913R309         5        300  SH   --   DEFINED      5          --      --       300
PARAGON SHIPPING INC CL A (F)       EQUITY    69913R309     1,502     99,100  SH   --     SOLE       3      99,100      --    99,100
PARALLEL PETROLEUM CORP             EQUITY    699157103       693     35,387  SH   --     SOLE       1      35,387      --        --
PARAMETRIC TECHNOLOGY CORP          EQUITY    699173209     5,968    373,438  SH   --     SOLE       1     373,438      --        --
PARAMETRIC TECHNOLOGY CORP          EQUITY    699173209       513     32,100  SH   --     SOLE       2      32,100      --        --
PAREXEL INTERNATIONAL CORP.         EQUITY    699462107     1,246     47,746  SH   --     SOLE       1      47,746      --        --
PARK ELECTROCHEMICAL CORP COM       EQUITY    700416209         2         65  SH   --   DEFINED      5          --      --        65
PARK ELECTROCHEMICAL CORP.          EQUITY    700416209       448     17,327  SH   --     SOLE       1      17,327      --        --
PARK NATIONAL CORP.                 EQUITY    700658107       736     10,388  SH   --     SOLE       1      10,388      --        --
PARK NATL CORP COM                  EQUITY    700658107         4         52  SH   --   DEFINED      4          --      --        52
PARK NATL CORP COM                  EQUITY    700658107       180      2,537  SH   --   DEFINED      5          --      --     2,537
PARKER DRILLING CO.                 EQUITY    701081101       619     95,767  SH   --     SOLE       1      95,767      --        --
PARKER HANNIFIN CORP                EQUITY    701094104       201      2,901  SH   --     SOLE       2       2,901      --        --
PARKER HANNIFIN CORP.               EQUITY    701094104     6,934    100,097  SH   --     SOLE       1     100,097      --        --
PARK-OHIO HOLDINGS CORP             EQUITY    700666100       108      6,883  SH   --     SOLE       1       6,883      --        --
PATRIOT CAPITAL FUNDING INC         EQUITY    70335Y104       186     17,720  SH   --     SOLE       1      17,720      --        --
PATRIOT CAPITAL FUNDING INC COM     EQUITY    70335Y104        31      3,000  SH   --   DEFINED      5          --      --     3,000
PATRIOT COAL CORP                   EQUITY    70336T104        26        556  SH   --     SOLE       1         556      --        --
PATRIOT COAL CORP COM               EQUITY    70336T104         2         45  SH   --   DEFINED      4          --      --        45
PATRIOT TRANSPORTATION HOLDING
INC                                 EQUITY    70337B102       108      1,383  SH   --     SOLE       1       1,383      --        --
PATTERSON COS INC                   EQUITY    703395103     2,938     80,934  SH   --     SOLE       1      80,934      --        --
PATTERSON COS INC                   EQUITY    703395103         6        155  SH   --     SOLE       2         155      --        --
PATTERSON UTI ENERGY INC            EQUITY    703481101     6,404    244,600  SH   --     SOLE       2     244,600      --        --
PATTERSON UTI ENERGY INC COM        EQUITY    703481101        18        701  SH   --   DEFINED      5          --      --       701
PATTERSON-UTI ENERGY INC            EQUITY    703481101     9,805    374,510  SH   --     SOLE       1     374,510      --        --
PAYCHEX INC                         EQUITY    704326107     2,540     74,137  SH   --     SOLE       2      74,137      --        --
PAYCHEX INC COM                     EQUITY    704326107       181      5,271  SH   --   DEFINED      4          --      --     5,271
PAYCHEX, INC.                       EQUITY    704326107     7,647    223,206  SH   --     SOLE       1     223,206      --        --
PC CONNECTION INC                   EQUITY    69318J100        63      7,980  SH   --     SOLE       1       7,980      --        --
PDF SOLUTIONS INC                   EQUITY    693282105       107     19,495  SH   --     SOLE       1      19,495      --        --
PDL BIOPHARMA INC                   EQUITY    69329Y104     2,958    279,278  SH   --     SOLE       1     279,278      --        --
PEABODY ENERGY CORP                 EQUITY    704549104    42,354    830,464  SH   --     SOLE       1     830,464      --        --
PEABODY ENERGY CORP                 EQUITY    704549104     3,681     72,174  SH   --     SOLE       2      72,174      --        --
PEABODY ENERGY CORP COM             EQUITY    704549104        18        358  SH   --   DEFINED      4          --      --       358





                                                                                          
PEABODY ENERGY CORP COM             EQUITY    704549104        23        450  SH   --   DEFINED      5          --      --       450
PEARSON PLC SPONSORED ADR           EQUITY    705015105         2        180  SH   --   DEFINED      4          --      --       180
PEDIATRIX MED GROUP                 EQUITY    705324101       920     13,650  SH   --     SOLE       2      13,650      --        --
PEDIATRIX MEDICAL GROUP             EQUITY    705324101        70      1,039  SH   --     SOLE       1       1,039      --        --
PEERLESS MFG CO COM                 EQUITY    705514107        20        600  SH   --   DEFINED      5          --      --       600
PEETS COFFEE & TEA INC              EQUITY    705560100       275     11,718  SH   --     SOLE       1      11,718      --        --
PEETS COFFEE & TEA INC COM          EQUITY    705560100       397     16,900  SH   --   DEFINED      5          --      --    16,900
PEGASYSTEMS INC                     EQUITY    705573103       111     11,504  SH   --     SOLE       1      11,504      --        --
PENGROWTH ENERGY TR TR UNIT NEW     EQUITY    706902509       369     19,342  SH   --   DEFINED      4          --      --    19,342
PENGROWTH ENERGY TR TR UNIT NEW     EQUITY    706902509       328     17,188  SH   --   DEFINED      5          --      --    17,188
PENN NATIONAL GAMING, INC.          EQUITY    707569109        69      1,577  SH   --     SOLE       1       1,577      --        --
PENN TREATY AMERN CORP COM NEW      EQUITY    707874400         2        300  SH   --   DEFINED      4          --      --       300
PENN VIRGINIA CORPORATION           EQUITY    707882106     1,549     35,133  SH   --     SOLE       1      35,133      --        --
PENN WEST ENERGY TR TR UNIT         EQUITY    707885109       470     16,782  SH   --   DEFINED      4          --      --    16,782
PENN WEST ENERGY TR TR UNIT         EQUITY    707885109       219      7,810  SH   --   DEFINED      5          --      --     7,810
PENN WEST ENERGY TRUST              EQUITY    707885109       292     10,484  SH   --    OTHER       1          --  10,484        --
PENNANTPARK INVESTMENT CORP         EQUITY    708062104       146     17,155  SH   --     SOLE       1      17,155      --        --
PENNEY J C INC                      EQUITY    708160106        10        265  SH   --     SOLE       2         265      --        --
PENNEY J C INC COM                  EQUITY    708160106        38      1,014  SH   --   DEFINED      5          --      --     1,014
PENNSYLVANIA RL ESTATE INVT SH
BEN INT                             EQUITY    709102107         4        150  SH   --   DEFINED      5          --      --       150
PENSON WORLDWIDE INC                EQUITY    709600100       105     11,365  SH   --     SOLE       1      11,365      --        --
PENSON WORLDWIDE INC COM            EQUITY    709600100         5        500  SH   --   DEFINED      5          --      --       500
PENTAIR INC COM                     EQUITY    709631105        11        347  SH   --   DEFINED      5          --      --       347
PENTAIR INC.                        EQUITY    709631105     7,612    238,617  SH   --     SOLE       1     238,617      --        --
PENWEST PHARMACEUTICALS CO          EQUITY    709754105        52     19,935  SH   --     SOLE       1      19,935      --        --
PEOPLES BANCORP INC                 EQUITY    709789101       218      9,027  SH   --     SOLE       1       9,027      --        --
PEOPLE'S UNITED FINANCIAL INC       EQUITY    712704105       127      7,338  SH   --     SOLE       1       7,338      --        --
PEOPLES UNITED FINANCIAL INC COM    EQUITY    712704105        31      1,785  SH   --   DEFINED      4          --      --     1,785
PEOPLESUPPORT INC                   EQUITY    712714302       170     18,662  SH   --     SOLE       1      18,662      --        --
PEOPLESUPPORT INC COM               EQUITY    712714302        15      1,606  SH   --   DEFINED      4          --      --     1,606
PEP BOYS-MANNY, MOE & JACK          EQUITY    713278109       340     34,179  SH   --     SOLE       1      34,179      --        --
PEPCO HLDGS INC                     EQUITY    713291102         6        240  SH   --     SOLE       2         240      --        --
PEPCO HOLDINGS INC                  EQUITY    713291102     5,914    239,235  SH   --     SOLE       1     239,235      --        --
PEPCO HOLDINGS INC COM              EQUITY    713291102         5        187  SH   --   DEFINED      5          --      --       187
PEPSI BOTTLING                      EQUITY    713409100     7,687    226,691  SH   --     SOLE       1     226,691      --        --
PEPSI BOTTLING GROUP INC            EQUITY    713409100       153      4,514  SH   --     SOLE       2       4,514      --        --
PEPSI BOTTLING GROUP INC COM        EQUITY    713409100         7        200  SH   --   DEFINED      5          --      --       200
PEPSIAMERICAS INC                   EQUITY    71343P200     3,633    142,321  SH   --     SOLE       1     142,321      --        --
PEPSIAMERICAS INC                   EQUITY    71343P200        88      3,450  SH   --     SOLE       2       3,450      --        --
PEPSIAMERICAS INC COM               EQUITY    71343P200        10        400  SH   --   DEFINED      4          --      --       400





                                                                                          
PEPSIAMERICAS INC COM               EQUITY    71343P200         3        134  SH   --   DEFINED      5          --      --       134
PEPSICO INC                         EQUITY    713448108    16,331    226,186  SH   --     SOLE       2     226,186      --        --
PEPSICO INC COM                     EQUITY    713448108       314      4,346  SH   --   DEFINED      4          --      --     4,346
PEPSICO INC COM                     EQUITY    713448108       408      5,645  SH   --   DEFINED      5          --      --     5,645
PEPSICO, INC.                       EQUITY    713448108    54,849    759,679  SH   --     SOLE       1     759,679      --        --
PERDIGAO S A COMERCIO E INDS SP
ADR COM NEW                         EQUITY    71361V303        14        300  SH   --   DEFINED      5          --      --       300
PERFECT WORLD CO LTD                EQUITY    71372U104       804     35,400  SH   --     SOLE       1      35,400      --        --
PERFECT WORLD CO LTD SPON ADR       EQUITY    71372U104     1,603     70,600  SH   --     SOLE       3      70,600      --    70,600
PERFICIENT INC                      EQUITY    71375U101       217     27,375  SH   --     SOLE       1      27,375      --        --
PERFORMANCE FOOD GROUP CO COM       EQUITY    713755106         3         80  SH   --   DEFINED      5          --      --        80
PERFORMANCE FOOD GROUP CO.          EQUITY    713755106       990     30,309  SH   --     SOLE       1      30,309      --        --
PERICOM SEMICONDUCTOR COM           EQUITY    713831105     1,919    130,700  SH   --     SOLE       3     130,700      --   130,700
PERICOM SEMICONDUCTOR CORP          EQUITY    713831105       874     59,519  SH   --     SOLE       1      59,519      --        --
PERINI CORP                         EQUITY    713839108       830     22,897  SH   --     SOLE       1      22,897      --        --
PERKINELMER INC                     EQUITY    714046109         3        141  SH   --     SOLE       2         141      --        --
PERKINELMER INC.                    EQUITY    714046109     1,277     52,658  SH   --     SOLE       1      52,658      --        --
PERMA-FIX ENVIRONMENTAL SVCS
COM                                 EQUITY    714157104        16     10,000  SH   --   DEFINED      4          --      --    10,000
PERMIAN BASIN RTY TR UNIT BEN
INT                                 EQUITY    714236106       361     16,315  SH   --   DEFINED      4          --      --    16,315
PERMIAN BASIN RTY TR UNIT BEN
INT                                 EQUITY    714236106        33      1,500  SH   --   DEFINED      5          --      --     1,500
PEROT SYSTEM CORP.                  EQUITY    714265105     1,126     74,896  SH   --     SOLE       1      74,896      --        --
PERRIGO CO                          EQUITY    714290103       572     15,150  SH   --     SOLE       2      15,150      --        --
PERRIGO CO COM                      EQUITY    714290103     1,165     30,866  SH   --   DEFINED      4          --      --    30,866
PERRIGO CO.                         EQUITY    714290103     9,426    249,831  SH   --     SOLE       1     249,831      --        --
PERRY ELLIS INTERNATIONAL           EQUITY    288853104       213      9,749  SH   --     SOLE       1       9,749      --        --
PETMED EXPRESS INC                  EQUITY    716382106       203     18,332  SH   --     SOLE       1      18,332      --        --
PETMED EXPRESS INC COM              EQUITY    716382106         2        200  SH   --   DEFINED      5          --      --       200
PETROBRAS ENERGIA PARTCPTNS SP
ADR B SHS                           EQUITY    71646M102        31      2,760  SH   --   DEFINED      5          --      --     2,760
PETRO-CANADA                        EQUITY    71644E102     5,864    134,671  SH   --    OTHER       1          -- 134,671        --
PETRO-CDA COM                       EQUITY    71644E102         7        160  SH   --   DEFINED      5          --      --       160
PETROCHINA CO LTD SPONSORED ADR     EQUITY    71646E100         1         10  SH   --   DEFINED      5          --      --        10
PETROHAWK ENERGY CORP               EQUITY    716495106     4,765    236,236  SH   --     SOLE       1     236,236      --        --
PETROHAWK ENERGY CORP COM           EQUITY    716495106     2,872    142,400  SH   --     SOLE       3     142,400      --   142,400
PETROHAWK ENERGY CORP COM           EQUITY    716495106        14        700  SH   --   DEFINED      5          --      --       700
PETROLEO BRASILEIRO S.A. ADR        EQUITY    71654V408   180,781  1,770,455  SH   --     SOLE       1   1,770,455      --        --
PETROLEO BRASILEIRO SA              EQUITY    71654V101    21,641    255,529  SH   --     SOLE       1     255,529      --        --
PETROLEO BRASILEIRO SA PETRO
SPONSORED ADR                       EQUITY    71654V408         7         67  SH   --   DEFINED      4          --      --        67
PETROLEUM DEV CORP                  EQUITY    716578109       762     11,000  SH   --     SOLE       2      11,000      --        --
PETROLEUM DEVELOPMENT CORP          EQUITY    716578109       885     12,773  SH   --     SOLE       1      12,773      --        --
PETROQUEST ENERGY INC               EQUITY    716748108       618     35,627  SH   --     SOLE       1      35,627      --        --
PETROQUEST ENERGY INC               EQUITY    716748108     3,777    217,800  SH   --     SOLE       2     217,800      --        --





                                                                                          
PETROQUEST ENERGY INC COM           EQUITY    716748108         9        500  SH   --   DEFINED      5          --      --       500
PETSMART, INC                       EQUITY    716768106     6,427    314,453  SH   --     SOLE       1     314,453      --        --
PFF BANCORP INC COM                 EQUITY    69331W104         2        300  SH   --   DEFINED      5          --      --       300
PFF BANCORP, INC.                   EQUITY    69331W104       162     19,412  SH   --     SOLE       1      19,412      --        --
PFIZER INC                          EQUITY    717081103    16,389    783,054  SH   --     SOLE       2     783,054      --        --
PFIZER INC COM                      EQUITY    717081103       365     17,429  SH   --   DEFINED      4          --      --    17,429
PFIZER INC COM                      EQUITY    717081103     1,069     51,051  SH   --   DEFINED      5          --      --    51,051
PFIZER, INC.                        EQUITY    717081103   106,834  5,104,338  SH   --     SOLE       1   5,104,338      --        --
PG&E CORP COM                       EQUITY    69331C108         7        200  SH   --   DEFINED      4          --      --       200
PG+E CORP                           EQUITY    69331C108       877     23,817  SH   --     SOLE       2      23,817      --        --
PGT INC                             EQUITY    69336V101        24      8,902  SH   --     SOLE       1       8,902      --        --
PHARMACEUTICAL PROD DEV INC COM     EQUITY    717124101         7        158  SH   --   DEFINED      5          --      --       158
PHARMACEUTICAL PRODUCT
DEVELOPMENT                         EQUITY    717124101    10,463    249,715  SH   --     SOLE       1     249,715      --        --
PHARMANET DEVELOPMENT GROUP INC     EQUITY    717148100       404     16,010  SH   --     SOLE       1      16,010      --        --
PHARMERICA CORP                     EQUITY    71714F104       384     23,203  SH   --     SOLE       1      23,203      --        --
PHASE FORWARD INC                   EQUITY    71721R406     1,320     77,279  SH   --     SOLE       1      77,279      --        --
PHASE FORWARD INC                   EQUITY    71721R406       354     20,700  SH   --     SOLE       2      20,700      --        --
PHASE FORWARD INC COM               EQUITY    71721R406     2,499    146,300  SH   --     SOLE       3     146,300      --   146,300
PHH CORP                            EQUITY    693320202       800     45,904  SH   --     SOLE       1      45,904      --        --
PHI INC                             EQUITY    69336T205       368     11,678  SH   --     SOLE       1      11,678      --        --
PHILADELPHIA CONS HLDG CORP COM     EQUITY    717528103         8        252  SH   --   DEFINED      4          --      --       252
PHILADELPHIA CONS HLDG CORP COM     EQUITY    717528103         3         84  SH   --   DEFINED      5          --      --        84
PHILADELPHIA CONS. HLDG. CO.        EQUITY    717528103        46      1,437  SH   --     SOLE       1       1,437      --        --
PHILLIPS-VAN HEUSEN CORP.           EQUITY    718592108     5,128    135,241  SH   --     SOLE       1     135,241      --        --
PHOENIX COMPANIES INC               EQUITY    71902E109     1,195     97,889  SH   --     SOLE       1      97,889      --        --
PHOTRONICS INC.                     EQUITY    719405102       342     35,855  SH   --     SOLE       1      35,855      --        --
PICO HOLDINGS INC                   EQUITY    693366205       395     13,076  SH   --     SOLE       1      13,076      --        --
PIEDMONT NATURAL GAS CO., INC.      EQUITY    720186105     7,118    271,058  SH   --     SOLE       1     271,058      --        --
PIER 1 IMPORTS INC COM              EQUITY    720279108        41      6,550  SH   --   DEFINED      5          --      --     6,550
PIER 1 IMPORTS, INC.                EQUITY    720279108       476     75,761  SH   --     SOLE       1      75,761      --        --
PIKE ELECTRIC CORP                  EQUITY    721283109       212     15,243  SH   --     SOLE       1      15,243      --        --
PILGRIMS PRIDE CORP COM             EQUITY    721467108        30      1,500  SH   --   DEFINED      4          --      --     1,500
PILGRIMS PRIDE CORP.                EQUITY    721467108       701     34,657  SH   --     SOLE       1      34,657      --        --
PIMCO CORPORATE INCOME FD COM       EQUITY    72200U100         8        565  SH   --   DEFINED      4          --      --       565
PIMCO CORPORATE INCOME FD COM       EQUITY    72200U100       206     14,400  SH   --   DEFINED      5          --      --    14,400
PIMCO CORPORATE OPP FD COM          EQUITY    72201B101       346     24,186  SH   --   DEFINED      4          --      --    24,186
PIMCO CORPORATE OPP FD COM          EQUITY    72201B101       106      7,400  SH   --   DEFINED      5          --      --     7,400
PIMCO FLOATING RATE INCOME F COM    EQUITY    72201H108        49      3,410  SH   --   DEFINED      4          --      --     3,410
PIMCO FLOATING RATE INCOME F COM    EQUITY    72201H108        31      2,155  SH   --   DEFINED      5          --      --     2,155
PIMCO FLOATING RATE STRTGY F COM    EQUITY    72201J104        58      4,655  SH   --   DEFINED      4          --      --     4,655





                                                                                          
PIMCO FLOATING RATE STRTGY F COM    EQUITY    72201J104         6        500  SH   --   DEFINED      5          --      --       500
PIMCO GLOBAL STOCKSPLS INCM COM     EQUITY    722011103        38      1,710  SH   --   DEFINED      5          --      --     1,710
PIMCO HIGH INCOME FD COM SHS        EQUITY    722014107       149     12,744  SH   --   DEFINED      4          --      --    12,744
PIMCO HIGH INCOME FD COM SHS        EQUITY    722014107       102      8,674  SH   --   DEFINED      5          --      --     8,674
PIMCO STRATEGIC GBL GOV FD I COM    EQUITY    72200X104        26      2,500  SH   --   DEFINED      4          --      --     2,500
PIMCO STRATEGIC GBL GOV FD I COM    EQUITY    72200X104         9        900  SH   --   DEFINED      5          --      --       900
PINNACLE AIRLINES CORP              EQUITY    723443107       138     15,825  SH   --     SOLE       1      15,825      --        --
PINNACLE FINANCIAL PARTNERS         EQUITY    72346Q104       489     19,102  SH   --     SOLE       1      19,102      --        --
PINNACLE WEST CAP CORP              EQUITY    723484101         4        120  SH   --     SOLE       2         120      --        --
PINNACLE WEST CAP CORP COM          EQUITY    723484101         6        165  SH   --   DEFINED      5          --      --       165
PINNACLE WEST CAPITAL CORP.         EQUITY    723484101     2,321     66,153  SH   --     SOLE       1      66,153      --        --
PIONEER DRILLING CO                 EQUITY    723655106       382     24,000  SH   --     SOLE       2      24,000      --        --
PIONEER DRILLING CO COM             EQUITY    723655106     2,002    125,700  SH   --     SOLE       3     125,700      --   125,700
PIONEER DRILLING CO COM             EQUITY    723655106         3        200  SH   --   DEFINED      4          --      --       200
PIONEER DRILLING COMPANY            EQUITY    723655106       710     44,577  SH   --     SOLE       1      44,577      --        --
PIONEER FLOATING RATE TR COM        EQUITY    72369J102        10        720  SH   --   DEFINED      4          --      --       720
PIONEER HIGH INCOME TR COM          EQUITY    72369H106         6        487  SH   --   DEFINED      4          --      --       487
PIONEER HIGH INCOME TR COM          EQUITY    72369H106       133     10,122  SH   --   DEFINED      5          --      --    10,122
PIONEER MUN HIGH INC ADV TR COM     EQUITY    723762100        14      1,000  SH   --   DEFINED      4          --      --     1,000
PIONEER MUN HIGH INCOME TR COM
SHS                                 EQUITY    723763108        73      5,300  SH   --   DEFINED      5          --      --     5,300
PIONEER NAT RES CO COM              EQUITY    723787107         3         54  SH   --   DEFINED      4          --      --        54
PIONEER NATURAL RESOURCES CORP      EQUITY    723787107    14,017    285,365  SH   --     SOLE       1     285,365      --        --
PIPER JAFFRAY COS                   EQUITY    724078100       510     15,010  SH   --     SOLE       1      15,010      --        --
PITNEY BOWES INC                    EQUITY    724479100         9        252  SH   --     SOLE       2         252      --        --
PITNEY BOWES INC COM                EQUITY    724479100         4        123  SH   --   DEFINED      5          --      --       123
PITNEY BOWES, INC.                  EQUITY    724479100    28,709    819,798  SH   --     SOLE       1     819,798      --        --
PLAINS ALL AMERN PIPELINE L
UNIT LTD PARTN                      EQUITY    726503105       119      2,500  SH   --   DEFINED      4          --      --     2,500
PLAINS EXPLORATION & PRODUCT        EQUITY    726505100    14,417    271,302  SH   --     SOLE       1     271,302      --        --
PLANTRONICS, INC.                   EQUITY    727493108     3,030    156,938  SH   --     SOLE       1     156,938      --        --
PLAYBOY ENTERPRISES, INC.           EQUITY    728117300       158     18,914  SH   --     SOLE       1      18,914      --        --
PLEXUS CORP.                        EQUITY    729132100     1,115     39,749  SH   --     SOLE       1      39,749      --        --
PLUM CREEK TIMBER CO INC            EQUITY    729251108    11,001    270,307  SH   --     SOLE       1     270,307      --        --
PLUM CREEK TIMBER CO INC            EQUITY    729251108         8        205  SH   --     SOLE       2         205      --        --
PLUM CREEK TIMBER CO INC COM        EQUITY    729251108        57      1,389  SH   --   DEFINED      4          --      --     1,389
PLUM CREEK TIMBER CO INC COM        EQUITY    729251108       241      5,919  SH   --   DEFINED      5          --      --     5,919
PLX TECHNOLOGY, INC.                EQUITY    693417107       164     24,598  SH   --     SOLE       1      24,598      --        --
PMA CAPITAL CORP.                   EQUITY    693419202       239     28,000  SH   --     SOLE       1      28,000      --        --
PMC-SIERRA, INC.                    EQUITY    69344F106     1,045    183,304  SH   --     SOLE       1     183,304      --        --
PMI GROUP, INC.                     EQUITY    69344M101     1,257    215,970  SH   --     SOLE       1     215,970      --        --
PNC FINANCIAL SERVICES              EQUITY    693475105     9,231    140,777  SH   --     SOLE       1     140,777      --        --





                                                                                          
PNC FINL SVCS GROUP INC             EQUITY    693475105     1,806     27,547  SH   --     SOLE       2      27,547      --        --
PNC FINL SVCS GROUP INC COM         EQUITY    693475105        66      1,000  SH   --   DEFINED      4          --      --     1,000
PNC FINL SVCS GROUP INC COM         EQUITY    693475105         9        139  SH   --   DEFINED      5          --      --       139
PNM RESOURCES INC                   EQUITY    69349H107     3,091    247,891  SH   --     SOLE       1     247,891      --        --
POKERTEK INC COM                    EQUITY    730864105         3        700  SH   --   DEFINED      5          --      --       700
POLARIS INDS INC COM                EQUITY    731068102        42      1,020  SH   --   DEFINED      5          --      --     1,020
POLARIS INDUSTRIES, INC.            EQUITY    731068102     1,179     28,749  SH   --     SOLE       1      28,749      --        --
POLO RALPH LAUREN CO                EQUITY    731572103     3,551     60,912  SH   --     SOLE       1      60,912      --        --
POLO RALPH LAUREN CORP              EQUITY    731572103        97      1,670  SH   --     SOLE       2       1,670      --        --
POLO RALPH LAUREN CORP CL A         EQUITY    731572103        14        242  SH   --   DEFINED      5          --      --       242
POLYCOM, INC.                       EQUITY    73172K104     6,477    287,360  SH   --     SOLE       1     287,360      --        --
POLYONE CORPORATION                 EQUITY    73179P106       508     79,778  SH   --     SOLE       1      79,778      --        --
POLYPORE INTERNATIONAL INC          EQUITY    73179V103       266     12,865  SH   --     SOLE       1      12,865      --        --
PONIARD PHARMACEUTICALS INC         EQUITY    732449301        67     19,959  SH   --     SOLE       1      19,959      --        --
POOL CORP                           EQUITY    73278L105        20      1,082  SH   --     SOLE       1       1,082      --        --
POPULAR INC                         EQUITY    733174106       123     10,518  SH   --     SOLE       1      10,518      --        --
PORTFOLIO RECOVERY ASSOCIATE        EQUITY    73640Q105       556     12,961  SH   --     SOLE       1      12,961      --        --
PORTLAND GENERAL ELECTRIC CO        EQUITY    736508847       590     26,168  SH   --     SOLE       1      26,168      --        --
POTASH CORP OF SASKATCHEWAN         EQUITY    73755L107    11,492     74,021  SH   --    OTHER       1          --  74,021        --
POTASH CORP SASK INC                EQUITY    73755L107     1,552     10,000  SH   --     SOLE       2      10,000      --        --
POTASH CORP SASK INC COM            EQUITY    73755L107     1,174      7,566  SH   --   DEFINED      4          --      --     7,566
POTASH CORP SASK INC COM            EQUITY    73755L107       212      1,363  SH   --   DEFINED      5          --      --     1,363
POTLATCH CORP NEW COM               EQUITY    737630103        17        400  SH   --   DEFINED      5          --      --       400
POWELL INDUSTRIES INC               EQUITY    739128106       272      6,912  SH   --     SOLE       1       6,912      --        --
POWER-ONE , INC.                    EQUITY    739308104       193     60,238  SH   --     SOLE       1      60,238      --        --
POWERSECURE INTL INC                EQUITY    73936N105     4,127    350,600  SH   --     SOLE       2     350,600      --        --
POWERSHARES DB CMDTY IDX TRA
UNIT BEN INT                        EQUITY    73935S105       190      5,300  SH   --   DEFINED      4          --      --     5,300
POWERSHARES DB CMDTY IDX TRA
UNIT BEN INT                        EQUITY    73935S105       978     27,355  SH   --   DEFINED      5          --      --    27,355
POWERSHARES DB G10 CURCY HAR
COM UT BEN INT                      EQUITY    73935Y102       321     12,485  SH   --   DEFINED      4          --      --    12,485
POWERSHARES DB G10 CURCY HAR
COM UT BEN INT                      EQUITY    73935Y102         4        147  SH   --   DEFINED      5          --      --       147
POWERSHARES ETF TRUST AERSPC
DEF PTF                             EQUITY    73935X690        39      2,001  SH   --   DEFINED      4          --      --     2,001
POWERSHARES ETF TRUST AERSPC
DEF PTF                             EQUITY    73935X690        27      1,368  SH   --   DEFINED      5          --      --     1,368
POWERSHARES ETF TRUST BNKING
SEC POR                             EQUITY    73935X336        91      4,800  SH   --   DEFINED      5          --      --     4,800
POWERSHARES ETF TRUST
CLEANTECH PORT                      EQUITY    73935X278         3        100  SH   --   DEFINED      4          --      --       100
POWERSHARES ETF TRUST
CLEANTECH PORT                      EQUITY    73935X278       145      4,700  SH   --   DEFINED      5          --      --     4,700
POWERSHARES ETF TRUST CON
STAPLE SEC                          EQUITY    73935X393        20        741  SH   --   DEFINED      4          --      --       741
POWERSHARES ETF TRUST DIV ACHV
PRTF                                EQUITY    73935X732        22      1,370  SH   --   DEFINED      4          --      --     1,370
POWERSHARES ETF TRUST DIV ACHV
PRTF                                EQUITY    73935X732        16      1,000  SH   --   DEFINED      5          --      --     1,000
POWERSHARES ETF TRUST DWA TECH
LDRS                                EQUITY    73935X153       482     19,635  SH   --   DEFINED      5          --      --    19,635
POWERSHARES ETF TRUST DYMN MC
VAL                                 EQUITY    73935X880        26      1,599  SH   --   DEFINED      4          --      --     1,599





                                                                                          
POWERSHARES ETF TRUST DYMN MC
VAL                                 EQUITY    73935X880        47      2,863  SH   --   DEFINED      5          --      --     2,863
POWERSHARES ETF TRUST DYN BIOT
& GEN                               EQUITY    73935X856        99      5,874  SH   --   DEFINED      4          --      --     5,874
POWERSHARES ETF TRUST DYN BIOT
& GEN                               EQUITY    73935X856         5        300  SH   --   DEFINED      5          --      --       300
POWERSHARES ETF TRUST DYN BLDG
CNSTR                               EQUITY    73935X666         4        255  SH   --   DEFINED      4          --      --       255
POWERSHARES ETF TRUST DYN BLDG
CNSTR                               EQUITY    73935X666        12        733  SH   --   DEFINED      5          --      --       733
POWERSHARES ETF TRUST DYN EN
EX PROD                             EQUITY    73935X658       242     10,017  SH   --   DEFINED      4          --      --    10,017
POWERSHARES ETF TRUST DYN EN
EX PROD                             EQUITY    73935X658         2        100  SH   --   DEFINED      5          --      --       100
POWERSHARES ETF TRUST DYN OIL
SVCS                                EQUITY    73935X625     1,403     53,620  SH   --   DEFINED      4          --      --    53,620
POWERSHARES ETF TRUST DYN OIL
SVCS                                EQUITY    73935X625       137      5,236  SH   --   DEFINED      5          --      --     5,236
POWERSHARES ETF TRUST DYN
RETAIL PTF                          EQUITY    73935X617       714     48,565  SH   --   DEFINED      4          --      --    48,565
POWERSHARES ETF TRUST DYN SEMCT
PORT                                EQUITY    73935X781       244     15,905  SH   --   DEFINED      4          --      --    15,905
POWERSHARES ETF TRUST DYN SEMCT
PORT                                EQUITY    73935X781         3        200  SH   --   DEFINED      5          --      --       200
POWERSHARES ETF TRUST DYN UTIL
PORTF                               EQUITY    73935X591         5        277  SH   --   DEFINED      5          --      --       277
POWERSHARES ETF TRUST DYNAM
LRGCP PT                            EQUITY    73935X450         9        378  SH   --   DEFINED      5          --      --       378
POWERSHARES ETF TRUST DYNAMIC
MKT PT                              EQUITY    73935X104        28        610  SH   --   DEFINED      4          --      --       610
POWERSHARES ETF TRUST DYNAMIC
MKT PT                              EQUITY    73935X104        52      1,130  SH   --   DEFINED      5          --      --     1,130
POWERSHARES ETF TRUST DYNM LRG
CP GR                               EQUITY    73935X609        21      1,270  SH   --   DEFINED      4          --      --     1,270
POWERSHARES ETF TRUST DYNM LRG
CP GR                               EQUITY    73935X609        33      2,031  SH   --   DEFINED      5          --      --     2,031
POWERSHARES ETF TRUST DYNM LRG
CP VL                               EQUITY    73935X708        22      1,174  SH   --   DEFINED      5          --      --     1,174
POWERSHARES ETF TRUST DYNM MC
GRWTH                               EQUITY    73935X807       339     16,533  SH   --   DEFINED      4          --      --    16,533
POWERSHARES ETF TRUST DYNM MC
GRWTH                               EQUITY    73935X807        71      3,487  SH   --   DEFINED      5          --      --     3,487
POWERSHARES ETF TRUST DYNM SM
CP VAL                              EQUITY    73935X864         5        333  SH   --   DEFINED      5          --      --       333
POWERSHARES ETF TRUST FTSE
RAFI 1000                           EQUITY    73935X583        68      1,293  SH   --   DEFINED      4          --      --     1,293
POWERSHARES ETF TRUST FTSE TELE
TECH                                EQUITY    73935X484        20        410  SH   --   DEFINED      4          --      --       410
POWERSHARES ETF TRUST FTSE
US1500 SM                           EQUITY    73935X567       364      7,486  SH   --   DEFINED      4          --      --     7,486
POWERSHARES ETF TRUST FTSERAFI
FINAN                               EQUITY    73935X237        19        500  SH   --   DEFINED      5          --      --       500
POWERSHARES ETF TRUST GOLDEN
DRG USX                             EQUITY    73935X401        37      1,484  SH   --   DEFINED      5          --      --     1,484
POWERSHARES ETF TRUST HI YLD
EQ DVDN                             EQUITY    73935X302         3        254  SH   --   DEFINED      5          --      --       254
POWERSHARES ETF TRUST HLTHCR
SEC POR                             EQUITY    73935X351       243      9,585  SH   --   DEFINED      4          --      --     9,585
POWERSHARES ETF TRUST II DWA
EMRG MKTS ADDED                     EQUITY    73936Q207        47      2,150  SH   --   DEFINED      5          --      --     2,150
POWERSHARES ETF TRUST INTL DIV
ACHV                                EQUITY    73935X716        43      2,324  SH   --   DEFINED      4          --      --     2,324
POWERSHARES ETF TRUST INTL DIV
ACHV                                EQUITY    73935X716        11        600  SH   --   DEFINED      5          --      --       600
POWERSHARES ETF TRUST LX
NANOTCH PTF                         EQUITY    73935X633        31      2,200  SH   --   DEFINED      5          --      --     2,200
POWERSHARES ETF TRUST MAGNIQUANT
POR                                 EQUITY    73935X468     1,239     51,920  SH   --   DEFINED      4          --      --    51,920
POWERSHARES ETF TRUST VAL
LINE TIME                           EQUITY    73935X682       386     24,710  SH   --   DEFINED      4          --      --    24,710
POWERSHARES ETF TRUST VAL LINE
TIME                                EQUITY    73935X682        13        842  SH   --   DEFINED      5          --      --       842
POWERSHARES ETF TRUST VAL LN
IND ROT                             EQUITY    73935X179        11        435  SH   --   DEFINED      5          --      --       435
POWERSHARES ETF TRUST WATER
RESOURCE                            EQUITY    73935X575       355     18,446  SH   --   DEFINED      4          --      --    18,446
POWERSHARES ETF TRUST WATER
RESOURCE                            EQUITY    73935X575       225     11,675  SH   --   DEFINED      5          --      --    11,675
POWERSHARES ETF TRUST
WILDERHILL PRO                      EQUITY    73935X161     1,072     41,130  SH   --   DEFINED      4          --      --    41,130





                                                                                          
POWERSHARES ETF TRUST WNDRHLL
CLN EN                              EQUITY    73935X500     1,963    100,160  SH   --   DEFINED      4          --      --   100,160
POWERSHARES ETF TRUST WNDRHLL
CLN EN                              EQUITY    73935X500       168      8,581  SH   --   DEFINED      5          --      --     8,581
POWERSHARES ETF TRUST ZACKS
SML PORT                            EQUITY    73935X674        43      1,897  SH   --   DEFINED      4          --      --     1,897
POWERSHARES ETF TRUST ZACKS SML
PORT                                EQUITY    73935X674         5        215  SH   --   DEFINED      5          --      --       215
POWERSHARES GLOBAL ETF TRUST
GBL CLEAN ENER                      EQUITY    73936T615         9        340  SH   --   DEFINED      4          --      --       340
POWERSHARES GLOBAL ETF TRUST
GBL CLEAN ENER                      EQUITY    73936T615       110      4,300  SH   --   DEFINED      5          --      --     4,300
POWERSHARES GLOBAL ETF TRUST
GBL WTR PORT                        EQUITY    73936T623       551     24,760  SH   --   DEFINED      4          --      --    24,760
POWERSHARES GLOBAL ETF TRUST
JAPAN PORTFOLI                      EQUITY    73936T698        15        330  SH   --   DEFINED      4          --      --       330
POWERSHARES GLOBAL ETF TRUST
SOVEREIGN DEBT                      EQUITY    73936T573        10        400  SH   --   DEFINED      5          --      --       400
POWERSHARES QQQ                     EQUITY    73935A104    10,960    250,400  SH   --     SOLE       1     250,400      --        --
POWERSHARES QQQ TRUST UNIT SER 1    EQUITY    73935A104     4,357     99,650  SH   --   DEFINED      4          --      --    99,650
POWERSHARES QQQ TRUST UNIT SER 1    EQUITY    73935A104       572     13,075  SH   --   DEFINED      5          --      --    13,075
POWERSHS DB MULTI SECT COMM DB
AGRICULT FD                         EQUITY    73936B408     1,564     42,915  SH   --   DEFINED      4          --      --    42,915
POWERSHS DB MULTI SECT COMM DB
AGRICULT FD                         EQUITY    73936B408       177      4,859  SH   --   DEFINED      5          --      --     4,859
POWERSHS DB MULTI SECT COMM DB
ENERGY FUND                         EQUITY    73936B101       154      3,965  SH   --   DEFINED      4          --      --     3,965
POWERSHS DB MULTI SECT COMM DB
ENERGY FUND                         EQUITY    73936B101        21        540  SH   --   DEFINED      5          --      --       540
POWERSHS DB MULTI SECT COMM DB
PREC MTLS                           EQUITY    73936B200        38      1,113  SH   --   DEFINED      5          --      --     1,113
POWERWAVE TECHNOLOGIES INC          EQUITY    739363109       285    111,780  SH   --     SOLE       1     111,780      --        --
POWERWAVE TECHNOLOGIES INC COM      EQUITY    739363109         8      3,000  SH   --   DEFINED      4          --      --     3,000
POWERWAVE TECHNOLOGIES INC COM      EQUITY    739363109         2        777  SH   --   DEFINED      5          --      --       777
POZEN INC.                          EQUITY    73941U102       226     21,857  SH   --     SOLE       1      21,857      --        --
PPG INDS INC                        EQUITY    693506107        12        196  SH   --     SOLE       2         196      --        --
PPG INDS INC COM                    EQUITY    693506107        36        600  SH   --   DEFINED      4          --      --       600
PPG INDUSTRIES, INC.                EQUITY    693506107    19,419    320,927  SH   --     SOLE       1     320,927      --        --
PPL CORP                            EQUITY    69351T106        20        446  SH   --     SOLE       2         446      --        --
PPL CORP COM                        EQUITY    69351T106       432      9,407  SH   --   DEFINED      4          --      --     9,407
PPL CORP COM                        EQUITY    69351T106        75      1,642  SH   --   DEFINED      5          --      --     1,642
PPL CORPORATION                     EQUITY    69351T106     7,557    164,564  SH   --     SOLE       1     164,564      --        --
PRAXAIR INC                         EQUITY    74005P104     1,532     18,194  SH   --     SOLE       2      18,194      --        --
PRAXAIR INC COM                     EQUITY    74005P104        82        972  SH   --   DEFINED      4          --      --       972
PRAXAIR INC COM                     EQUITY    74005P104       108      1,279  SH   --   DEFINED      5          --      --     1,279
PRAXAIR, INC.                       EQUITY    74005P104    25,624    304,212  SH   --     SOLE       1     304,212      --        --
PRECISION CASTPARTS CORP            EQUITY    740189105       660      6,466  SH   --     SOLE       2       6,466      --        --
PRECISION CASTPARTS CORP COM        EQUITY    740189105        51        496  SH   --   DEFINED      4          --      --       496
PRECISION CASTPARTS CORP COM        EQUITY    740189105         3         33  SH   --   DEFINED      5          --      --        33
PRECISION CASTPARTS CORP.           EQUITY    740189105    26,991    264,415  SH   --     SOLE       1     264,415      --        --
PRECISION CASTPARTS CP COM          EQUITY    740189105     2,766     27,100  SH   --     SOLE       3      27,100      --    27,100
PRECISION DRILLING TRUST            EQUITY    740215108       867     37,453  SH   --    OTHER       1          --  37,453        --
PREFERRED BANK/LOS ANGELES          EQUITY    740367107       132      7,913  SH   --     SOLE       1       7,913      --        --
PREFORMED LINE PRODUCTS CO          EQUITY    740444104       103      2,121  SH   --     SOLE       1       2,121      --        --





                                                                                          
PREMIER EXHIBITIONS INC             EQUITY    74051E102       152     25,083  SH   --     SOLE       1      25,083      --        --
PREMIER EXIBITIONS INC COM          EQUITY    74051E102         1        174  SH   --   DEFINED      4          --      --       174
PREMIERE GLOBAL SERVICES INC        EQUITY    740585104       760     52,981  SH   --     SOLE       1      52,981      --        --
PREPAID LEGAL SERVICES, INC.        EQUITY    740065107       305      7,202  SH   --     SOLE       1       7,202      --        --
PRESIDENTIAL LIFE CORP.             EQUITY    740884101       323     18,531  SH   --     SOLE       1      18,531      --        --
PRESSTEK INC COM                    EQUITY    741113104        74     17,000  SH   --   DEFINED      5          --      --    17,000
PRESTIGE BRANDS HOLDINGS INC        EQUITY    74112D101       238     29,079  SH   --     SOLE       1      29,079      --        --
PRICE T ROWE GROUP INC              EQUITY    74144T108        16        315  SH   --     SOLE       2         315      --        --
PRICE T ROWE GROUP INC COM          EQUITY    74144T108        59      1,173  SH   --   DEFINED      4          --      --     1,173
PRICELINE COM INC                   EQUITY    741503403       181      1,500  SH   --     SOLE       2       1,500      --        --
PRICELINE.COM INC                   EQUITY    741503403     3,929     32,506  SH   --     SOLE       1      32,506      --        --
PRICESMART INC                      EQUITY    741511109       318     11,485  SH   --     SOLE       1      11,485      --        --
PRIDE INTERNATIONAL                 EQUITY    74153Q102    14,030    401,419  SH   --     SOLE       1     401,419      --        --
PRIDE INTL INC DEL COM              EQUITY    74153Q102       244      6,970  SH   --   DEFINED      4          --      --     6,970
PRIMEDIA INC                        EQUITY    74157K846       278     37,827  SH   --     SOLE       1      37,827      --        --
PRINCIPAL FINANCIAL GROUP           EQUITY    74251V102    11,365    203,961  SH   --     SOLE       1     203,961      --        --
PRINCIPAL FINANCIAL GROUP           EQUITY    74251V102       163      2,929  SH   --     SOLE       2       2,929      --        --
PRINCIPAL FINANCIAL GROUP IN COM    EQUITY    74251V102        56      1,000  SH   --   DEFINED      4          --      --     1,000
PRINCIPAL FINANCIAL GROUP IN COM    EQUITY    74251V102        13        231  SH   --   DEFINED      5          --      --       231
PRIVATEBANCORP INC                  EQUITY    742962103       509     16,188  SH   --     SOLE       1      16,188      --        --
PROASSURANCE CORPORATION            EQUITY    74267C106     1,539     28,599  SH   --     SOLE       1      28,599      --        --
PROCTER & GAMBLE CO COM             EQUITY    742718109     1,295     18,476  SH   --   DEFINED      4          --      --    18,476
PROCTER & GAMBLE CO COM             EQUITY    742718109     1,452     20,716  SH   --   DEFINED      5          --      --    20,716
PROCTER & GAMBLE CO.                EQUITY    742718109   117,737  1,680,282  SH   --     SOLE       1   1,680,282      --        --
PROCTER AND GAMBLE CO               EQUITY    742718109    29,024    414,221  SH   --     SOLE       2     414,221      --        --
PROGENICS PHARMACEUTICALS           EQUITY    743187106       143     21,914  SH   --     SOLE       1      21,914      --        --
PROGRESS ENERGY INC                 EQUITY    743263105       702     16,845  SH   --     SOLE       2      16,845      --        --
PROGRESS ENERGY INC COM             EQUITY    743263105         5        124  SH   --   DEFINED      4          --      --       124
PROGRESS ENERGY INC COM             EQUITY    743263105       236      5,648  SH   --   DEFINED      5          --      --     5,648
PROGRESS ENERGY INC.                EQUITY    743263105     4,906    117,650  SH   --     SOLE       1     117,650      --        --
PROGRESS SOFTWARE CORP              EQUITY    743312100       518     17,300  SH   --     SOLE       2      17,300      --        --
PROGRESS SOFTWARE CORP.             EQUITY    743312100     1,053     35,191  SH   --     SOLE       1      35,191      --        --
PROGRESSIVE CORP OHIO               EQUITY    743315103        13        811  SH   --     SOLE       2         811      --        --
PROGRESSIVE CORP OHIO COM           EQUITY    743315103        37      2,276  SH   --   DEFINED      4          --      --     2,276
PROGRESSIVE CORP OHIO COM           EQUITY    743315103        25      1,545  SH   --   DEFINED      5          --      --     1,545
PROGRESSIVE CORP.                   EQUITY    743315103     4,399    273,731  SH   --     SOLE       1     273,731      --        --
PROLOGIS                            EQUITY    743410102    17,762    301,764  SH   --     SOLE       1     301,764      --        --
PROLOGIS                            EQUITY    743410102       425      7,219  SH   --     SOLE       2       7,219      --        --
PROLOGIS SH BEN INT                 EQUITY    743410102        61      1,035  SH   --   DEFINED      5          --      --     1,035
PROS HOLDINGS INC                   EQUITY    74346Y103       683     54,425  SH   --     SOLE       1      54,425      --        --





                                                                                          
PROS HOLDINGS INC COM               EQUITY    74346Y103     2,720    216,700  SH   --     SOLE       3     216,700      --   216,700
PROSHARES TR REAL EST PRO           EQUITY    74347R552       233      2,345  SH   --   DEFINED      4          --      --     2,345
PROSHARES TR REAL EST PRO           EQUITY    74347R552         5         50  SH   --   DEFINED      5          --      --        50
PROSHARES TR SHORT DOW 30           EQUITY    74347R701        48        750  SH   --   DEFINED      5          --      --       750
PROSHARES TR SHORT MDCAP400         EQUITY    74347R800         8        125  SH   --   DEFINED      5          --      --       125
PROSHARES TR SHORT S&P 500          EQUITY    74347R503        44        650  SH   --   DEFINED      5          --      --       650
PROSHARES TR TECHNOLOGY PRO         EQUITY    74347R578        14        200  SH   --   DEFINED      5          --      --       200
PROSHARES TR ULSHRT1000 GRW         EQUITY    74347R461        11        150  SH   --   DEFINED      5          --      --       150
PROSHARES TR ULTRA DOW 30           EQUITY    74347R305        32        450  SH   --   DEFINED      5          --      --       450
PROSHARES TR ULTRA FINL PRO         EQUITY    74347R743         9        300  SH   --   DEFINED      5          --      --       300
PROSHARES TR ULTRA QQQ PSHS         EQUITY    74347R206        21        300  SH   --   DEFINED      4          --      --       300
PROSHARES TR ULTRA RUSS2000         EQUITY    74347R842        12        250  SH   --   DEFINED      4          --      --       250
PROSHARES TR ULTRA RUSS2000         EQUITY    74347R842        14        300  SH   --   DEFINED      5          --      --       300
PROSHARES TR ULTRA S&P 500          EQUITY    74347R107        26        400  SH   --   DEFINED      4          --      --       400
PROSHARES TR ULTRA SMCAP600         EQUITY    74347R818        13        250  SH   --   DEFINED      4          --      --       250
PROSHARES TR ULTRA XIN CH25         EQUITY    74347R321        16        175  SH   --   DEFINED      5          --      --       175
PROSHARES TR ULTRASHORT QQQ         EQUITY    74347R875       114      2,298  SH   --   DEFINED      4          --      --     2,298
PROSHARES TR ULTRASHORT QQQ         EQUITY    74347R875        97      1,950  SH   --   DEFINED      5          --      --     1,950
PROSHARES TR ULTRASHRT FINL         EQUITY    74347R628       559      4,752  SH   --   DEFINED      4          --      --     4,752
PROSHARES TR ULTRASHRT O&G          EQUITY    74347R586         8        210  SH   --   DEFINED      4          --      --       210
PROSHARES TR ULTRASHRT O&G          EQUITY    74347R586        40      1,050  SH   --   DEFINED      5          --      --     1,050
PROSHARES TR ULTRASHT SP500         EQUITY    74347R883       286      4,440  SH   --   DEFINED      4          --      --     4,440
PROSHARES TR ULTRASHT SP500         EQUITY    74347R883        29        450  SH   --   DEFINED      5          --      --       450
PROSHARES TR ULTSHT RUS2000         EQUITY    74347R834       128      1,540  SH   --   DEFINED      4          --      --     1,540
PROSHARES TR ULTSHT RUS2000         EQUITY    74347R834        80        970  SH   --   DEFINED      5          --      --       970
PROSPECT CAPITAL CORP               EQUITY    74348T102       307     20,181  SH   --     SOLE       1      20,181      --        --
PROSPECT CAPITAL CORPORATION COM    EQUITY    74348T102       237     15,559  SH   --   DEFINED      4          --      --    15,559
PROSPECT CAPITAL CORPORATION COM    EQUITY    74348T102        25      1,674  SH   --   DEFINED      5          --      --     1,674
PROSPERITY BANCSHARES INC           EQUITY    743606105       873     30,475  SH   --     SOLE       1      30,475      --        --
PROTALIX BIOTHERAPEUTICS INC        EQUITY    74365A101         5      1,941  SH   --     SOLE       1       1,941      --        --
PROTECTION ONE INC                  EQUITY    743663403        54      5,606  SH   --     SOLE       1       5,606      --        --
PROTECTIVE LIFE CORP COM            EQUITY    743674103     6,856    169,038  SH   --     SOLE       1     169,038      --        --
PROVIDENCE SERVICE CORP             EQUITY    743815102       313     10,433  SH   --     SOLE       1      10,433      --        --
PROVIDENCE SVC CORP                 EQUITY    743815102     3,108    103,600  SH   --     SOLE       2     103,600      --        --
PROVIDENT BANKSHARES CORP.          EQUITY    743859100       297     27,661  SH   --     SOLE       1      27,661      --        --
PROVIDENT ENERGY TR TR UNIT         EQUITY    74386K104       455     42,914  SH   --   DEFINED      4          --      --    42,914
PROVIDENT ENERGY TR TR UNIT         EQUITY    74386K104       247     23,261  SH   --   DEFINED      5          --      --    23,261
PROVIDENT ENERGY TRUST              EQUITY    74386K104        45      4,194  SH   --    OTHER       1          --   4,194        --
PROVIDENT FINANCIAL SERVICES        EQUITY    74386T105       750     53,025  SH   --     SOLE       1      53,025      --        --
PROVIDENT NEW YORK BANCORP          EQUITY    744028101       465     34,425  SH   --     SOLE       1      34,425      --        --





                                                                                          
PRUDENTIAL FINANCIAL INC            EQUITY    744320102    36,442    465,716  SH   --     SOLE       1     465,716      --        --
PRUDENTIAL FINL INC                 EQUITY    744320102       167      2,133  SH   --     SOLE       2       2,133      --        --
PRUDENTIAL FINL INC COM             EQUITY    744320102        82      1,053  SH   --   DEFINED      4          --      --     1,053
PRUDENTIAL PLC 6.75%SUB REG S
ADDED                               EQUITY    G7293H114        10        400  SH   --   DEFINED      4          --      --       400
PRUDENTIAL PLC ADR                  EQUITY    74435K204         6        224  SH   --   DEFINED      4 180,897,421      --       224
PRUDENTIAL PLC ADR                  EQUITY    74435K204         1         39  SH   --   DEFINED      5          --      --        39
PS BUSINESS PARKS INC               EQUITY    69360J107     2,239     43,138  SH   --     SOLE       1      43,138      --        --
PSEG ENERGY HOLDINGS                EQUITY    744573106     8,447    210,186  SH   --     SOLE       1     210,186      --        --
PSS WORLD MEDICAL, INC              EQUITY    69366A100       910     54,601  SH   --     SOLE       1      54,601      --        --
PSYCHIATRIC SOLUTIONS INC           EQUITY    74439H108     6,006    177,077  SH   --     SOLE       1     177,077      --        --
PSYCHIATRIC SOLUTIONS INC           EQUITY    74439H108    32,177    948,600  SH   --     SOLE       2     948,600      --        --
PUBLIC STORAGE                      EQUITY    74460D109        13        149  SH   --     SOLE       2         149      --        --
PUBLIC STORAGE                      EQUITY    74460D109     7,730     87,224  SH   --     SOLE       1      87,224      --        --
PUBLIC STORAGE COM                  EQUITY    74460D109       120      1,357  SH   --   DEFINED      4          --      --     1,357
PUBLIC STORAGE COM                  EQUITY    74460D109        97      1,090  SH   --   DEFINED      5          --      --     1,090
PUBLIC STORAGE COM A DP1/1000       EQUITY    74460D729         3        104  SH   --   DEFINED      4          --      --       104
PUBLIC SVC ENTERPRISE GROU          EQUITY    744573106     6,182    153,808  SH   --     SOLE       2     153,808      --        --
PUBLIC SVC ENTERPRISE GROUP COM     EQUITY    744573106        16        400  SH   --   DEFINED      4          --      --       400
PUBLIC SVC ENTERPRISE GROUP COM     EQUITY    744573106       302      7,502  SH   --   DEFINED      5          --      --     7,502
PUGET ENEGY INC.                    EQUITY    745310102     8,654    334,521  SH   --     SOLE       1     334,521      --        --
PUGET ENERGY INC NEW COM            EQUITY    745310102        64      2,460  SH   --   DEFINED      5          --      --     2,460
PULTE HOMES INC                     EQUITY    745867101         4        255  SH   --     SOLE       2         255      --        --
PULTE HOMES INC COM                 EQUITY    745867101         2        110  SH   --   DEFINED      5          --      --       110
PULTE HOMES INC.                    EQUITY    745867101     2,919    200,613  SH   --     SOLE       1     200,613      --        --
PUTMAN HIGH INCOME SEC FUND SHS
BEN INT                             EQUITY    746779107        30      4,000  SH   --   DEFINED      4          --      --     4,000
PUTNAM MANAGED MUN INCOM TR COM     EQUITY    746823103        13      1,874  SH   --   DEFINED      5          --      --     1,874
PUTNAM MUN OPPORTUNITIES TR SH
BEN INT                             EQUITY    746922103         9        836  SH   --   DEFINED      5          --      --       836
PUTNAM PREMIER INCOME TR SH BEN
INT                                 EQUITY    746853100        19      3,100  SH   --   DEFINED      4          --      --     3,100
PZENA INVESTMENT MANAGEMENT INC     EQUITY    74731Q103        59      5,221  SH   --     SOLE       1       5,221      --        --
QAD INC                             EQUITY    74727D108       104     12,399  SH   --     SOLE       1      12,399      --        --
QC HOLDINGS INC                     EQUITY    74729T101        61      6,769  SH   --     SOLE       1       6,769      --        --
QIAO XING UNIVERSAL TELEPHON ORD    EQUITY    G7303A109         3        500  SH   --   DEFINED      4          --      --       500
QLOGIC CORP                         EQUITY    747277101         2        161  SH   --     SOLE       2         161      --        --
QLOGIC CORP.                        EQUITY    747277101     1,798    117,117  SH   --     SOLE       1     117,117      --        --
QUADRAMED CORP                      EQUITY    74730W101       644    337,300  SH   --     SOLE       1     337,300      --        --
QUALCOMM INC                        EQUITY    747525103    14,666    357,718  SH   --     SOLE       2     357,718      --        --
QUALCOMM INC COM                    EQUITY    747525103        56      1,357  SH   --   DEFINED      4          --      --     1,357
QUALCOMM INC COM                    EQUITY    747525103       384      9,362  SH   --   DEFINED      5          --      --     9,362
QUALCOMM, INC.                      EQUITY    747525103    57,684  1,406,919  SH   --     SOLE       1   1,406,919      --        --
QUALITY SYSTEMS INC                 EQUITY    747582104       436     14,603  SH   --     SOLE       1      14,603      --        --





                                                                                          
QUANEX CORP.                        EQUITY    747620102     1,647     31,826  SH   --     SOLE       1      31,826      --        --
QUANTA SERVICES INC                 EQUITY    74762E102    48,795  2,105,958  SH   --     SOLE       1   2,105,958      --        --
QUANTA SVCS INC COM                 EQUITY    74762E102         4        158  SH   --   DEFINED      4          --      --       158
QUANTA SVCS INC COM                 EQUITY    74762E102         5        200  SH   --   DEFINED      5          --      --       200
QUANTUM CORP COM DSSG               EQUITY    747906204         2        751  SH   --   DEFINED      5          --      --       751
QUANTUM CORP DLT & STORAGE          EQUITY    747906204       360    168,158  SH   --     SOLE       1     168,158      --        --
QUEST CAP CORP NEW COM              EQUITY    74835U109         2      1,000  SH   --   DEFINED      5          --      --     1,000
QUEST DIAGNOSTICS INC               EQUITY    74834L100       537     11,862  SH   --     SOLE       2      11,862      --        --
QUEST DIAGNOSTICS INC COM           EQUITY    74834L100        18        400  SH   --   DEFINED      5          --      --       400
QUEST DIAGNOSTICS, INC.             EQUITY    74834L100     3,006     66,408  SH   --     SOLE       1      66,408      --        --
QUEST SOFTWARE INC                  EQUITY    74834T103       765     58,533  SH   --     SOLE       1      58,533      --        --
QUESTAR CORP                        EQUITY    748356102        12        207  SH   --     SOLE       2         207      --        --
QUESTAR CORP COM                    EQUITY    748356102        37        650  SH   --   DEFINED      4          --      --       650
QUESTAR CORP.                       EQUITY    748356102     4,214     74,498  SH   --     SOLE       1      74,498      --        --
QUICKLOGIC CORP COM                 EQUITY    74837P108        12      4,000  SH   --   DEFINED      5          --      --     4,000
QUICKSILVER RESOURCES COM           EQUITY    74837R104     6,809    186,400  SH   --     SOLE       3     186,400      --   186,400
QUICKSILVER RESOURCES INC           EQUITY    74837R104     8,959    245,240  SH   --     SOLE       1     245,240      --        --
QUICKSILVER, INC.                   EQUITY    74838C106     1,046    106,670  SH   --     SOLE       1     106,670      --        --
QUIDEL CORP                         EQUITY    74838J101       371     23,100  SH   --     SOLE       2      23,100      --        --
QUIDEL CORPORATION                  EQUITY    74838J101       395     24,626  SH   --     SOLE       1      24,626      --        --
QUIKSILVER INC                      EQUITY    74838C106       491     50,000  SH   --     SOLE       2      50,000      --        --
QUIKSILVER INC COM                  EQUITY    74838C106         1        151  SH   --   DEFINED      5          --      --       151
QWEST COMMUNICATIONS
INTERNATIONAL INC                   EQUITY    749121109     3,754    828,797  SH   --     SOLE       1     828,797      --        --
QWEST COMMUNICATIONS INTL           EQUITY    749121109         8      1,838  SH   --     SOLE       2       1,838      --        --
QWEST COMMUNICATIONS INTL IN COM    EQUITY    749121109         9      1,990  SH   --   DEFINED      5          --      --     1,990
R. R. DONNELLEY AND SONS CO.        EQUITY    257867101     6,181    203,928  SH   --     SOLE       1     203,928      --        --
R.H. DONNELLEY CORP.                EQUITY    74955W307        14      2,720  SH   --     SOLE       1       2,720      --        --
RACKABLE SYSTEMS INC                EQUITY    750077109       224     24,559  SH   --     SOLE       1      24,559      --        --
RADIAN GROUP INC COM                EQUITY    750236101         4        555  SH   --   DEFINED      5          --      --       555
RADIAN GROUP, INC.                  EQUITY    750236101     1,409    214,444  SH   --     SOLE       1     214,444      --        --
RADIANT SYSTEMS INC COM             EQUITY    75025N102         7        480  SH   --   DEFINED      4          --      --       480
RADIANT SYSTEMS, INC.               EQUITY    75025N102       315     22,522  SH   --     SOLE       1      22,522      --        --
RADIO ONE INC -CL D                 EQUITY    75040P405       100     65,650  SH   --     SOLE       1      65,650      --        --
RADIOSHACK CORP                     EQUITY    750438103         3        157  SH   --     SOLE       2         157      --        --
RADIOSHACK CORP COM                 EQUITY    750438103         5        332  SH   --   DEFINED      4          --      --       332
RADIOSHACK CORP COM                 EQUITY    750438103         3        182  SH   --   DEFINED      5          --      --       182
RADIOSHACK CORP.                    EQUITY    750438103     2,902    178,593  SH   --     SOLE       1     178,593      --        --
RADISYS CORP.                       EQUITY    750459109       190     18,837  SH   --     SOLE       1      18,837      --        --
RAIT FINANCIAL TRUST                EQUITY    749227104       377     54,314  SH   --     SOLE       1      54,314      --        --
RAIT FINANCIAL TRUST COM            EQUITY    749227104        28      4,000  SH   --   DEFINED      5          --      --     4,000





                                                                                          
RALCORP HOLDINGS, INC.              EQUITY    751028101     1,281     22,025  SH   --     SOLE       1      22,025      --        --
RAMBUS INC DEL COM                  EQUITY    750917106        20        850  SH   --   DEFINED      5          --      --       850
RAMBUS INC.                         EQUITY    750917106        29      1,241  SH   --     SOLE       1       1,241      --        --
RAMTRON INTL CORP COM NEW            EQUITY   751907304       827    201,600  SH   --     SOLE       3     201,600      --   201,600
RANDGOLD RES LTD ADR                EQUITY    752344309       100      2,150  SH   --   DEFINED      5          --      --     2,150
RANGE RES CORP                      EQUITY    75281A109        11        179  SH   --     SOLE       2         179      --        --
RANGE RES CORP COM                  EQUITY    75281A109     5,438     85,700  SH   --     SOLE       3      85,700      --    85,700
RANGE RES CORP COM                  EQUITY    75281A109     1,101     17,355  SH   --   DEFINED      4          --      --    17,355
RANGE RESOURCES CORP                EQUITY    75281A109     4,082     64,332  SH   --     SOLE       1      64,332      --        --
RASER TECHNOLOGIES INC              EQUITY    754055101       226     26,666  SH   --     SOLE       1      26,666      --        --
RAVEN INDUSTRIES INC                EQUITY    754212108       416     13,730  SH   --     SOLE       1      13,730      --        --
RAYMOND JAMES FINANCIAL IN          EQUITY    754730109       134      5,850  SH   --     SOLE       2       5,850      --        --
RAYMOND JAMES FINANCIAL, INC.       EQUITY    754730109     5,317    231,366  SH   --     SOLE       1     231,366      --        --
RAYONIER INC COM                    EQUITY    754907103         6        143  SH   --   DEFINED      4          --      --       143
RAYONIER INC COM                    EQUITY    754907103       281      6,474  SH   --   DEFINED      5          --      --     6,474
RAYONIER, INC.                      EQUITY    754907103    14,687    338,107  SH   --     SOLE       1     338,107      --        --
RAYTHEON CO                         EQUITY    755111119        17        603  SH   --     SOLE       1         603      --        --
RAYTHEON CO                         EQUITY    755111507    14,181    219,488  SH   --     SOLE       2     219,488      --        --
RAYTHEON CO COM NEW                 EQUITY    755111507        67      1,035  SH   --   DEFINED      4          --      --     1,035
RAYTHEON CO COM NEW                 EQUITY    755111507       137      2,118  SH   --   DEFINED      5          --      --     2,118
RAYTHEON CO.                        EQUITY    755111507    20,622    319,175  SH   --     SOLE       1     319,175      --        --
RBC BEARINGS INC                    EQUITY    75524B104       676     18,219  SH   --     SOLE       1      18,219      --        --
RC2 CORP                            EQUITY    749388104       323     15,399  SH   --     SOLE       1      15,399      --        --
RCN CORP                            EQUITY    749361200       306     27,401  SH   --     SOLE       1      27,401      --        --
REALNETWORKS INC COM                EQUITY    75605L104        52      9,076  SH   --   DEFINED      5          --      --     9,076
REALNETWORKS, INC.                  EQUITY    75605L104       473     82,519  SH   --     SOLE       1      82,519      --        --
REALTY INCOME CORP COM              EQUITY    756109104       100      3,910  SH   --   DEFINED      4          --      --     3,910
REALTY INCOME CORP COM              EQUITY    756109104     2,003     78,179  SH   --   DEFINED      5          --      --    78,179
REALTY INCOME CORP.                 EQUITY    756109104    10,260    400,486  SH   --     SOLE       1     400,486      --        --
RED HAT INC COM                     EQUITY    756577102         5        266  SH   --   DEFINED      5          --      --       266
RED HAT, INC.                       EQUITY    756577102        31      1,712  SH   --     SOLE       1       1,712      --        --
RED ROBIN GOURMET BURGERS           EQUITY    75689M101       537     14,293  SH   --     SOLE       1      14,293      --        --
RED ROBIN GOURMET BURGERS IN COM    EQUITY    75689M101         1         38  SH   --   DEFINED      5          --      --        38
REDDY ICE HLDGS INC COM             EQUITY    75734R105         6        473  SH   --   DEFINED      4          --      --       473
REDDY ICE HOLDINGS INC              EQUITY    75734R105       244     18,709  SH   --     SOLE       1      18,709      --        --
REDWOOD TR INC COM                  EQUITY    758075402         4        100  SH   --   DEFINED      5          --      --       100
REDWOOD TRUST, INC.                 EQUITY    758075402       775     21,317  SH   --     SOLE       1      21,317      --        --
REGAL ENTMT GROUP                   EQUITY    758766109       332     17,234  SH   --     SOLE       1      17,234      --        --
REGAL ENTMT GROUP                   EQUITY    758766109     4,917    254,900  SH   --     SOLE       2     254,900      --        --
REGAL-BELOIT CORP.                  EQUITY    758750103     1,004     27,416  SH   --     SOLE       1      27,416      --        --





                                                                                          
REGENCY CENTERS CORP                EQUITY    758849103    10,842    167,416  SH   --     SOLE       1     167,416      --        --
REGENERON PHARMACEUTICALS INC.      EQUITY    75886F107     1,048     54,606  SH   --     SOLE       1      54,606      --        --
REGIONS FINANCIAL CORP              EQUITY    7591EP100     8,469    428,790  SH   --     SOLE       1     428,790      --        --
REGIONS FINANCIAL CORP NEW CALL     OPTION    7591EP900         1         12  -- CALL   DEFINED      4          --      --        12
REGIONS FINANCIAL CORP NEW COM      EQUITY    7591EP100         7        373  SH   --   DEFINED      4          --      --       373
REGIONS FINANCIAL CORP NEW COM      EQUITY    7591EP100         2         78  SH   --   DEFINED      5          --      --        78
REGIONS FINL CORP NEW               EQUITY    7591EP100        16        829  SH   --     SOLE       2         829      --        --
REGIS CORP.                         EQUITY    758932107     3,915    142,408  SH   --     SOLE       1     142,408      --        --
REHAB CARE GROUP                    EQUITY    759148109       225     14,987  SH   --     SOLE       1      14,987      --        --
REINSURANCE GROUP AMER INC          EQUITY    759351109       838     15,400  SH   --     SOLE       2      15,400      --        --
REINSURANCE GROUP AMER INC COM      EQUITY    759351109        52        950  SH   --   DEFINED      5          --      --       950
REINSURANCE GROUP OF                EQUITY    759351109        60      1,107  SH   --     SOLE       1       1,107      --        --
RELIANCE STEEL & ALUMINIUM CO.      EQUITY    759509102     9,207    153,813  SH   --     SOLE       1     153,813      --        --
RELIANCE STEEL & ALUMINUM CO COM    EQUITY    759509102         6        100  SH   --   DEFINED      5          --      --       100
RELIANT ENERGY INC                  EQUITY    75952B105       304     12,862  SH   --     SOLE       1      12,862      --        --
RELIANT ENERGY INC COM              EQUITY    75952B105        10        441  SH   --   DEFINED      4          --      --       441
RELIANT ENERGY INC COM              EQUITY    75952B105        19        809  SH   --   DEFINED      5          --      --       809
RENAISSANCE LEARNING, INC.          EQUITY    75968L105       102      7,276  SH   --     SOLE       1       7,276      --        --
RENAISSANCERE HOLDINGS LTD          EQUITY    G7496G103       371      7,149  SH   --     SOLE       2       7,149      --        --
RENAISSANCERE HOLDINGS LTD COM      EQUITY    G7496G103       208      4,000  SH   --   DEFINED      5          --      --     4,000
RENASANT CORP                       EQUITY    75970E107       409     18,172  SH   --     SOLE       1      18,172      --        --
RENT-A-CENTER INC                   EQUITY    76009N100     3,950    215,233  SH   --     SOLE       1     215,233      --        --
RENTECH INC                         EQUITY    760112102       124    139,647  SH   --     SOLE       1     139,647      --        --
RENTECH INC COM                     EQUITY    760112102         4      5,000  SH   --   DEFINED      5          --      --     5,000
REPUBLIC AIRWAYS HOLDINGS IN        EQUITY    760276105       594     27,423  SH   --     SOLE       1      27,423      --        --
REPUBLIC BANCORP, INC.              EQUITY    760281204       154      8,131  SH   --     SOLE       1       8,131      --        --
REPUBLIC SERVICES IN                EQUITY    760759100    11,031    377,252  SH   --     SOLE       1     377,252      --        --
REPUBLIC SVCS INC COM               EQUITY    760759100         5        187  SH   --   DEFINED      4          --      --       187
RES-CARE INC                        EQUITY    760943100       358     20,899  SH   --     SOLE       1      20,899      --        --
RESEARCH IN MOTION LTD              EQUITY    760975102    13,768    122,395  SH   --    OTHER       1          -- 122,395        --
RESEARCH IN MOTION LTD              EQUITY    760975102     7,104     63,300  SH   --     SOLE       2      63,300      --        --
RESEARCH IN MOTION LTD COM          EQUITY    760975102       309      2,753  SH   --   DEFINED      4          --      --     2,753
RESEARCH IN MOTION LTD COM          EQUITY    760975102        75        665  SH   --   DEFINED      5          --      --       665
RESMED INC                          EQUITY    761152107     7,811    185,172  SH   --     SOLE       1     185,172      --        --
RESMED INC COM                      EQUITY    761152107     5,585    132,400  SH   --     SOLE       3     132,400      --   132,400
RESOURCE AMERICA, INC.              EQUITY    761195205       107     11,339  SH   --     SOLE       1      11,339      --        --
RESOURCE CAPITAL CORP               EQUITY    76120W302       143     18,893  SH   --     SOLE       1      18,893      --        --
RESOURCES GLOBAL PROFESSIONALS      EQUITY    76122Q105       695     38,879  SH   --     SOLE       1      38,879      --        --
RESPIRONICS INC COM                 EQUITY    761230101         4         59  SH   --   DEFINED      4          --      --        59
RETAIL VENTURES INC                 EQUITY    76128Y102       115     23,661  SH   --     SOLE       1      23,661      --        --





                                                                                          
REVLON, INC.-CL A                   EQUITY    761525500       165    168,764  SH   --     SOLE       1     168,764      --        --
REX ENERGY CORP                     EQUITY    761565100       137      8,246  SH   --     SOLE       1       8,246      --        --
REX ENERGY CORPORATION COM          EQUITY    761565100     1,827    109,800  SH   --     SOLE       3     109,800      --   109,800
REYNOLDS AMERICAN INC               EQUITY    761713106     5,670     96,050  SH   --     SOLE       1      96,050      --        --
REYNOLDS AMERICAN INC COM           EQUITY    761713106       130      2,200  SH   --   DEFINED      5          --      --     2,200
REYNOLDS AMERN INC                  EQUITY    761713106     5,752     97,444  SH   --     SOLE       2      97,444      --        --
RF MICRO DEVICES INC                EQUITY    749941100     2,443    918,235  SH   --     SOLE       1     918,235      --        --
RF MICRODEVICES INC COM             EQUITY    749941100         1        500  SH   --   DEFINED      5          --      --       500
RF MONOLITHICS INC COM(OXFORD
PTNRS LP)                           EQUITY    74955F106        12      4,973  SH   --     SOLE       1       4,973      --        --
RIGEL PHARMACEUTICALS INC           EQUITY    766559603       577     30,919  SH   --     SOLE       1      30,919      --        --
RIGHTNOW TECHNOLOGIES INC           EQUITY    76657R106       184     15,499  SH   --     SOLE       1      15,499      --        --
RIMAGE CORP                         EQUITY    766721104       190      8,666  SH   --     SOLE       1       8,666      --        --
RISKMETRICS GROUP INC               EQUITY    767735103       353     18,242  SH   --     SOLE       1      18,242      --        --
RITCHIE BROS AUCTIONEERS INC        EQUITY    767744105        46        552  SH   --    OTHER       1          --     552        --
RITE AID CORP                       EQUITY    767754104        62     20,949  SH   --     SOLE       1      20,949      --        --
RITE AID CORP COM                   EQUITY    767754104        22      7,400  SH   --   DEFINED      5          --      --     7,400
RIVERVIEW BANCORP INC COM           EQUITY    769397100         5        500  SH   --   DEFINED      5          --      --       500
RIVIERA HOLDINGS CORP               EQUITY    769627100       180      8,725  SH   --     SOLE       1       8,725      --        --
RLI CORP COM                        EQUITY    749607107        74      1,485  SH   --   DEFINED      5          --      --     1,485
RLI CORP.                           EQUITY    749607107       828     16,706  SH   --     SOLE       1      16,706      --        --
RMK HIGH INCOME FD INC COM SHS      EQUITY    74963B105        47     13,527  SH   --   DEFINED      5          --      --    13,527
ROBBINS & MYERS, INC.               EQUITY    770196103       789     24,159  SH   --     SOLE       1      24,159      --        --
ROBERT HALF INTERNATIONAL INC.      EQUITY    770323103     1,764     68,527  SH   --     SOLE       1      68,527      --        --
ROBERT HALF INTL INC                EQUITY    770323103         5        190  SH   --     SOLE       2         190      --        --
ROCHESTER MED CORP COM              EQUITY    771497104         3        300  SH   --   DEFINED      4          --      --       300
ROCHESTER MED CORP COM              EQUITY    771497104         1        100  SH   --   DEFINED      5          --      --       100
ROCK-TENN CO., CLASS A              EQUITY    772739207       856     28,562  SH   --     SOLE       1      28,562      --        --
ROCKVILLE FINANCIAL INC             EQUITY    774186100       105      7,628  SH   --     SOLE       1       7,628      --        --
ROCKWELL AUTOMATION INC             EQUITY    773903109    11,801    205,529  SH   --     SOLE       1     205,529      --        --
ROCKWELL AUTOMATION INC             EQUITY    773903109        10        177  SH   --     SOLE       2         177      --        --
ROCKWELL AUTOMATION INC COM         EQUITY    773903109         6        100  SH   --   DEFINED      5          --      --       100
ROCKWELL COLLINS INC                EQUITY    774341101     6,619    115,817  SH   --     SOLE       1     115,817      --        --
ROCKWELL COLLINS INC                EQUITY    774341101        11        194  SH   --     SOLE       2         194      --        --
ROCKWOOD HOLDINGS INC               EQUITY    774415103       985     30,070  SH   --     SOLE       1      30,070      --        --
ROFIN SINAR TECHNOLOGIES INC COM    EQUITY    775043102         6        124  SH   --   DEFINED      4          --      --       124
ROFIN-SINAR TECHNOLOGIES INC        EQUITY    775043102     1,198     26,672  SH   --     SOLE       1      26,672      --        --
ROGERS COMMUNICATIONS INC           EQUITY    775109200     7,563    210,467  SH   --    OTHER       1          -- 210,467        --
ROGERS COMMUNICATIONS INC CL B      EQUITY    775109200        46      1,285  SH   --   DEFINED      4          --      --     1,285
ROGERS CORP.                        EQUITY    775133101       507     15,161  SH   --     SOLE       1      15,161      --        --
ROHM + HAAS CO                      EQUITY    775371107     3,210     59,362  SH   --     SOLE       2      59,362      --        --





                                                                                          
ROHM AND HAAS CO.                   EQUITY    775371107     3,015     55,750  SH   --     SOLE       1      55,750      --        --
ROLLINS, INC.                       EQUITY    775711104     2,423    136,945  SH   --     SOLE       1     136,945      --        --
ROMA FINANCIAL CORP                 EQUITY    77581P109       130      8,699  SH   --     SOLE       1       8,699      --        --
ROPER INDS INC NEW COM              EQUITY    776696106         4         70  SH   --   DEFINED      5          --      --        70
ROPER INDUSTRIES, INC.              EQUITY    776696106    12,668    213,126  SH   --     SOLE       1     213,126      --        --
ROSETTA RESOURCES INC               EQUITY    777779307       857     43,557  SH   --     SOLE       1      43,557      --        --
ROSS STORES INC COM                 EQUITY    778296103         9        300  SH   --   DEFINED      5          --      --       300
ROSS STORES, INC.                   EQUITY    778296103     9,674    322,903  SH   --     SOLE       1     322,903      --        --
ROWAN COMPANIES, INC.               EQUITY    779382100     2,020     49,057  SH   --     SOLE       1      49,057      --        --
ROWAN COS INC                       EQUITY    779382100         5        133  SH   --     SOLE       2         133      --        --
ROYAL BANCSHARES OF PENN-A          EQUITY    780081105        67      4,648  SH   --     SOLE       1       4,648      --        --
ROYAL BANK OF CANADA                EQUITY    780087102    17,329    371,317  SH   --    OTHER       1          -- 371,317        --
ROYAL BANK OF SCOTLAND GROUP PLC    EQUITY    780097754       584     25,000  SH   --     SOLE       1      25,000      --        --
ROYAL BANK OF SCOTLAND GROUP PLC    EQUITY    780097804     2,263     90,000  SH   --     SOLE       1      90,000      --        --
ROYAL BANK OF SCOTLAND GROUP PLC    EQUITY    780097747     3,653    171,900  SH   --     SOLE       1     171,900      --        --
ROYAL BANK OF SCOTLAND GROUP PLC    EQUITY    780097713     8,883    363,000  SH   --     SOLE       1     363,000      --        --
ROYAL BK OF SCOT PERP               EQUITY    780097770     1,214     55,000  SH   --     SOLE       1      55,000      --        --
ROYAL BK SCOTLAND GROUP PLC SP
ADR L RP PF                         EQUITY    780097788         8        425  SH   --   DEFINED      4          --      --       425
ROYAL BK SCOTLAND GROUP PLC SP
ADR L RP PF                         EQUITY    780097788       201     10,225  SH   --   DEFINED      5          --      --    10,225
ROYAL BK SCOTLAND GROUP PLC SP
ADR PREF M                          EQUITY    780097796        12        556  SH   --   DEFINED      5          --      --       556
ROYAL BK SCOTLAND GROUP PLC SP
ADR PREF T                          EQUITY    780097713         5        200  SH   --   DEFINED      4          --      --       200
ROYAL CARIBBEAN CRUISES LT          EQUITY    V7780T103        20        600  SH   --     SOLE       2         600      --        --
ROYAL DUTCH SHELL PLC SPON ADR B    EQUITY    780259107        35        517  SH   --   DEFINED      4          --      --       517
ROYAL DUTCH SHELL PLC SPON ADR B    EQUITY    780259107        35        516  SH   --   DEFINED      5          --      --       516
ROYAL DUTCH SHELL PLC SPONS
ADR A                               EQUITY    780259206         7        105  SH   --   DEFINED      4          --      --       105
ROYAL DUTCH SHELL PLC SPONS
ADR A                               EQUITY    780259206        53        775  SH   --   DEFINED      5          --      --       775
ROYAL GOLD INC                      EQUITY    780287108       658     21,826  SH   --     SOLE       1      21,826      --        --
ROYAL GOLD INC COM                  EQUITY    780287108         5        150  SH   --   DEFINED      5          --      --       150
ROYCE MICRO-CAP TR INC COM          EQUITY    780915104         8        763  SH   --   DEFINED      4          --      --       763
ROYCE VALUE TR INC COM              EQUITY    780910105        52      3,341  SH   --   DEFINED      4          --      --     3,341
ROYCE VALUE TR INC COM              EQUITY    780910105         2        105  SH   --   DEFINED      5          --      --       105
RPC                                 EQUITY    749660106       420     27,636  SH   --     SOLE       1      27,636      --        --
RPM INTERNATIONAL INC.              EQUITY    749685103     6,064    289,573  SH   --     SOLE       1     289,573      --        --
RSC HOLDINGS INC                    EQUITY    74972L102       195     17,875  SH   --     SOLE       1      17,875      --        --
RTI BIOLOGICS INC                   EQUITY    74975N105       367     38,852  SH   --     SOLE       1      38,852      --        --
RTI INTERNATIONAL METALS, INC.      EQUITY    74973W107       895     19,787  SH   --     SOLE       1      19,787      --        --
RTI INTL METALS INC COM             EQUITY    74973W107        18        400  SH   --   DEFINED      4          --      --       400
RUBICON TECHNOLOGY INC              EQUITY    78112T107       162      5,583  SH   --     SOLE       1       5,583      --        --
RUBY TUESDAY, INC.                  EQUITY    781182100     1,270    169,392  SH   --     SOLE       1     169,392      --        --
RUDDICK CORP.                       EQUITY    781258108     4,543    123,257  SH   --     SOLE       1     123,257      --        --





                                                                                          
RUDOLPH TECHNOLOGIES INC.           EQUITY    781270103       244     24,958  SH   --     SOLE       1      24,958      --        --
RURAL CELLULAR CORP                 EQUITY    781904107       463     10,462  SH   --     SOLE       1      10,462      --        --
RUSH ENTERPRISES INC-CL A           EQUITY    781846209       451     28,476  SH   --     SOLE       1      28,476      --        --
RUSS BERRIE AND CO., INC.           EQUITY    782233100       201     14,267  SH   --     SOLE       1      14,267      --        --
RUTH'S CHRIS STEAK HOUSE            EQUITY    783332109       113     16,316  SH   --     SOLE       1      16,316      --        --
RXI PHARMACEUTICALS CORP COM
ADDED                               EQUITY    74978T109         7        748  SH   --   DEFINED      4          --      --       748
RXI PHARMACEUTICALS CORP COM
ADDED                               EQUITY    74978T109         3        299  SH   --   DEFINED      5          --      --       299
RYANAIR HLDGS PLC SPONSORED ADR     EQUITY    783513104        37      1,301  SH   --   DEFINED      5          --      --     1,301
RYANAIR HOLDINGS PLC-SP ADR         EQUITY    783513104       272      9,625  SH   --     SOLE       1       9,625      --        --
RYDER SYS INC                       EQUITY    783549108         4         69  SH   --     SOLE       2          69      --        --
RYDER SYSTEM, INC.                  EQUITY    783549108     1,600     26,264  SH   --     SOLE       1      26,264      --        --
RYDEX ETF TRUST HEALTH CARE         EQUITY    78355W841        51        992  SH   --   DEFINED      4          --      --       992
RYDEX ETF TRUST INV S&P500 2X       EQUITY    78355W767        12        125  SH   --   DEFINED      5          --      --       125
RYDEX ETF TRUST S&P 500 EQ TRD      EQUITY    78355W106       625     14,591  SH   --   DEFINED      4          --      --    14,591
RYDEX ETF TRUST S&P 500 EQ TRD      EQUITY    78355W106       126      2,943  SH   --   DEFINED      5          --      --     2,943
RYDEX ETF TRUST TOP 50 ETF          EQUITY    78355W205       175      1,774  SH   --   DEFINED      4          --      --     1,774
RYDEX ETF TRUST TOP 50 ETF          EQUITY    78355W205        87        887  SH   --   DEFINED      5          --      --       887
RYLAND GROUP                        EQUITY    783764103     3,358    102,087  SH   --     SOLE       1     102,087      --        --
S J W CORP COM                      EQUITY    784305104       372     13,008  SH   --     SOLE       1      13,008      --        --
S&P 500 COVERED CALL FD INC COM     EQUITY    78381P109         8        500  SH   --   DEFINED      5          --      --       500
S&P 500 DEPOSITORY RECEIPT          EQUITY    78462F103   110,888    841,014  SH   --     SOLE       1     841,014      --        --
S&T BANCORP, INC.                   EQUITY    783859101       684     21,277  SH   --     SOLE       1      21,277      --        --
S.Y. BANCORP INC                    EQUITY    785060104       232     10,000  SH   --     SOLE       1      10,000      --        --
S1 CORPORATION                      EQUITY    78463B101       315     44,287  SH   --     SOLE       1      44,287      --        --
SABINE ROYALTY TR UNIT BEN INT      EQUITY    785688102       272      5,392  SH   --   DEFINED      4          --      --     5,392
SABINE ROYALTY TR UNIT BEN INT      EQUITY    785688102         8        154  SH   --   DEFINED      5          --      --       154
SAFECO CORP                         EQUITY    786429100         5        107  SH   --     SOLE       2         107      --        --
SAFECO CORP COM                     EQUITY    786429100         2         43  SH   --   DEFINED      5          --      --        43
SAFECO CORP.                        EQUITY    786429100    12,734    290,211  SH   --     SOLE       1     290,211      --        --
SAFEGUARD SCIENTIFICS, INC.         EQUITY    786449108       155    103,771  SH   --     SOLE       1     103,771      --        --
SAFETY INSURANCE GROUP INC          EQUITY    78648T100       475     13,920  SH   --     SOLE       1      13,920      --        --
SAFEWAY INC                         EQUITY    786514208    19,146    652,323  SH   --     SOLE       1     652,323      --        --
SAFEWAY INC                         EQUITY    786514208     1,405     47,866  SH   --     SOLE       2      47,866      --        --
SAFEWAY INC COM NEW                 EQUITY    786514208         7        240  SH   --   DEFINED      4          --      --       240
SAIA INC                            EQUITY    78709Y105       182     11,470  SH   --     SOLE       1      11,470      --        --
SAIC INC                            EQUITY    78390X101     2,661    143,121  SH   --     SOLE       1     143,121      --        --
SAIC INC COM                        EQUITY    78390X101         6        300  SH   --   DEFINED      4          --      --       300
SAIC INC COM                        EQUITY    78390X101        16        850  SH   --   DEFINED      5          --      --       850
SAKS INC                            EQUITY    79377W108     4,253    341,044  SH   --     SOLE       1     341,044      --        --
SAKS INC COM                        EQUITY    79377W108         4        350  SH   --   DEFINED      4          --      --       350





                                                                                          
SALARY.COM INC                      EQUITY    794006106     1,152    174,841  SH   --     SOLE       1     174,841      --        --
SALEM COMMUNICATION- CLASS A        EQUITY    794093104        32      7,897  SH   --     SOLE       1       7,897      --        --
SALESFORCE COM INC                  EQUITY    79466L302     1,874     32,390  SH   --     SOLE       2      32,390      --        --
SALESFORCE COM INC COM              EQUITY    79466L302         5         81  SH   --   DEFINED      5          --      --        81
SALESFORCE.COM INC                  EQUITY    79466L302       118      2,034  SH   --     SOLE       1       2,034      --        --
SALESFORCE.COM INC.                 EQUITY    79466L302     7,014    121,200  SH   --     SOLE       3     121,200      --   121,200
SALIX PHARMACEUTICALS               EQUITY    795435106       254     40,465  SH   --     SOLE       1      40,465      --        --
SALLY BEAUTY CO INC                 EQUITY    79546E104       554     80,290  SH   --     SOLE       1      80,290      --        --
SAN JUAN BASIN RTY TR UNIT BEN
INT                                 EQUITY    798241105       181      4,856  SH   --   DEFINED      4          --      --     4,856
SAN JUAN BASIN RTY TR UNIT BEN
INT                                 EQUITY    798241105        13        360  SH   --   DEFINED      5          --      --       360
SANDERS MORRIS HARRIS GRP IN        EQUITY    80000Q104       130     15,938  SH   --     SOLE       1      15,938      --        --
SANDERSON FARMS, INC.               EQUITY    800013104       551     14,507  SH   --     SOLE       1      14,507      --        --
SANDISK CORP                        EQUITY    80004C101        25      1,124  SH   --     SOLE       2       1,124      --        --
SANDISK CORP COM                    EQUITY    80004C101         3        150  SH   --   DEFINED      5          --      --       150
SANDISK CORP.                       EQUITY    80004C101     2,495    110,533  SH   --     SOLE       1     110,533      --        --
SANDRIDGE ENERGY INC                EQUITY    80007P307        24        613  SH   --     SOLE       1         613      --        --
SANDRIDGE ENERGY INC COM            EQUITY    80007P307     4,201    107,300  SH   --     SOLE       3     107,300      --   107,300
SANDRIDGE ENERGY INC COM            EQUITY    80007P307        12        300  SH   --   DEFINED      4          --      --       300
SANDY SPRING BANCORP, INC.          EQUITY    800363103       372     13,501  SH   --     SOLE       1      13,501      --        --
SANGAMO BIOSCIENCES INC             EQUITY    800677106       203     20,000  SH   --     SOLE       2      20,000      --        --
SANGAMO BIOSCIENCES INC COM         EQUITY    800677106         9        900  SH   --   DEFINED      4          --      --       900
SANMINA - SCI CORP                  EQUITY    800907107       220    135,784  SH   --     SOLE       1     135,784      --        --
SANMINA SCI CORP COM                EQUITY    800907107         2      1,000  SH   --   DEFINED      5          --      --     1,000
SANOFI AVENTIS SPONSORED ADR        EQUITY    80105N105         4        105  SH   --   DEFINED      5          --      --       105
SANTANDER BANCORP                   EQUITY    802809103        38      3,725  SH   --     SOLE       1       3,725      --        --
SANTARUS INC                        EQUITY    802817304       112     43,503  SH   --     SOLE       1      43,503      --        --
SAPIENT CORP.                       EQUITY    803062108       487     69,934  SH   --     SOLE       1      69,934      --        --
SAPPI LTD SPON ADR NEW              EQUITY    803069202         2        162  SH   --   DEFINED      5          --      --       162
SARA LEE CORP                       EQUITY    803111103        12        851  SH   --     SOLE       2         851      --        --
SARA LEE CORP COM                   EQUITY    803111103       188     13,427  SH   --   DEFINED      4          --      --    13,427
SARA LEE CORP COM                   EQUITY    803111103         2        109  SH   --   DEFINED      5          --      --       109
SARA LEE CORP.                      EQUITY    803111103     4,544    325,069  SH   --     SOLE       1     325,069      --        --
SASOL LTD SPONSORED ADR             EQUITY    803866300        38        782  SH   --   DEFINED      5          --      --       782
SATYAM COMPUTER SERVICES LTD ADR    EQUITY    804098101        15        670  SH   --   DEFINED      4          --      --       670
SAUER-DANFOSS INC.                  EQUITY    804137107       208      9,414  SH   --     SOLE       1       9,414      --        --
SAUL CENTERS, INC.                  EQUITY    804395101       172      3,431  SH   --     SOLE       1       3,431      --        --
SAVIENT PHARMACEUTICALS IN          EQUITY    80517Q100       380     19,000  SH   --     SOLE       2      19,000      --        --
SAVIENT PHARMACEUTICALS INC         EQUITY    80517Q100       911     45,558  SH   --     SOLE       1      45,558      --        --
SAVIENT PHARMACEUTICALS INC COM     EQUITY    80517Q100         3        150  SH   --   DEFINED      4          --      --       150
SAVVIS INC                          EQUITY    805423308       383     23,567  SH   --     SOLE       1      23,567      --        --





                                                                                          
SBA COMMUNICATIONS CORPORATION      EQUITY    78388J106        32      1,070  SH   --     SOLE       1       1,070      --        --
SCANA CORP                          EQUITY    80589M102    10,318    282,060  SH   --     SOLE       1     282,060      --        --
SCANA CORP NEW COM                  EQUITY    80589M102         4        117  SH   --   DEFINED      5          --      --       117
SCANSOURCE INC                      EQUITY    806037107       799     22,086  SH   --     SOLE       1      22,086      --        --
SCBT FINANCIAL CORP                 EQUITY    78401V102       295      8,717  SH   --     SOLE       1       8,717      --        --
SCHAWK, INC.                        EQUITY    806373106       202     12,631  SH   --     SOLE       1      12,631      --        --
SCHEIN HENRY INC COM                EQUITY    806407102         9        150  SH   --   DEFINED      5          --      --       150
SCHERING PLOUGH CORP                EQUITY    806605101     1,895    131,537  SH   --     SOLE       2     131,537      --        --
SCHERING PLOUGH CORP COM            EQUITY    806605101         5        326  SH   --   DEFINED      4          --      --       326
SCHERING PLOUGH CORP COM            EQUITY    806605101        59      4,102  SH   --   DEFINED      5          --      --     4,102
SCHERING-PLOUGH CORP.               EQUITY    806605101    21,513  1,492,912  SH   --     SOLE       1   1,492,912      --        --
SCHLUMBERGER LTD                    EQUITY    806857108    10,793    124,062  SH   --     SOLE       2     124,062      --        --
SCHLUMBERGER LTD COM                EQUITY    806857108       109      1,255  SH   --   DEFINED      4          --      --     1,255
SCHLUMBERGER LTD COM                EQUITY    806857108        82        947  SH   --   DEFINED      5          --      --       947
SCHLUMBERGER LTD DBCV 1.500% 6/0 FIXED INCOME 806857AC2         7          3 PRN   --   DEFINED      4          --      --         3
SCHLUMBERGER, LTD.                  EQUITY    806857108    67,727    778,467  SH   --     SOLE       1     778,467      --        --
SCHNITZER STL INDS                  EQUITY    806882106     1,333     18,768  SH   --     SOLE       1      18,768      --        --
SCHOLASTIC CORP.                    EQUITY    807066105     2,672     88,261  SH   --     SOLE       1      88,261      --        --
SCHOOL SPECIALTY, INC.              EQUITY    807863105       536     16,999  SH   --     SOLE       1      16,999      --        --
SCHULMAN, A. INC.                   EQUITY    808194104       475     23,134  SH   --     SOLE       1      23,134      --        --
SCHWAB CHARLES CORP                 EQUITY    808513105        21      1,122  SH   --     SOLE       2       1,122      --        --
SCHWEITZER-MAUDUIT INC.             EQUITY    808541106       312     13,475  SH   --     SOLE       1      13,475      --        --
SCIELE PHARMA INC                   EQUITY    808627103       590     30,252  SH   --     SOLE       1      30,252      --        --
SCIENTIFIC GAMES CORP               EQUITY    80874P109    15,837    750,200  SH   --     SOLE       2     750,200      --        --
SCIENTIFIC GAMES CORP A             EQUITY    80874P109     3,282    155,480  SH   --     SOLE       1     155,480      --        --
SCORPIO MNG CORP COM (F)            EQUITY    80917v105       840    636,300  SH   --     SOLE       3     636,300      --   636,300
SCOTTS MIRACLE GRO CO CL A          EQUITY    810186106         2         75  SH   --   DEFINED      5          --      --        75
SCOTTS MIRACLE-GRO CO.              EQUITY    810186106     3,456    106,614  SH   --     SOLE       1     106,614      --        --
SCRIPPS CO                          EQUITY    811054204     1,669     39,738  SH   --     SOLE       1      39,738      --        --
SCRIPPS E W CO OH                   EQUITY    811054204         4        107  SH   --     SOLE       2         107      --        --
SEABOARD CORP.                      EQUITY    811543107       476        304  SH   --     SOLE       1         304      --        --
SEABRIDGE GOLD INC COM              EQUITY    811916105         7        300  SH   --   DEFINED      5          --      --       300
SEABRIGHT INSURANCE HLDGS IN
COM                                 EQUITY    811656107         1        100  SH   --   DEFINED      4          --      --       100
SEABRIGHT INSURANCE HOLDINGS        EQUITY    811656107       263     17,845  SH   --     SOLE       1      17,845      --        --
SEACHANGE INTERNATIONAL, INC.       EQUITY    811699107       178     25,293  SH   --     SOLE       1      25,293      --        --
SEACOAST BANKING CORP FL            EQUITY    811707306       139     12,697  SH   --     SOLE       1      12,697      --        --
SEACOR HOLDINGS INC                 EQUITY    811904101       551      6,460  SH   --     SOLE       1       6,460      --        --
SEAGATE TECHNOLOGY                  EQUITY    G7945J104       154      7,350  SH   --     SOLE       2       7,350      --        --
SEAGATE TECHNOLOGY SHS              EQUITY    G7945J104         6        291  SH   --   DEFINED      4          --      --       291
SEAGATE TECHNOLOGY SHS              EQUITY    G7945J104         6        293  SH   --   DEFINED      5          --      --       293





                                                                                          
SEALED AIR CORP                     EQUITY    81211K100     1,801     71,335  SH   --     SOLE       1      71,335      --        --
SEALED AIR CORP NEW                 EQUITY    81211K100         5        193  SH   --     SOLE       2         193      --        --
SEALED AIR CORP NEW COM             EQUITY    81211K100        11        420  SH   --   DEFINED      5          --      --       420
SEALY CORP                          EQUITY    812139301       292     38,364  SH   --     SOLE       1      38,364      --        --
SEARS HLDGS CORP                    EQUITY    812350106         9         87  SH   --     SOLE       2          87      --        --
SEARS HLDGS CORP COM                EQUITY    812350106         8         75  SH   --   DEFINED      5          --      --        75
SEARS HOLDINGS CORP                 EQUITY    812350106     3,797     37,189  SH   --     SOLE       1      37,189      --        --
SEASPAN CORP SHS                    EQUITY    Y75638109         4        127  SH   --   DEFINED      4          --      --       127
SEASPAN CORP SHS                    EQUITY    Y75638109         9        300  SH   --   DEFINED      5          --      --       300
SEATTLE GENETICS INC WA             EQUITY    812578102       456     50,157  SH   --     SOLE       1      50,157      --        --
SECURE COMPUTING CORP               EQUITY    813705100       258     39,974  SH   --     SOLE       1      39,974      --        --
SECURITY BANK CORP                  EQUITY    814047106       143     17,959  SH   --     SOLE       1      17,959      --        --
SECURITY BANK CORP COM              EQUITY    814047106        10      1,300  SH   --   DEFINED      4          --      --     1,300
SEI INVESTMENTS CO.                 EQUITY    784117103     7,495    303,550  SH   --     SOLE       1     303,550      --        --
SELECT COMFORT CORP                 EQUITY    81616X103       145     40,175  SH   --     SOLE       1      40,175      --        --
SELECT SECTOR SPDR TR SBI CONS
DISCR                               EQUITY    81369Y407         7        221  SH   --   DEFINED      5          --      --       221
SELECT SECTOR SPDR TR SBI CONS
STPLS                               EQUITY    81369Y308     1,218     43,715  SH   --   DEFINED      4          --      --    43,715
SELECT SECTOR SPDR TR SBI CONS
STPLS                               EQUITY    81369Y308        47      1,698  SH   --   DEFINED      5          --      --     1,698
SELECT SECTOR SPDR TR SBI
HEALTHCARE                          EQUITY    81369Y209       114      3,651  SH   --   DEFINED      4          --      --     3,651
SELECT SECTOR SPDR TR SBI
HEALTHCARE                          EQUITY    81369Y209        58      1,860  SH   --   DEFINED      5          --      --     1,860
SELECT SECTOR SPDR TR SBI
INT-ENERGY                          EQUITY    81369Y506     1,211     16,349  SH   --   DEFINED      4          --      --    16,349
SELECT SECTOR SPDR TR SBI
INT-ENERGY                          EQUITY    81369Y506       195      2,636  SH   --   DEFINED      5          --      --     2,636
SELECT SECTOR SPDR TR SBI
INT-FINL                            EQUITY    81369Y605       271     10,878  SH   --   DEFINED      4          --      --    10,878
SELECT SECTOR SPDR TR SBI
INT-FINL                            EQUITY    81369Y605        62      2,475  SH   --   DEFINED      5          --      --     2,475
SELECT SECTOR SPDR TR SBI
INT-INDS                            EQUITY    81369Y704       140      3,750  SH   --   DEFINED      4          --      --     3,750
SELECT SECTOR SPDR TR SBI
INT-INDS                            EQUITY    81369Y704        36        968  SH   --   DEFINED      5          --      --       968
SELECT SECTOR SPDR TR SBI
INT-TECH                            EQUITY    81369Y803       272     12,164  SH   --   DEFINED      4          --      --    12,164
SELECT SECTOR SPDR TR SBI
INT-TECH                            EQUITY    81369Y803        22        971  SH   --   DEFINED      5          --      --       971
SELECT SECTOR SPDR TR SBI
INT-UTILS                           EQUITY    81369Y886        46      1,205  SH   --   DEFINED      4          --      --     1,205
SELECT SECTOR SPDR TR SBI
INT-UTILS                           EQUITY    81369Y886       101      2,650  SH   --   DEFINED      5          --      --     2,650
SELECT SECTOR SPDR TR SBI
MATERIALS                           EQUITY    81369Y100        57      1,431  SH   --   DEFINED      4          --      --     1,431
SELECT SECTOR SPDR TR SBI
MATERIALS                           EQUITY    81369Y100       116      2,878  SH   --   DEFINED      5          --      --     2,878
SELECTIVE INSURANCE GROUP, INC      EQUITY    816300107     1,124     47,063  SH   --     SOLE       1      47,063      --        --
SEMITOOL, INC.                      EQUITY    816909105       158     19,035  SH   --     SOLE       1      19,035      --        --
SEMPRA ENERGY                       EQUITY    816851109     7,915    148,548  SH   --     SOLE       1     148,548      --        --
SEMPRA ENERGY                       EQUITY    816851109        17        312  SH   --     SOLE       2         312      --        --
SEMPRA ENERGY COM                   EQUITY    816851109        18        330  SH   --   DEFINED      4          --      --       330
SEMPRA ENERGY COM                   EQUITY    816851109        57      1,062  SH   --   DEFINED      5          --      --     1,062
SEMTECH CORP COM                    EQUITY    816850101        12        848  SH   --   DEFINED      4          --      --       848
SEMTECH CORP COM                    EQUITY    816850101         9        646  SH   --   DEFINED      5          --      --       646





                                                                                          
SEMTECH CORP.                       EQUITY    816850101     2,955    206,245  SH   --     SOLE       1     206,245      --        --
SENIOR HOUSING PROP TRUST           EQUITY    81721M109     1,929     81,405  SH   --     SOLE       1      81,405      --        --
SENOMYX INC                         EQUITY    81724Q107       154     26,022  SH   --     SOLE       1      26,022      --        --
SENORX INC                          EQUITY    81724W104     4,031    625,000  SH   --     SOLE       1     625,000      --        --
SENSIENT TECHNOLOGIES CORP.         EQUITY    81725T100     4,528    153,527  SH   --     SOLE       1     153,527      --        --
SEPRACOR INC COM                    EQUITY    817315104        15        775  SH   --   DEFINED      5          --      --       775
SEPRACOR, INC.                      EQUITY    817315104     5,223    267,581  SH   --     SOLE       1     267,581      --        --
SERVICE CORP INTERNATIONAL          EQUITY    817565104     6,378    628,994  SH   --     SOLE       1     628,994      --        --
SHANDA INTERACTIVE ENTMT L          EQUITY    81941Q203       713     24,500  SH   --     SOLE       2      24,500      --        --
SHAW COMMUNICATIONS INC - B         EQUITY    82028K200     2,174    119,514  SH   --    OTHER       1          -- 119,514        --
SHAW GROUP INC                      EQUITY    820280105        87      1,846  SH   --     SOLE       1       1,846      --        --
SHAW GROUP INC COM                  EQUITY    820280105        17        362  SH   --   DEFINED      5          --      --       362
SHENANDOAH TELECOMMUNI              EQUITY    82312B106       297     20,021  SH   --     SOLE       1      20,021      --        --
SHENGDATECH INC                     EQUITY    823213103       209     24,551  SH   --     SOLE       1      24,551      --        --
SHERWIN WILLIAMS CO                 EQUITY    824348106       163      3,202  SH   --     SOLE       2       3,202      --        --
SHERWIN WILLIAMS CO COM             EQUITY    824348106        10        200  SH   --   DEFINED      5          --      --       200
SHERWIN-WILLIAMS CO.                EQUITY    824348106     6,635    129,992  SH   --     SOLE       1     129,992      --        --
SHIP FINANCE INTERNATIONAL L SHS    EQUITY    G81075106         4        162  SH   --   DEFINED      4          --      --       162
SHIP FINANCE INTERNATIONAL L SHS    EQUITY    G81075106       214      8,156  SH   --   DEFINED      5          --      --     8,156
SHOE CARNIVAL INC                   EQUITY    824889109       102      7,516  SH   --     SOLE       1       7,516      --        --
SHORETEL INC                        EQUITY    825211105        40      7,768  SH   --     SOLE       1       7,768      --        --
SHUFFLE MASTER, INC.                EQUITY    825549108       162     30,223  SH   --     SOLE       1      30,223      --        --
SHUTTERFLY INC                      EQUITY    82568P304       197     13,222  SH   --     SOLE       1      13,222      --        --
SI INTERNATIONAL INC                EQUITY    78427V102       216     11,246  SH   --     SOLE       1      11,246      --        --
SIEMENS A G SPONSORED ADR           EQUITY    826197501        10         95  SH   --   DEFINED      4          --      --        95
SIEMENS A G SPONSORED ADR           EQUITY    826197501        17        156  SH   --   DEFINED      5          --      --       156
SIERRA BANCORP                      EQUITY    82620P102       141      6,511  SH   --     SOLE       1       6,511      --        --
SIERRA PAC RES NEW                  EQUITY    826428104       114      9,040  SH   --     SOLE       2       9,040      --        --
SIERRA PACIFIC RESOURCES            EQUITY    826428104     7,178    568,354  SH   --     SOLE       1     568,354      --        --
SIGMA ALDRICH                       EQUITY    826552101         9        155  SH   --     SOLE       2         155      --        --
SIGMA ALDRICH CORP COM              EQUITY    826552101        13        212  SH   --   DEFINED      5          --      --       212
SIGMA ALDRICH CORP.                 EQUITY    826552101     3,757     62,992  SH   --     SOLE       1      62,992      --        --
SIGMA DESIGNS INC                   EQUITY    826565103       575     25,362  SH   --     SOLE       1      25,362      --        --
SIGMA DESIGNS INC COM               EQUITY    826565103        18        800  SH   --   DEFINED      5          --      --       800
SIGNATURE BANK                      EQUITY    82669G104       649     25,456  SH   --     SOLE       1      25,456      --        --
SILGAN HOLDINGS, INC.               EQUITY    827048109     1,056     21,274  SH   --     SOLE       1      21,274      --        --
SILICON GRAPHICS INC                EQUITY    827056300        66      5,595  SH   --     SOLE       1       5,595      --        --
SILICON IMAGE  INC                  EQUITY    82705T102       377     75,294  SH   --     SOLE       1      75,294      --        --
SILICON IMAGE INC COM               EQUITY    82705T102         8      1,500  SH   --   DEFINED      4          --      --     1,500
SILICON IMAGE INC COM               EQUITY    82705T102        10      1,900  SH   --   DEFINED      5          --      --     1,900





                                                                                          
SILICON LABORATORIES INC            EQUITY    826919102     3,971    125,890  SH   --     SOLE       1     125,890      --        --
SILICON LABORATORIES INC COM        EQUITY    826919102        12        381  SH   --   DEFINED      5          --      --       381
SILICON MOTION TECHNOLOGY CO
SPONSORED ADR                       EQUITY    82706C108         7        500  SH   --   DEFINED      4          --      --       500
SILICON STORAGE TECHNOLOGY          EQUITY    827057100       204     77,928  SH   --     SOLE       1      77,928      --        --
SILICONWARE PRECISION INDS
L SPONSD ADR SPL                    EQUITY    827084864        18      2,164  SH   --   DEFINED      4          --      --     2,164
SILVER STATE BANCORP COM            EQUITY    828251108        26      3,000  SH   --   DEFINED      5          --      --     3,000
SILVER STD RES INC COM              EQUITY    82823L106         3        115  SH   --   DEFINED      5          --      --       115
SILVER WHEATON CORP                 EQUITY    828336107       736     47,467  SH   --    OTHER       1          --  47,467        --
SILVER WHEATON CORP COM             EQUITY    828336107       103      6,607  SH   --   DEFINED      5          --      --     6,607
SILVER WHEATON CORP COM (F)         EQUITY    828336107     1,940    124,900  SH   --     SOLE       3     124,900      --   124,900
SIMMONS FIRST NATIONAL CORP.        EQUITY    828730200       360     12,122  SH   --     SOLE       1      12,122      --        --
SIMON PPTY GROUP INC NEW            EQUITY    828806109        25        267  SH   --     SOLE       2         267      --        --
SIMON PROPERTY GROUP INC            EQUITY    828806109    27,387    294,764  SH   --     SOLE       1     294,764      --        --
SIMPSON MANUFACTURING CO INC
COM                                 EQUITY    829073105         2         60  SH   --   DEFINED      5          --      --        60
SIMPSON MANUFACTURING CO.           EQUITY    829073105       860     31,645  SH   --     SOLE       1      31,645      --        --
SINCLAIR BROADCAST GROUP, INC.      EQUITY    829226109       376     42,195  SH   --     SOLE       1      42,195      --        --
SINOPEC SHANGHAI PETROCHEMIC
SPON ADR H                          EQUITY    82935M109        15        420  SH   --   DEFINED      4          --      --       420
SIRF TECHNOLOGY HLDGS INC COM       EQUITY    82967H101       117     23,050  SH   --   DEFINED      5          --      --    23,050
SIRF TECHNOLOGY HOLDINGS INC        EQUITY    82967H101       262     51,486  SH   --     SOLE       1      51,486      --        --
SIRIUS SATELLITE RADIO INC COM      EQUITY    82966U103        56     19,660  SH   --   DEFINED      4          --      --    19,660
SIRIUS SATELLITE RADIO INC COM      EQUITY    82966U103       203     70,882  SH   --   DEFINED      5          --      --    70,882
SIRIUS SATELLITE RADIO INC.         EQUITY    82966U103     1,547    540,842  SH   --     SOLE       1     540,842      --        --
SIRONA DENTAL SYS INC               EQUITY    82966C103     6,559    243,200  SH   --     SOLE       2     243,200      --        --
SIRONA DENTAL SYSTEMS INC           EQUITY    82966C103       388     14,369  SH   --     SOLE       1      14,369      --        --
SIRONA DENTAL SYSTEMS INC COM       EQUITY    82966C103         4        150  SH   --   DEFINED      5          --      --       150
SIRTRIS PHARMACEUTICALS INC         EQUITY    82968A105        71      5,470  SH   --     SOLE       1       5,470      --        --
SIX FLAGS, INC                      EQUITY    83001P109        99     60,408  SH   --     SOLE       1      60,408      --        --
SK TELECOM LTD SPONSORED ADR        EQUITY    78440P108         4        200  SH   --   DEFINED      5          --      --       200
SKECHERS U S A INC                  EQUITY    830566105       525     26,000  SH   --     SOLE       2      26,000      --        --
SKECHERS USA INC. CL-A              EQUITY    830566105       354     17,495  SH   --     SOLE       1      17,495      --        --
SKILLED HEALTHCARE GROUP INC        EQUITY    83066R107       211     19,215  SH   --     SOLE       1      19,215      --        --
SKYLINE CORP.                       EQUITY    830830105       163      5,857  SH   --     SOLE       1       5,857      --        --
SKYWEST INC                         EQUITY    830879102     1,103     52,235  SH   --     SOLE       1      52,235      --        --
SKYWEST INC COM                     EQUITY    830879102         6        283  SH   --   DEFINED      5          --      --       283
SKYWORKS SOLUTIONS INC              EQUITY    83088M102       999    137,168  SH   --     SOLE       1     137,168      --        --
SKYWORKS SOLUTIONS INC COM          EQUITY    83088M102       402     55,193  SH   --   DEFINED      5          --      --    55,193
SL GREEN REALTY CORP                EQUITY    78440X101    12,147    149,094  SH   --     SOLE       1     149,094      --        --
SL GREEN RLTY CORP COM              EQUITY    78440X101     2,436     29,900  SH   --     SOLE       3      29,900      --    29,900
SLM CORP                            EQUITY    78442P106     2,922    190,358  SH   --     SOLE       1     190,358      --        --
SLM CORP                            EQUITY    78442P106         9        558  SH   --     SOLE       2         558      --        --





                                                                                          
SLM CORP COM                        EQUITY    78442P106         2        100  SH   --   DEFINED      4          --      --       100
SLM CORP COM                        EQUITY    78442P106        24      1,575  SH   --   DEFINED      5          --      --     1,575
SMALL CAP PREM & DIV INCM FD
COM                                 EQUITY    83165P101        25      1,700  SH   --   DEFINED      5          --      --     1,700
SMITH & NEPHEW PLC SPDN ADR NEW     EQUITY    83175M205         7        100  SH   --   DEFINED      4          --      --       100
SMITH & WESSON HLDG CORP COM        EQUITY    831756101         3        500  SH   --   DEFINED      5          --      --       500
SMITH & WESSON HOLDING CORP         EQUITY    831756101       128     25,444  SH   --     SOLE       1      25,444      --        --
SMITH INTERNATIONAL, INC.           EQUITY    832110100     5,518     85,906  SH   --     SOLE       1      85,906      --        --
SMITH INTL INC                      EQUITY    832110100       127      1,970  SH   --     SOLE       2       1,970      --        --
SMITH INTL INC COM                  EQUITY    832110100         1         16  SH   --   DEFINED      4          --      --        16
SMITH INTL INC COM                  EQUITY    832110100        20        315  SH   --   DEFINED      5          --      --       315
SMITH MICRO SOFTWARE INC            EQUITY    832154108       156     25,424  SH   --     SOLE       1      25,424      --        --
SMITH, A.O. CORP.                   EQUITY    831865209       580     17,650  SH   --     SOLE       1      17,650      --        --
SMITHFIELD FOODS INC                EQUITY    832248108     7,207    279,789  SH   --     SOLE       1     279,789      --        --
SMITHFIELD FOODS INC COM            EQUITY    832248108         2         65  SH   --   DEFINED      5          --      --        65
SMUCKER J M CO COM NEW              EQUITY    832696405        11        219  SH   --   DEFINED      4          --      --       219
SMUCKER J M CO COM NEW              EQUITY    832696405        66      1,311  SH   --   DEFINED      5          --      --     1,311
SMURFIT-STONE CONTAINER CORP.       EQUITY    832727101        74      9,602  SH   --     SOLE       1       9,602      --        --
SNAP ON INC                         EQUITY    833034101       563     11,069  SH   --     SOLE       2      11,069      --        --
SNAP ON INC COM                     EQUITY    833034101        11        210  SH   --   DEFINED      5          --      --       210
SNAP-ON, INC.                       EQUITY    833034101     1,355     26,651  SH   --     SOLE       1      26,651      --        --
SOHU COM                            EQUITY    83408W103    10,127    224,400  SH   --     SOLE       3     224,400      --   224,400
SOHU COM INC                        EQUITY    83408W103       514     11,400  SH   --     SOLE       2      11,400      --        --
SOHU COM INC COM                    EQUITY    83408W103       139      3,081  SH   --   DEFINED      4          --      --     3,081
SOHU.COM INC                        EQUITY    83408W103     2,183     48,371  SH   --     SOLE       1      48,371      --        --
SOLARFUN POWER HOLDINGS CO L
SPONSORED ADR                       EQUITY    83415U108         1        100  SH   --   DEFINED      4          --      --       100
SOLARFUN POWER HOLDINGS CO L
SPONSORED ADR                       EQUITY    83415U108        88      7,300  SH   --   DEFINED      5          --      --     7,300
SOLERA HOLDINGS INC                 EQUITY    83421A104       549     22,522  SH   --     SOLE       1      22,522      --        --
SOMAXON PHARMACEUTICALS INC         EQUITY    834453102        41      8,665  SH   --     SOLE       1       8,665      --        --
SONIC AUTOMOTIVE INC                EQUITY    83545G102       516     25,114  SH   --     SOLE       1      25,114      --        --
SONIC CORP COM                      EQUITY    835451105        25      1,135  SH   --   DEFINED      4          --      --     1,135
SONIC CORP COM                      EQUITY    835451105        38      1,720  SH   --   DEFINED      5          --      --     1,720
SONIC CORP.                         EQUITY    835451105     1,149     52,143  SH   --     SOLE       1      52,143      --        --
SONIC INNOVATIONS INC               EQUITY    83545M109       109     22,637  SH   --     SOLE       1      22,637      --        --
SONIC SOLUTIONS                     EQUITY    835460106       185     19,169  SH   --     SOLE       1      19,169      --        --
SONICWALL INC                       EQUITY    835470105       424     51,884  SH   --     SOLE       1      51,884      --        --
SONICWALL INC COM                   EQUITY    835470105         8      1,000  SH   --   DEFINED      5          --      --     1,000
SONOCO PRODS CO COM                 EQUITY    835495102        33      1,162  SH   --   DEFINED      5          --      --     1,162
SONOCO PRODUCTS CO.                 EQUITY    835495102     6,840    238,925  SH   --     SOLE       1     238,925      --        --
SONOSIGHT, INC.                     EQUITY    83568G104       405     14,239  SH   --     SOLE       1      14,239      --        --
SONOSITE INC                        EQUITY    83568G104       557     19,600  SH   --     SOLE       2      19,600      --        --





                                                                                          
SONOSITE INC COM                    EQUITY    83568G104         9        300  SH   --   DEFINED      5          --      --       300
SONUS NETWORKS INC                  EQUITY    835916107       789    229,318  SH   --     SOLE       1     229,318      --        --
SONUS NETWORKS INC COM              EQUITY    835916107         5      1,500  SH   --   DEFINED      5          --      --     1,500
SONY CORP ADR NEW                   EQUITY    835699307         4        100  SH   --   DEFINED      4          --      --       100
SONY CORP ADR NEW                   EQUITY    835699307        16        400  SH   --   DEFINED      5          --      --       400
SOTHEBY'S                           EQUITY    835898107     6,259    216,493  SH   --     SOLE       1     216,493      --        --
SOTHEBYS COM                        EQUITY    835898107         9        308  SH   --   DEFINED      5          --      --       308
SOURCE CAP INC COM                  EQUITY    836144105        27        500  SH   --   DEFINED      5          --      --       500
SOURCE INTERLINK COS INC            EQUITY    836151209        56     29,517  SH   --     SOLE       1      29,517      --        --
SOURCEFIRE INC                      EQUITY    83616T108        34      5,689  SH   --     SOLE       1       5,689      --        --
SOURCEFORGE INC                     EQUITY    83616W101       115     57,972  SH   --     SOLE       1      57,972      --        --
SOUTH FINANCIAL GROUP INC.          EQUITY    837841105       945     63,615  SH   --     SOLE       1      63,615      --        --
SOUTH JERSEY INDUSTRIES, INC.       EQUITY    838518108       888     25,278  SH   --     SOLE       1      25,278      --        --
SOUTHERN CO                         EQUITY    842587107    11,993    336,776  SH   --     SOLE       1     336,776      --        --
SOUTHERN CO                         EQUITY    842587107     2,657     74,614  SH   --     SOLE       2      74,614      --        --
SOUTHERN CO COM                     EQUITY    842587107       793     22,261  SH   --   DEFINED      4          --      --    22,261
SOUTHERN CO COM                     EQUITY    842587107       192      5,405  SH   --   DEFINED      5          --      --     5,405
SOUTHERN COPPER CORP                EQUITY    84265V105     8,994     86,625  SH   --     SOLE       1      86,625      --        --
SOUTHERN COPPER CORP COM            EQUITY    84265V105        60        577  SH   --   DEFINED      4          --      --       577
SOUTHERN COPPER CORP COM            EQUITY    84265V105       114      1,100  SH   --   DEFINED      5          --      --     1,100
SOUTHERN COPPER CORP DEL            EQUITY    84265V105     4,569     44,000  SH   --     SOLE       2      44,000      --        --
SOUTHERN UNION CO.                  EQUITY    844030106        94      4,047  SH   --     SOLE       1       4,047      --        --
SOUTHSIDE BANCSHARES INC            EQUITY    84470P109       237      9,834  SH   --     SOLE       1       9,834      --        --
SOUTHWEST AIRLINES CO.              EQUITY    844741108    10,208    823,237  SH   --     SOLE       1     823,237      --        --
SOUTHWEST AIRLS CO                  EQUITY    844741108        11        879  SH   --     SOLE       2         879      --        --
SOUTHWEST AIRLS CO COM              EQUITY    844741108       210     16,921  SH   --   DEFINED      4          --      --    16,921
SOUTHWEST AIRLS CO COM              EQUITY    844741108        14      1,132  SH   --   DEFINED      5          --      --     1,132
SOUTHWEST BANCORP INC               EQUITY    844767103       215     12,262  SH   --     SOLE       1      12,262      --        --
SOUTHWEST GAS CORP                  EQUITY    844895102     1,011     36,169  SH   --     SOLE       1      36,169      --        --
SOUTHWEST GAS CORP COM              EQUITY    844895102         4        147  SH   --   DEFINED      5          --      --       147
SOUTHWEST WTR CO                    EQUITY    845331107       229     20,650  SH   --     SOLE       1      20,650      --        --
SOUTHWEST WTR CO COM                EQUITY    845331107         8        700  SH   --   DEFINED      5          --      --       700
SOUTHWESTERN ENERGY CO COM          EQUITY    845467109     1,056     31,338  SH   --   DEFINED      4          --      --    31,338
SOUTHWESTERN ENERGY CO COM          EQUITY    845467109        54      1,600  SH   --   DEFINED      5          --      --     1,600
SOUTHWESTERN ENERGY CO.             EQUITY    845467109    27,479    815,638  SH   --     SOLE       1     815,638      --        --
SOVEREIGN BANCORP INC               EQUITY    845905108         4        432  SH   --     SOLE       2         432      --        --
SOVEREIGN BANCORP INC COM           EQUITY    845905108        68      7,339  SH   --   DEFINED      4          --      --     7,339
SOVEREIGN BANCORP INC COM           EQUITY    845905108         7        714  SH   --   DEFINED      5          --      --       714
SOVEREIGN BANCORP, INC.             EQUITY    845905108     1,550    166,317  SH   --     SOLE       1     166,317      --        --
SOVRAN SELF STORAGE, INC.           EQUITY    84610H108       586     13,718  SH   --     SOLE       1      13,718      --        --





                                                                                          
SPAIN FD COM                        EQUITY    846330108         4        300  SH   --   DEFINED      4          --      --       300
SPAIN FD COM                        EQUITY    846330108        16      1,300  SH   --   DEFINED      5          --      --     1,300
SPANISH BROADCASTING SYS, INC.
CLASS A                             EQUITY    846425882        61     34,376  SH   --     SOLE       1      34,376      --        --
SPANSION INC                        EQUITY    84649R101       239     86,959  SH   --     SOLE       1      86,959      --        --
SPARTAN MOTORS INC                  EQUITY    846819100       234     27,628  SH   --     SOLE       1      27,628      --        --
SPARTAN STORES INC                  EQUITY    846822104       388     18,593  SH   --     SOLE       1      18,593      --        --
SPARTAN STORES INC                  EQUITY    846822104     3,021    144,900  SH   --     SOLE       2     144,900      --        --
SPARTECH CORP.                      EQUITY    847220209       218     25,795  SH   --     SOLE       1      25,795      --        --
SPDR INDEX SHS FDS DJ
EURSTX50ETF                         EQUITY    78463X202         8        140  SH   --   DEFINED      4          --      --       140
SPDR INDEX SHS FDS DJ STOXX
50ETF                               EQUITY    78463X103         3         63  SH   --   DEFINED      4          --      --        63
SPDR INDEX SHS FDS DJ STOXX
50ETF                               EQUITY    78463X103        28        600  SH   --   DEFINED      5          --      --       600
SPDR INDEX SHS FDS DJWS INTL
REAL                                EQUITY    78463X863       255      4,816  SH   --   DEFINED      4          --      --     4,816
SPDR INDEX SHS FDS DJWS INTL
REAL                                EQUITY    78463X863         2         37  SH   --   DEFINED      5          --      --        37
SPDR INDEX SHS FDS LATIN AMER
ETF                                 EQUITY    78463X707        19        227  SH   --   DEFINED      5          --      --       227
SPDR INDEX SHS FDS MSCI ACWI
EXUS                                EQUITY    78463X848       489     12,993  SH   --   DEFINED      4          --      --    12,993
SPDR INDEX SHS FDS MSCI ACWI
EXUS                                EQUITY    78463X848        26        700  SH   --   DEFINED      5          --      --       700
SPDR INDEX SHS FDS RUSS NOM SC
JP                                  EQUITY    78463X822         5        117  SH   --   DEFINED      4          --      --       117
SPDR INDEX SHS FDS RUSS NOM SC
JP                                  EQUITY    78463X822         4        100  SH   --   DEFINED      5          --      --       100
SPDR INDEX SHS FDS S&P BRIC
40ETF                               EQUITY    78463X798        22        800  SH   --   DEFINED      5          --      --       800
SPDR SERIES TRUST BARCL CAP
TIPS                                EQUITY    78464A656       652     12,217  SH   --   DEFINED      4          --      --    12,217
SPDR SERIES TRUST DJWS LGCAP
GRW                                 EQUITY    78464A409         9        175  SH   --   DEFINED      4          --      --       175
SPDR SERIES TRUST DJWS LGCAP
GRW                                 EQUITY    78464A409        13        240  SH   --   DEFINED      5          --      --       240
SPDR SERIES TRUST DJWS LGCAP VAL    EQUITY    78464A508         9        127  SH   --   DEFINED      5          --      --       127
SPDR SERIES TRUST DJWS MIDCAP       EQUITY    78464A847         5         92  SH   --   DEFINED      5          --      --        92
SPDR SERIES TRUST DJWS MIDCAP GR    EQUITY    78464A821         6        100  SH   --   DEFINED      4          --      --       100
SPDR SERIES TRUST DJWS REIT ETF     EQUITY    78464A607        44        623  SH   --   DEFINED      4          --      --       623
SPDR SERIES TRUST DJWS REIT ETF     EQUITY    78464A607        13        190  SH   --   DEFINED      5          --      --       190
SPDR SERIES TRUST DJWS SCAP GR      EQUITY    78464A201         5         54  SH   --   DEFINED      5          --      --        54
SPDR SERIES TRUST DJWS SMCAP VL     EQUITY    78464A300         3         52  SH   --   DEFINED      5          --      --        52
SPDR SERIES TRUST DJWS TOTAL MKT    EQUITY    78464A805        24        250  SH   --   DEFINED      4          --      --       250
SPDR SERIES TRUST KBW BK ETF        EQUITY    78464A797         3         72  SH   --   DEFINED      4          --      --        72
SPDR SERIES TRUST KBW CAP MKTS      EQUITY    78464A771        64      1,259  SH   --   DEFINED      4          --      --     1,259
SPDR SERIES TRUST LEH INTER TREA    EQUITY    78464A672        19        327  SH   --   DEFINED      5          --      --       327
SPDR SERIES TRUST S&P HOMEBUIL      EQUITY    78464A888     3,791    174,800  SH   --     SOLE       3     174,800      --   174,800
SPDR SERIES TRUST S&P METALS MNG    EQUITY    78464A755        20        285  SH   --   DEFINED      4          --      --       285
SPDR SERIES TRUST S&P METALS MNG    EQUITY    78464A755     1,572     22,531  SH   --   DEFINED      5          --      --    22,531
SPDR TR UNIT SER 1                  EQUITY    78462F103       522      3,957  SH   --   DEFINED      4          --      --     3,957
SPDR TR UNIT SER 1                  EQUITY    78462F103       372      2,818  SH   --   DEFINED      5          --      --     2,818
SPDR TRUST                          EQUITY    78462F103       238      1,800  SH   --     SOLE       2       1,800      --        --
SPECTRA ENERGY CORP                 EQUITY    847560109    17,639    775,358  SH   --     SOLE       1     775,358      --        --





                                                                                          
SPECTRA ENERGY CORP                 EQUITY    847560109        17        756  SH   --     SOLE       2         756      --        --
SPECTRA ENERGY CORP COM             EQUITY    847560109        16        698  SH   --   DEFINED      4          --      --       698
SPECTRA ENERGY CORP COM             EQUITY    847560109       138      6,079  SH   --   DEFINED      5          --      --     6,079
SPECTRANETICS CORP                  EQUITY    84760C107       223     26,718  SH   --     SOLE       1      26,718      --        --
SPECTRUM BRANDS INC                 EQUITY    84762L105       154     33,601  SH   --     SOLE       1      33,601      --        --
SPEEDWAY MOTORSPORTS                EQUITY    847788106       300     11,947  SH   --     SOLE       1      11,947      --        --
SPEEDWAY MOTORSPORTSINC             EQUITY    847788106     2,216     88,400  SH   --     SOLE       2      88,400      --        --
SPHERION CORPORATION                EQUITY    848420105       296     48,381  SH   --     SOLE       1      48,381      --        --
SPIRIT AEROSYSTEMS HLDGS I          EQUITY    848574109     8,408    379,100  SH   --     SOLE       2     379,100      --        --
SPIRIT AEROSYSTEMS HLDGS INC
COM CL A                            EQUITY    848574109        13        600  SH   --   DEFINED      5          --      --       600
SPIRIT AEROSYSTEMS HOLDINGS INC     EQUITY    848574109        38      1,710  SH   --     SOLE       1       1,710      --        --
SPRINT NEXTEL CORP                  EQUITY    852061100    19,675  2,941,019  SH   --     SOLE       1   2,941,019      --        --
SPRINT NEXTEL CORP                  EQUITY    852061100        87     12,959  SH   --     SOLE       2      12,959      --        --
SPRINT NEXTEL CORP COM SER 1        EQUITY    852061100        18      2,668  SH   --   DEFINED      5          --      --     2,668
SPSS INC                            EQUITY    78462K102       543     14,000  SH   --     SOLE       2      14,000      --        --
SPSS, INC.                          EQUITY    78462K102       612     15,779  SH   --     SOLE       1      15,779      --        --
SPX CORP.                           EQUITY    784635104    36,783    350,648  SH   --     SOLE       1     350,648      --        --
SRA INTERNATIONAL CL A              EQUITY    78464R105     3,334    137,129  SH   --     SOLE       1     137,129      --        --
ST JOE CO COM                       EQUITY    790148100       188      4,375  SH   --   DEFINED      5          --      --     4,375
ST JUDE MED INC                     EQUITY    790849103       896     20,742  SH   --     SOLE       2      20,742      --        --
ST JUDE MED INC COM                 EQUITY    790849103        31        720  SH   --   DEFINED      4          --      --       720
ST JUDE MED INC COM                 EQUITY    790849103        37        850  SH   --   DEFINED      5          --      --       850
ST JUDE MEDICAL, INC.               EQUITY    790849103     6,339    146,775  SH   --     SOLE       1     146,775      --        --
ST. MARY LAND & EXPLORATION         EQUITY    792228108        91      2,364  SH   --     SOLE       1       2,364      --        --
STAGE STORES INC                    EQUITY    85254C305       603     37,242  SH   --     SOLE       1      37,242      --        --
STAMPS.COM INC                      EQUITY    852857200       145     14,142  SH   --     SOLE       1      14,142      --        --
STANCORP FINANCIAL GROUP, INC.      EQUITY    852891100     5,905    123,764  SH   --     SOLE       1     123,764      --        --
STANCORP FINL GROUP INC COM         EQUITY    852891100        16        334  SH   --   DEFINED      4          --      --       334
STANDARD MICROSYSTEMS CORP.         EQUITY    853626109       572     19,619  SH   --     SOLE       1      19,619      --        --
STANDARD MOTOR PRODUCTS, INC.       EQUITY    853666105        82     13,461  SH   --     SOLE       1      13,461      --        --
STANDARD PARKING CORP               EQUITY    853790103       177      8,432  SH   --     SOLE       1       8,432      --        --
STANDARD PKG CORP                   EQUITY    853790103       335     16,000  SH   --     SOLE       2      16,000      --        --
STANDARD REGISTER CO.               EQUITY    853887107       119     15,263  SH   --     SOLE       1      15,263      --        --
STANDARD-PACIFIC CORP               EQUITY    85375C101       270     55,557  SH   --     SOLE       1      55,557      --        --
STANDEX INTERNATIONAL CORP.         EQUITY    854231107       238     10,667  SH   --     SOLE       1      10,667      --        --
STANLEY INC                         EQUITY    854532108       202      6,860  SH   --     SOLE       1       6,860      --        --
STANLEY WORKS                       EQUITY    854616109     2,841     59,658  SH   --     SOLE       1      59,658      --        --
STANLEY WORKS                       EQUITY    854616109         4         94  SH   --     SOLE       2          94      --        --
STANTEC INC                         EQUITY    85472N109       470     16,096  SH   --    OTHER       1          --  16,096        --
STAPLES INC                         EQUITY    855030102     3,627    164,035  SH   --     SOLE       2     164,035      --        --





                                                                                          
STAPLES INC COM                     EQUITY    855030102         2         75  SH   --   DEFINED      4          --      --        75
STAPLES INC COM                     EQUITY    855030102         3        118  SH   --   DEFINED      5          --      --       118
STAPLES, INC.                       EQUITY    855030102     6,953    314,475  SH   --     SOLE       1     314,475      --        --
STAR BULK CARR CORP COM (F)         EQUITY    Y8162K105     1,370    120,000  SH   --     SOLE       3     120,000      --   120,000
STAR BULK CARRIERS CORP             EQUITY    Y8162K105     8,544    748,143  SH   --     SOLE       2     748,143      --        --
STARBUCKS CORP                      EQUITY    855244109        15        873  SH   --     SOLE       2         873      --        --
STARBUCKS CORP COM                  EQUITY    855244109        44      2,522  SH   --   DEFINED      4          --      --     2,522
STARBUCKS CORP COM                  EQUITY    855244109       232     13,262  SH   --   DEFINED      5          --      --    13,262
STARBUCKS CORP.                     EQUITY    855244109     6,146    351,178  SH   --     SOLE       1     351,178      --        --
STARENT NETWORKS CORP               EQUITY    85528P108       150     11,135  SH   --     SOLE       1      11,135      --        --
STARWOOD HOTELS & RESORTS
WORLDWIDE INC                       EQUITY    85590A401     4,218     81,512  SH   --     SOLE       1      81,512      --        --
STARWOOD HOTELS + RESORTS           EQUITY    85590A401       264      5,105  SH   --     SOLE       2       5,105      --        --
STATE AUTO FINANCIAL CORP.          EQUITY    855707105       361     12,382  SH   --     SOLE       1      12,382      --        --
STATE STR CORP COM                  EQUITY    857477103        26        335  SH   --   DEFINED      4          --      --       335
STATE STR CORP COM                  EQUITY    857477103        28        359  SH   --   DEFINED      5          --      --       359
STATE STREET CORP.                  EQUITY    857477103    23,706    300,077  SH   --     SOLE       1     300,077      --        --
STATE STREET CORPORATION            EQUITY    857477103     1,142     14,453  SH   --     SOLE       2      14,453      --        --
STATOILHYDRO ASA SPONSORED ADR      EQUITY    85771P102        27        900  SH   --   DEFINED      5          --      --       900
STEALTHGAS INC                      EQUITY    Y81669106     2,033    130,752  SH   --     SOLE       2     130,752      --        --
STEC INC                            EQUITY    784774101       172     27,762  SH   --     SOLE       1      27,762      --        --
STEEL DYNAMICS INC COM              EQUITY    858119100        15        450  SH   --   DEFINED      4          --      --       450
STEEL DYNAMICS INC COM              EQUITY    858119100        17        500  SH   --   DEFINED      5          --      --       500
STEEL DYNAMICS, INC.                EQUITY    858119100    15,250    461,552  SH   --     SOLE       1     461,552      --        --
STEELCASE INC                       EQUITY    858155203     1,563    141,300  SH   --     SOLE       2     141,300      --        --
STEELCASE INC CL A                  EQUITY    858155203         9        845  SH   --   DEFINED      4          --      --       845
STEELCASE INC-CL A                  EQUITY    858155203       353     31,876  SH   --     SOLE       1      31,876      --        --
STEIN MART INC COM                  EQUITY    858375108        45      8,008  SH   --   DEFINED      4          --      --     8,008
STEIN MART, INC.                    EQUITY    858375108       131     23,242  SH   --     SOLE       1      23,242      --        --
STEINWAY MUSICAL INSTRUMENTS        EQUITY    858495104    10,364    363,406  SH   --     SOLE       1     363,406      --        --
STEPAN CO.                          EQUITY    858586100       203      5,322  SH   --     SOLE       1       5,322      --        --
STEREOTAXIS INC                     EQUITY    85916J102       133     22,440  SH   --     SOLE       1      22,440      --        --
STERICYCLE INC COM                  EQUITY    858912108        10        200  SH   --   DEFINED      5          --      --       200
STERICYCLE, INC.                    EQUITY    858912108    11,024    214,054  SH   --     SOLE       1     214,054      --        --
STERIS CORP COM                     EQUITY    859152100     5,444    202,908  SH   --     SOLE       1     202,908      --        --
STERLING BANCORP                    EQUITY    859158107       249     16,017  SH   --     SOLE       1      16,017      --        --
STERLING BANCSHARES, INC.           EQUITY    858907108       635     63,836  SH   --     SOLE       1      63,836      --        --
STERLING FINANCIAL CORP             EQUITY    859317109       418     23,961  SH   --     SOLE       1      23,961      --        --
STERLING FINL CORP WAS              EQUITY    859319105       687     43,982  SH   --     SOLE       1      43,982      --        --
STERLITE INDS INDIA LTD ADS         EQUITY    859737207        14        795  SH   --   DEFINED      5          --      --       795
STEVEN MADDEN, LTD.                 EQUITY    556269108       301     17,583  SH   --     SOLE       1      17,583      --        --





                                                                                          
STEWART ENTERPRISES, INC.           EQUITY    860370105       523     81,496  SH   --     SOLE       1      81,496      --        --
STEWART INFORMATION SERVICES
COM                                 EQUITY    860372101       413     14,757  SH   --     SOLE       1      14,757      --        --
STIFEL FINANCIAL CORP               EQUITY    860630102       576     12,827  SH   --     SOLE       1      12,827      --        --
STILLWATER MINING CO.               EQUITY    86074Q102     1,537     99,371  SH   --     SOLE       1      99,371      --        --
STILLWATER MNG CO COM               EQUITY    86074Q102     2,484    160,600  SH   --     SOLE       3     160,600      --   160,600
STONE ENERGY CORP                   EQUITY    861642106     1,258     24,047  SH   --     SOLE       1      24,047      --        --
STONERIDGE, INC.                    EQUITY    86183P102       164     12,165  SH   --     SOLE       1      12,165      --        --
STORM CAT ENERGY CORP COM           EQUITY    862168101         1      2,000  SH   --   DEFINED      5          --      --     2,000
STRATASYS INC                       EQUITY    862685104       315     17,695  SH   --     SOLE       1      17,695      --        --
STRATEGIC GLOBAL INCOME FD COM      EQUITY    862719101        32      3,028  SH   --   DEFINED      4          --      --     3,028
STRATUS PROPERTIES INC              EQUITY    863167201       125      4,245  SH   --     SOLE       1       4,245      --        --
STRAYER ED INC COM                  EQUITY    863236105     2,531     16,600  SH   --     SOLE       3      16,600      --    16,600
STRAYER EDUCATION, INC              EQUITY    863236105     8,123     53,265  SH   --     SOLE       1      53,265      --        --
STREETTRACKS GOLD TR GOLD SHS       EQUITY    863307104     2,960     32,744  SH   --   DEFINED      4          --      --    32,744
STREETTRACKS GOLD TR GOLD SHS       EQUITY    863307104     1,200     13,278  SH   --   DEFINED      5          --      --    13,278
STRYKER CORP                        EQUITY    863667101        19        285  SH   --     SOLE       2         285      --        --
STRYKER CORP COM                    EQUITY    863667101        47        719  SH   --   DEFINED      4          --      --       719
STRYKER CORP COM                    EQUITY    863667101       259      3,975  SH   --   DEFINED      5          --      --     3,975
STRYKER CORP.                       EQUITY    863667101    15,345    235,898  SH   --     SOLE       1     235,898      --        --
STUDENT LOAN CORP.                  EQUITY    863902102        15        153  SH   --     SOLE       1         153      --        --
STURM, RUGER & CO., INC.            EQUITY    864159108       146     17,659  SH   --     SOLE       1      17,659      --        --
SUBURBAN PROPANE PARTNERS L
UNIT LTD PARTN                      EQUITY    864482104        21        550  SH   --   DEFINED      4          --      --       550
SUBURBAN PROPANE PARTNERS L
UNIT LTD PARTN                      EQUITY    864482104         8        200  SH   --   DEFINED      5          --      --       200
SUCAMPO PHARMACEUTICALS INC         EQUITY    864909106        29      3,685  SH   --     SOLE       1       3,685      --        --
SUCCESSFACTORS INC                  EQUITY    864596101        95      9,752  SH   --     SOLE       1       9,752      --        --
SUFFOLK BANCORP                     EQUITY    864739107       273      8,619  SH   --     SOLE       1       8,619      --        --
SULPHCO INC                         EQUITY    865378103       168     40,301  SH   --     SOLE       1      40,301      --        --
SUN BANCORP INC                     EQUITY    86663B102       178     13,492  SH   --     SOLE       1      13,492      --        --
SUN HEALTHCARE GROUP COM NEW        EQUITY    866933401     5,443    414,200  SH   --     SOLE       3     414,200      --   414,200
SUN HEALTHCARE GROUP INC - W/I      EQUITY    866933401     1,209     92,040  SH   --     SOLE       1      92,040      --        --
SUN HYDRAULICS CORP                 EQUITY    866942105       280      9,567  SH   --     SOLE       1       9,567      --        --
SUN LIFE FINANCIAL INC              EQUITY    866796105     7,028    150,272  SH   --    OTHER       1          -- 150,272        --
SUN LIFE FINL INC COM               EQUITY    866796105        20        435  SH   --   DEFINED      4          --      --       435
SUN MICROSYSTEMS INC                EQUITY    866810203     5,388    346,948  SH   --     SOLE       1     346,948      --        --
SUN MICROSYSTEMS INC                EQUITY    866810203        15        948  SH   --     SOLE       2         948      --        --
SUN MICROSYSTEMS INC COM NEW        EQUITY    866810203         4        256  SH   --   DEFINED      4          --      --       256
SUN MICROSYSTEMS INC COM NEW        EQUITY    866810203        67      4,290  SH   --   DEFINED      5          --      --     4,290
SUNAIR SERVICES CORP COM            EQUITY    867017105         2        872  SH   --   DEFINED      5          --      --       872
SUNAMERICA FCSED ALPHA GRW F COM    EQUITY    867037103       100      6,500  SH   --   DEFINED      4          --      --     6,500
SUNCOR ENERGY INC COM               EQUITY    867229106        16        167  SH   --   DEFINED      4          --      --       167





                                                                                          
SUNCOR ENERGY INC COM               EQUITY    867229106       874      9,072  SH   --   DEFINED      5          --      --     9,072
SUNCOR ENERGY INC.                  EQUITY    867229106    23,495    243,808  SH   --    OTHER       1          -- 243,808        --
SUNOCO INC                          EQUITY    86764P109     3,322     63,304  SH   --     SOLE       1      63,304      --        --
SUNOCO INC                          EQUITY    86764P109        74      1,411  SH   --     SOLE       2       1,411      --        --
SUNOCO LOGISTICS PRTNRS L P
COM UNITS                           EQUITY    86764L108         8        168  SH   --   DEFINED      5          --      --       168
SUNOPTA INC COM                     EQUITY    8676EP108         5      1,000  SH   --   DEFINED      4          --      --     1,000
SUNPOWER CORP                       EQUITY    867652109       723      9,700  SH   --     SOLE       2       9,700      --        --
SUNPOWER CORP COM CL A              EQUITY    867652109        24        327  SH   --   DEFINED      4          --      --       327
SUNPOWER CORP COM CL A              EQUITY    867652109        70        940  SH   --   DEFINED      5          --      --       940
SUNPOWER CORP-CLASS A               EQUITY    867652109        39        527  SH   --     SOLE       1         527      --        --
SUNRISE SENIOR LIVING INC           EQUITY    86768K106       855     38,356  SH   --     SOLE       1      38,356      --        --
SUNRISE SENIOR LIVING INC COM       EQUITY    86768K106        38      1,725  SH   --   DEFINED      5          --      --     1,725
SUNSTONE HOTEL INVESTORS INC        EQUITY    867892101       858     53,578  SH   --     SOLE       1      53,578      --        --
SUNSTONE HOTEL INVS INC NEW COM     EQUITY    867892101       374     23,389  SH   --   DEFINED      4          --      --    23,389
SUNTECH PWR HLDGS CO LTD            EQUITY    86800C104       649     16,000  SH   --     SOLE       2      16,000      --        --
SUNTECH PWR HLDGS CO LTD ADR        EQUITY    86800C104       116      2,870  SH   --   DEFINED      4          --      --     2,870
SUNTECH PWR HLDGS CO LTD ADR        EQUITY    86800C104         6        150  SH   --   DEFINED      5          --      --       150
SUNTECH PWR HLDGS CO LTD CALL       OPTION    86800C904         3          5  -- CALL   DEFINED      4          --      --         5
SUN-TIMES MEDIA GROUP INC           EQUITY    86688Q100        40     55,980  SH   --     SOLE       1      55,980      --        --
SUNTRUST BANKS, INC.                EQUITY    867914103    25,556    463,476  SH   --     SOLE       1     463,476      --        --
SUNTRUST BKS INC                    EQUITY    867914103       486      8,819  SH   --     SOLE       2       8,819      --        --
SUPER MICRO COMP INC COM            EQUITY    86800U104     1,078    129,100  SH   --     SOLE       3     129,100      --   129,100
SUPER MICRO COMPUTER INC            EQUITY    86800U104        66      7,880  SH   --     SOLE       1       7,880      --        --
SUPERGEN, INC.                      EQUITY    868059106       115     45,801  SH   --     SOLE       1      45,801      --        --
SUPERIOR BANCORP                    EQUITY    86806M106       172     34,568  SH   --     SOLE       1      34,568      --        --
SUPERIOR ENERGY SERVICES, INC.      EQUITY    868157108     7,648    193,030  SH   --     SOLE       1     193,030      --        --
SUPERIOR ENERGY SVCS INC            EQUITY    868157108     1,945     49,100  SH   --     SOLE       2      49,100      --        --
SUPERIOR ENERGY SVCS INC COM        EQUITY    868157108         9        217  SH   --   DEFINED      4          --      --       217
SUPERIOR ESSEX INC                  EQUITY    86815V105       493     17,520  SH   --     SOLE       1      17,520      --        --
SUPERIOR INDUSTRIES INTL, INC.      EQUITY    868168105       406     19,587  SH   --     SOLE       1      19,587      --        --
SUPERIOR OFFSHORE INTERNATIONAL
INC                                 EQUITY    86825Q104        29      8,725  SH   --     SOLE       1       8,725      --        --
SUPERIOR WELL SERVICES INC          EQUITY    86837X105       294     13,449  SH   --     SOLE       1      13,449      --        --
SUPERIOR WELL SVCS INC COM          EQUITY    86837X105        22      1,000  SH   --   DEFINED      4          --      --     1,000
SUPERTEX INC                        EQUITY    868532102       186      9,133  SH   --     SOLE       1       9,133      --        --
SUPERVALU INC                       EQUITY    868536103       138      4,603  SH   --     SOLE       2       4,603      --        --
SUPERVALU INC COM                   EQUITY    868536103         1         48  SH   --   DEFINED      5          --      --        48
SUPERVALU, INC.                     EQUITY    868536103    14,063    469,093  SH   --     SOLE       1     469,093      --        --
SUREWEST COMMUNICATION              EQUITY    868733106       192     12,415  SH   --     SOLE       1      12,415      --        --
SURMODICS INC                       EQUITY    868873100       545     13,019  SH   --     SOLE       1      13,019      --        --
SURMODICS INC COM                   EQUITY    868873100        70      1,668  SH   --   DEFINED      5          --      --     1,668





                                                                                          
SUSQUEHANNA BANCSHARES, INC.        EQUITY    869099101     1,487     73,018  SH   --     SOLE       1      73,018      --        --
SVB FINANCIAL GROUP                 EQUITY    78486Q101     4,551    104,274  SH   --     SOLE       1     104,274      --        --
SWIFT ENERGY CO                     EQUITY    870738101       535     11,900  SH   --     SOLE       2      11,900      --        --
SWIFT ENERGY CO.                    EQUITY    870738101     1,154     25,648  SH   --     SOLE       1      25,648      --        --
SWITCH & DATA FACILITIES CO INC     EQUITY    871043105     4,461    436,948  SH   --     SOLE       1     436,948      --        --
SWS GROUP INC                       EQUITY    78503N107       234     19,150  SH   --     SOLE       1      19,150      --        --
SYBASE INC                          EQUITY    871130100       688     26,150  SH   --     SOLE       2      26,150      --        --
SYBASE, INC.                        EQUITY    871130100     7,618    289,645  SH   --     SOLE       1     289,645      --        --
SYCAMORE NETWORKS INC COM           EQUITY    871206108         1        300  SH   --   DEFINED      5          --      --       300
SYCAMORE NETWORKS, INC              EQUITY    871206108       579    158,116  SH   --     SOLE       1     158,116      --        --
SYKES ENTERPRISES, INC.             EQUITY    871237103       496     28,218  SH   --     SOLE       1      28,218      --        --
SYMANTEC CORP                       EQUITY    871503108        17      1,012  SH   --     SOLE       2       1,012      --        --
SYMANTEC CORP COM                   EQUITY    871503108         3        192  SH   --   DEFINED      5          --      --       192
SYMANTEC CORP.                      EQUITY    871503108     8,356    502,790  SH   --     SOLE       1     502,790      --        --
SYMMETRICOM, INC.                   EQUITY    871543104       139     39,832  SH   --     SOLE       1      39,832      --        --
SYMMETRY MED INC COM                EQUITY    871546206     5,368    323,400  SH   --     SOLE       3     323,400      --   323,400
SYMMETRY MEDICAL INC                EQUITY    871546206     1,902    114,579  SH   --     SOLE       1     114,579      --        --
SYMX TECHNOLOGIES INC.              EQUITY    87155S108       214     28,515  SH   --     SOLE       1      28,515      --        --
SYMYX TECHNOLOGIES COM              EQUITY    87155S108         4        500  SH   --   DEFINED      4          --      --       500
SYNAPTICS INC                       EQUITY    87157D109       493     20,626  SH   --     SOLE       1      20,626      --        --
SYNCHRONOSS TECHNOLOGIES I          EQUITY    87157B103       421     21,000  SH   --     SOLE       2      21,000      --        --
SYNCHRONOSS TECHNOLOGIES INC        EQUITY    87157B103       317     15,804  SH   --     SOLE       1      15,804      --        --
SYNCHRONOSS TECHNOLOGIES INC
COM                                 EQUITY    87157B103        12        600  SH   --   DEFINED      4          --      --       600
SYNCHRONOSS TECHNOLOGIES INC COM    EQUITY    87157B103        10        500  SH   --   DEFINED      5          --      --       500
SYNERON MEDICAL LTD ORD SHS         EQUITY    M87245102         2        125  SH   --   DEFINED      5          --      --       125
SYNGENTA AG SPONSORED ADR           EQUITY    87160A100         6        100  SH   --   DEFINED      4          --      --       100
SYNIVERSE HLDGS INC                 EQUITY    87163F106       691     41,500  SH   --     SOLE       2      41,500      --        --
SYNIVERSE HOLDINGS INC              EQUITY    87163F106       390     23,421  SH   --     SOLE       1      23,421      --        --
SYNNEX CORP                         EQUITY    87162W100       297     13,975  SH   --     SOLE       1      13,975      --        --
SYNOPSYS INC.                       EQUITY    871607107     7,731    340,408  SH   --     SOLE       1     340,408      --        --
SYNOVUS FINANCIAL CORP.             EQUITY    87161C105     8,773    793,198  SH   --     SOLE       1     793,198      --        --
SYNOVUS FINL CORP COM               EQUITY    87161C105         7        626  SH   --   DEFINED      4          --      --       626
SYNOVUS FINL CORP COM               EQUITY    87161C105       119     10,734  SH   --   DEFINED      5          --      --    10,734
SYNTA PHARMACEUTICALS               EQUITY    87162T206     9,800  1,211,337  SH   --     SOLE       1   1,211,337      --        --
SYNTAX BRILLIAN CORP COM            EQUITY    87163L103         1      1,100  SH   --   DEFINED      5          --      --     1,100
SYNTAX-BRILLIAN CORP                EQUITY    87163L103        48     49,238  SH   --     SOLE       1      49,238      --        --
SYNTEL, INC.                        EQUITY    87162H103       288     10,801  SH   --     SOLE       1      10,801      --        --
SYNUTRA INTERNATIONAL INC           EQUITY    87164C102       116      3,706  SH   --     SOLE       1       3,706      --        --
SYSCO CORP                          EQUITY    871829107     2,836     97,713  SH   --     SOLE       2      97,713      --        --
SYSCO CORP COM                      EQUITY    871829107        12        420  SH   --   DEFINED      4          --      --       420





                                                                                          
SYSCO CORP COM                      EQUITY    871829107        93      3,196  SH   --   DEFINED      5          --      --     3,196
SYSCO CORP.                         EQUITY    871829107    14,819    510,648  SH   --     SOLE       1     510,648      --        --
SYSTEMAX INC                        EQUITY    871851101       110      9,107  SH   --     SOLE       1       9,107      --        --
T ROWE PRICE GROUP INC.             EQUITY    74144T108     5,676    113,528  SH   --     SOLE       1     113,528      --        --
T-3 ENERGY SERVICES INC             EQUITY    87306E107     1,564     36,750  SH   --     SOLE       1      36,750      --        --
T-3 ENERGY SRVCS INC COM            EQUITY    87306E107     4,316    101,400  SH   --     SOLE       3     101,400      --   101,400
TAIWAN SEMICONDUCTOR MFG LTD
SPONSORED ADR                       EQUITY    874039100        48      4,665  SH   --   DEFINED      4          --      --     4,665
TAIWAN SEMICONDUCTOR MFG LTD
SPONSORED ADR                       EQUITY    874039100        61      5,928  SH   --   DEFINED      5          --      --     5,928
TAKE-TWO INTERACTIVE SOFTWAR COM    EQUITY    874054109        26      1,000  SH   --   DEFINED      5          --      --     1,000
TAKE-TWO INTERACTIVE SOFTWARE       EQUITY    874054109     1,683     65,943  SH   --     SOLE       1      65,943      --        --
TAL INTERNATIONAL GROUP INC         EQUITY    874083108       332     14,095  SH   --     SOLE       1      14,095      --        --
TALBOTS INC                         EQUITY    874161102       214     19,883  SH   --     SOLE       1      19,883      --        --
TALEO CORP-CLASS A                  EQUITY    87424N104       275     14,176  SH   --     SOLE       1      14,176      --        --
TALISMAN ENERGY INC.                EQUITY    87425E103     4,253    240,141  SH   --    OTHER       1          -- 240,141        --
TANGER FACTORY OUTLET CTRS          EQUITY    875465106     1,697     44,107  SH   --     SOLE       1      44,107      --        --
TANZANIAN ROYALTY EXPLORATION
CORP                                EQUITY    87600U104       129     22,708  SH   --    OTHER       1          --  22,708        --
TARGET CORP                         EQUITY    87612E106     3,462     68,316  SH   --     SOLE       2      68,316      --        --
TARGET CORP COM                     EQUITY    87612E106        30        595  SH   --   DEFINED      4          --      --       595
TARGET CORP COM                     EQUITY    87612E106        50        978  SH   --   DEFINED      5          --      --       978
TARGET CORPORATION                  EQUITY    87612E106    28,486    562,071  SH   --     SOLE       1     562,071      --        --
TARRAGON CORP                       EQUITY    876287103        25     11,797  SH   --     SOLE       1      11,797      --        --
TASER INTERNATIONAL INC             EQUITY    87651B104     1,338    142,355  SH   --     SOLE       1     142,355      --        --
TASER INTL INC COM                  EQUITY    87651B104     2,944    313,200  SH   --     SOLE       3     313,200      --   313,200
TASER INTL INC COM                  EQUITY    87651B104         2        200  SH   --   DEFINED      4          --      --       200
TASER INTL INC COM                  EQUITY    87651B104       216     23,000  SH   --   DEFINED      5          --      --    23,000
TATA MTRS LTD SPONSORED ADR         EQUITY    876568502        73      4,650  SH   --   DEFINED      5          --      --     4,650
TAUBMAN CENTERS, INC.               EQUITY    876664103    13,245    254,225  SH   --     SOLE       1     254,225      --        --
TAYLOR CAPITAL GROUP INC            EQUITY    876851106        77      4,705  SH   --     SOLE       1       4,705      --        --
TAYLOR DEVICES INC COM              EQUITY    877163105         5      1,000  SH   --   DEFINED      5          --      --     1,000
TC PIPELINES LP UT COM LTD PRT      EQUITY    87233Q108         7        200  SH   --   DEFINED      5          --      --       200
TCF FINANCIAL CORP                  EQUITY    872275102        55      3,080  SH   --     SOLE       2       3,080      --        --
TCF FINANCIAL CORP.                 EQUITY    872275102     4,692    261,852  SH   --     SOLE       1     261,852      --        --
TD AMERITRADE HLDG CORP             EQUITY    87236Y108       327     19,780  SH   --     SOLE       2      19,780      --        --
TD AMERITRADE HLDG CORP COM         EQUITY    87236Y108       282     17,100  SH   --   DEFINED      5          --      --    17,100
TD AMERITRADE HOLDING CORP          EQUITY    87236Y108     2,915    176,550  SH   --     SOLE       1     176,550      --        --
TEAM INC                            EQUITY    878155100       371     13,586  SH   --     SOLE       1      13,586      --        --
TEAM INC COM                        EQUITY    878155100         6        223  SH   --   DEFINED      5          --      --       223
TECH DATA CORP.                     EQUITY    878237106     4,270    130,177  SH   --     SOLE       1     130,177      --        --
TECHE CORP.                         EQUITY    878377100     6,249     92,763  SH   --     SOLE       1      92,763      --        --
TECHNE CORP COM                     EQUITY    878377100        27        400  SH   --   DEFINED      4          --      --       400





                                                                                          
TECHNITROL, INC.                    EQUITY    878555101       809     34,994  SH   --     SOLE       1      34,994      --        --
TECHTARGET INC                      EQUITY    87874R100        93      6,582  SH   --     SOLE       1       6,582      --        --
TECHWELL INC                        EQUITY    87874D101       139     12,836  SH   --     SOLE       1      12,836      --        --
TECK COMINCO LTD                    EQUITY    878742204     2,578     62,884  SH   --    OTHER       1          --  62,884        --
TECK COMINICO LTD                   EQUITY    878742204       328      8,000  SH   --     SOLE       2       8,000      --        --
TECO ENERGY INC                     EQUITY    872375100         4        252  SH   --     SOLE       2         252      --        --
TECO ENERGY INC COM                 EQUITY    872375100         4        250  SH   --   DEFINED      4          --      --       250
TECO ENERGY INC COM                 EQUITY    872375100         2        100  SH   --   DEFINED      5          --      --       100
TECO ENERGY, INC.                   EQUITY    872375100     1,532     96,074  SH   --     SOLE       1      96,074      --        --
TECUMSEH PRODUCTS CO. CLASS A       EQUITY    878895200       407     13,270  SH   --     SOLE       1      13,270      --        --
TEEKAY LNG PARTNERS L P PRTNRSP
UNITS                               EQUITY    Y8564M105         3         89  SH   --   DEFINED      4          --      --        89
TEJON RANCH CO.                     EQUITY    879080109       354      9,484  SH   --     SOLE       1       9,484      --        --
TEKELEC                             EQUITY    879101103       651     52,267  SH   --     SOLE       1      52,267      --        --
TELE NORTE LESTE PART S A SPON
ADR PFD                             EQUITY    879246106         6        214  SH   --   DEFINED      4          --      --       214
TELE NORTE LESTE PARTICIPACOES
S.A. ADR                            EQUITY    879246106    24,759    932,910  SH   --     SOLE       1     932,910      --        --
TELECOM CORP NEW ZEALAND LTD
SPONSORED ADR                       EQUITY    879278208        21      1,422  SH   --   DEFINED      5          --      --     1,422
TELECOM HLDRS TR DEPOSITRY RCPT     EQUITY    87927P200        36      1,100  SH   --   DEFINED      5          --      --     1,100
TELECOMUNICACOES BRASILEIRAS
SPONSORED ADR                       EQUITY    879287308         4        164  SH   --   DEFINED      4          --      --       164
TELEDYNE TECHNOLOGIES INC           EQUITY    879360105       517     11,000  SH   --     SOLE       2      11,000      --        --
TELEDYNE TECHOLOGIES INC            EQUITY    879360105     1,410     29,992  SH   --     SOLE       1      29,992      --        --
TELEFLEX INC.                       EQUITY    879369106     4,783    100,244  SH   --     SOLE       1     100,244      --        --
TELEFONOS DE MEXICO S A B SPON
ADR A SHS                           EQUITY    879403707       113      3,000  SH   --   DEFINED      5          --      --     3,000
TELEFONOS DE MEXICO S A B
SPON ADR ORD L                      EQUITY    879403780       154      4,088  SH   --   DEFINED      5          --      --     4,088
TELEPHONE AND DATA SYSTEMS          EQUITY    879433100    10,022    255,214  SH   --     SOLE       1     255,214      --        --
TELETECH HOLDINGS                   EQUITY    879939106       805     35,857  SH   --     SOLE       1      35,857      --        --
TELIK INC                           EQUITY    87959M109       110     45,054  SH   --     SOLE       1      45,054      --        --
TELLABS INC                         EQUITY    879664100         3        495  SH   --     SOLE       2         495      --        --
TELLABS INC COM                     EQUITY    879664100         5      1,006  SH   --   DEFINED      5          --      --     1,006
TELLABS, INC.                       EQUITY    879664100       797    146,180  SH   --     SOLE       1     146,180      --        --
TELUS CORPORATION-NON VOTE          EQUITY    87971M202       263      6,251  SH   --    OTHER       1          --   6,251        --
TEMPLE-INLAND INC.                  EQUITY    879868107     3,254    255,784  SH   --     SOLE       1     255,784      --        --
TEMPLETON DRAGON FD INC COM         EQUITY    88018T101         5        200  SH   --   DEFINED      4          --      --       200
TEMPLETON DRAGON FD INC COM         EQUITY    88018T101        42      1,700  SH   --   DEFINED      5          --      --     1,700
TEMPLETON EMERG MKTS INCOME COM     EQUITY    880192109         8        550  SH   --   DEFINED      4          --      --       550
TEMPLETON EMERG MKTS INCOME COM     EQUITY    880192109        56      4,038  SH   --   DEFINED      5          --      --     4,038
TEMPLETON GLOBAL INCOME FD COM      EQUITY    880198106     3,148    328,925  SH   --   DEFINED      4          --      --   328,925
TEMPLETON GLOBAL INCOME FD COM      EQUITY    880198106        33      3,500  SH   --   DEFINED      5          --      --     3,500
TEMPUR PEDIC INTL INC COM           EQUITY    88023U101         1        100  SH   --   DEFINED      5          --      --       100
TEMPUR-PEDIC INTERNATIONAL          EQUITY    88023U101       709     64,463  SH   --     SOLE       1      64,463      --        --
TENARIS SA                          EQUITY    88031M109    12,823    257,237  SH   --     SOLE       1     257,237      --        --





                                                                                          
TENET HEALTHCARE CORP               EQUITY    88033G100         3        567  SH   --     SOLE       2         567      --        --
TENET HEALTHCARE CORP COM           EQUITY    88033G100         2        269  SH   --   DEFINED      5          --      --       269
TENET HEALTHCARE CORP.              EQUITY    88033G100     1,907    336,853  SH   --     SOLE       1     336,853      --        --
TENNANT CO.                         EQUITY    880345103       575     14,444  SH   --     SOLE       1      14,444      --        --
TENNECO INC                         EQUITY    880349105     1,110     39,712  SH   --     SOLE       1      39,712      --        --
TEPPCO PARTNERS L P UT LTD
PARTNER                             EQUITY    872384102         3        100  SH   --   DEFINED      4          --      --       100
TEPPCO PARTNERS L P UT LTD
PARTNER                             EQUITY    872384102        17        500  SH   --   DEFINED      5          --      --       500
TERADATA CORP                       EQUITY    88076W103     1,758     79,712  SH   --     SOLE       1      79,712      --        --
TERADATA CORP                       EQUITY    88076W103         5        215  SH   --     SOLE       2         215      --        --
TERADATA CORP DEL COM               EQUITY    88076W103         9        404  SH   --   DEFINED      5          --      --       404
TERADYNE INC                        EQUITY    880770102         3        208  SH   --     SOLE       2         208      --        --
TERADYNE, INC.                      EQUITY    880770102     1,044     84,091  SH   --     SOLE       1      84,091      --        --
TERCICA INC                         EQUITY    88078L105       162     28,287  SH   --     SOLE       1      28,287      --        --
TEREX CORP NEW                      EQUITY    880779103         8        121  SH   --     SOLE       2         121      --        --
TEREX CORP NEW COM                  EQUITY    880779103       446      7,136  SH   --   DEFINED      4          --      --     7,136
TEREX CORP NEW COM                  EQUITY    880779103        31        500  SH   --   DEFINED      5          --      --       500
TEREX CORP.                         EQUITY    880779103     2,718     43,494  SH   --     SOLE       1      43,494      --        --
TERRA INDS INC                      EQUITY    880915103       622     17,500  SH   --     SOLE       2      17,500      --        --
TERRA INDUSTRIES, INC.              EQUITY    880915103    10,469    294,653  SH   --     SOLE       1     294,653      --        --
TERREMARK WORLDWIDE INC             EQUITY    881448203       238     43,455  SH   --     SOLE       1      43,455      --        --
TESORO CORP                         EQUITY    881609101     1,771     59,021  SH   --     SOLE       1      59,021      --        --
TESORO CORP                         EQUITY    881609101         5        164  SH   --     SOLE       2         164      --        --
TESORO CORP COM                     EQUITY    881609101       151      5,036  SH   --   DEFINED      4          --      --     5,036
TESORO CORP COM                     EQUITY    881609101        51      1,700  SH   --   DEFINED      5          --      --     1,700
TESSERA TECHNOLOGIES INC            EQUITY    88164L100       855     41,112  SH   --     SOLE       1      41,112      --        --
TESSERA TECHNOLOGIES INC            EQUITY    88164L100       468     22,500  SH   --     SOLE       2      22,500      --        --
TETRA TECH INC NEW COM              EQUITY    88162G103        24      1,250  SH   --   DEFINED      5          --      --     1,250
TETRA TECH, INC.                    EQUITY    88162G103       972     49,840  SH   --     SOLE       1      49,840      --        --
TEVA PHARMACEUTICAL ADR             EQUITY    881624209    55,830  1,208,710  SH   --     SOLE       1   1,208,710      --        --
TEVA PHARMACEUTICAL INDS L          EQUITY    881624209     1,284     27,800  SH   --     SOLE       2      27,800      --        --
TEVA PHARMACEUTICAL INDS LTD ADR    EQUITY    881624209        25        532  SH   --   DEFINED      4          --      --       532
TEVA PHARMACEUTICAL INDS LTD ADR    EQUITY    881624209       113      2,442  SH   --   DEFINED      5          --      --     2,442
TEXAS CAPITAL BANCSHARES INC        EQUITY    88224Q107       339     20,098  SH   --     SOLE       1      20,098      --        --
TEXAS INDUSTRIES, INC.              EQUITY    882491103     1,408     23,427  SH   --     SOLE       1      23,427      --        --
TEXAS INSTRS INC                    EQUITY    882508104     7,016    248,170  SH   --     SOLE       2     248,170      --        --
TEXAS INSTRS INC COM                EQUITY    882508104        46      1,627  SH   --   DEFINED      4          --      --     1,627
TEXAS INSTRS INC COM                EQUITY    882508104       175      6,189  SH   --   DEFINED      5          --      --     6,189
TEXAS INSTRUMENTS, INC.             EQUITY    882508104    33,818  1,196,241  SH   --     SOLE       1   1,196,241      --        --
TEXAS ROADHOUSE INC CL A            EQUITY    882681109         2        190  SH   --   DEFINED      5          --      --       190
TEXAS ROADHOUSE INC-CLASS A         EQUITY    882681109       443     45,189  SH   --     SOLE       1      45,189      --        --





                                                                                          
TEXTRON FINANCIAL CORP              EQUITY    883203101     5,927    106,938  SH   --     SOLE       1     106,938      --        --
TEXTRON INC                         EQUITY    883203101        16        297  SH   --     SOLE       2         297      --        --
TEXTRON INC COM                     EQUITY    883203101       141      2,543  SH   --   DEFINED      5          --      --     2,543
TFS FINANCIAL CORP                  EQUITY    87240R107        35      2,948  SH   --     SOLE       1       2,948      --        --
THE HERSHEY COMPANY                 EQUITY    427866108    10,824    287,350  SH   --     SOLE       1     287,350      --        --
THE ST JOE COMPANY                  EQUITY    790148100        84      1,965  SH   --     SOLE       1       1,965      --        --
THE STEAK N SHAKE COMPANY           EQUITY    857873103       192     24,412  SH   --     SOLE       1      24,412      --        --
THERAVANCE INC                      EQUITY    88338T104       755     71,684  SH   --     SOLE       1      71,684      --        --
THERMO FISHER CORP                  EQUITY    883556102    22,509    396,011  SH   --     SOLE       1     396,011      --        --
THERMO FISHER SCIENTIFIC I          EQUITY    883556102     7,742    136,200  SH   --     SOLE       2     136,200      --        --
THERMO FISHER SCIENTIFIC INC COM    EQUITY    883556102        13        225  SH   --   DEFINED      4          --      --       225
THERMO FISHER SCIENTIFIC INC COM    EQUITY    883556102        62      1,095  SH   --   DEFINED      5          --      --     1,095
THESTREET COM COM                   EQUITY    88368Q103         2        200  SH   --   DEFINED      5          --      --       200
THESTREET.COM INC.                  EQUITY    88368Q103       151     18,746  SH   --     SOLE       1      18,746      --        --
THOMAS & BETTS CORP.                EQUITY    884315102     4,473    122,991  SH   --     SOLE       1     122,991      --        --
THOMAS PROPERTIES GROUP INC         EQUITY    884453101       179     20,374  SH   --     SOLE       1      20,374      --        --
THOMAS WEISEL PARTNERS GROUP INC    EQUITY    884481102       372     56,165  SH   --     SOLE       1      56,165      --        --
THOMPSON CREEK METALS CO INC        EQUITY    884768102       503     27,557  SH   --    OTHER       1          --  27,557        --
THOMSON REUTERS CORP                EQUITY    884903105     1,515     45,038  SH   --    OTHER       1          --  45,038        --
THOR INDS INC COM                   EQUITY    885160101       153      5,124  SH   --   DEFINED      4          --      --     5,124
THOR INDS INC COM                   EQUITY    885160101         2         74  SH   --   DEFINED      5          --      --        74
THOR INDUSTRIES, INC.               EQUITY    885160101     2,625     88,172  SH   --     SOLE       1      88,172      --        --
THORATEC LABORATORIES CORP.         EQUITY    885175307       652     45,643  SH   --     SOLE       1      45,643      --        --
THORNBURG MORTGAGE INC.             EQUITY    885218107         7      6,139  SH   --     SOLE       1       6,139      --        --
THORNBURG MTG INC COM               EQUITY    885218107        58     47,613  SH   --   DEFINED      5          --      --    47,613
THQ INC                             EQUITY    872443403     1,251     57,405  SH   --     SOLE       1      57,405      --        --
TIBCO SOFTWARE INC                  EQUITY    88632Q103     1,167    163,485  SH   --     SOLE       1     163,485      --        --
TICC CAPITAL CORP                   EQUITY    87244T109       138     18,316  SH   --     SOLE       1      18,316      --        --
TICC CAPITAL CORP COM               EQUITY    87244T109       141     18,803  SH   --   DEFINED      4          --      --    18,803
TICC CAPITAL CORP COM               EQUITY    87244T109         2        200  SH   --   DEFINED      5          --      --       200
TIDEWATER INC                       EQUITY    886423102       524      9,500  SH   --     SOLE       2       9,500      --        --
TIDEWATER INC COM                   EQUITY    886423102         1         25  SH   --   DEFINED      4          --      --        25
TIDEWATER INC COM                   EQUITY    886423102        12        226  SH   --   DEFINED      5          --      --       226
TIDEWATER, INC.                     EQUITY    886423102     7,237    131,316  SH   --     SOLE       1     131,316      --        --
TIENS BIOTECH GROUP USA INC         EQUITY    88650T104         6      2,970  SH   --     SOLE       1       2,970      --        --
TIERONE CORP                        EQUITY    88650R108       174     15,457  SH   --     SOLE       1      15,457      --        --
TIFFANY & CO NEW COM                EQUITY    886547108        46      1,107  SH   --   DEFINED      5          --      --     1,107
TIFFANY & CO.                       EQUITY    886547108     8,659    206,952  SH   --     SOLE       1     206,952      --        --
TIFFANY + CO NEW                    EQUITY    886547108        98      2,352  SH   --     SOLE       2       2,352      --        --
TIM HORTONS INC - CAD               EQUITY    88706M103     1,244     37,555  SH   --    OTHER       1          --  37,555        --





                                                                                          
TIM HORTONS INC COM                 EQUITY    88706M103        27        790  SH   --   DEFINED      5          --      --       790
TIMBERLAND CO CL A                  EQUITY    887100105        43      3,126  SH   --   DEFINED      4          --      --     3,126
TIMBERLAND COMPANY                  EQUITY    887100105     2,141    155,908  SH   --     SOLE       1     155,908      --        --
TIME WARNER CABLE INC               EQUITY    88732J108     8,028    321,376  SH   --     SOLE       1     321,376      --        --
TIME WARNER INC                     EQUITY    887317105    30,018  2,141,088  SH   --     SOLE       1   2,141,088      --        --
TIME WARNER INC COM                 EQUITY    887317105         9        655  SH   --   DEFINED      4          --      --       655
TIME WARNER INC COM                 EQUITY    887317105       179     12,761  SH   --   DEFINED      5          --      --    12,761
TIME WARNER INC NEW                 EQUITY    887317105       690     49,215  SH   --     SOLE       2      49,215      --        --
TIME WARNER TELECOM                 EQUITY    887319101     1,923    124,143  SH   --     SOLE       1     124,143      --        --
TIMKEN CO COM                       EQUITY    887389104         2         59  SH   --   DEFINED      5          --      --        59
TIMKEN CO.                          EQUITY    887389104     6,873    231,263  SH   --     SOLE       1     231,263      --        --
TITAN INTERNATIONAL INC             EQUITY    88830M102       632     20,662  SH   --     SOLE       1      20,662      --        --
TITAN MACHINERY INC                 EQUITY    88830R101     1,347     72,058  SH   --     SOLE       1      72,058      --        --
TITAN MACHY INC COM                 EQUITY    88830R101     5,331    285,100  SH   --     SOLE       3     285,100      --   285,100
TITAN MACHY INC COM                 EQUITY    88830R101       140      7,500  SH   --   DEFINED      5          --      --     7,500
TITANIUM METALS CORP                EQUITY    888339207         2        118  SH   --     SOLE       2         118      --        --
TITANIUM METALS CORPORATION         EQUITY    888339207       364     24,210  SH   --     SOLE       1      24,210      --        --
TIVO INC                            EQUITY    888706108       733     83,628  SH   --     SOLE       1      83,628      --        --
TIVO INC                            EQUITY    888706108       346     39,500  SH   --     SOLE       2      39,500      --        --
TJX COMPANIES, INC.                 EQUITY    872540109     6,816    206,099  SH   --     SOLE       1     206,099      --        --
TJX COS INC NEW                     EQUITY    872540109       219      6,622  SH   --     SOLE       2       6,622      --        --
TJX COS INC NEW COM                 EQUITY    872540109        50      1,514  SH   --   DEFINED      5          --      --     1,514
TNS INC                             EQUITY    872960109       429     20,768  SH   --     SOLE       1      20,768      --        --
TOLL BROS INC                       EQUITY    889478103        40      1,700  SH   --     SOLE       2       1,700      --        --
TOLL BROTHERS, INC.                 EQUITY    889478103     7,614    324,292  SH   --     SOLE       1     324,292      --        --
TOMOTHERAPY INC                     EQUITY    890088107       144     10,053  SH   --     SOLE       1      10,053      --        --
TOMPKINS FINANCIAL CORP             EQUITY    890110109       277      5,640  SH   --     SOLE       1       5,640      --        --
TOOTSIE ROLL INDUSTRIES, INC.       EQUITY    890516107     2,424     96,199  SH   --     SOLE       1      96,199      --        --
TORCHMARK CORP.                     EQUITY    891027104     7,006    116,555  SH   --     SOLE       1     116,555      --        --
TORCHMARK INC                       EQUITY    891027104         7        109  SH   --     SOLE       2         109      --        --
TOREADOR RESOURCES CORP             EQUITY    891050106       101     12,971  SH   --     SOLE       1      12,971      --        --
TORO CO.                            EQUITY    891092108        81      1,945  SH   --     SOLE       1       1,945      --        --
TORONTO DOMINION BK                 EQUITY    891160509    12,301    200,028  SH   --    OTHER       1          -- 200,028        --
TORONTO DOMINION BK ONT COM NEW     EQUITY    891160509        28        455  SH   --   DEFINED      5          --      --       455
TOTAL S A SPONSORED ADR             EQUITY    89151E109        12        165  SH   --   DEFINED      5          --      --       165
TOTAL SYS SVCS INC                  EQUITY    891906109         6        238  SH   --     SOLE       2         238      --        --
TOTAL SYS SVCS INC COM              EQUITY    891906109       196      8,279  SH   --   DEFINED      4          --      --     8,279
TOTAL SYSTEM SERVICE                EQUITY    891906109     2,036     86,032  SH   --     SOLE       1      86,032      --        --
TOWER GROUP INC                     EQUITY    891777104       431     17,105  SH   --     SOLE       1      17,105      --        --
TOWN SPORTS INTERNATIONAL
HOLDINGS INC                        EQUITY    89214A102        89     13,907  SH   --     SOLE       1      13,907      --        --





                                                                                          
TOYOTA MOTOR CORP SP ADR REP2COM    EQUITY    892331307        10        100  SH   --   DEFINED      4          --      --       100
TOYOTA MOTOR CORP SP ADR REP2COM    EQUITY    892331307        20        202  SH   --   DEFINED      5          --      --       202
TRACTOR SUPPLY CO                   EQUITY    892356106        27        689  SH   --     SOLE       1         689      --        --
TRADESTATION GROUP INC              EQUITY    89267P105       212     24,857  SH   --     SOLE       1      24,857      --        --
TRANE INC                           EQUITY    892893108    19,086    415,827  SH   --     SOLE       1     415,827      --        --
TRANE INC                           EQUITY    892893108        10        208  SH   --     SOLE       2         208      --        --
TRANE INC COM                       EQUITY    892893108        64      1,400  SH   --   DEFINED      5          --      --     1,400
TRANS1 INC                          EQUITY    89385X105        65      5,586  SH   --     SOLE       1       5,586      --        --
TRANSALTA CORP                      EQUITY    89346D107       349     11,203  SH   --    OTHER       1          --  11,203        --
TRANSATLANTIC HLDGS INC             EQUITY    893521104 2,593,798 39,092,662  SH   --     SOLE       1  22,144,533      --        --
TRANSATLANTIC HLDGS INC COM         EQUITY    893521104         6         96  SH   --   DEFINED      5          --      --        96
TRANSCANADA CORP                    EQUITY    89353D107     2,310     59,973  SH   --    OTHER       1          --  59,973        --
TRANSCANADA CORP COM                EQUITY    89353D107         4         95  SH   --   DEFINED      4          --      --        95
TRANSCANADA CORP COM                EQUITY    89353D107       100      2,606  SH   --   DEFINED      5          --      --     2,606
TRANSCEND SERVICES INC COM NEW      EQUITY    893929208       989    108,400  SH   --     SOLE       3     108,400      --   108,400
TRANSCEND SERVICES INC COM NEW      EQUITY    893929208         5        500  SH   --   DEFINED      5          --      --       500
TRANSCONTINENTAL RLTY INVS COM
NEW                                 EQUITY    893617209         4        222  SH   --   DEFINED      4          --      --       222
TRANSDIGM GROUP INC                 EQUITY    893641100       314      8,476  SH   --     SOLE       1       8,476      --        --
TRANSMERIDIAN EXPLORATION           EQUITY    89376N108         5     45,004  SH   --     SOLE       2      45,004      --        --
TRANSMERIDIAN EXPLORATION INC       EQUITY    89376N108       103    110,848  SH   --     SOLE       1     110,848      --        --
TRANSOCEAN INC                      EQUITY    G90073100     5,069     37,493  SH   --     SOLE       2      37,493      --        --
TRANSOCEAN INC NEW SHS              EQUITY    G90073100       154      1,138  SH   --   DEFINED      4          --      --     1,138
TRANSOCEAN INC NEW SHS              EQUITY    G90073100       242      1,792  SH   --   DEFINED      5          --      --     1,792
TRANSOCEAN INC ORD (F)              EQUITY    G90073100     5,082     37,589  SH   --     SOLE       3      37,589      --    37,589
TRAVELERS COMPANIES INC COM         EQUITY    89417E109        24        500  SH   --   DEFINED      4          --      --       500
TRAVELERS COMPANIES INC COM         EQUITY    89417E109        16        328  SH   --   DEFINED      5          --      --       328
TRAVELERS COS INC                   EQUITY    89417E109       677     14,141  SH   --     SOLE       2      14,141      --        --
TRAVELERS COS INC/THE               EQUITY    89417E109    61,029  1,275,432  SH   --     SOLE       1   1,275,432      --        --
TRAVELZOO INC                       EQUITY    89421Q106        66      6,012  SH   --     SOLE       1       6,012      --        --
TREDEGAR CORP.                      EQUITY    894650100       432     23,697  SH   --     SOLE       1      23,697      --        --
TREEHOUSE FOODS INC                 EQUITY    89469A104       612     26,769  SH   --     SOLE       1      26,769      --        --
TREX COMPANY, INC.                  EQUITY    89531P105        81     10,259  SH   --     SOLE       1      10,259      --        --
TRI CONTL CORP COM                  EQUITY    895436103        80      4,620  SH   --   DEFINED      5          --      --     4,620
TRIAD GUARANTY, INC.                EQUITY    895925105        49      9,808  SH   --     SOLE       1       9,808      --        --
TRIARC COS-B                        EQUITY    895927309       373     54,029  SH   --     SOLE       1      54,029      --        --
TRICO BANCSHARES                    EQUITY    896095106       208     12,031  SH   --     SOLE       1      12,031      --        --
TRICO MARINE SERVICES INC           EQUITY    896106200     9,018    229,901  SH   --     SOLE       1     229,901      --        --
TRICO MARINE SVCS INC               EQUITY    896106200     1,032     26,478  SH   --     SOLE       2      26,478      --        --
TRIDENT MICROSYSTEMS INC            EQUITY    895919108       267     51,894  SH   --     SOLE       1      51,894      --        --
TRIMAS CORP                         EQUITY    896215209        64     12,098  SH   --     SOLE       1      12,098      --        --





                                                                                          
TRIMBLE NAVIGATION LTD.             EQUITY    896239100        63      2,221  SH   --     SOLE       1       2,221      --        --
TRINITY INDS INC COM                EQUITY    896522109        16        600  SH   --   DEFINED      5          --      --       600
TRINITY INDUSTRIES, INC.            EQUITY    896522109     5,149    193,218  SH   --     SOLE       1     193,218      --        --
TRIPLE-S MANAGEMENT CORP            EQUITY    896749108       212     11,997  SH   --     SOLE       1      11,997      --        --
TRIPLE-S MGMT CORP CL B             EQUITY    896749108         4        200  SH   --   DEFINED      5          --      --       200
TRIQUINT SEMICONDUCTOR INC COM      EQUITY    89674K103        21      4,245  SH   --   DEFINED      4          --      --     4,245
TRIQUINT SEMICONDUCTOR, INC.        EQUITY    89674K103     2,320    458,555  SH   --     SOLE       1     458,555      --        --
TRIUMPH GROUP, INC.                 EQUITY    896818101       804     14,130  SH   --     SOLE       1      14,130      --        --
TRIZETTO GROUP INC                  EQUITY    896882107       611     36,587  SH   --     SOLE       1      36,587      --        --
TRONOX INC                          EQUITY    897051207       139     35,565  SH   --     SOLE       1      35,565      --        --
TRUBION PHARMACEUTICALS INC         EQUITY    89778N102        70      7,453  SH   --     SOLE       1       7,453      --        --
TRUE RELIGION APPAREL COM           EQUITY    89784N104     3,857    207,900  SH   --     SOLE       3     207,900      --   207,900
TRUE RELIGION APPAREL INC           EQUITY    89784N104     1,315     70,867  SH   --     SOLE       1      70,867      --        --
TRUEBLUE INC                        EQUITY    89785X101       507     37,708  SH   --     SOLE       1      37,708      --        --
TRUMP ENTERTAINMENT RESORTS INC     EQUITY    89816T103        96     26,647  SH   --     SOLE       1      26,647      --        --
TRUSTCO BANK CORP. NY               EQUITY    898349105       573     64,442  SH   --     SOLE       1      64,442      --        --
TRUSTMARK CORP.                     EQUITY    898402102       935     41,986  SH   --     SOLE       1      41,986      --        --
TRW AUTOMOTIVE HOLDINGS CORP        EQUITY    87264S106        47      2,029  SH   --     SOLE       1       2,029      --        --
TTM TECHONOLOGIES                   EQUITY    87305R109       410     36,193  SH   --     SOLE       1      36,193      --        --
TUESDAY MORNING CORP COM NEW        EQUITY    899035505        96     18,500  SH   --   DEFINED      5          --      --    18,500
TUESDAY MORNING CORPORATION         EQUITY    899035505       133     25,673  SH   --     SOLE       1      25,673      --        --
TUPPERWARE BRANDS CORP              EQUITY    899896104       830     21,450  SH   --     SOLE       2      21,450      --        --
TUPPERWARE BRANDS CORP COM          EQUITY    899896104         8        200  SH   --   DEFINED      5          --      --       200
TUPPERWARE BRANDS CORP.             EQUITY    899896104     7,683    198,630  SH   --     SOLE       1     198,630      --        --
TURBOCHEF TECHNOLOGIES INC          EQUITY    900006206       110     16,869  SH   --     SOLE       1      16,869      --        --
TURKCELL ILETISIM HIZMETLERI
SPON ADR NEW                        EQUITY    900111204         7        350  SH   --   DEFINED      5          --      --       350
TURKISH INVT FD INC COM             EQUITY    900145103         4        300  SH   --   DEFINED      5          --      --       300
TWEEN BRANDS INC                    EQUITY    901166108       524     21,191  SH   --     SOLE       1      21,191      --        --
TWIN DISC INC                       EQUITY    901476101       124      7,828  SH   --     SOLE       1       7,828      --        --
TXCO RESOURCES INC                  EQUITY    87311M102       358     28,919  SH   --     SOLE       1      28,919      --        --
TYCO ELECTRONICS LTD                EQUITY    G9144P105     3,064     89,283  SH   --     SOLE       2      89,283      --        --
TYCO ELECTRONICS LTD COM NEW        EQUITY    G9144P105        40      1,158  SH   --   DEFINED      4          --      --     1,158
TYCO ELECTRONICS LTD COM NEW        EQUITY    G9144P105       377     10,971  SH   --   DEFINED      5          --      --    10,971
TYCO INTERNATIONAL LTD BER          EQUITY    G9143X208        26        580  SH   --     SOLE       2         580      --        --
TYCO INTL LTD BERMUDA SHS           EQUITY    G9143X208        48      1,080  SH   --   DEFINED      4          --      --     1,080
TYCO INTL LTD BERMUDA SHS           EQUITY    G9143X208        49      1,121  SH   --   DEFINED      5          --      --     1,121
TYLER TECHNOLOGIES INC              EQUITY    902252105       467     33,410  SH   --     SOLE       1      33,410      --        --
TYSON FOODS INC (DEL)               EQUITY    902494103         5        327  SH   --     SOLE       2         327      --        --
TYSON FOODS INC CL A                EQUITY    902494103        18      1,143  SH   --   DEFINED      5          --      --     1,143
TYSON FOODS, INC. CLASS A           EQUITY    902494103     1,973    123,674  SH   --     SOLE       1     123,674      --        --





                                                                                          
U S G CORP COM NEW                  EQUITY    903293405         9        254  SH   --   DEFINED      4          --      --       254
U S G CORP COM NEW                  EQUITY    903293405       405     11,000  SH   --   DEFINED      5          --      --    11,000
U.S. BANCORP, INC.                  EQUITY    902973304    42,526  1,314,148  SH   --     SOLE       1   1,314,148      --        --
UAL CORP                            EQUITY    902549807     1,232     57,202  SH   --     SOLE       1      57,202      --        --
UAP HOLDING CORP                    EQUITY    903441103    13,978    364,569  SH   --     SOLE       1     364,569      --        --
UCBH HOLDINGS INC                   EQUITY    90262T308       665     85,706  SH   --     SOLE       1      85,706      --        --
UGI CORP NEW                        EQUITY    902681105       536     21,500  SH   --     SOLE       2      21,500      --        --
UGI CORP NEW COM                    EQUITY    902681105         3        120  SH   --   DEFINED      4          --      --       120
UGI CORP.                           EQUITY    902681105       100      4,000  SH   --     SOLE       1       4,000      --        --
UIL HLDG CORP COM                   EQUITY    902748102         5        166  SH   --   DEFINED      5          --      --       166
UIL HOLDINGS CORP.                  EQUITY    902748102       650     21,581  SH   --     SOLE       1      21,581      --        --
ULTA SALON COSMETICS &
FRAGRANCE INC                       EQUITY    90384S303       103      7,358  SH   --     SOLE       1       7,358      --        --
ULTA SALON, COSMETICS & FRAGRA      EQUITY    90384s303     1,216     86,600  SH   --     SOLE       3      86,600      --    86,600
ULTIMATE SOFTWARE GROUP INC         EQUITY    90385D107       636     21,168  SH   --     SOLE       1      21,168      --        --
ULTRA CLEAN HLDGS INC COM           EQUITY    90385V107       386     39,423  SH   --   DEFINED      4          --      --    39,423
ULTRA CLEAN HOLDINGS                EQUITY    90385V107       160     16,278  SH   --     SOLE       1      16,278      --        --
ULTRA PETROLEUM CORP COM            EQUITY    903914109        16        200  SH   --   DEFINED      5          --      --       200
ULTRALIFE BATTERIES COM             EQUITY    903899102     1,327    112,400  SH   --     SOLE       3     112,400      --   112,400
ULTRATECH , INC.                    EQUITY    904034105       192     19,933  SH   --     SOLE       1      19,933      --        --
UMB FINANCIAL CORP.                 EQUITY    902788108     1,094     26,564  SH   --     SOLE       1      26,564      --        --
UMPQUA HLDGS CORP COM               EQUITY    904214103         9        600  SH   --   DEFINED      5          --      --       600
UMPQUA HOLDINGS CORP                EQUITY    904214103       815     52,553  SH   --     SOLE       1      52,553      --        --
UNDER ARMOUR INC CL A               EQUITY    904311107        11        300  SH   --   DEFINED      5          --      --       300
UNDER ARMOUR INC-CLASS A            EQUITY    904311107       777     21,240  SH   --     SOLE       1      21,240      --        --
UNIBANCO - SPONSORED GDR            EQUITY    90458E107    19,744    169,270  SH   --     SOLE       1     169,270      --        --
UNICA CORP                          EQUITY    904583101        57      8,418  SH   --     SOLE       1       8,418      --        --
UNIFIRST CORP.                      EQUITY    904708104       456     12,281  SH   --     SOLE       1      12,281      --        --
UNILEVER N V N Y SHS NEW            EQUITY    904784709        25        750  SH   --   DEFINED      5          --      --       750
UNILEVER PLC SPON ADR NEW           EQUITY    904767704         3         85  SH   --   DEFINED      4          --      --        85
UNILEVER PLC SPON ADR NEW           EQUITY    904767704       136      4,036  SH   --   DEFINED      5          --      --     4,036
UNION BANKSHARES CORP               EQUITY    905399101       222     11,455  SH   --     SOLE       1      11,455      --        --
UNION DRILLING INC                  EQUITY    90653P105       207     11,818  SH   --     SOLE       1      11,818      --        --
UNION PAC CORP                      EQUITY    907818108        39        312  SH   --     SOLE       2         312      --        --
UNION PAC CORP COM                  EQUITY    907818108        56        446  SH   --   DEFINED      4          --      --       446
UNION PAC CORP COM                  EQUITY    907818108        32        252  SH   --   DEFINED      5          --      --       252
UNION PACIFIC CORP                  EQUITY    907818108    17,513    139,676  SH   --     SOLE       1     139,676      --        --
UNIONBANCAL CORP                    EQUITY    908906100       105      2,136  SH   --     SOLE       1       2,136      --        --
UNISOURCE ENERGY CORP.              EQUITY    909205106       674     30,260  SH   --     SOLE       1      30,260      --        --
UNISYS CORP                         EQUITY    909214108         2        422  SH   --     SOLE       2         422      --        --
UNISYS CORP COM                     EQUITY    909214108        49     11,003  SH   --   DEFINED      5          --      --    11,003





                                                                                          
UNISYS CORP.                        EQUITY    909214108       418     94,282  SH   --     SOLE       1      94,282      --        --
UNIT CORP COM                       EQUITY    909218109     2,430     42,900  SH   --     SOLE       3      42,900      --    42,900
UNIT CORP.                          EQUITY    909218109     1,159     20,454  SH   --     SOLE       1      20,454      --        --
UNITED AMERICA INDEMNITY LTD        EQUITY    90933T109       409     21,234  SH   --     SOLE       1      21,234      --        --
UNITED BANKSHARES INC. WV           EQUITY    909907107       876     32,880  SH   --     SOLE       1      32,880      --        --
UNITED CMNTY BKS BLAIR              EQUITY    90984P105       605     35,657  SH   --     SOLE       1      35,657      --        --
UNITED CMNTY BKS BLAIRSVLE G
CAP STK                             EQUITY    90984P105        14        800  SH   --   DEFINED      4          --      --       800
UNITED COMMUNITY FINANCIAL CO       EQUITY    909839102       143     22,997  SH   --     SOLE       1      22,997      --        --
UNITED FIRE & CASUALTY CO.          EQUITY    910331107       703     18,789  SH   --     SOLE       1      18,789      --        --
UNITED NAT FOODS INC COM            EQUITY    911163103         3        164  SH   --   DEFINED      5          --      --       164
UNITED NATURAL FOODS, INC.          EQUITY    911163103       687     36,720  SH   --     SOLE       1      36,720      --        --
UNITED ONLINE INC                   EQUITY    911268100       605     57,252  SH   --     SOLE       1      57,252      --        --
UNITED PARCEL SERVICE CLASS -B      EQUITY    911312106    42,390    580,521  SH   --     SOLE       1     580,521      --        --
UNITED PARCEL SERVICE INC CL B      EQUITY    911312106     1,745     23,892  SH   --   DEFINED      4          --      --    23,892
UNITED PARCEL SERVICE INC CL B      EQUITY    911312106       141      1,929  SH   --   DEFINED      5          --      --     1,929
UNITED PARCEL SVC INC               EQUITY    911312106     4,424     60,587  SH   --     SOLE       2      60,587      --        --
UNITED RENTALS, INC.                EQUITY    911363109     3,450    183,131  SH   --     SOLE       1     183,131      --        --
UNITED SECURITY BANCSHARES          EQUITY    911460103       118      7,016  SH   --     SOLE       1       7,016      --        --
UNITED STATES CELLULAR CORP COM     EQUITY    911684108         3         50  SH   --   DEFINED      5          --      --        50
UNITED STATES NATL GAS FUND UNIT    EQUITY    912318102        36        751  SH   --   DEFINED      4          --      --       751
UNITED STATES NATL GAS FUND UNIT    EQUITY    912318102        17        360  SH   --   DEFINED      5          --      --       360
UNITED STATES OIL FUND LP UNITS     EQUITY    91232N108         7         90  SH   --   DEFINED      4          --      --        90
UNITED STATES STEEL CORP            EQUITY    912909108     7,247     57,123  SH   --     SOLE       1      57,123      --        --
UNITED STATES STL CORP COM          EQUITY    912909108     4,187     33,000  SH   --     SOLE       3      33,000      --    33,000
UNITED STATES STL CORP NEW COM      EQUITY    912909108       861      6,790  SH   --   DEFINED      4          --      --     6,790
UNITED STATES STL CORP NEW COM      EQUITY    912909108         2         15  SH   --   DEFINED      5          --      --        15
UNITED STATIONERS, INC.             EQUITY    913004107       957     20,054  SH   --     SOLE       1      20,054      --        --
UNITED STS STL CORP NEW             EQUITY    912909108       846      6,671  SH   --     SOLE       2       6,671      --        --
UNITED TECHNOLOGIES CORP            EQUITY    913017109     6,476     94,107  SH   --     SOLE       2      94,107      --        --
UNITED TECHNOLOGIES CORP COM        EQUITY    913017109        58        846  SH   --   DEFINED      4          --      --       846
UNITED TECHNOLOGIES CORP COM        EQUITY    913017109       101      1,467  SH   --   DEFINED      5          --      --     1,467
UNITED TECHNOLOGIES CORP.           EQUITY    913017109    71,588  1,040,219  SH   --     SOLE       1   1,040,219      --        --
UNITED THERAPEUTICS CORP D          EQUITY    91307C102       542      6,250  SH   --     SOLE       2       6,250      --        --
UNITED THERAPEUTICS CORP.           EQUITY    91307C102     1,654     19,080  SH   --     SOLE       1      19,080      --        --
UNITEDHEALTH GROUP INC              EQUITY    91324P102    33,665    979,773  SH   --     SOLE       1     979,773      --        --
UNITEDHEALTH GROUP INC              EQUITY    91324P102     4,829    140,546  SH   --     SOLE       2     140,546      --        --
UNITEDHEALTH GROUP INC COM          EQUITY    91324P102        12        349  SH   --   DEFINED      4          --      --       349
UNITEDHEALTH GROUP INC COM          EQUITY    91324P102        49      1,435  SH   --   DEFINED      5          --      --     1,435
UNITRIN INC COM                     EQUITY    913275103        10        280  SH   --   DEFINED      5          --      --       280
UNITRIN, INC.                       EQUITY    913275103    10,479    296,510  SH   --     SOLE       1     296,510      --        --





                                                                                          
UNIVERSAL AMER FINANCIAL CORP       EQUITY    913377107       444     41,853  SH   --     SOLE       1      41,853      --        --
UNIVERSAL CORP VA COM               EQUITY    913456109         1         17  SH   --   DEFINED      4          --      --        17
UNIVERSAL CORP.                     EQUITY    913456109     5,740     87,586  SH   --     SOLE       1      87,586      --        --
UNIVERSAL DISPLAY CORP.             EQUITY    91347P105       332     23,182  SH   --     SOLE       1      23,182      --        --
UNIVERSAL ELECTRONICS INC.          EQUITY    913483103       299     12,368  SH   --     SOLE       1      12,368      --        --
UNIVERSAL FOREST PRODUCTS, INC      EQUITY    913543104       461     14,320  SH   --     SOLE       1      14,320      --        --
UNIVERSAL FST PRODS INC COM         EQUITY    913543104         8        233  SH   --   DEFINED      5          --      --       233
UNIVERSAL HEALTH SERVICES - B       EQUITY    913903100     6,611    123,141  SH   --     SOLE       1     123,141      --        --
UNIVERSAL HEALTH SVCS INC           EQUITY    913903100     7,522    140,100  SH   --     SOLE       2     140,100      --        --
UNIVERSAL STAINLESS & ALLOY         EQUITY    913837100       169      5,695  SH   --     SOLE       1       5,695      --        --
UNIVERSAL TECHNICAL INSTITUT        EQUITY    913915104       212     18,069  SH   --     SOLE       1      18,069      --        --
UNIVERSAL TRUCKLOAD SERVICES        EQUITY    91388P105       106      5,090  SH   --     SOLE       1       5,090      --        --
UNIVEST CORP OF PENNSYLVANIA        EQUITY    915271100       292     11,137  SH   --     SOLE       1      11,137      --        --
UNUM GROUP                          EQUITY    91529Y106     3,480    158,088  SH   --     SOLE       1     158,088      --        --
UNUM GROUP                          EQUITY    91529Y106         9        415  SH   --     SOLE       2         415      --        --
URANIUM RESOURCES INC               EQUITY    916901507       268     44,765  SH   --     SOLE       1      44,765      --        --
URBAN OUTFITTERS INC COM            EQUITY    917047102     6,668    212,700  SH   --     SOLE       3     212,700      --   212,700
URBAN OUTFITTERS INC COM            EQUITY    917047102        20        645  SH   --   DEFINED      4          --      --       645
URBAN OUTFITTERS INC COM            EQUITY    917047102         3         85  SH   --   DEFINED      5          --      --        85
URBAN OUTFITTERS, INC.              EQUITY    917047102     8,427    268,819  SH   --     SOLE       1     268,819      --        --
URS CORP.                           EQUITY    903236107     6,556    200,561  SH   --     SOLE       1     200,561      --        --
US AIRWAYS GROUP INC                EQUITY    90341W108        27      3,063  SH   --     SOLE       1       3,063      --        --
US BANCORP DEL                      EQUITY    902973304     1,438     44,442  SH   --     SOLE       2      44,442      --        --
US BANCORP DEL COM NEW              EQUITY    902973304        37      1,150  SH   --   DEFINED      4          --      --     1,150
US BANCORP DEL COM NEW              EQUITY    902973304       240      7,419  SH   --   DEFINED      5          --      --     7,419
US BIOENERGY CORP                   EQUITY    90342V109        69     11,613  SH   --     SOLE       1      11,613      --        --
US CELLULAR                         EQUITY    911684108        45        819  SH   --     SOLE       1         819      --        --
US CONCRETE INC                     EQUITY    90333L102       111     29,115  SH   --     SOLE       1      29,115      --        --
US GLOBAL INVESTORS INC             EQUITY    902952100       137     10,138  SH   --     SOLE       1      10,138      --        --
US GOLD CORP                        EQUITY    912023207       121     47,789  SH   --     SOLE       1      47,789      --        --
USA MOBILITY INC                    EQUITY    90341G103       141     19,802  SH   --     SOLE       1      19,802      --        --
USANA HEALTH SCIENCES INC           EQUITY    90328M107       159      7,237  SH   --     SOLE       1       7,237      --        --
USEC INC COM                        EQUITY    90333E108        55     14,800  SH   --   DEFINED      5          --      --    14,800
USEC, INC                           EQUITY    90333E108       341     92,178  SH   --     SOLE       1      92,178      --        --
USG CORP.                           EQUITY    903293405       111      3,017  SH   --     SOLE       1       3,017      --        --
UST INC                             EQUITY    902911106     6,192    113,579  SH   --     SOLE       2     113,579      --        --
UST INC COM                         EQUITY    902911106        11        205  SH   --   DEFINED      5          --      --       205
UST INC.                            EQUITY    902911106    20,473    375,521  SH   --     SOLE       1     375,521      --        --
UTI WORLDWIDE INC                   EQUITY    G87210103     2,321    115,600  SH   --     SOLE       2     115,600      --        --
UTSTARCOM INC                       EQUITY    918076100       259     91,139  SH   --     SOLE       1      91,139      --        --





                                                                                          
V F CORP                            EQUITY    918204108       202      2,605  SH   --     SOLE       2       2,605      --        --
V F CORP COM                        EQUITY    918204108         6         75  SH   --   DEFINED      4          --      --        75
V F CORP COM                        EQUITY    918204108         8        108  SH   --   DEFINED      5          --      --       108
V. F. CORP.                         EQUITY    918204108     3,069     39,597  SH   --     SOLE       1      39,597      --        --
VAALCO ENERGY INC                   EQUITY    91851C201       252     50,716  SH   --     SOLE       1      50,716      --        --
VAIL RESORTS, INC.                  EQUITY    91879Q109     1,301     26,951  SH   --     SOLE       1      26,951      --        --
VALASSIS COMMUNICATIONS IN          EQUITY    918866104     2,496    230,000  SH   --     SOLE       2     230,000      --        --
VALASSIS COMMUNICATIONS, INC.       EQUITY    918866104     1,682    154,978  SH   --     SOLE       1     154,978      --        --
VALEANT PHARMACEUTICALS INTE        EQUITY    91911X104     3,749    292,201  SH   --     SOLE       1     292,201      --        --
VALEANT PHARMACEUTICALS INTL COM    EQUITY    91911X104         3        244  SH   --   DEFINED      4          --      --       244
VALERO ENERGY CORP                  EQUITY    91913Y100     1,053     21,436  SH   --     SOLE       2      21,436      --        --
VALERO ENERGY CORP NEW COM          EQUITY    91913Y100        32        650  SH   --   DEFINED      4          --      --       650
VALERO ENERGY CORP NEW COM          EQUITY    91913Y100       317      6,455  SH   --   DEFINED      5          --      --     6,455
VALERO ENERGY CORP.                 EQUITY    91913Y100    13,502    274,925  SH   --     SOLE       1     274,925      --        --
VALHI INC                           EQUITY    918905100       135      5,777  SH   --     SOLE       1       5,777      --        --
VALLEY NATIONAL BANC                EQUITY    919794107        48      2,520  SH   --     SOLE       1       2,520      --        --
VALMONT INDS INC                    EQUITY    920253101       536      6,100  SH   --     SOLE       2       6,100      --        --
VALMONT INDUSTRIES, INC.            EQUITY    920253101     1,403     15,960  SH   --     SOLE       1      15,960      --        --
VALSPAR CORP.                       EQUITY    920355104     4,785    241,171  SH   --     SOLE       1     241,171      --        --
VALUE LINE, INC.                    EQUITY    920437100        53      1,156  SH   --     SOLE       1       1,156      --        --
VALUECLICK INC                      EQUITY    92046N102       304     17,600  SH   --     SOLE       2      17,600      --        --
VALUECLICK INC COM                  EQUITY    92046N102         2        100  SH   --   DEFINED      4          --      --       100
VALUECLICK INC.                     EQUITY    92046N102     5,808    336,683  SH   --     SOLE       1     336,683      --        --
VALUEVISION MEDIA INC               EQUITY    92047K107       146     26,330  SH   --     SOLE       1      26,330      --        --
VAN KAMPEN DYNAMIC CR OPPORT
COM ADDED                           EQUITY    921166104         9        600  SH   --   DEFINED      5          --      --       600
VAN KAMPEN PA VALUE MUN INCO
COM                                 EQUITY    92112T108        78      5,886  SH   --   DEFINED      5          --      --     5,886
VAN KAMPEN SENIOR INCOME TR COM     EQUITY    920961109         6      1,075  SH   --   DEFINED      5          --      --     1,075
VAN KAMPEN TR INVT GRADE N Y
COM                                 EQUITY    920931102        11        743  SH   --   DEFINED      5          --      --       743
VANDA PHARMACEUTICALS INC           EQUITY    921659108        88     22,822  SH   --     SOLE       1      22,822      --        --
VANGUARD BD INDEX FD INC
INTERMED TERM                       EQUITY    921937819        43        544  SH   --   DEFINED      5          --      --       544
VANGUARD BD INDEX FD INC SHORT
TRM BOND                            EQUITY    921937827       118      1,498  SH   --   DEFINED      5          --      --     1,498
VANGUARD BD INDEX FD INC TOTAL
BND MRKT                            EQUITY    921937835       787     10,072  SH   --   DEFINED      5          --      --    10,072
VANGUARD EMERGING MARKETS ETF       EQUITY    922042858    13,273    141,160  SH   --     SOLE       1     141,160      --        --
VANGUARD EUROPEAN ETF               EQUITY    922042874    24,531    356,600  SH   --     SOLE       1     356,600      --        --
VANGUARD INDEX FDS EXTEND MKT
ETF                                 EQUITY    922908652        14        150  SH   --   DEFINED      5          --      --       150
VANGUARD INDEX FDS GROWTH ETF       EQUITY    922908736        92      1,592  SH   --   DEFINED      4          --      --     1,592
VANGUARD INDEX FDS GROWTH ETF       EQUITY    922908736        98      1,695  SH   --   DEFINED      5          --      --     1,695
VANGUARD INDEX FDS LARGE CAP
ETF                                 EQUITY    922908637        70      1,179  SH   --   DEFINED      5          --      --     1,179
VANGUARD INDEX FDS MCAP GR
IDXVIP                              EQUITY    922908538         3         56  SH   --   DEFINED      5          --      --        56
VANGUARD INDEX FDS MCAP VL
IDXVIP                              EQUITY    922908512         3         57  SH   --   DEFINED      5          --      --        57





                                                                                          
VANGUARD INDEX FDS MID CAP ETF      EQUITY    922908629        36        526  SH   --   DEFINED      5          --      --       526
VANGUARD INDEX FDS REIT ETF         EQUITY    922908553        35        558  SH   --   DEFINED      5          --      --       558
VANGUARD INDEX FDS SMALL CP ETF     EQUITY    922908751       191      3,101  SH   --   DEFINED      4          --      --     3,101
VANGUARD INDEX FDS SMALL CP ETF     EQUITY    922908751        30        484  SH   --   DEFINED      5          --      --       484
VANGUARD INDEX FDS SML CP GRW
ETF                                 EQUITY    922908595         6        100  SH   --   DEFINED      5          --      --       100
VANGUARD INDEX FDS STK MRK ETF      EQUITY    922908769        10         75  SH   --   DEFINED      4          --      --        75
VANGUARD INDEX FDS STK MRK ETF      EQUITY    922908769       196      1,494  SH   --   DEFINED      5          --      --     1,494
VANGUARD INDEX FDS VALUE ETF        EQUITY    922908744        61      1,013  SH   --   DEFINED      4          --      --     1,013
VANGUARD INDEX FDS VALUE ETF        EQUITY    922908744        88      1,468  SH   --   DEFINED      5          --      --     1,468
VANGUARD INTL EQUITY INDEX F
ALLWRLD EX US                       EQUITY    922042775        29        546  SH   --   DEFINED      4          --      --       546
VANGUARD INTL EQUITY INDEX F
ALLWRLD EX US                       EQUITY    922042775       233      4,315  SH   --   DEFINED      5          --      --     4,315
VANGUARD INTL EQUITY INDEX F
EMR MKT ETF                         EQUITY    922042858        32        342  SH   --   DEFINED      4          --      --       342
VANGUARD INTL EQUITY INDEX F
EMR MKT ETF                         EQUITY    922042858        40        425  SH   --   DEFINED      5          --      --       425
VANGUARD TAX-MANAGED FD EUROPE
PAC ETF                             EQUITY    921943858       105      2,376  SH   --   DEFINED      4          --      --     2,376
VANGUARD TAX-MANAGED FD EUROPE
PAC ETF                             EQUITY    921943858        37        848  SH   --   DEFINED      5          --      --       848
VANGUARD WORLD FDS CONSUM STP
ETF                                 EQUITY    92204A207        10        150  SH   --   DEFINED      4          --      --       150
VANGUARD WORLD FDS HEALTH CAR
ETF                                 EQUITY    92204A504       143      2,675  SH   --   DEFINED      4          --      --     2,675
VANGUARD WORLD FDS INF TECH ETF     EQUITY    92204A702        15        300  SH   --   DEFINED      5          --      --       300
VANGUARD WORLD FDS TELCOMM ETF      EQUITY    92204A884        32        515  SH   --   DEFINED      4          --      --       515
VARIAN INC COM                      EQUITY    922206107         6        100  SH   --   DEFINED      4          --      --       100
VARIAN INC COM                      EQUITY    922206107        44        760  SH   --   DEFINED      5          --      --       760
VARIAN MED SYS INC                  EQUITY    92220P105         7        150  SH   --     SOLE       2         150      --        --
VARIAN MED SYS INC COM              EQUITY    92220P105     4,394     93,800  SH   --     SOLE       3      93,800      --    93,800
VARIAN MED SYS INC COM              EQUITY    92220P105        83      1,767  SH   --   DEFINED      4          --      --     1,767
VARIAN MED SYS INC COM              EQUITY    92220P105        10        216  SH   --   DEFINED      5          --      --       216
VARIAN MEDICAL SYSTEMS INC          EQUITY    92220P105     2,479     52,916  SH   --     SOLE       1      52,916      --        --
VARIAN SEMICONDUCTOR EQUIPMENT      EQUITY    922207105        39      1,390  SH   --     SOLE       1       1,390      --        --
VARIAN SEMICONDUCTOR EQUIPMN COM    EQUITY    922207105        48      1,710  SH   --   DEFINED      5          --      --     1,710
VARIAN, INC.                        EQUITY    922206107     5,682     98,106  SH   --     SOLE       1      98,106      --        --
VASCO DATA SEC INTL INC COM         EQUITY    92230Y104        11        790  SH   --   DEFINED      5          --      --       790
VASCO DATA SECURITY INTL            EQUITY    92230Y104       307     22,445  SH   --     SOLE       1      22,445      --        --
VCA ANTECH INC                      EQUITY    918194101     5,514    201,624  SH   --     SOLE       1     201,624      --        --
VCA ANTECH INC COM                  EQUITY    918194101         3        100  SH   --   DEFINED      4          --      --       100
VCA ANTECH INC COM                  EQUITY    918194101         8        275  SH   --   DEFINED      5          --      --       275
VECTOR GROUP LTD COM                EQUITY    92240M108       166      9,411  SH   --   DEFINED      4          --      --     9,411
VECTOR GROUP LTD COM                EQUITY    92240M108         4        210  SH   --   DEFINED      5          --      --       210
VECTOR GROUP LTD.                   EQUITY    92240M108       469     26,652  SH   --     SOLE       1      26,652      --        --
VECTREN CORP                        EQUITY    92240G101     4,942    184,180  SH   --     SOLE       1     184,180      --        --
VEECO INSTRUMENTS, INC.             EQUITY    922417100       445     26,729  SH   --     SOLE       1      26,729      --        --
VENOCO INC                          EQUITY    92275P307       142     12,219  SH   --     SOLE       1      12,219      --        --





                                                                                          
VENTAS INC                          EQUITY    92276F100    10,637    236,854  SH   --     SOLE       1     236,854      --        --
VEOLIA ENVIRONNEMENT SPONSORED
ADR                                 EQUITY    92334N103         7        100  SH   --   DEFINED      4          --      --       100
VEOLIA ENVIRONNEMENT SPONSORED
ADR                                 EQUITY    92334N103       129      1,846  SH   --   DEFINED      5          --      --     1,846
VERASUN ENERGY CORP                 EQUITY    92336G106       251     34,189  SH   --     SOLE       1      34,189      --        --
VERASUN ENERGY CORP COM             EQUITY    92336G106        18      2,460  SH   --   DEFINED      5          --      --     2,460
VERAZ NETWORKS INC                  EQUITY    923359103        19      7,778  SH   --     SOLE       1       7,778      --        --
VERENIUM CORP                       EQUITY    92340P100       123     34,924  SH   --     SOLE       1      34,924      --        --
VERENIUM CORPORATION COM            EQUITY    92340P100         2        607  SH   --   DEFINED      5          --      --       607
VERIFONE HOLDINGS INC               EQUITY    92342Y109        10        616  SH   --     SOLE       1         616      --        --
VERIGY LTD SHS                      EQUITY    Y93691106         1         73  SH   --   DEFINED      5          --      --        73
VERISIGN INC                        EQUITY    92343E102         8        255  SH   --     SOLE       2         255      --        --
VERISIGN INC COM                    EQUITY    92343E102         3        100  SH   --   DEFINED      5          --      --       100
VERISIGN, INC.                      EQUITY    92343E102     3,446    103,682  SH   --     SOLE       1     103,682      --        --
VERIZON COMMUNICATIONS              EQUITY    92343V104    78,665  2,158,149  SH   --     SOLE       1   2,158,149      --        --
VERIZON COMMUNICATIONS              EQUITY    92343V104    14,567    399,653  SH   --     SOLE       2     399,653      --        --
VERIZON COMMUNICATIONS INC COM      EQUITY    92343V104       163      4,465  SH   --   DEFINED      4          --      --     4,465
VERIZON COMMUNICATIONS INC COM      EQUITY    92343V104       949     26,034  SH   --   DEFINED      5          --      --    26,034
VERTEX PHARMACEUTICALS, INC.        EQUITY    92532F100     8,042    336,615  SH   --     SOLE       1     336,615      --        --
VIACOM INC NEW                      EQUITY    92553P201       666     16,816  SH   --     SOLE       2      16,816      --        --
VIACOM INC NEW CL B                 EQUITY    92553P201        85      2,138  SH   --   DEFINED      4          --      --     2,138
VIACOM INC NEW CL B                 EQUITY    92553P201        43      1,077  SH   --   DEFINED      5          --      --     1,077
VIACOM INC-CLASS B                  EQUITY    92553P201    23,916    603,641  SH   --     SOLE       1     603,641      --        --
VIAD CORP                           EQUITY    92552R406       651     18,080  SH   --     SOLE       1      18,080      --        --
VIAD CORP COM NEW                   EQUITY    92552R406         4        100  SH   --   DEFINED      5          --      --       100
VIASAT, INC.                        EQUITY    92552V100       451     20,785  SH   --     SOLE       1      20,785      --        --
VICAL INC COM                       EQUITY    925602104         1        300  SH   --   DEFINED      4          --      --       300
VICOR CORP.                         EQUITY    925815102       199     16,689  SH   --     SOLE       1      16,689      --        --
VIEWPOINT FINANCIAL GROUP           EQUITY    926727108       164      9,950  SH   --     SOLE       1       9,950      --        --
VIGNETTE CORP COM NEW               EQUITY    926734401         6        476  SH   --   DEFINED      4          --      --       476
VIGNETTE CORPORATION                EQUITY    926734401       278     21,077  SH   --     SOLE       1      21,077      --        --
VILLAGE SUPER MARKET                EQUITY    927107409       135      2,629  SH   --     SOLE       1       2,629      --        --
VIMICRO INTL CORP ADR               EQUITY    92718N109         3      1,000  SH   --   DEFINED      5          --      --     1,000
VIMPEL-COMMUNICATIONS               EQUITY    68370R109    54,372  1,825,586  SH   --     SOLE       1   1,825,586      --        --
VIRGIN MEDIA INC                    EQUITY    92769L101       416     29,568  SH   --     SOLE       1      29,568      --        --
VIRGIN MOBILE USA INC               EQUITY    92769R108        48     23,579  SH   --     SOLE       1      23,579      --        --
VIRGINIA COMMERCE BANCORP           EQUITY    92778Q109       169     14,705  SH   --     SOLE       1      14,705      --        --
VIROPHARMA INC                      EQUITY    928241108       535     59,877  SH   --     SOLE       1      59,877      --        --
VIRTUAL RADIOLOGIC CORP             EQUITY    92826B104        58      3,814  SH   --     SOLE       1       3,814      --        --
VIRTUSA CORP                        EQUITY    92827P102       201     20,564  SH   --     SOLE       1      20,564      --        --
VIRTUSA CORP COM                    EQUITY    92827P102     1,141    116,900  SH   --     SOLE       3     116,900      --   116,900





                                                                                          
VISA INC COM CL A                   EQUITY    92826c839       624     10,000  SH   --     SOLE       3      10,000      --    10,000
VISHAY INTERTECHNOLOGY INC COM      EQUITY    928298108         2        230  SH   --   DEFINED      5          --      --       230
VISHAY INTERTECHNOLOGY, INC.        EQUITY    928298108     4,049    446,899  SH   --     SOLE       1     446,899      --        --
VISTEON CORP COM                    EQUITY    92839U107         2        627  SH   --   DEFINED      5          --      --       627
VISTEON CORP.                       EQUITY    92839U107       418    111,226  SH   --     SOLE       1     111,226      --        --
VITAL IMAGES INC                    EQUITY    92846N104       217     14,644  SH   --     SOLE       1      14,644      --        --
VITAL SIGNS, INC.                   EQUITY    928469105       471      9,293  SH   --     SOLE       1       9,293      --        --
VIVUS INC.                          EQUITY    928551100       302     50,072  SH   --     SOLE       1      50,072      --        --
VMWARE INC CL A COM                 EQUITY    928563402        69      1,600  SH   --   DEFINED      4          --      --     1,600
VMWARE INC CL A COM                 EQUITY    928563402        11        250  SH   --   DEFINED      5          --      --       250
VNUS MED TECNOLOGIES COM            EQUITY    928566108     1,834    100,800  SH   --     SOLE       3     100,800      --   100,800
VOCUS INC                           EQUITY    92858J108       294     11,118  SH   --     SOLE       1      11,118      --        --
VODAFONE GROUP PLC NEW SPONS
ADR NEW                             EQUITY    92857W209       916     31,050  SH   --   DEFINED      4          --      --    31,050
VODAFONE GROUP PLC NEW SPONS
ADR NEW                             EQUITY    92857W209        21        717  SH   --   DEFINED      5          --      --       717
VOLCANO CORP                        EQUITY    928645100       309     24,751  SH   --     SOLE       1      24,751      --        --
VOLCANO CORPORATION COM             EQUITY    928645100         1        100  SH   --   DEFINED      4          --      --       100
VOLCOM INC                          EQUITY    92864N101       254     12,563  SH   --     SOLE       1      12,563      --        --
VOLT INFORMATION SCIENCES INC.      EQUITY    928703107       193     11,393  SH   --     SOLE       1      11,393      --        --
VOLTERRA SEMICONDUCTOR CORP         EQUITY    928708106       207     18,258  SH   --     SOLE       1      18,258      --        --
VONAGE HOLDINGS CORP                EQUITY    92886T201       103     55,489  SH   --     SOLE       1      55,489      --        --
VORNADO REALTY TRUST                EQUITY    929042109     5,251     60,907  SH   --     SOLE       1      60,907      --        --
VORNADO RLTY TR                     EQUITY    929042109        14        161  SH   --     SOLE       2         161      --        --
VULCAN MATERIALS CO.                EQUITY    929160109     3,093     46,575  SH   --     SOLE       1      46,575      --        --
VULCAN MATLS CO                     EQUITY    929160109         9        130  SH   --     SOLE       2         130      --        --
VULCAN MATLS CO COM                 EQUITY    929160109       259      3,904  SH   --   DEFINED      5          --      --     3,904
W HOLDING COMPANY INC.              EQUITY    929251106       116     97,700  SH   --     SOLE       1      97,700      --        --
W P CAREY & CO LLC COM              EQUITY    92930Y107        29        974  SH   --   DEFINED      4          --      --       974
W&T OFFSHORE INC                    EQUITY    92922P106        61      1,787  SH   --     SOLE       1       1,787      --        --
W. R. BERKLEY CORP.                 EQUITY    084423102    10,357    374,040  SH   --     SOLE       1     374,040      --        --
W. W. GRAINGER, INC.                EQUITY    384802104     2,211     28,939  SH   --     SOLE       1      28,939      --        --
WABASH NATIONAL CORP.               EQUITY    929566107       235     26,194  SH   --     SOLE       1      26,194      --        --
WABCO HLDGS INC COM                 EQUITY    92927K102        22        472  SH   --   DEFINED      5          --      --       472
WABCO HOLDINGS INC                  EQUITY    92927K102        49      1,067  SH   --     SOLE       1       1,067      --        --
WABTEC                              EQUITY    929740108     5,915    157,075  SH   --     SOLE       1     157,075      --        --
WACHOVIA CORP                       EQUITY    929903102    38,563  1,428,271  SH   --     SOLE       1   1,428,271      --        --
WACHOVIA CORP 2ND NEW               EQUITY    929903102       489     18,110  SH   --     SOLE       2      18,110      --        --
WACHOVIA CORP NEW COM               EQUITY    929903102       121      4,499  SH   --   DEFINED      4          --      --     4,499
WACHOVIA CORP NEW COM               EQUITY    929903102       347     12,847  SH   --   DEFINED      5          --      --    12,847
WADDELL & REED FINANCIAL, INC.      EQUITY    930059100     8,874    276,190  SH   --     SOLE       1     276,190      --        --
WADDELL + REED FINL INC             EQUITY    930059100       165      5,150  SH   --     SOLE       2       5,150      --        --





                                                                                          
WAL MART STORES INC                 EQUITY    931142103     7,287    138,326  SH   --     SOLE       2     138,326      --        --
WAL MART STORES INC COM             EQUITY    931142103       142      2,701  SH   --   DEFINED      4          --      --     2,701
WAL MART STORES INC COM             EQUITY    931142103     2,881     54,681  SH   --   DEFINED      5          --      --    54,681
WALGREEN CO                         EQUITY    931422109       234      6,136  SH   --     SOLE       2       6,136      --        --
WALGREEN CO COM                     EQUITY    931422109       329      8,636  SH   --   DEFINED      4          --      --     8,636
WALGREEN CO COM                     EQUITY    931422109       400     10,494  SH   --   DEFINED      5          --      --    10,494
WALGREEN CO.                        EQUITY    931422109    24,316    638,392  SH   --     SOLE       1     638,392      --        --
WAL-MART STORES INC                 EQUITY    931142103   118,438  2,248,247  SH   --     SOLE       1   2,248,247      --        --
WALT DISNEY                         EQUITY    254687106    71,258  2,270,820  SH   --     SOLE       1   2,270,820      --        --
WALTER INDS INC                     EQUITY    93317Q105       902     14,400  SH   --     SOLE       2      14,400      --        --
WALTER INDUSTRIES, INC.             EQUITY    93317Q105     2,868     45,791  SH   --     SOLE       1      45,791      --        --
WARNACO GROUP INC                   EQUITY    934390402     5,783    146,620  SH   --     SOLE       1     146,620      --        --
WARNER CHILCOTT LIMITED             EQUITY    G9435N108       115      6,400  SH   --     SOLE       2       6,400      --        --
WARNER MUSIC GROUP CORP             EQUITY    934550104         5      1,051  SH   --     SOLE       1       1,051      --        --
WARREN RES INC                      EQUITY    93564A100     2,560    215,700  SH   --     SOLE       2     215,700      --        --
WARREN RES INC COM                  EQUITY    93564A100         2        190  SH   --   DEFINED      5          --      --       190
WARREN RESOURCES INC                EQUITY    93564A100       593     49,919  SH   --     SOLE       1      49,919      --        --
WASHINGTON FEDERAL I                EQUITY    938824109     4,770    208,836  SH   --     SOLE       1     208,836      --        --
WASHINGTON MUT INC                  EQUITY    939322103        29      2,855  SH   --     SOLE       2       2,855      --        --
WASHINGTON MUT INC COM              EQUITY    939322103         3        250  SH   --   DEFINED      4          --      --       250
WASHINGTON MUT INC COM              EQUITY    939322103       273     26,542  SH   --   DEFINED      5          --      --    26,542
WASHINGTON MUTUAL INC               EQUITY    939322103     4,492    436,125  SH   --     SOLE       1     436,125      --        --
WASHINGTON POST CO                  EQUITY    939640108         5          7  SH   --     SOLE       2           7      --        --
WASHINGTON POST CO. CLASS B         EQUITY    939640108     3,348      5,061  SH   --     SOLE       1       5,061      --        --
WASHINGTON REAL ESTATE INV.         EQUITY    939653101     1,291     38,644  SH   --     SOLE       1      38,644      --        --
WASHINGTON REAL ESTATE INVT
SH BEN INT                          EQUITY    939653101        17        515  SH   --   DEFINED      4          --      --       515
WASHINGTON TRUST BANCORP, INC.      EQUITY    940610108       243      9,798  SH   --     SOLE       1       9,798      --        --
WASTE CONNECTIONS, INC.             EQUITY    941053100     1,811     58,916  SH   --     SOLE       1      58,916      --        --
WASTE INDUSTRIES USA INC            EQUITY    941057101       157      4,341  SH   --     SOLE       1       4,341      --        --
WASTE MANAGEMENT, INC.              EQUITY    94106L109    21,024    626,459  SH   --     SOLE       1     626,459      --        --
WASTE MGMT INC DEL                  EQUITY    94106L109     6,833    203,592  SH   --     SOLE       2     203,592      --        --
WASTE MGMT INC DEL COM              EQUITY    94106L109        12        372  SH   --   DEFINED      4          --      --       372
WASTE MGMT INC DEL COM              EQUITY    94106L109         4        120  SH   --   DEFINED      5          --      --       120
WASTE SERVICES INC                  EQUITY    941075202       135     16,674  SH   --     SOLE       1      16,674      --        --
WATERS CORP                         EQUITY    941848103         7        119  SH   --     SOLE       2         119      --        --
WATERS CORP COM                     EQUITY    941848103        38        690  SH   --   DEFINED      5          --      --       690
WATERS CORP.                        EQUITY    941848103     4,780     85,815  SH   --     SOLE       1      85,815      --        --
WATSCO, INC.                        EQUITY    942622200       813     19,639  SH   --     SOLE       1      19,639      --        --
WATSON PHARMACEUTICALS INC          EQUITY    942683103       118      4,024  SH   --     SOLE       2       4,024      --        --
WATSON PHARMACEUTICALS INC COM      EQUITY    942683103         4        150  SH   --   DEFINED      5          --      --       150





                                                                                          
WATSON PHARMACEUTICALS INC
DBCV 1.750% 3/1                  FIXED INCOME 942683AC7         3          3 PRN   --   DEFINED      4          --      --         3
WATSON PHARMACEUTICALS, INC         EQUITY    942683103     3,150    107,450  SH   --     SOLE       1     107,450      --        --
WATSON WYATT WORLDWIDE INC          EQUITY    942712100     2,082     36,685  SH   --     SOLE       1      36,685      --        --
WATSON WYATT WORLDWIDE INC          EQUITY    942712100     1,155     20,350  SH   --     SOLE       2      20,350      --        --
WATTS WATER TECHNOLOGIES INC
CL A                                EQUITY    942749102         4        125  SH   --   DEFINED      5          --      --       125
WATTS WATER TECHNOLOGIES INC.,
CLASS A                             EQUITY    942749102       716     25,545  SH   --     SOLE       1      25,545      --        --
WAUSAU PAPER CORP.                  EQUITY    943315101       315     38,143  SH   --     SOLE       1      38,143      --        --
WAUWATOSA HOLDINGS INC              EQUITY    94348P108       100      8,398  SH   --     SOLE       1       8,398      --        --
WCI COMMUNITIES INC                 EQUITY    92923C104        89     26,461  SH   --     SOLE       1      26,461      --        --
WD-40 CO.                           EQUITY    929236107       502     15,089  SH   --     SOLE       1      15,089      --        --
WEATHERFORD INTERNATIONAL           EQUITY    G95089101        29        405  SH   --     SOLE       2         405      --        --
WEATHERFORD INTERNATIONAL LT COM    EQUITY    G95089101        55        765  SH   --   DEFINED      4          --      --       765
WEATHERFORD INTERNATIONAL LT COM    EQUITY    G95089101        22        300  SH   --   DEFINED      5          --      --       300
WEATHERFORDNINTL LTD                EQUITY    G95089101    12,742    175,819  SH   --     SOLE       1     175,819      --        --
WEBMD HEALTH CORP                   EQUITY    94770V102        12        500  SH   --     SOLE       2         500      --        --
WEBMD HEALTH CORP-CLASS A           EQUITY    94770V102         7        305  SH   --     SOLE       1         305      --        --
WEBSENSE INC                        EQUITY    947684106       723     38,584  SH   --     SOLE       1      38,584      --        --
WEBSENSE INC                        EQUITY    947684106       684     36,500  SH   --     SOLE       2      36,500      --        --
WEBSITE PROS INC                    EQUITY    94769V105     1,301    132,400  SH   --     SOLE       1     132,400      --        --
WEBSITE PROS INC COM                EQUITY    94769V105     4,956    504,200  SH   --     SOLE       3     504,200      --   504,200
WEBSTER FINANCIAL CORP.             EQUITY    947890109     3,575    128,290  SH   --     SOLE       1     128,290      --        --
WEBSTER FINL CORP CONN COM          EQUITY    947890109       897     32,174  SH   --   DEFINED      5          --      --    32,174
WEIGHT WATCHERS INTL INC            EQUITY    948626106        35        750  SH   --     SOLE       1         750      --        --
WEIS MARKETS INC                    EQUITY    948849104       367     10,650  SH   --     SOLE       1      10,650      --        --
WELLCARE HEALTH PLANS INC           EQUITY    94946T106     3,891     99,893  SH   --     SOLE       1      99,893      --        --
WELLCARE HEALTH PLANS INC COM       EQUITY    94946T106         5        140  SH   --   DEFINED      5          --      --       140
WELLPOINT INC                       EQUITY    94973V107    21,154    479,355  SH   --     SOLE       1     479,355      --        --
WELLPOINT INC                       EQUITY    94973V107       922     20,888  SH   --     SOLE       2      20,888      --        --
WELLPOINT INC COM                   EQUITY    94973V107         5        107  SH   --   DEFINED      4          --      --       107
WELLPOINT INC COM                   EQUITY    94973V107         5        110  SH   --   DEFINED      5          --      --       110
WELLS FARGO & CO NEW COM            EQUITY    949746101       126      4,318  SH   --   DEFINED      4          --      --     4,318
WELLS FARGO & CO NEW COM            EQUITY    949746101       434     14,913  SH   --   DEFINED      5          --      --    14,913
WELLS FARGO + CO NEW                EQUITY    949746101     2,440     83,865  SH   --     SOLE       2      83,865      --        --
WELLS FARGO CO.                     EQUITY    949746101    42,961  1,476,324  SH   --     SOLE       1   1,476,324      --        --
WENDY'S INTERNATIONAL, INC.         EQUITY    950590109     3,505    152,003  SH   --     SOLE       1     152,003      --        --
WENDYS INTL INC                     EQUITY    950590109         2        104  SH   --     SOLE       2         104      --        --
WERNER ENTERPRISES, INC.            EQUITY    950755108     2,699    145,400  SH   --     SOLE       1     145,400      --        --
WESBANCO, INC.                      EQUITY    950810101       535     21,638  SH   --     SOLE       1      21,638      --        --
WESCO INTERNATIONAL, INC.           EQUITY    95082P105        43      1,170  SH   --     SOLE       1       1,170      --        --
WEST COAST BANCORP                  EQUITY    952145100       196     13,467  SH   --     SOLE       1      13,467      --        --





                                                                                          
WEST MARINE INC                     EQUITY    954235107        88     12,658  SH   --     SOLE       1      12,658      --        --
WEST PHARMACEUTICAL SERVICES        EQUITY    955306105     1,252     28,304  SH   --     SOLE       1      28,304      --        --
WESTAMERICA BANKCORPORATION         EQUITY    957090103     4,954     94,182  SH   --     SOLE       1      94,182      --        --
WESTAR ENERGY                       EQUITY    95709T100     7,224    317,247  SH   --     SOLE       1     317,247      --        --
WESTAR ENERGY INC COM               EQUITY    95709T100        30      1,334  SH   --   DEFINED      4          --      --     1,334
WESTAR ENERGY INC COM               EQUITY    95709T100        10        452  SH   --   DEFINED      5          --      --       452
WESTERN ALLIANCE BANCORP            EQUITY    957638109       183     14,221  SH   --     SOLE       1      14,221      --        --
WESTERN ASSET 2008 WW DLR GO COM    EQUITY    95766W103        23      2,268  SH   --   DEFINED      5          --      --     2,268
WESTERN ASSET CLYM INFL OPP COM     EQUITY    95766R104       127     10,595  SH   --   DEFINED      4          --      --    10,595
WESTERN ASSET CLYM INFL OPP COM     EQUITY    95766R104        24      2,000  SH   --   DEFINED      5          --      --     2,000
WESTERN ASSET CLYM INFL SEC
COM SH BEN INT                      EQUITY    95766Q106         5        452  SH   --   DEFINED      5          --      --       452
WESTERN ASSET EMRG MKT DEBT COM     EQUITY    95766A101        18      1,019  SH   --   DEFINED      4          --      --     1,019
WESTERN ASSET EMRG MKT DEBT COM     EQUITY    95766A101        14        832  SH   --   DEFINED      5          --      --       832
WESTERN ASSET EMRG MKT INCM COM     EQUITY    95766E103       203     15,879  SH   --   DEFINED      4          --      --    15,879
WESTERN ASSET GLB HI INCOME COM     EQUITY    95766B109        30      2,680  SH   --   DEFINED      5          --      --     2,680
WESTERN ASSET HIGH INCM FD I COM    EQUITY    95766H106        19      2,200  SH   --   DEFINED      5          --      --     2,200
WESTERN ASSET HIGH INCM FD I COM    EQUITY    95766J102       322     35,020  SH   --   DEFINED      5          --      --    35,020
WESTERN ASSET HIGH INCM OPP COM     EQUITY    95766K109        12      2,172  SH   --   DEFINED      5          --      --     2,172
WESTERN ASSET INFL MGMT FD I COM    EQUITY    95766U107       128      7,528  SH   --   DEFINED      4          --      --     7,528
WESTERN ASSET PREMIER BD FD
SHS BEN INT                         EQUITY    957664105        25      2,000  SH   --   DEFINED      5          --      --     2,000
WESTERN ASST MNG MUN FD INC COM     EQUITY    95766M105        40      3,656  SH   --   DEFINED      5          --      --     3,656
WESTERN DIGITAL CORP                EQUITY    958102105       154      5,700  SH   --     SOLE       2       5,700      --        --
WESTERN DIGITAL CORP COM            EQUITY    958102105         4        166  SH   --   DEFINED      4          --      --       166
WESTERN DIGITAL CORP COM            EQUITY    958102105        18        660  SH   --   DEFINED      5          --      --       660
WESTERN DIGITIAL CORP.              EQUITY    958102105    14,393    532,271  SH   --     SOLE       1     532,271      --        --
WESTERN GOLDFIELDS INC COM NEW      EQUITY    95828P203     1,460    456,400  SH   --     SOLE       3     456,400      --   456,400
WESTERN REFINING INC                EQUITY    959319104        11        811  SH   --     SOLE       1         811      --        --
WESTERN REFNG INC COM               EQUITY    959319104         3        200  SH   --   DEFINED      4          --      --       200
WESTERN UN CO                       EQUITY    959802109       300     14,096  SH   --     SOLE       2      14,096      --        --
WESTERN UN CO COM                   EQUITY    959802109       128      6,000  SH   --   DEFINED      5          --      --     6,000
WESTERN UNION CO/THE                EQUITY    959802109     8,777    412,624  SH   --     SOLE       1     412,624      --        --
WESTFIELD FINANCIAL INC             EQUITY    96008P104        87      8,878  SH   --     SOLE       1       8,878      --        --
WESTWOOD ONE, INC.                  EQUITY    961815107       128     60,804  SH   --     SOLE       1      60,804      --        --
WET SEAL INC CL A                   EQUITY    961840105     1,405    414,600  SH   --     SOLE       3     414,600      --   414,600
WET SEAL, INC.                      EQUITY    961840105       245     72,367  SH   --     SOLE       1      72,367      --        --
WEYCO GROUP INC                     EQUITY    962149100       189      6,360  SH   --     SOLE       1       6,360      --        --
WEYERHAEUSER CO                     EQUITY    962166104        16        250  SH   --     SOLE       2         250      --        --
WEYERHAEUSER CO COM                 EQUITY    962166104         2         35  SH   --   DEFINED      4          --      --        35
WEYERHAEUSER CO COM                 EQUITY    962166104        13        200  SH   --   DEFINED      5          --      --       200
WEYERHAEUSER CO.                    EQUITY    962166104     5,607     86,203  SH   --     SOLE       1      86,203      --        --





                                                                                          
WGL HOLDINGS INC.                   EQUITY    92924F106    11,356    354,211  SH   --     SOLE       1     354,211      --        --
W-H ENERGY SERVICES INC             EQUITY    92925E108     1,797     26,097  SH   --     SOLE       1      26,097      --        --
WHIRLPOOL CORP                      EQUITY    963320106         8         90  SH   --     SOLE       2          90      --        --
WHIRLPOOL CORP COM                  EQUITY    963320106        86        986  SH   --   DEFINED      4          --      --       986
WHIRLPOOL CORP COM                  EQUITY    963320106        53        613  SH   --   DEFINED      5          --      --       613
WHIRLPOOL CORP.                     EQUITY    963320106     2,892     33,325  SH   --     SOLE       1      33,325      --        --
WHITE MTNS INS GROUP LTD COM        EQUITY    G9618E107         1          3  SH   --   DEFINED      5          --      --         3
WHITING PETROLEUM CORP              EQUITY    966387102     2,332     36,077  SH   --    SOLE        1      36,077      --        --
WHITNEY HOLDING CORP.               EQUITY    966612103        63      2,543  SH   --     SOLE       1       2,543      --        --
WHOLE FOODS MARKET I                EQUITY    966837106     2,206     66,919  SH   --     SOLE       1      66,919      --        --
WHOLE FOODS MKT INC                 EQUITY    966837106         6        167  SH   --     SOLE       2         167      --        --
WHOLE FOODS MKT INC COM             EQUITY    966837106        10        300  SH   --   DEFINED      4          --      --       300
WHOLE FOODS MKT INC COM             EQUITY    966837106       191      5,786  SH   --   DEFINED      5          --      --     5,786
WILLBROS GROUP INC                  EQUITY    969199108       972     31,774  SH   --     SOLE       1      31,774      --        --
WILLIAMS COMPANIES, INC.            EQUITY    969457100    29,961    908,454  SH   --     SOLE       1     908,454      --        --
WILLIAMS COS INC                    EQUITY    969457100        23        699  SH   --     SOLE       2         699      --        --
WILLIAMS COS INC DEL COM            EQUITY    969457100        22        655  SH   --   DEFINED      4          --      --       655
WILLIAMS COS INC DEL COM            EQUITY    969457100        11        339  SH   --   DEFINED      5          --      --       339
WILLIAMS-SONOMA, INC.               EQUITY    969904101     5,084    209,719  SH   --     SOLE       1     209,719      --        --
WILMINGTON TRUST CORP               EQUITY    971807102     5,069    162,987  SH   --     SOLE       1     162,987      --        --
WILSHIRE BANCORP INC                EQUITY    97186T108       115     15,107  SH   --     SOLE       1      15,107      --        --
WIMM-BILL-DANN FOODS OJSC           EQUITY    97263M109     1,845     18,000  SH   --     SOLE       1      18,000      --        --
WIND RIVER SYSTEMS INC.             EQUITY    973149107     1,906    246,238  SH   --     SOLE       1     246,238      --        --
WINDSTREAM CORP                     EQUITY    97381W104    18,348  1,535,388  SH   --     SOLE       1   1,535,388      --        --
WINDSTREAM CORP                     EQUITY    97381W104     4,944    413,743  SH   --     SOLE       2     413,743      --        --
WINDSTREAM CORP COM                 EQUITY    97381W104         1        103  SH   --   DEFINED      4          --      --       103
WINDSTREAM CORP COM                 EQUITY    97381W104        59      4,900  SH   --   DEFINED      5          --      --     4,900
WINN-DIXIE STORES INC               EQUITY    974280307       527     29,364  SH   --     SOLE       1      29,364      --        --
WINNEBAGO INDUSTRIES, INC.          EQUITY    974637100       429     25,356  SH   --     SOLE       1      25,356      --        --
WINTHROP REALTY TRUST               EQUITY    976391102       179     43,391  SH   --     SOLE       1      43,391      --        --
WINTRUST FINANCIAL CORP             EQUITY    97650W108       724     20,715  SH   --     SOLE       1      20,715      --        --
WISCONSIN ENERGY CORP.              EQUITY    976657106    12,360    280,971  SH   --     SOLE       1     280,971      --        --
WISDOMTREE TRUST DEFA HG YLD EQ     EQUITY    97717W802         6        100  SH   --   DEFINED      5          --      --       100
WISDOMTREE TRUST INDIA ERNGS
FD ADDED                            EQUITY    97717W422         3        150  SH   --   DEFINED      5          --      --       150
WISDOMTREE TRUST INTL CONS NON      EQUITY    97717W729        21        747  SH   --   DEFINED      4          --      --       747
WISDOMTREE TRUST INTL DV TOP100     EQUITY    97717W786       894     14,000  SH   --   DEFINED      5          --      --    14,000
WISDOMTREE TRUST INTL FINANCIAL     EQUITY    97717W695       654     27,120  SH   --   DEFINED      4          --      --    27,120
WISDOMTREE TRUST INTL LRGCAP DV     EQUITY    97717W794        22        350  SH   --   DEFINED      5          --      --       350
WISDOMTREE TRUST JP HG-YIELDING     EQUITY    97717W844         5         96  SH   --   DEFINED      4          --      --        96
WISDOMTREE TRUST LOW P/E FUND       EQUITY    97717W547        16        375  SH   --   DEFINED      4          --      --       375





                                                                                          
WISDOMTREE TRUST MIDCAP DIVI FD     EQUITY    97717W505       448      9,340  SH   --   DEFINED      4          --      --     9,340
WISDOMTREE TRUST PAC EXJP HG YD     EQUITY    97717W810       849     13,400  SH   --   DEFINED      5          --      --    13,400
WISDOMTREE TRUST PAC EXJP TOT D     EQUITY    97717W828        25        350  SH   --   DEFINED      4          --      --       350
WISDOMTREE TRUST PAC EXJP TOT D     EQUITY    97717W828         7         95  SH   --   DEFINED      5          --      --        95
WISDOMTREE TRUST SMALLCAP DIVID     EQUITY    97717W604         5        112  SH   --   DEFINED      4          --      --       112
WIZZARD SOFTWARE CORP NEW COM
ADDED                               EQUITY    97750V109         3      1,100  SH   --   DEFINED      5          --      --     1,100
WM. WRIGLEY JR. CO.                 EQUITY    982526105     8,810    140,197  SH   --     SOLE       1     140,197      --        --
WMS INDS INC COM                    EQUITY    929297109        17        475  SH   --   DEFINED      5          --      --       475
WMS INDUSTRIES INC                  EQUITY    929297109       468     13,000  SH   --     SOLE       2      13,000      --        --
WMS INDUSTRIES INC.                 EQUITY    929297109     1,254     34,870  SH   --     SOLE       1      34,870      --        --
WOLVERINE WORLD WIDE INC            EQUITY    978097103       754     26,000  SH   --     SOLE       2      26,000      --        --
WOLVERINE WORLD WIDE INC COM        EQUITY    978097103         3        103  SH   --   DEFINED      5          --      --       103
WOLVERINE WORLD WIDE, INC.          EQUITY    978097103     1,237     42,637  SH   --     SOLE       1      42,637      --        --
WONDER AUTO TECH INC COM            EQUITY    978166106     1,073    130,400  SH   --     SOLE       3     130,400      --   130,400
WOODWARD GOVERNOR CO                EQUITY    980745103       492     18,400  SH   --     SOLE       2      18,400      --        --
WOODWARD GOVERNOR CO.               EQUITY    980745103     1,374     51,429  SH   --     SOLE       1      51,429      --        --
WORLD ACCEPTANCE CORP.              EQUITY    981419104       479     15,028  SH   --     SOLE       1      15,028      --        --
WORLD FUEL SERVICES CORP.           EQUITY    981475106     5,224    186,100  SH   --     SOLE       2     186,100      --        --
WORLD FUEL SVCS CORP                EQUITY    981475106       687     24,480  SH   --     SOLE       1      24,480      --        --
WORLD WRESTLING ENTMNT              EQUITY    98156Q108       360     19,351  SH   --     SOLE       1      19,351      --        --
WORLD WRESTLING ENTMT INC           EQUITY    98156Q108       661     35,500  SH   --     SOLE       2      35,500      --        --
WORLD WRESTLING ENTMT INC CL A      EQUITY    98156Q108         9        463  SH   --   DEFINED      4          --      --       463
WORTHINGTON INDUSTRIES, INC.        EQUITY    981811102     3,581    212,251  SH   --     SOLE       1     212,251      --        --
WRIGHT EXPRESS CORP                 EQUITY    98233Q105     1,053     34,261  SH   --     SOLE       1      34,261      --        --
WRIGHT EXPRESS CORP                 EQUITY    98233Q105       845     27,500  SH   --     SOLE       2      27,500      --        --
WRIGHT MED GROUP INC                EQUITY    98235T107     1,246     51,607  SH   --     SOLE       1      51,607      --        --
WRIGHT MED GROUP INC                EQUITY    98235T107       533     22,100  SH   --     SOLE       2      22,100      --        --
WRIGLEY WM JR CO                    EQUITY    982526105     1,015     16,159  SH   --     SOLE       2      16,159      --        --
WRIGLEY WM JR CO COM                EQUITY    982526105        18        282  SH   --   DEFINED      4          --      --       282
WRIGLEY WM JR CO COM                EQUITY    982526105        45        718  SH   --   DEFINED      5          --      --       718
WSFS FINANCIAL CORP                 EQUITY    929328102       266      5,394  SH   --     SOLE       1       5,394      --        --
WUXI PHARMATECH CAYMAN INC
SPONS ADR SHS                       EQUITY    929352102        11        500  SH   --   DEFINED      5          --      --       500
WYETH                               EQUITY    983024100    31,390    751,676  SH   --     SOLE       1     751,676      --        --
WYETH                               EQUITY    983024100       478     11,449  SH   --     SOLE       2      11,449      --        --
WYETH COM                           EQUITY    983024100        29        700  SH   --   DEFINED      4          --      --       700
WYETH COM                           EQUITY    983024100        63      1,519  SH   --   DEFINED      5          --      --     1,519
WYETH DBCV 1/1                   FIXED INCOME 983024AD2         3          3 PRN   --   DEFINED      4          --      --         3
WYNDHAM WORLDWIDE CORP              EQUITY    98310W108     1,644     79,499  SH   --     SOLE       1      79,499      --        --
WYNDHAM WORLDWIDE CORP              EQUITY    98310W108         4        212  SH   --     SOLE       2         212      --        --
WYNDHAM WORLDWIDE CORP COM          EQUITY    98310W108         4        214  SH   --   DEFINED      5          --      --       214





                                                                                          
WYNN RESORTS LTD                    EQUITY    983134107       789      7,839  SH   --     SOLE       1       7,839      --        --
XCEL ENERGY INC                     EQUITY    98389B100     2,568    128,713  SH   --     SOLE       2     128,713      --        --
XCEL ENERGY INC COM                 EQUITY    98389B100        14        714  SH   --   DEFINED      4          --      --       714
XCEL ENERGY INC COM                 EQUITY    98389B100     1,052     52,730  SH   --   DEFINED      5          --      --    52,730
XCEL STATES POWER-MINES             EQUITY    98389B100     7,263    364,043  SH   --     SOLE       1     364,043      --        --
XENOPORT INC                        EQUITY    98411C100       748     18,486  SH   --     SOLE       1      18,486      --        --
XERIUM TECHNOLOGIES INC             EQUITY    98416J100        22     16,810  SH   --     SOLE       1      16,810      --        --
XEROX CORP                          EQUITY    984121103       330     22,047  SH   --     SOLE       2      22,047      --        --
XEROX CORP COM                      EQUITY    984121103        13        900  SH   --   DEFINED      5          --      --       900
XEROX CORP.                         EQUITY    984121103     6,166    411,889  SH   --     SOLE       1     411,889      --        --
XILINX INC                          EQUITY    983919101       648     27,302  SH   --     SOLE       2      27,302      --        --
XILINX INC COM                      EQUITY    983919101         1         53  SH   --   DEFINED      5          --      --        53
XILINX, INC.                        EQUITY    983919101     4,646    195,626  SH   --     SOLE       1     195,626      --        --
XL CAPITAL LTD                      EQUITY    G98255105         6        213  SH   --     SOLE       2         213      --        --
XM SATELLITE RADIO HLDGS INC
CL A                                EQUITY    983759101       204     17,530  SH   --   DEFINED      5          --      --    17,530
XM SATTELLITE RADIO HOLDINGS        EQUITY    983759101        71      6,121  SH   --     SOLE       1       6,121      --        --
X-RITE, INC.                        EQUITY    983857103       149     24,939  SH   --     SOLE       1      24,939      --        --
XTO ENERGY INC                      EQUITY    98385X106    12,844    207,636  SH   --     SOLE       1     207,636      --        --
XTO ENERGY INC                      EQUITY    98385X106     5,761     93,130  SH   --     SOLE       2      93,130      --        --
XTO ENERGY INC COM                  EQUITY    98385X106        38        608  SH   --   DEFINED      4          --      --       608
XTO ENERGY INC COM                  EQUITY    98385X106        59        959  SH   --   DEFINED      5          --      --       959
XYRATEX LTD COM                     EQUITY    G98268108        18      1,000  SH   --   DEFINED      5          --      --     1,000
YAHOO INC                           EQUITY    984332106     3,155    109,061  SH   --     SOLE       2     109,061      --        --
YAHOO INC COM                       EQUITY    984332106        11        380  SH   --   DEFINED      4          --      --       380
YAHOO INC COM                       EQUITY    984332106        17        577  SH   --   DEFINED      5          --      --       577
YAHOO!, INC.                        EQUITY    984332106    23,711    819,608  SH   --     SOLE       1     819,608      --        --
YAMANA GOLD INC                     EQUITY    98462Y100     9,448    645,392  SH   --    OTHER       1          -- 645,392        --
YAMANA GOLD INC COM                 EQUITY    98462Y100       249     17,043  SH   --   DEFINED      5          --      --    17,043
YAMANA GOLD INC COM (F)             EQUITY    98462Y100     4,447    304,200  SH   --     SOLE       3     304,200      --   304,200
YANZHOU COAL MNG CO LTD SPON
ADR H SHS                           EQUITY    984846105        15        218  SH   --   DEFINED      5          --      --       218
YINGLI GREEN ENERGY HLDG CO ADR     EQUITY    98584B103        17      1,000  SH   --   DEFINED      5          --      --     1,000
YPF SOCIEDAD ANONIMA SPON ADR
CL D                                EQUITY    984245100         4         94  SH   --   DEFINED      4          --      --        94
YRC WORLDWIDE INC                   EQUITY    984249102     1,802    137,310  SH   --     SOLE       1     137,310      --        --
YRC WORLDWIDE INC COM               EQUITY    984249102         1        100  SH   --   DEFINED      4          --      --       100
YRC WORLDWIDE INC COM               EQUITY    984249102        13      1,000  SH   --   DEFINED      5          --      --     1,000
YUCHENG TECH LTD COM (F)            EQUITY    G98777108     1,359     82,100  SH   --     SOLE       3      82,100      --    82,100
YUCHENG TECHNOLOGIES LTD            EQUITY    G98777108       353     21,300  SH   --     SOLE       2      21,300      --        --
YUM BRANDS INC                      EQUITY    988498101        21        568  SH   --     SOLE       2         568      --        --
YUM BRANDS INC COM                  EQUITY    988498101        11        308  SH   --   DEFINED      4          --      --       308
YUM BRANDS INC COM                  EQUITY    988498101       133      3,578  SH   --   DEFINED      5          --      --     3,578





                                                                                          
YUM! BRANDS INC                     EQUITY    988498101     7,598    204,189  SH   --     SOLE       1     204,189      --        --
ZALE CORP.                          EQUITY    988858106       756     38,262  SH   --     SOLE       1      38,262      --        --
ZARLINK SEMICONDUCTOR INC COM       EQUITY    989139100         9     10,964  SH   --   DEFINED      4          --      --    10,964
ZEBRA TECHNOLOGIES CORP CL A        EQUITY    989207105         9        282  SH   --   DEFINED      5          --      --       282
ZEBRA TECHNOLOGIES CORP. CLASS
A                                   EQUITY    989207105     5,274    158,271  SH   --     SOLE       1     158,271      --        --
ZENITH NATIONAL INSURANCE CORP      EQUITY    989390109     1,140     31,779  SH   --     SOLE       1      31,779      --        --
ZEP INC                             EQUITY    98944B108       302     18,635  SH   --     SOLE       1      18,635      --        --
ZHONE TECHNOLOGIES INC NEW COM      EQUITY    98950P108        59     60,000  SH   --   DEFINED      5          --      --    60,000
ZIMMER HLDGS INC COM                EQUITY    98956P102        33        430  SH   --   DEFINED      4          --      --       430
ZIMMER HLDGS INC COM                EQUITY    98956P102        32        415  SH   --   DEFINED      5          --      --       415
ZIMMER HOLDINGS INC                 EQUITY    98956P102     7,403     95,075  SH   --     SOLE       1      95,075      --        --
ZIMMER HOLDINGS INC                 EQUITY    98956P102     4,177     53,649  SH   --     SOLE       2      53,649      --        --
ZIONS BANCORP                       EQUITY    989701107       110      2,418  SH   --     SOLE       2       2,418      --        --
ZIONS BANCORPORATION                EQUITY    989701107     2,239     49,164  SH   --     SOLE       1      49,164      --        --
ZOLL MED CORP COM                   EQUITY    989922109         2         90  SH   --   DEFINED      5          --      --        90
ZOLL MEDICAL CORP.                  EQUITY    989922109       465     17,494  SH   --     SOLE       1      17,494      --        --
ZOLTEK COMPANIES INC                EQUITY    98975W104       568     21,406  SH   --     SOLE       1      21,406      --        --
ZOLTEK COS INC COM                  EQUITY    98975W104         5        200  SH   --   DEFINED      4          --      --       200
ZORAN CORP.                         EQUITY    98975F101       581     42,550  SH   --     SOLE       1      42,550      --        --
ZUMIEZ INC                          EQUITY    989817101       232     14,804  SH   --     SOLE       1      14,804      --        --
ZWEIG FD COM                        EQUITY    989834106        12      2,700  SH   --   DEFINED      5          --      --     2,700
ZWEIG TOTAL RETURN FD INC COM       EQUITY    989837109        17      3,565  SH   --   DEFINED      5          --      --     3,565
ZYGO CORP.                          EQUITY    989855101       162     12,984  SH   --     SOLE       1      12,984      --        --
ZYMOGENETICS INC                    EQUITY    98985T109       327     33,366  SH   --     SOLE       1      33,366      --        --