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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 6/30/2008

Check here is Amendment[_]; Amendment Number:
                                              ----------

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

Institutional Investment Manager Filing this Report:

Name:      M&T Bank Corporation
Address:   One M&T Plaza
           Buffalo, NY 14240

Form 13-F File Number: 028-00267

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

Person Signing this Report on Behalf of Reporting Manager

Name:    Mark Czarnecki
Title:   President
Phone:   (716) 842-5291

Signature, Place & Date of Signing:


/s/ Mark Czarnecki, President             Buffalo, New York            7/25/2008
-----------------------------             -----------------            ---------
         [Signature]                        [City, State]                [Date]

Report Type (Check only one.):

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

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

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




                             FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:         4
Form 13-F Information Table Entry Total:   3,272
Form 13-F Information Table Value Total:   3,512,268
                                           (thousands)

List of Other Included Managers:

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

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

No.   Form 13F File Number   Name
---   --------------------   --------------------------------------
1     028-39800              Manufacturers & Traders Trust Company
2     028-10910              Zirkin-Cutler Investments, Inc.
3     028-10909              MTB Investment Advisors, Inc.
4     028-11878              M&T Trust Company of Delaware, Inc.




                                     SEC USE



                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
1-800-
FLOWERS.COM
INC            COMMON STOCK    68243Q106          0       50 Shares                 X                  1          0      0     50
3 COM CORP
COM            COMMON STOCK    885535104          2      900 Shares                          X         1        600      0    300
3M COMPANY     COMMON STOCK    88579Y101      14037   201709 Shares                 X                  1     199680      0   2029
3M COMPANY     COMMON STOCK    88579Y101       5969    83165 Shares                 X                  2      19070      0  64095
3M COMPANY     COMMON STOCK    88579Y101       3041    43704 Shares                 X                  3      42013      0   1691
3M COMPANY     COMMON STOCK    88579Y101         10      150 Shares                 X                  4        150      0      0
3M COMPANY     COMMON STOCK    88579Y101       9949   142960 Shares                          X         1     130555      0  12405
ABB LTD SPON
ADR            COMMON STOCK    000375204         16      579 Shares                 X                  1        579      0      0
ABBOTT
LABORATORIES   COMMON STOCK    002824100      14164   267391 Shares                 X                  1     262571      0   4820
ABBOTT
LABORATORIES   COMMON STOCK    002824100       1476    27300 Shares                 X                  2      13800      0  13500
ABBOTT
LABORATORIES   COMMON STOCK    002824100       4243    80109 Shares                 X                  3      75869      0   4240
ABBOTT
LABORATORIES   COMMON STOCK    002824100       6027   113777 Shares                          X         1     107787      0   5990
ABERCROMBIE
& FITCH        CLASS A         002896207       3113    49671 Shares                 X                  1      47360      0   2311
ABERCROMBIE
& FITCH        CLASS A         002896207       3052    48685 Shares                 X                  3      48599      0     86
ABERCROMBIE
& FITCH        CLASS A         002896207         32      515 Shares                          X         1        515      0      0
ABERDEEN
ASIA PACIFIC
INC FD         PREFERRED STOCK 003009107         11     1865 Shares                 X                  1          0      0      0
ABERDEEN
AUSTRALIA
EQUITY FUND    PREFERRED STOCK 003011103         15     1000 Shares                          X         1          0      0      0
ABIGAIL
ADAMS
NATIONAL
BANCORP        COMMON STOCK    003390101          1      137 Shares                 X                  2          0      0    137
ABITIBIBOWATER
INC            COMMON STOCK    003687100          1       75 Shares                 X                  1         75      0      0
ABRAXAS
PETE CORP      COMMON STOCK    003830106        761   140600 Shares                 X                  3     140600      0      0
ACCENTURE
LTD-CL A       COMMON STOCK    G1150G111        745    18303 Shares                 X                  1      18303      0      0
ACCENTURE
LTD-CL A       COMMON STOCK    G1150G111         14      350 Shares                 X                  3        350      0      0
ACCENTURE
LTD-CL A       COMMON STOCK    G1150G111        489    12010 Shares                          X         1      11375      0    635
ACE LIMITED    COMMON STOCK    G0070K103         28      500 Shares                 X                  1        500      0      0
ACE LIMITED    COMMON STOCK    G0070K103        165     3000 Shares                 X                  3       3000      0      0
ACERGY SA SP
ADR            COMMON STOCK    00443E104         22     1000 Shares                 X                  1       1000      0      0
ACTIVISION
INC            COMMON STOCK    004930202        693    20354 Shares                 X                  1      18525      0   1829
ACTIVISION
INC            COMMON STOCK    004930202       2580    75710 Shares                 X                  3      75710      0      0
ACTIVISION
INC            COMMON STOCK    004930202         64     1875 Shares                          X         1       1875      0      0
ACTUANT CORP
CL A NEW       COMMON STOCK    00508X203        157     5000 Shares                 X                  2          0      0   5000
ACUITY BRANDS
HOLDING
COMPANY        COMMON STOCK    00508Y102          0        5 Shares                 X                  1          0      0      5
ADMINSTAFF INC COMMON STOCK    007094105          1       20 Shares                 X                  1          0      0     20
ADOBE SYSTEMS
INCORPORATED   COMMON STOCK    00724F101        196     4972 Shares                 X                  1       4972      0      0
ADOBE SYSTEMS
INCORPORATED   COMMON STOCK    00724F101       1588    43790 Shares                 X                  2      35890      0   7900
ADOBE SYSTEMS
INCORPORATED   COMMON STOCK    00724F101        189     4800 Shares                 X                  3       4800      0      0
ADOBE SYSTEMS
INCORPORATED   COMMON STOCK    00724F101         18      450 Shares                          X         1        450      0      0
ADTRAN INC     COMMON STOCK    00738A106        205     8585 Shares                 X                  1       8115      0    470
ADTRAN INC     COMMON STOCK    00738A106       1446    60650 Shares                 X                  3      60650      0      0
ADV MICRO
DEVICES        COMMON STOCK    007903107         12     2080 Shares                 X                  1       2080      0      0
ADV MICRO
DEVICES        COMMON STOCK    007903107         33     5600 Shares                 X                  3       5600      0      0
ADV MICRO
DEVICES        COMMON STOCK    007903107          5      805 Shares                          X         1        805      0      0
ADVANCE AUTO
PARTS          COMMON STOCK    00751Y106         14      365 Shares                 X                  1        365      0      0
ADVANCE AUTO
PARTS          COMMON STOCK    00751Y106         29      750 Shares                          X         1        750      0      0
ADVANCED
MEDICAL OPTICS
INC            COMMON STOCK    00763M108          2      118 Shares                          X         1        118      0      0
ADVANTAGE
ENERGY INCOME
FUND           COMMON STOCK    00762L101        126     9750 Shares                 X                  1       9750      0      0


                                    1 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
ADVANTAGE
ENERGY INCOME
FUND           COMMON STOCK    00762L101         45     3500 Shares                 X                  2          0      0   3500
AECOM
TECHNOLOGY
CORP           COMMON STOCK    00766T100        996    32450 Shares                 X                  2       9250      0  23200
AEGON NV ORD
AMER REG SHS   COMMON STOCK    007924103        129     9823 Shares                 X                  1       9823      0      0
AEROPOSTALE
INC            COMMON STOCK    007865108         42     1330 Shares                 X                  1       1200      0    130
AEROPOSTALE
INC            COMMON STOCK    007865108        846    27000 Shares                 X                  3      27000      0      0
AES
CORPORATION    COMMON STOCK    00130H105       2856   148657 Shares                 X                  1     146376      0   2281
AES
CORPORATION    COMMON STOCK    00130H105      13975   769079 Shares                 X                  2     314344      0 454735
AES
CORPORATION    COMMON STOCK    00130H105       1909    99346 Shares                 X                  3      95884      0   3462
AES
CORPORATION    COMMON STOCK    00130H105        177     9212 Shares                          X         1       7312      0   1900
AES TRUST III
6.75% CV
PREFERRED      CONV PFD STOCK  00808N202         19      400 Shares                 X                  1          0      0      0
AES TRUST
III 6.75% CV
PREFERRED      CONV PFD STOCK  00808N202       4276    89600 Shares                 X                  2      27100      0      0
AETNA INC      COMMON STOCK    00817Y108        598    14755 Shares                 X                  1      14755      0      0
AETNA INC      COMMON STOCK    00817Y108         40      980 Shares                 X                  2          0      0    980
AETNA INC      COMMON STOCK    00817Y108        170     4200 Shares                 X                  3       4200      0      0
AFFILIATED
COMP SVCS      CL A COMMON CUM
               RTS             008190100         19      350 Shares                 X                  1        350      0      0
AFFILIATED
COMP SVCS      CL A COMMON CUM
               RTS             008190100         48      900 Shares                 X                  3        900      0      0
AFFILIATED
MANAGE GR      COMMON STOCK    008252108       1059    11754 Shares                 X                  1      11589      0    165
AFFILIATED
MANAGE GR      COMMON STOCK    008252108       1508    16731 Shares                 X                  3      16731      0      0
AFLAC
INCORPORATED   COMMON STOCK    001055102       4297    68429 Shares                 X                  1      68429      0      0
AFLAC
INCORPORATED   COMMON STOCK    001055102       9770   154350 Shares                 X                  2      35600      0 118750
AFLAC
INCORPORATED   COMMON STOCK    001055102        261     4150 Shares                 X                  3       4150      0      0
AFLAC
INCORPORATED   COMMON STOCK    001055102        484     7710 Shares                          X         1       7310      0    400
AGILENT
TECHN INC      COMMON STOCK    00846U101          7      190 Shares                 X                  1        190      0      0
AGILENT
TECHN INC      COMMON STOCK    00846U101         81     2288 Shares                 X                  2          0      0   2288
AGILENT
TECHN INC      COMMON STOCK    00846U101        115     3230 Shares                 X                  3       3230      0      0
AGILENT
TECHN INC      COMMON STOCK    00846U101         35      991 Shares                          X         1        381      0    610
AGL RESOURCES
INC            COMMON STOCK    001204106        190     5500 Shares                 X                  1       2500      0   3000
AGL RESOURCES
INC            COMMON STOCK    001204106         76     2200 Shares                 X                  3       2200      0      0
AGL RESOURCES
INC            COMMON STOCK    001204106        305     8832 Shares                          X         1       8832      0      0
AGNICO EAGLE
MINES LTD      COMMON STOCK    008474108          7      100 Shares                 X                  1        100      0      0
AGRIUM INC     COMMON STOCK    008916108         55      509 Shares                 X                  1        500      0      9
AIR PRODS &
CHEMS          COMMON STOCK    009158106       1450    14666 Shares                 X                  1      14666      0      0
AIR PRODS &
CHEMS          COMMON STOCK    009158106        178     1800 Shares                 X                  3       1800      0      0
AIR PRODS &
CHEMS          COMMON STOCK    009158106       1421    14375 Shares                          X         1      14375      0      0
AIRGAS INC     COMMON STOCK    009363102          6      100 Shares                 X                  1        100      0      0
AK STL HLDG
CORP           COMMON STOCK    001547108          5       66 Shares                 X                  1         66      0      0
AK STL HLDG
CORP           COMMON STOCK    001547108         76     1100 Shares                 X                  3       1100      0      0
AKAMAI TECH
INC            COMMON STOCK    00971T101        131     3755 Shares                 X                  1       3600      0    155
AKAMAI TECH
INC            COMMON STOCK    00971T101       1131    32525 Shares                 X                  3      32525      0      0
ALASKA
COMMUNICATIONS
SYSTEMS        COMMON STOCK    01167P101          9      750 Shares                 X                  1        750      0      0
ALBEMARLE CORP COMMON STOCK    012653101        661    16551 Shares                 X                  1      16551      0      0
ALBEMARLE CORP COMMON STOCK    012653101        557    13953 Shares                 X                  3      13953      0      0
ALBEMARLE CORP COMMON STOCK    012653101       1337    33500 Shares                          X         1      33500      0      0
ALBERTO-CULVER
COMPANY        COMMON STOCK    013078100          3      100 Shares                 X                  1        100      0      0
ALCATEL-LUCENT
- SPON ADR     COMMON STOCK    013904305         23     3852 Shares                 X                  1       3852      0      0
ALCATEL-LUCENT
- SPON ADR     COMMON STOCK    013904305          7     1131 Shares                          X         1       1099      0     32
ALCOA INC      COMMON STOCK    013817101       3794   106510 Shares                 X                  1     105410      0   1100
ALCOA INC      COMMON STOCK    013817101        342     9600 Shares                 X                  3       9600      0      0
ALCOA INC      COMMON STOCK    013817101          7      200 Shares                 X                  4        200      0      0
ALCOA INC      COMMON STOCK    013817101       1283    36030 Shares                          X         1      31170      0   4860


                                    2 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
ALCON INC      COMMON STOCK    H01301102         33      200 Shares                 X                  1        200      0      0
ALCON INC      COMMON STOCK    H01301102        195     1200 Shares                 X                  2          0      0   1200
ALCON INC      COMMON STOCK    H01301102          5       30 Shares                 X                  3         30      0      0
ALDILA
INCORPORATED
NEW            COMMON STOCK    014384200          0       66 Shares                 X                  1         66      0      0
ALEXANDRIA
REAL ESTATE
EQUITIE        COMMON STOCK    015271109          9       89 Shares                 X                  1          0      0      0
ALEXION PHARM
INC            COMMON STOCK    015351109         56      771 Shares                 X                  1        700      0     71
ALEXION PHARM
INC            COMMON STOCK    015351109       1071    14775 Shares                 X                  3      14775      0      0
ALEXION PHARM
INC            COMMON STOCK    015351109         11      150 Shares                          X         1          0      0    150
ALIGN
TECHNOLOGY
INCORPORATED   COMMON STOCK    016255101         73     7000 Shares                 X                  2          0      0   7000
ALLEGHENY
ENERGY INC     COMMON STOCK    017361106         30      600 Shares                 X                  1        600      0      0
ALLEGHENY
ENERGY INC     COMMON STOCK    017361106         78     1550 Shares                 X                  3       1550      0      0
ALLEGHENY
ENERGY INC     COMMON STOCK    017361106        175     3498 Shares                          X         1       3198      0    300
ALLEGHENY
TECHNOLOGIES
INCORPORATED   COMMON STOCK    01741R102         14      244 Shares                 X                  1        244      0      0
ALLEGHENY
TECHNOLOGIES
INCORPORATED   COMMON STOCK    01741R102        270     3850 Shares                 X                  2       3450      0    400
ALLEGHENY
TECHNOLOGIES
INCORPORATED   COMMON STOCK    01741R102         55      925 Shares                 X                  3        925      0      0
ALLEGHENY
TECHNOLOGIES
INCORPORATED   COMMON STOCK    01741R102         86     1443 Shares                          X         1        962      0    481
ALLERGAN INC   COMMON STOCK    018490102         82     1570 Shares                 X                  1       1570      0      0
ALLERGAN INC   COMMON STOCK    018490102        143     2750 Shares                 X                  3       2750      0      0
ALLERGAN INC   COMMON STOCK    018490102         76     1464 Shares                          X         1       1464      0      0
ALLETE INC     COMMON STOCK    018522300         11      267 Shares                 X                  1        267      0      0
ALLETE INC     COMMON STOCK    018522300         64     1533 Shares                          X         1       1533      0      0
ALLIANCE
FINANCIAL
CORP           COMMON STOCK    019205103         85     4027 Shares                 X                  2          0      0   4027
ALLIANCE
HOLDINGS
GP LP          COMMON STOCK    01861G100         48     1600 Shares                 X                  2          0      0   1600
ALLIANCEBERN-
STEIN HOLDING
LP             COMMON STOCK    01881G106         86     1565 Shares                 X                  1       1565      0      0
ALLIANCEBERN-
STEIN HOLDING
LP             COMMON STOCK    01881G106       1375    25150 Shares                 X                  2          0      0  25150
ALLIANCEBERN-
STEIN HOLDING
LP             COMMON STOCK    01881G106         98     1800 Shares                          X         1       1800      0      0
ALLIANCEBERN-
STEIN INCOME
FUND           PREFERRED STOCK 01881E101         15     1892 Shares                          X         1          0      0      0
ALLIANCEBERN-
STEIN NATL
MUNI IN        PREFERRED STOCK 01864U106         14     1000 Shares                          X         1          0      0      0
ALLIANT
TECHSYSTEMS
INC            COMMON STOCK    018804104         13      127 Shares                 X                  1        127      0      0
ALLIANT
TECHSYSTEMS
INC            COMMON STOCK    018804104         69      675 Shares                 X                  2          0      0    675
ALLIANT
TECHSYSTEMS
INC            COMMON STOCK    018804104         41      405 Shares                          X         1        405      0      0
ALLIANZ SE-ADR COMMON STOCK    018805101          1       78 Shares                 X                  1         78      0      0
ALLIED CAPITAL
CORPORATION    COMMON STOCK    01903Q108         23     1625 Shares                 X                  1       1625      0      0
ALLIED CAPITAL
CORPORATION    COMMON STOCK    01903Q108       1245    76531 Shares                 X                  2      39981      0  36550
ALLIED CAPITAL
CORPORATION    COMMON STOCK    01903Q108         24     1700 Shares                 X                  3       1700      0      0
ALLIED CAPITAL
CORPORATION    COMMON STOCK    01903Q108         28     2050 Shares                          X         1       2050      0      0
ALLIED IRISH
BKS PLC-SPON
ADR            COMMON STOCK    019228402      34508  1120749 Shares                 X                  1     825333  10011 285405
ALLIED IRISH
BKS PLC-SPON
ADR            COMMON STOCK    019228402      10251   332936 Shares                          X         1     272686      0  60250
ALLIED WASTE
IND            COMMON STOCK    019589308         38     3000 Shares                 X                  3       3000      0      0
ALLSCRIPTS
HEALTHCAR      COMMON STOCK    01988P108       2010   161996 Shares                 X                  1     159707      0   2289
ALLSCRIPTS
HEALTHCAR      COMMON STOCK    01988P108       1829   147419 Shares                 X                  3     143902      0   3517
ALLSCRIPTS
HEALTHCAR      COMMON STOCK    01988P108         60     4875 Shares                          X         1       4875      0      0
ALLSTATE
CORPORATION    COMMON STOCK    020002101       1466    32167 Shares                 X                  1      32167      0      0
ALLSTATE
CORPORATION    COMMON STOCK    020002101       2875    62302 Shares                 X                  2      13852      0  48450
ALLSTATE
CORPORATION    COMMON STOCK    020002101        262     5753 Shares                 X                  3       5753      0      0
ALLSTATE
CORPORATION    COMMON STOCK    020002101          5      100 Shares                 X                  4        100      0      0
ALLSTATE
CORPORATION    COMMON STOCK    020002101        759    16646 Shares                          X         1      15696      0    950
ALNYLAM
HARMACEUTICALS
INC            COMMON STOCK    02043Q107         94     3500 Shares                 X                  2          0      0   3500
ALTERA CORP    COMMON STOCK    021441100         56     2700 Shares                 X                  1       2700      0      0
ALTERA CORP    COMMON STOCK    021441100         55     2650 Shares                 X                  3       2650      0      0


                                     3 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
ALTRIA GROUP
INC            COMMON STOCK    02209S103       6088   296127 Shares                 X                  1     293577      0   2550
ALTRIA GROUP
INC            COMMON STOCK    02209S103        607    28620 Shares                 X                  2      11820      0  16800
ALTRIA GROUP
INC            COMMON STOCK    02209S103       1598    77767 Shares                 X                  3      77767      0      0
ALTRIA GROUP
INC            COMMON STOCK    02209S103       3054   148552 Shares                          X         1     141142      0   7410
AMAZON COM INC COMMON STOCK    023135106        204     2780 Shares                 X                  3       2780      0      0
AMAZON COM INC COMMON STOCK    023135106         22      300 Shares                          X         1        250      0     50
AMBAC
FINANCIAL
GROUP INC      COMMON STOCK    023139108          1      850 Shares                 X                  1        850      0      0
AMBAC
FINANCIAL
GROUP INC      COMMON STOCK    023139108          1      600 Shares                 X                  2          0      0    600
AMBAC
FINANCIAL
GROUP INC      COMMON STOCK    023139108          0      275 Shares                          X         1        275      0      0
AMDOCS LIMITED COMMON STOCK    G02602103         10      330 Shares                 X                  1        330      0      0
AMEDISYS INC   COMMON STOCK    023436108         61     1210 Shares                 X                  1       1200      0     10
AMEDISYS INC   COMMON STOCK    023436108       1336    26500 Shares                 X                  3      26500      0      0
AMERCO         COMMON STOCK    023586100          5      102 Shares                 X                  1        102      0      0
AMEREN
CORPORATION    COMMON STOCK    023608102        268     6339 Shares                 X                  1       6339      0      0
AMEREN
CORPORATION    COMMON STOCK    023608102         80     1900 Shares                 X                  3       1900      0      0
AMEREN
CORPORATION    COMMON STOCK    023608102         21      500 Shares                          X         1        500      0      0
AMERICA
MOVIL SA -
SPON ADR SE    COMMON STOCK    02364W204        275     5250 Shares                 X                  1       5250      0      0
AMERICA MOVIL
SA - SPONS
ADR S          COMMON STOCK    02364W105        594    11270 Shares                 X                  1      11270      0      0
AMERICA MOVIL
SA - SPONS
ADR S          COMMON STOCK    02364W105        106     2000 Shares                 X                  2          0      0   2000
AMERICA MOVIL
SA - SPONS
ADR S          COMMON STOCK    02364W105        158     3000 Shares                          X         1          0      0   3000
AMERICAN
CAPITAL
STRATEGIES LTD COMMON STOCK    024937104         97     4100 Shares                 X                  1       4100      0      0
AMERICAN
CAPITAL
STRATEGIES LTD COMMON STOCK    024937104       6695   246090 Shares                 X                  2      81350      0 164740
AMERICAN
CAPITAL
STRATEGIES LTD COMMON STOCK    024937104         43     1800 Shares                 X                  3       1800      0      0
AMERICAN
CAPITAL
STRATEGIES LTD COMMON STOCK    024937104         21      869 Shares                          X         1        869      0      0
AMERICAN
EAGLE OUTFT    COMMON STOCK    02553E106        183    13416 Shares                 X                  1      12816      0    600
AMERICAN
EAGLE OUTFT    COMMON STOCK    02553E106        487    35741 Shares                 X                  3      35741      0      0
AMERICAN
ELECTRIC
TECHNOLOGIES   COMMON STOCK    025576109          1      100 Shares                 X                  1        100      0      0
AMERICAN
ELECTRIC
TECHNOLOGIES   COMMON STOCK    025576109          1      160 Shares                 X                  2          0      0    160
AMERICAN
EXPRESS
COMPANY        COMMON STOCK    025816109       1656    43956 Shares                 X                  1      43356      0    600
AMERICAN
EXPRESS
COMPANY        COMMON STOCK    025816109       2023    52413 Shares                 X                  2       8025      0  44388
AMERICAN
EXPRESS
COMPANY        COMMON STOCK    025816109       1018    27057 Shares                 X                  3      27057      0      0
AMERICAN
EXPRESS
COMPANY        COMMON STOCK    025816109          8      200 Shares                 X                  4        200      0      0
AMERICAN
EXPRESS
COMPANY        COMMON STOCK    025816109        701    18612 Shares                          X         1      16056      0   2556
AMERICAN
FINANCIAL
GROUP INC      COMMON STOCK    025932104         16      600 Shares                          X         1          0      0    600
AMERICAN
INTERNATIONAL
GROUP INC      COMMON STOCK    026874107       7664   289662 Shares                 X                  1     282358      0   7304
AMERICAN
INTERNATIONAL
GROUP INC      COMMON STOCK    026874107       9330   293050 Shares                 X                  2      93858      0 199192
AMERICAN
INTERNATIONAL
GROUP INC      COMMON STOCK    026874107       3483   131617 Shares                 X                  3     128400      0   3217
AMERICAN
INTERNATIONAL
GROUP INC      COMMON STOCK    026874107          8      300 Shares                 X                  4        300      0      0
AMERICAN
INTERNATIONAL
GROUP INC      COMMON STOCK    026874107       2621    99058 Shares                          X         1      89449      0   9609
AMERICAN
MORTGAGE
ACCEPTANCE C   COMMON STOCK    027568104          1     1000 Shares                 X                  1          0      0      0
AMERICAN
SELECT
PORTFOLIO      PREFERRED STOCK 029570108         13     1200 Shares                 X                  1          0      0      0
AMERICAN
STRATEGIC
INCOME II      PREFERRED STOCK 030099105         17     1600 Shares                 X                  1          0      0      0
AMERICAN
STRATEGIC
INCOME III     PREFERRED STOCK 03009T101         15     1500 Shares                 X                  1          0      0      0
AMERICAN
TOWER CORP     CLASS A         029912201         11      255 Shares                 X                  1        255      0      0
AMERICAN
TOWER CORP     CLASS A         029912201        152     3600 Shares                 X                  3       3600      0      0
AMERICASBANK
CORP           COMMON STOCK    03061G302          0     1000 Shares                          X         1       1000      0      0
AMERIGAS
PARTNERS LP    COMMON STOCK    030975106         15      470 Shares                 X                  1        470      0      0
AMERIGAS
PARTNERS LP    COMMON STOCK    030975106         32     1000 Shares                          X         1       1000      0      0
AMERIPRISE
FINANCIAL      COMMON STOCK    03076C106        105     2571 Shares                 X                  1       2451      0    120
AMERIPRISE
FINANCIAL      COMMON STOCK    03076C106         73     1790 Shares                 X                  2          0      0   1790


                                    4 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
AMERIPRISE
FINANCIAL      COMMON STOCK    03076C106         81     2000 Shares                 X                  3       2000      0      0
AMERIPRISE
FINANCIAL      COMMON STOCK    03076C106         65     1589 Shares                          X         1       1199      0    390
AMERIS BANCORP COMMON STOCK    03076K108          1      123 Shares                 X                  1        123      0      0
AMERISOURCE-
BERGEN         COMMON STOCK    03073E105         16      400 Shares                 X                  1        400      0      0
AMERISOURCE-
BERGEN         COMMON STOCK    03073E105         66     1640 Shares                 X                  3       1640      0      0
AMERN ELEC PWR
INC            COMMON STOCK    025537101        194     4819 Shares                 X                  1       4819      0      0
AMERN ELEC PWR
INC            COMMON STOCK    025537101        145     3600 Shares                 X                  3       3600      0      0
AMERN ELEC PWR
INC            COMMON STOCK    025537101        226     5618 Shares                          X         1       2788      0   2830
AMERN
SUPERCONDUCTOR COMMON STOCK    030111108        102     2855 Shares                 X                  1       2800      0     55
AMERN
SUPERCONDUCTOR COMMON STOCK    030111108       2190    61100 Shares                 X                  3      61100      0      0
AMERON
INTERNATIONAL
CORP           COMMON STOCK    030710107         96      800 Shares                 X                  2          0      0    800
AMETEK
AEROSPACE
PRODS INC COM  COMMON STOCK    031100100         60     1263 Shares                 X                  1       1263      0      0
AMGEN INC      COMMON STOCK    031162100       8349   177042 Shares                 X                  1     175829      0   1213
AMGEN INC      COMMON STOCK    031162100        721    15294 Shares                 X                  2          0      0  15294
AMGEN INC      COMMON STOCK    031162100       1369    29014 Shares                 X                  3      28043      0    971
AMGEN INC      COMMON STOCK    031162100          9      200 Shares                 X                  4        200      0      0
AMGEN INC      COMMON STOCK    031162100       2052    43517 Shares                          X         1      36857      0   6660
AMKOR
TECHNOLOGY INC COMMON STOCK    031652100       1197   115000 Shares                 X                  3     115000      0      0
AMSURG CORP    COMMON STOCK    03232P405         19      800 Shares                 X                  1        800      0      0
ANADARKO PETE  COMMON STOCK    032511107       1408    18813 Shares                 X                  1      18813      0      0
ANADARKO PETE  COMMON STOCK    032511107        229     3054 Shares                 X                  2          0      0   3054
ANADARKO PETE  COMMON STOCK    032511107        701     9360 Shares                 X                  3       9360      0      0
ANADARKO PETE  COMMON STOCK    032511107        967    12926 Shares                          X         1       8056      0   4870
ANALOG DEVICES
INC            COMMON STOCK    032654105         46     1450 Shares                 X                  1       1450      0      0
ANALOG DEVICES
INC            COMMON STOCK    032654105        667    21000 Shares                 X                  2          0      0  21000
ANALOG DEVICES
INC            COMMON STOCK    032654105         86     2700 Shares                 X                  3       2700      0      0
ANALOG DEVICES
INC            COMMON STOCK    032654105         40     1250 Shares                          X         1        650      0    600
ANGIODYNAMICS
INC            COMMON STOCK    03475V101         34     2480 Shares                 X                  1       2300      0    180
ANGIODYNAMICS
INC            COMMON STOCK    03475V101        707    51900 Shares                 X                  3      51900      0      0
ANGLGOLD
ASHANTI LTD-
RIGHTS  6      COMMON STOCK    035128115          0       27 Shares                 X                  1         27      0      0
ANGLO AMERICAN
PLC-UNSP ADR   COMMON STOCK    03485P201          5      150 Shares                 X                  1        150      0      0
ANGLO AMERICAN
PLC-UNSP ADR   COMMON STOCK    03485P201         40     1125 Shares                          X         1       1125      0      0
ANGLOGOLD
ASHANTI SPON
ADR            COMMON STOCK    035128206          4      110 Shares                 X                  1        110      0      0
ANHEUSER BUSCH
COS            COMMON STOCK    035229103       1841    29637 Shares                 X                  1      29637      0      0
ANHEUSER BUSCH
COS            COMMON STOCK    035229103        533     8575 Shares                 X                  3       8575      0      0
ANHEUSER BUSCH
COS            COMMON STOCK    035229103       1183    19048 Shares                          X         1      19048      0      0
ANNALY
MORTGAGE
MANAGEMENT INC COMMON STOCK    035710409         42     2735 Shares                 X                  1          0      0      0
ANNALY
MORTGAGE
MANAGEMENT INC  COMMON STOCK    035710409       6477   419000 Shares                 X                  2     112300      0      0
ANNALY
MORTGAGE
MANAGEMENT INC COMMON STOCK    035710409         70     4500 Shares                 X                  3       4500      0      0
ANNALY
MORTGAGE
MANAGEMENT INC COMMON STOCK    035710409         50     3250 Shares                          X         1          0      0      0
ANNAPOLIS
BANCORP
INCORPORATED   COMMON STOCK    035848100          7     1333 Shares                          X         1       1333      0      0
ANSYS INC      COMMON STOCK    03662Q105        629    13348 Shares                 X                  1      12654      0    694
ANSYS INC      COMMON STOCK    03662Q105        165     3500 Shares                 X                  2          0      0   3500
ANSYS INC      COMMON STOCK    03662Q105       2926    62100 Shares                 X                  3      62100      0      0
ANTHRACITE
CAPITAL INC
COM            COMMON STOCK    037023108         18     2536 Shares                 X                  1          0      0      0
AON
CORPORATION    COMMON STOCK    037389103        299     6510 Shares                 X                  1       6510      0      0
AON
CORPORATION    COMMON STOCK    037389103        124     2700 Shares                 X                  3       2700      0      0
APACHE CORP    COMMON STOCK    037411105       4039    29060 Shares                 X                  1      29060      0      0
APACHE CORP    COMMON STOCK    037411105        584     4200 Shares                 X                  2          0      0   4200
APACHE CORP    COMMON STOCK    037411105        407     2925 Shares                 X                  3       2925      0      0


                                    5 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
APACHE CORP    COMMON STOCK    037411105       2995    21546 Shares                          X         1      21336      0    210
APARTMENT
INVT&MGMT      CLASS A REIT    03748R101          4      106 Shares                 X                  1          0      0      0
APARTMENT
INVT&MGMT      CLASS A REIT    03748R101        107     3131 Shares                 X                  2          0      0      0
APARTMENT
INVT&MGMT      CLASS A REIT    03748R101         28      835 Shares                 X                  3        835      0      0
APARTMENT
INVT&MGMT      CLASS A REIT    03748R101          7      212 Shares                          X         1          0      0      0
APOLLO GROUP
INC            CLASS A         037604105         55     1250 Shares                 X                  3       1250      0      0
APOLLO GROUP
INC            CLASS A         037604105          4      100 Shares                          X         1        100      0      0
APOLLO
INVESTMENT
CORPORATION    PREFERRED STOCK 03761U106         21     1500 Shares                 X                  1          0      0      0
APOLLO
INVESTMENT
CORPORATION    PREFERRED STOCK 03761U106         11      800 Shares                          X         1          0      0      0
APPLE COMPUTER
INCORPORATED   COMMON STOCK    037833100      14174    84650 Shares                 X                  1      82910      0   1740
APPLE COMPUTER
INCORPORATED   COMMON STOCK    037833100      25051   158255 Shares                 X                  2      60455      0  97800
APPLE COMPUTER
INCORPORATED   COMMON STOCK    037833100       6724    40165 Shares                 X                  3      39343      0    822
APPLE COMPUTER
INCORPORATED   COMMON STOCK    037833100       1288     7690 Shares                          X         1       6060      0   1630
APPLERA CORP-
CELERA
GENOMICS G     COMMON STOCK    038020202          7      600 Shares                 X                  1        600      0      0
APPLERA
CORPORATION    BIOSYSTEMS GRP-
               COM             038020103         40     1200 Shares                 X                  1       1200      0      0
APPLERA
CORPORATION    BIOSYSTEMS GRP-
               COM             038020103         57     1680 Shares                 X                  3       1680      0      0
APPLIED
MATERIALS
INCORPORATED   COMMON STOCK    038222105        489    25603 Shares                 X                  1      24603      0   1000
APPLIED
MATERIALS
INCORPORATED   COMMON STOCK    038222105        998    51475 Shares                 X                  2      37475      0  14000
APPLIED
MATERIALS
INCORPORATED   COMMON STOCK    038222105        231    12090 Shares                 X                  3      12090      0      0
APPLIED
MATERIALS
INCORPORATED   COMMON STOCK    038222105         61     3200 Shares                          X         1       2500      0    700
APTARGROUP
INC WITH
RIGHTS 04/     COMMON STOCK    038336103         21      500 Shares                 X                  1        500      0      0
AQUA AMERICA
INC            COMMON STOCK    03836W103         56     3509 Shares                 X                  1       3509      0      0
AQUA AMERICA
INC            COMMON STOCK    03836W103         73     4600 Shares                 X                  3       4600      0      0
ARBITRON INC   COMMON STOCK    03875Q108         48     1000 Shares                 X                  1       1000      0      0
ARBITRON INC   COMMON STOCK    03875Q108        992    20875 Shares                 X                  3      20875      0      0
ARCELORMITTAL-
NY REGISTERED  COMMON STOCK    03938L104         40      400 Shares                 X                  1        400      0      0
ARCH COAL INC  COMMON STOCK    039380100        229     3050 Shares                 X                  1       3050      0      0
ARCH COAL INC  COMMON STOCK    039380100         23      300 Shares                 X                  2          0      0    300
ARCH COAL INC  COMMON STOCK    039380100         41      550 Shares                 X                  3        550      0      0
ARCHER DANIELS
MIDLD          COMMON STOCK    039483102        553    16379 Shares                 X                  1      16379      0      0
ARCHER DANIELS
MIDLD          COMMON STOCK    039483102        194     5740 Shares                 X                  3       5740      0      0
ARCHER DANIELS
MIDLD          COMMON STOCK    039483102        206     6100 Shares                          X         1        600      0   5500
ARENA
RESOURCES INC  COMMON STOCK    040049108        121     2292 Shares                 X                  1       2200      0     92
ARENA
RESOURCES INC  COMMON STOCK    040049108       2558    48425 Shares                 X                  3      48425      0      0
ARLINGTON
TANKERS LTD    COMMON STOCK    G04899103       2859   129249 Shares                 X                  2      64149      0  65100
ARRIS GROUP    COMMON STOCK    04269Q100          8      927 Shares                 X                  1        927      0      0
ARRIS GROUP    COMMON STOCK    04269Q100        343    40570 Shares                          X         1      40570      0      0
ART TECHNOLOGY
GROUP          COMMON STOCK    04289L107        414   129481 Shares          X                               129481      0      0
ARTESIAN
RESOURCES
CORPORATION    COMMON STOCK    043113208         72     3891 Shares                 X                  1       3891      0      0
ARTHROCARE
CORP           COMMON STOCK    043136100         27      660 Shares                 X                  1        600      0     60
ARTHROCARE
CORP           COMMON STOCK    043136100        518    12700 Shares                 X                  3      12700      0      0
ASHLAND INC    COMMON STOCK    044209104         12      250 Shares                 X                  1        250      0      0
ASHLAND INC    COMMON STOCK    044209104        105     2181 Shares                 X                  3       2181      0      0
ASIAINFO HLDGS
INC            COMMON STOCK    04518A104         61     5125 Shares                 X                  1       4800      0    325
ASIAINFO HLDGS
INC            COMMON STOCK    04518A104       1265   107000 Shares                 X                  3     107000      0      0
ASSURANT INC   COMMON STOCK    04621X108         59      900 Shares                 X                  3        900      0      0
ASTRAZENECA
GROUP PLC
SPONSORE       COMMON STOCK    046353108         47     1095 Shares                 X                  1       1095      0      0
ASTRAZENECA
GROUP PLC
SPONSORE       COMMON STOCK    046353108         13      300 Shares                          X         1        300      0      0
ASTRONICS CORP COMMON STOCK    046433108         13      943 Shares                 X                  1        943      0      0
AT&T INC       COMMON STOCK    00206R102      22866   678716 Shares                 X                  1     665316      0  13400


                                    6 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
AT&T INC       COMMON STOCK    00206R102      13740   407849 Shares                 X                  2     124859      0 282990
AT&T INC       COMMON STOCK    00206R102       5434   161281 Shares                 X                  3     155854      0   5427
AT&T INC       COMMON STOCK    00206R102          9      265 Shares                 X                  4        265      0      0
AT&T INC       COMMON STOCK    00206R102      14059   417310 Shares                          X         1     372500      0  44810
ATLAS PIPELINE
HOLDINGS LP    COMMON STOCK    04939R108         54     1600 Shares                 X                  2          0      0   1600
ATLAS PIPELINE
PARTNERS LP    COMMON STOCK    049392103          8      200 Shares                 X                  1        200      0      0
ATMOS ENERGY
CORP           COMMON STOCK    049560105         34     1250 Shares                 X                  1       1250      0      0
ATWOOD
OCEANICS INC   COMMON STOCK    050095108        119      957 Shares                 X                  1        900      0     57
ATWOOD
OCEANICS INC   COMMON STOCK    050095108       2472    19875 Shares                 X                  3      19875      0      0
AUTODESK INC   COMMON STOCK    052769106       1961    57986 Shares                 X                  1      56335      0   1651
AUTODESK INC   COMMON STOCK    052769106       1784    52735 Shares                 X                  3      51124      0   1611
AUTODESK INC   COMMON STOCK    052769106         48     1430 Shares                          X         1       1430      0      0
AUTOMATIC DATA
PROCESSING INC COMMON STOCK    053015103       2630    62761 Shares                 X                  1      57511      0   5250
AUTOMATIC DATA
PROCESSING INC COMMON STOCK    053015103       1188    28148 Shares                 X                  2      18048      0  10100
AUTOMATIC DATA
PROCESSING INC COMMON STOCK    053015103        189     4500 Shares                 X                  3       4500      0      0
AUTOMATIC DATA
PROCESSING INC COMMON STOCK    053015103       1930    46066 Shares                          X         1      41656      0   4410
AUTONATION INC COMMON STOCK    05329W102          0       25 Shares                 X                  1          0      0     25
AUTONATION INC COMMON STOCK    05329W102         13     1300 Shares                 X                  3       1300      0      0
AUTOZONE INC   COMMON STOCK    053332102          5       45 Shares                 X                  1         45      0      0
AUTOZONE INC   COMMON STOCK    053332102         48      400 Shares                 X                  3        400      0      0
AVALONBAY
COMMUNITIES
INC            COMMON STOCK    053484101         26      290 Shares                 X                  1          0      0      0
AVALONBAY
COMMUNITIES
INC            COMMON STOCK    053484101         36      400 Shares                 X                  2          0      0      0
AVALONBAY
COMMUNITIES
INC            COMMON STOCK    053484101         60      675 Shares                 X                  3        675      0      0
AVERY DENNISON
CORP           COMMON STOCK    053611109        110     2500 Shares                 X                  3       2500      0      0
AVIS BUDGET
GROUP INC      COMMON STOCK    053774105          1      100 Shares                 X                  1        100      0      0
AVNET INC COM  COMMON STOCK    053807103          5      196 Shares                 X                  1        196      0      0
AVNET INC COM  COMMON STOCK    053807103         13      475 Shares                          X         1        475      0      0
AVON PRODUCTS
INC            COMMON STOCK    054303102       1048    29095 Shares                 X                  1      29095      0      0
AVON PRODUCTS
INC            COMMON STOCK    054303102        857    23801 Shares                 X                  3      23801      0      0
AVON PRODUCTS
INC            COMMON STOCK    054303102        242     6724 Shares                          X         1       6724      0      0
AXA SPONSORED
ADR            COMMON STOCK    054536107          7      236 Shares                          X         1        236      0      0
AXCELIS
TECHNOLOGIES
INC COM        COMMON STOCK    054540109          1      177 Shares                          X         1        177      0      0
AXIS CAPITAL
HOLDINGS
LIMITED        COMMON STOCK    G0692U109          9      300 Shares                 X                  3        300      0      0
B & G FOODS
INC - EIS      COMMON STOCK    05508R205         30     1750 Shares                 X                  1       1750      0      0
B & G FOODS
INC - EIS      COMMON STOCK    05508R205         14      845 Shares                          X         1        845      0      0
BAKER HUGHES
INCORPORATED   COMMON STOCK    057224107        392     4488 Shares                 X                  1       4013      0    475
BAKER HUGHES
INCORPORATED   COMMON STOCK    057224107       1523    20400 Shares                 X                  2      13750      0   6650
BAKER HUGHES
INCORPORATED   COMMON STOCK    057224107        240     2745 Shares                 X                  3       2745      0      0
BAKER HUGHES
INCORPORATED   COMMON STOCK    057224107        162     1860 Shares                          X         1        975      0    885
BAKER MICHAEL
CORP           COMMON STOCK    057149106         11      500 Shares                 X                  1        500      0      0
BAKER MICHAEL
CORP           COMMON STOCK    057149106        262    12000 Shares                 X                  3      12000      0      0
BALL CORP      COMMON STOCK    058498106       1146    24000 Shares                 X                  1      24000      0      0
BALL CORP      COMMON STOCK    058498106         41      860 Shares                 X                  3        860      0      0
BALLARD POWER
SYSTEM INC     COMMON STOCK    05858H104          1      300 Shares                 X                  1        300      0      0
BALLY
TECHNOLOGIES   COMMON STOCK    05874B107         47     1400 Shares                 X                  1       1400      0      0
BALLY
TECHNOLOGIES   COMMON STOCK    05874B107        964    28525 Shares                 X                  3      28525      0      0
BANCO
BILBAO VIZCAYA ADR (1 ORD
               SHARE)          05946K101          0        8 Shares                 X                  3          8      0      0
BANCO
SANTANDER
SA - SPONS ADR COMMON STOCK    05964H105          1       78 Shares                 X                  1         78      0      0
BANCO
SANTANDER SA -
SPONS ADR      COMMON STOCK    05964H105         89     4896 Shares                          X         1       4896      0      0
BANCORP RHODE
ISLAND INC     COMMON STOCK    059690107          1       44 Shares                 X                  1         44      0      0


                                    7 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
BANK NEW YORK
MELLON CORP    COMMON STOCK    064058100       4857   128394 Shares                 X                  1     125594      0   2800
BANK NEW YORK
MELLON CORP    COMMON STOCK    064058100       2613    68389 Shares                 X                  2       6537      0  61852
BANK NEW YORK
MELLON CORP    COMMON STOCK    064058100        481    12735 Shares                 X                  3      12735      0      0
BANK NEW YORK
MELLON CORP    COMMON STOCK    064058100        860    22722 Shares                          X         1      19722      0   3000
BANK OF
AMERICA
CORPORATION    COMMON STOCK    060505104      10586   443485 Shares                 X                  1     430921      0  12564
BANK OF
AMERICA
CORPORATION    COMMON STOCK    060505104      12312   429344 Shares                 X                  2     146950      0 282394
BANK OF
AMERICA
CORPORATION    COMMON STOCK    060505104       4523   189491 Shares                 X                  3     183609      0   5882
BANK OF
AMERICA
CORPORATION    COMMON STOCK    060505104       5044   211301 Shares                          X         1     198538      0  12763
BANK OF
HAWAII CORP    COMMON STOCK    062540109          7      150 Shares                          X         1        150      0      0
BANK OF
IRELAND
SPONSORED ADR  COMMON STOCK    46267Q103          3      100 Shares                 X                  1        100      0      0
BARCLAYS PLC -
SPONS ADR      COMMON STOCK    06738E204          0       21 Shares                 X                  1         21      0      0
BARCLAYS PLC -
SPONS ADR      COMMON STOCK    06738E204        208     9000 Shares                          X         1       9000      0      0
BARD C R INC   COMMON STOCK    067383109         62      700 Shares                 X                  1        700      0      0
BARD C R INC   COMMON STOCK    067383109         85      975 Shares                 X                  3        975      0      0
BARD C R INC   COMMON STOCK    067383109        330     3750 Shares                          X         1       3750      0      0
BARR
PHARMACEUTI-
CALS           COMMON STOCK    068306109         45      991 Shares                 X                  1        991      0      0
BARR
PHARMACEUTI-
CALS           COMMON STOCK    068306109         43      950 Shares                 X                  3        950      0      0
BARRICK GOLD
CORP           COMMON STOCK    067901108         65     1426 Shares                 X                  1       1426      0      0
BARRICK GOLD
CORP           COMMON STOCK    067901108        246     5400 Shares                          X         1       5300      0    100
BASIN WATER
INC            COMMON STOCK    07011T306         47    10000 Shares                 X                  2          0      0  10000
BAXTER INTL
INC            COMMON STOCK    071813109       1075    16815 Shares                 X                  1      16815      0      0
BAXTER INTL
INC            COMMON STOCK    071813109        361     5650 Shares                 X                  3       5650      0      0
BAXTER INTL
INC            COMMON STOCK    071813109        537     8399 Shares                          X         1       8399      0      0
BAY NATIONAL
CORPORATION    COMMON STOCK    072500101          8      990 Shares                 X                  1        990      0      0
BB & T
CORPORATION    COMMON STOCK    054937107        741    32529 Shares                 X                  1      29501      0   3028
BB & T
CORPORATION    COMMON STOCK    054937107       2919   109846 Shares                 X                  2      44940      0  64906
BB & T
CORPORATION    COMMON STOCK    054937107        161     7067 Shares                 X                  3       7067      0      0
BB & T
CORPORATION    COMMON STOCK    054937107        589    25876 Shares                          X         1      24310      0   1566
BCE INC        COMMON STOCK    05534B760         95     2737 Shares                 X                  1       2737      0      0
BE AEROSPACE
INC            COMMON STOCK    073302101          0       15 Shares                 X                  1          0      0     15
BECKMAN
COULTER INC    COMMON STOCK    075811109       1080    16000 Shares                 X                  2          0      0  16000
BECKMAN
COULTER INC    COMMON STOCK    075811109        150     2228 Shares                          X         1       1680      0    548
BECTON
DICKINSON      COMMON STOCK    075887109        275     3385 Shares                 X                  1       3385      0      0
BECTON
DICKINSON      COMMON STOCK    075887109        171     2105 Shares                 X                  3       2105      0      0
BECTON
DICKINSON      COMMON STOCK    075887109        984    12100 Shares                          X         1      12100      0      0
BED BATH &
BEYOND         COMMON STOCK    075896100         99     3510 Shares                 X                  1       3510      0      0
BED BATH &
BEYOND         COMMON STOCK    075896100         34     1200 Shares                 X                  2          0      0   1200
BED BATH &
BEYOND         COMMON STOCK    075896100         67     2400 Shares                 X                  3       2400      0      0
BED BATH &
BEYOND         COMMON STOCK    075896100          9      325 Shares                          X         1        325      0      0
BEMIS INC      COMMON STOCK    081437105         13      575 Shares                 X                  1        575      0      0
BEMIS INC      COMMON STOCK    081437105         85     3820 Shares                 X                  3       3820      0      0
BEMIS INC      COMMON STOCK    081437105         18      800 Shares                          X         1        800      0      0
BERKSHIRE
HATHAWAY INC
CLASS A        COMMON STOCK    084670108       1087        9 Shares                 X                  2          0      0      9
BERKSHIRE
HATHAWAY INC
CLASS A        COMMON STOCK    084670108        362        3 Shares                          X         1          3      0      0
BERKSHIRE
HATHAWAY INC
CLASS B        COMMON STOCK    084670207       1035      258 Shares                 X                  1        258      0      0
BERKSHIRE
HATHAWAY INC
CLASS B        COMMON STOCK    084670207        385       96 Shares                 X                  2          0      0     96
BERKSHIRE
HATHAWAY INC
CLASS B        COMMON STOCK    084670207        694      173 Shares                          X         1        146      0     27
BERKSHIRE
HILLS BANCORP
INC            COMMON STOCK    084680107          0       15 Shares                 X                  1          0      0     15
BEST BUY INC   COMMON STOCK    086516101        163     4110 Shares                 X                  1       4110      0      0
BEST BUY INC   COMMON STOCK    086516101        130     3270 Shares                 X                  3       3270      0      0


                                    8 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER    CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
BEST BUY INC   COMMON STOCK    086516101         99     2512 Shares                          X         1       2512      0      0
BHP BILLITON
LTD SPONSORED
ADR            COMMON STOCK    088606108        319     3750 Shares                 X                  1       3750      0      0
BHP BILLITON
LTD SPONSORED
ADR            COMMON STOCK    088606108        371     4352 Shares                          X         1       2600      0   1752
BIG LOTS INC   COMMON STOCK    089302103         26      825 Shares                 X                  3        825      0      0
BIOGEN IDEC
INC            COMMON STOCK    09062X103        763    13648 Shares                 X                  1      13648      0      0
BIOGEN IDEC
INC            COMMON STOCK    09062X103        929    16630 Shares                 X                  2          0      0  16630
BIOGEN IDEC
INC            COMMON STOCK    09062X103        145     2600 Shares                 X                  3       2600      0      0
BIOGEN IDEC
INC            COMMON STOCK    09062X103        124     2218 Shares                          X         1       2108      0    110
BIOMARIN
PHARMAC INC    COMMON STOCK    09061G101         73     2510 Shares                 X                  1       2300      0    210
BIOMARIN
PHARMAC INC    COMMON STOCK    09061G101       1338    46150 Shares                 X                  3      46150      0      0
BIOTECH HOLDRS
TRUST          COMMON STOCK    09067D201         10       60 Shares                 X                  1         60      0      0
BJ SVCS CO     COMMON STOCK    055482103          6      200 Shares                 X                  1        200      0      0
BJ SVCS CO     COMMON STOCK    055482103         86     2700 Shares                 X                  3       2700      0      0
BJS WHOLESALE
CLUB           COMMON STOCK    05548J106         50     1300 Shares                 X                  1       1300      0      0
BJS WHOLESALE
CLUB           COMMON STOCK    05548J106        984    25425 Shares                 X                  3      25425      0      0
BLACK & DECKER
CORP           COMMON STOCK    091797100        181     3150 Shares                 X                  1       3150      0      0
BLACK & DECKER
CORP           COMMON STOCK    091797100        108     1875 Shares                 X                  3       1875      0      0
BLACK & DECKER
CORP           COMMON STOCK    091797100        953    16564 Shares                          X         1      16564      0      0
BLACK HILLS
CORP           COMMON STOCK    092113109         58     1800 Shares                 X                  1       1800      0      0
BLACKROCK APEX
MUNICIPAL FUND PREFERRED STOCK 09254H106          9     1000 Shares                 X                  1          0      0      0
BLACKROCK APEX
MUNICIPAL FUND PREFERRED STOCK 09254H106         19     2027 Shares                          X         1          0      0      0
BLACKROCK
ENHANCED DVD
ACHIEVE        PREFERRED STOCK 09251A104          7      680 Shares                          X         1          0      0      0
BLACKROCK
GLOBAL ENERGY
& RESO         PREFERRED STOCK 09250U101         45     1200 Shares                 X                  1          0      0      0
BLACKROCK
HEALTH
SCIENCES TRUS  PREFERRED STOCK 09250W107        123     5000 Shares                          X         1          0      0      0
BLACKROCK INC  COMMON STOCK    09247X101        115      650 Shares                 X                  1        650      0      0
BLACKROCK
MARYLAND MUNI
BD TR          PREFERRED STOCK 09249L105         49     3000 Shares                 X                  2          0      0      0
BLACKROCK
MUNIENHANCED
FUND IN        PREFERRED STOCK 09253Y100         20     2032 Shares                          X         1          0      0      0
BLACKROCK
MUNIHLDGS NJ
INSURED        PREFERRED STOCK 09254X101         40     3050 Shares                          X         1          0      0      0
BLACKROCK
MUNIHLDGS NY
INSURED        PREFERRED STOCK 09255C106         37     3050 Shares                          X         1          0      0      0
BLACKROCK
MUNIYLD
CALIFORNIA I   PREFERRED STOCK 09254N103         38     3050 Shares                          X         1          0      0      0
BLACKROCK
MUNIYLD NEW
YORK INS       PREFERRED STOCK 09255E102         19     1601 Shares                          X         1          0      0      0
BLACKROCK
MUNIYLD
PENNSYLVANIA   PREFERRED STOCK 09255G107         13      981 Shares                 X                  1          0      0      0
BLACKROCK
MUNIYLD
PENNSYLVANIA   PREFERRED STOCK 09255G107        105     8181 Shares                          X         1          0      0      0
BLACKROCK
MUNIYLD
QUALITY FUND   PREFERRED STOCK 09254G108         75     6850 Shares                          X         1          0      0      0
BLACKROCK
STRAT DVD ACHV
TRS            PREFERRED STOCK 09249Y107         10     1000 Shares                 X                  1          0      0      0
BLOCK H & R
INC            COMMON STOCK    093671105         20      925 Shares                 X                  1        925      0      0
BLOCK H & R
INC            COMMON STOCK    093671105        116     5400 Shares                 X                  3       5400      0      0
BLOCK H & R
INC            COMMON STOCK    093671105         73     3400 Shares                          X         1       3400      0      0
BLUE CHIP
VALUE FUND INC PREFERRED STOCK 095333100          9     1920 Shares                 X                  1          0      0      0
BMC SOFTWARE
INC            COMMON STOCK    055921100         65     1820 Shares                 X                  3       1820      0      0
BOARDWALK
PIPELINE
PARTNERS LP    COMMON STOCK    096627104         23     1000 Shares                 X                  2          0      0   1000
BOB EVANS
FARMS          COMMON STOCK    096761101          9      300 Shares                 X                  1        300      0      0
BOEING CO      COMMON STOCK    097023105       2198    33452 Shares                 X                  1      31352      0   2100
BOEING CO      COMMON STOCK    097023105        526     8000 Shares                 X                  2          0      0   8000
BOEING CO      COMMON STOCK    097023105        442     6725 Shares                 X                  3       6725      0      0
BOEING CO      COMMON STOCK    097023105       1140    17342 Shares                          X         1      16917      0    425
BOK FINANCIAL
CORPORATION    COMMON STOCK    05561Q201          1       11 Shares                 X                  1         11      0      0
BON-TON STORES
INCORPORATED   COMMON STOCK    09776J101         54    10320 Shares                 X                  1      10320      0      0
BORDERS GROUP
INC COM        COMMON STOCK    099709107          2      400 Shares                 X                  1        400      0      0
BOSTON BEER
INCORPORATED
CLASS          COMMON STOCK    100557107         31      750 Shares                 X                  1        750      0      0


                                    9 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
BOSTON BEER
INCORPORATED
CLASS          COMMON STOCK    100557107          4      100 Shares                          X         1        100      0      0
BOSTON
PROPERTIES
INCORPORATED   COMMON STOCK    101121101        337     3731 Shares                 X                  1          0      0      0
BOSTON
PROPERTIES
INCORPORATED   COMMON STOCK    101121101        321     3500 Shares                 X                  2       3000      0      0
BOSTON
PROPERTIES
INCORPORATED   COMMON STOCK    101121101         99     1100 Shares                 X                  3       1100      0      0
BOSTON
PROPERTIES
INCORPORATED   COMMON STOCK    101121101        271     3000 Shares                          X         1          0      0      0
BOSTON
SCIENTIFIC
CORPORATION    COMMON STOCK    101137107          9      736 Shares                 X                  1        736      0      0
BOSTON
SCIENTIFIC
CORPORATION    COMMON STOCK    101137107        295    12800 Shares                 X                  2      12800      0      0
BOSTON
SCIENTIFIC
CORPORATION    COMMON STOCK    101137107        146    11900 Shares                 X                  3      11900      0      0
BOSTON
SCIENTIFIC
CORPORATION    COMMON STOCK    101137107         73     5947 Shares                          X         1       5947      0      0
BOULDER
TOTAL RETURN
FUND INC       PREFERRED STOCK 101541100         25     1400 Shares                 X                  1          0      0      0
BOWNE & CO INC COMMON STOCK    103043105         42     3280 Shares                 X                  1       3280      0      0
BP PLC         ADR (6 ORDS)    055622104      16102   231450 Shares                 X                  1     231450      0      0
BP PLC         ADR (6 ORDS)    055622104       1248    17941 Shares                 X                  2          0      0  17941
BP PLC         ADR (6 ORDS)    055622104        296     4244 Shares                 X                  3       4244      0      0
BP PLC         ADR (6 ORDS)    055622104      13427   192999 Shares                          X         1     178353      0  14646
BP PRUDHOE BAY
RTY TR UNIT
BEN            COMMON STOCK    055630107         68      662 Shares                 X                  1        662      0      0
BRANDYWINE
REALTY TRUST
(REIT)         COMMON STOCK    105368203         24     1500 Shares                 X                  1          0      0      0
BRANDYWINE
REALTY TRUST
(REIT)         COMMON STOCK    105368203         24     1500 Shares                 X                  2          0      0      0
BRIGGS &
STRATTON CORP  COMMON STOCK    109043109         10      800 Shares                          X         1        800      0      0
BRINKER INTL
NC             COMMON STOCK    109641100        481    25459 Shares                 X                  1      25110      0    349
BRINKER INTL
INC            COMMON STOCK    109641100        481    25491 Shares                 X                  3      25491      0      0
BRINKER INTL
INC            COMMON STOCK    109641100        239    12649 Shares                          X         1      12649      0      0
BRINKS COMPANY COMMON STOCK    109696104         44      665 Shares                 X                  1        600      0     65
BRINKS COMPANY COMMON STOCK    109696104        834    12750 Shares                 X                  3      12750      0      0
BRISTOL MYERS
SQUIBB COMPANY COMMON STOCK    110122108       5944   289519 Shares                 X                  1     288703      0    816
BRISTOL MYERS
SQUIBB COMPANY COMMON STOCK    110122108       1528    73310 Shares                 X                  2      29432      0  43878
BRISTOL MYERS
SQUIBB COMPANY COMMON STOCK    110122108        598    29148 Shares                 X                  3      29148      0      0
BRISTOL MYERS '
SQUIBB COMPANY COMMON STOCK    110122108          5      250 Shares                 X                  4        250      0      0
BRISTOL MYERS
SQUIBB COMPANY COMMON STOCK    110122108       5795   282282 Shares                          X         1     254942      0  27340
BROADCOM CORP  CLASS A         111320107        369    13515 Shares                 X                  1      13515      0      0
BROADCOM CORP  CLASS A         111320107        101     3700 Shares                 X                  3       3700      0      0
BROADCOM CORP  CLASS A         111320107         17      626 Shares                          X         1        626      0      0
BROADRIDGE
FINL SOLN      COMMON STOCK    11133T103        253    12005 Shares                 X                  1      11615      0    390
BROADRIDGE
FINL SOLN      COMMON STOCK    11133T103          5      250 Shares                 X                  2          0      0    250
BROADRIDGE
FINL SOLN      COMMON STOCK    11133T103        468    22200 Shares                 X                  3      22200      0      0
BROADRIDGE
FINL SOLN      COMMON STOCK    11133T103         46     2178 Shares                          X         1       2178      0      0
BROOKLINE
BANCORP IN     COMMON NEW      11373M107         43     4530 Shares                 X                  1       4200      0    330
BROOKLINE
BANCORP IN     COMMON NEW      11373M107        808    84600 Shares                 X                  3      84600      0      0
BROWN & BROWN
INC            COMMON STOCK    115236101         70     4000 Shares                 X                  2          0      0   4000
BROWN FORMAN
CORP           CLASS B         115637209        408     5400 Shares                 X                  2          0      0   5400
BROWN FORMAN
CORP           CLASS B         115637209         53      700 Shares                 X                  3        700      0      0
BROWN FORMAN
CORP           CLASS B         115637209         23      300 Shares                          X         1        300      0      0
BROWN SHOE CO
INC COM        COMMON STOCK    115736100          0       20 Shares                 X                  1          0      0     20
BRUNSWICK CORP COMMON STOCK    117043109         36     3400 Shares                 X                  3       3400      0      0
BRYN MAWR BANK
CORPORATION    COMMON STOCK    117665109        129     7392 Shares                 X                  1       7392      0      0
BT GROUP
PLC-SPON ADR   COMMON STOCK    05577E101          5      123 Shares                 X                  1        123      0      0
BT GROUP
PLC-SPON ADR   COMMON STOCK    05577E101         10      250 Shares                          X         1        250      0      0
BUCKEYE
PARTNERS
LIMITED
PARTNERSHIP    COMMON STOCK    118230101         38      900 Shares                 X                  1        900      0      0
BUCKEYE
PARTNERS
LIMITED
PARTNERSHIP    COMMON STOCK    118230101        384     8500 Shares                 X                  2       6000      0   2500
BUCKEYE
PARTNERS
LIMITED
PARTNERSHIP    COMMON STOCK    118230101          2       50 Shares                          X         1         50      0      0


                                   10 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
BUCYRUS INTL
NEW            COM USD 0.01    118759109        115     1574 Shares                 X                  1       1400      0    174
BUCYRUS INTL
NEW            COM USD 0.01    118759109       2119    29025 Shares                 X                  3      29025      0      0
BUNGE LIMITED  COMMON STOCK    G16962105         43      400 Shares                 X                  1        400      0      0
BUNGE LIMITED  COMMON STOCK    G16962105        420     4769 Shares                 X                  2       4470      0    299
BURGER KING
HLDGS          COMMON STOCK    121208201         61     2285 Shares                 X                  1       2100      0    185
BURGER KING
HLDGS          COMMON STOCK    121208201       1172    43750 Shares                 X                  3      43750      0      0
BURLINGTN
NRTHRN S F     COMMON STOCK    12189T104       5159    51644 Shares                 X                  1      50200      0   1444
BURLINGTN
NRTHRN S F     COMMON STOCK    12189T104       2870    28727 Shares                 X                  3      27343      0   1384
BURLINGTN
NRTHRN S F     COMMON STOCK    12189T104       1287    12887 Shares                          X         1      11687      0   1200
C H ROBINSON
WLDWIDE        COMMON STOCK    12541W209        287     5227 Shares                 X                  1       5067      0    160
C H ROBINSON
WLDWIDE        COMMON STOCK    12541W209        663    12100 Shares                 X                  3      12100      0      0
CA INC         COMMON STOCK    12673P105        125     5393 Shares                 X                  1       5393      0      0
CA INC         COMMON STOCK    12673P105         82     3558 Shares                 X                  3       3558      0      0
CABOT CORP     COMMON STOCK    127055101         56     2300 Shares                 X                  3       2300      0      0
CABOT OIL &
GAS CORP       COMMON STOCK    127097103         86     1264 Shares                 X                  1       1250      0     14
CABOT OIL &
GAS CORP       COMMON STOCK    127097103       1532    22625 Shares                 X                  3      22625      0      0
CACI
INTERNATIONAL  CLASS A         127190304         50     1100 Shares                 X                  1       1100      0      0
CACI
INTERNATIONAL  CLASS A         127190304       1116    24400 Shares                 X                  3      24400      0      0
CADBURY PLC -
SPONS ADR      COMMON STOCK    12721E102          2       36 Shares                 X                  1         36      0      0
CALAMOS CONV &
HIGH INC FD    PREFERRED STOCK 12811P108         60     4500 Shares                 X                  1          0      0      0
CALAMOS
STRATEGIC
TOT RET FD     PREFERRED STOCK 128125101          6      500 Shares                          X         1          0      0      0
CALLAWAY GOLF
CO COM         COMMON STOCK    131193104          0       23 Shares                 X                  1         23      0      0
CAMDEN
PROPERTY TRUST
(REIT)         COMMON STOCK    133131102         56     1265 Shares                 X                  1          0      0      0
CAMDEN
PROPERTY TRUST
(REIT)         COMMON STOCK    133131102         13      300 Shares                 X                  2          0      0      0
CAMECO
CORPORATION    COMMON STOCK    13321L108         18      420 Shares                 X                  1        400      0     20
CAMERON INTL   COMMON STOCK    13342B105       1176    21243 Shares                 X                  1      20349      0    894
CAMERON INTL   COMMON STOCK    13342B105       1709    30861 Shares                 X                  3      30861      0      0
CAMERON INTL   COMMON STOCK    13342B105         89     1600 Shares                          X         1       1600      0      0
CAMPBELL SOUP
CO             COMMON STOCK    134429109        494    14778 Shares                 X                  1      14778      0      0
CAMPBELL SOUP
CO             COMMON STOCK    134429109        205     6100 Shares                 X                  3       6100      0      0
CAMPBELL SOUP
CO             COMMON STOCK    134429109        174     5200 Shares                          X         1       5200      0      0
CANADIAN
NATIONAL
RAILWAY COMP   COMMON STOCK    136375102        137     2850 Shares                 X                  1       2850      0      0
CANADIAN
PACIFIC
RAILWAY LTD    COMMON STOCK    13645T100         10      150 Shares                 X                  1        150      0      0
CANON INC
SPONS ADR      COMMON STOCK    138006309         10      202 Shares                 X                  2          0      0    202
CAPITAL ONE
FINANCIAL
CORPORATION    COMMON STOCK    14040H105       1071    28172 Shares                 X                  1      27596      0    576
CAPITAL ONE
FINANCIAL
CORPORATION    COMMON STOCK    14040H105       5884   138769 Shares                 X                  2      54369      0  84400
CAPITAL ONE
FINANCIAL
CORPORATION    COMMON STOCK    14040H105        504    13284 Shares                 X                  3      11815      0   1469
CAPITAL ONE
FINANCIAL
CORPORATION    COMMON STOCK    14040H105        697    18350 Shares                          X         1      15000      0   3350
CAPITALSOURCE
INC            COMMON STOCK    14055X102         49     4440 Shares                 X                  1       4000      0    440
CAPITALSOURCE
INC            COMMON STOCK    14055X102       8078   752600 Shares                 X                  2     184600      0 568000
CAPITALSOURCE
INC            COMMON STOCK    14055X102         14     1300 Shares                          X         1       1300      0      0
CAPSTEAD
MORTGAGE CV
PFD $1.26      PREFERRED STOCK 14067E308         62     4950 Shares                 X                  1          0      0      0
CARDINAL
HEALTH
INCORPORATED   COMMON STOCK    14149Y108        218     4218 Shares                 X                  1       4218      0      0
CARDINAL
HEALTH
INCORPORATED   COMMON STOCK    14149Y108        392     7500 Shares                 X                  2       6000      0   1500
CARDINAL
HEALTH
INCORPORATED   COMMON STOCK    14149Y108        160     3100 Shares                 X                  3       3100      0      0
CARDINAL
HEALTH
INCORPORATED   COMMON STOCK    14149Y108        224     4350 Shares                          X         1       4350      0      0
CARLISLE
COMPANIES INC  COMMON STOCK    142339100         23      800 Shares                 X                  1          0      0    800
CARLISLE
COMPANIES INC  COMMON STOCK    142339100        518    17850 Shares                          X         1      17750      0    100
CARMAX INC     COMMON STOCK    143130102         14     1000 Shares                 X                  1       1000      0      0
CARMAX INC     COMMON STOCK    143130102        142    10000 Shares                 X                  2          0      0  10000


                                    11 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
CARMAX INC     COMMON STOCK    143130102         18     1302 Shares                          X         1       1302      0      0
CARNIVAL CORP  COMMON STOCK    143658300       3275    99360 Shares                 X                  1      99360      0      0
CARNIVAL CORP  COMMON STOCK    143658300       1613    48935 Shares                 X                  3      48935      0      0
CARNIVAL CORP  COMMON STOCK    143658300        418    12675 Shares                          X         1      11575      0   1100
CARPENTER
TECHNOLOGY
CORP COM       COMMON STOCK    144285103        290     6652 Shares                          X         1       5252      0   1400
CARROLLTON
BANCORP        COMMON STOCK    145282109          5      462 Shares                 X                  1        462      0      0
CARTER
HOLDINGS       COMMON STOCK    146229109          0       25 Shares                 X                  1          0      0     25
CASCAL N V     COM             N1842P109         62     5000 Shares                 X                  1       5000      0      0
CASCAL N V     COM             N1842P109       1360   110600 Shares                 X                  3     110600      0      0
CATERPILLAR
INC            COMMON STOCK    149123101       5056    68489 Shares                 X                  1      64364      0   4125
CATERPILLAR
INC            COMMON STOCK    149123101        372     5036 Shares                 X                  2          0      0   5036
CATERPILLAR
INC            COMMON STOCK    149123101       1528    20701 Shares                 X                  3      20701      0      0
CATERPILLAR
INC            COMMON STOCK    149123101        882    11944 Shares                          X         1       8004      0   3940
CAVCO
INDUSTRIES,
INC.           COMMON STOCK    149568107          2       60 Shares                 X                  1         60      0      0
CB RICHARD
ELLIS GRP      CLASS A         12497T101        654    31900 Shares                 X                  2      17100      0  14800
CB RICHARD
ELLIS GRP      CLASS A         12497T101         33     1700 Shares                 X                  3       1700      0      0
CBL &
ASSOCIATES
PROPERTIES     COMMON STOCK    124830100          4      169 Shares                 X                  1          0      0      0
CBS
CORPORATION    CLASS B         124857202        147     7561 Shares                 X                  1       7561      0      0
CBS
CORPORATION    CLASS B         124857202        238    12200 Shares                 X                  3      12200      0      0
CBS
CORPORATION    CLASS B         124857202         86     4435 Shares                          X         1       4110      0    325
CEDAR
FAIR LTD PTR   COMMON STOCK    150185106         14      750 Shares                 X                  1        750      0      0
CELGENE CORP   COMMON STOCK    151020104         13      199 Shares                 X                  1        199      0      0
CELGENE CORP   COMMON STOCK    151020104        250     3910 Shares                 X                  3       3910      0      0
CELGENE CORP   COMMON STOCK    151020104         64     1000 Shares                          X         1       1000      0      0
CEMEX SAB
SPONS ADR
PART CER       COMMON STOCK    151290889          3      103 Shares                 X                  1        103      0      0
CEMEX SAB
SPONS ADR
PART CER       COMMON STOCK    151290889         44     1790 Shares                          X         1       1790      0      0
CENTERPLATE
INC-IDS        COMMON STOCK    15200E204          5     1100 Shares                 X                  1       1100      0      0
CENTERPOINT
ENERGY         COMMON STOCK    15189T107          5      332 Shares                 X                  1        332      0      0
CENTERPOINT
ENERGY         COMMON STOCK    15189T107         43     2660 Shares                 X                  3       2660      0      0
CENTEX CORP    COMMON STOCK    152312104         24     1800 Shares                 X                  1       1800      0      0
CENTEX CORP    COMMON STOCK    152312104         13     1000 Shares                 X                  3       1000      0      0
CENTEX CORP    COMMON STOCK    152312104          5      400 Shares                          X         1        400      0      0
CENTRAL EUROP
DIST           COMMON STOCK    153435102         37      500 Shares                 X                  1        500      0      0
CENTRAL EUROP
DIST           COMMON STOCK    153435102        853    11500 Shares                 X                  3      11500      0      0
CENTURYTEL INC COMMON STOCK    156700106         71     2000 Shares                 X                  1       2000      0      0
CENTURYTEL INC COMMON STOCK    156700106         40     1100 Shares                 X                  3       1100      0      0
CENVEO INC     COMMON STOCK    15670S105         21     2100 Shares                 X                  1       2100      0      0
CENVEO INC     COMMON STOCK    15670S105        398    40700 Shares                 X                  3      40700      0      0
CEPHALON INC   COMMON STOCK    156708109        158     2371 Shares                 X                  1       2267      0    104
CEPHALON INC   COMMON STOCK    156708109        440     6600 Shares                 X                  3       6600      0      0
CEPHEID        COMMON STOCK    15670R107         56     1995 Shares                 X                  1       1800      0    195
CEPHEID        COMMON STOCK    15670R107       1032    36700 Shares                 X                  3      36700      0      0
CERNER
CORPORATION    COMMON STOCK    156782104       6032   133501 Shares                 X                  1     132204      0   1297
CERNER
CORPORATION    COMMON STOCK    156782104       5935   138450 Shares                 X                  2      40600      0  97850
CERNER
CORPORATION    COMMON STOCK    156782104       4079    90291 Shares                 X                  3      88592      0   1699
CERNER
CORPORATION    COMMON STOCK    156782104        520    11510 Shares                          X         1       9885      0   1625
CF INDUSTRIES
HLDGS          COMMON STOCK    125269100        279     1825 Shares                 X                  1       1775      0     50
CF INDUSTRIES
HLDGS          COMMON STOCK    125269100       4281    28020 Shares                 X                  3      28020      0      0
CGI GROUP INC
- CL A         COMMON STOCK    39945C109         23     2268 Shares                 X                  1       2268      0      0
CH ENERGY
GROUP INC COM  COMMON STOCK    12541M102         46     1300 Shares                 X                  1       1200      0    100


                                   12 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
CH ENERGY
GROUP INC COM  COMMON STOCK    12541M102        107     3000 Shares                          X         1       3000      0      0
CHAMPION
ENTERPRISES
INC            COMMON STOCK    158496109          2      315 Shares                 X                  1        275      0     40
CHARLES RIV
LABS INT       COMMON STOCK    159864107         68     1060 Shares                 X                  1       1000      0     60
CHARLES RIV
LABS INT       COMMON STOCK    159864107       1300    20350 Shares                 X                  3      20350      0      0
CHART INDS INC COMMON STOCK    16115Q308         44      900 Shares                 X                  1        900      0      0
CHART INDS INC COMMON STOCK    16115Q308       1634    33600 Shares                 X                  3      33600      0      0
CHECK POINT
SOFTWARE TECH
COM            COMMON STOCK    M22465104        374    15800 Shares                 X                  2          0      0  15800
CHENIERE
ENERGY INC     COMMON STOCK    16411R208        269    22599 Shares                 X                  2      10999      0  11600
CHESAPEAKE
ENERGY         COMMON STOCK    165167107        364     5525 Shares                 X                  1       5525      0      0
CHESAPEAKE
ENERGY         COMMON STOCK    165167107        158     2400 Shares                 X                  2          0      0   2400
CHESAPEAKE
ENERGY         COMMON STOCK    165167107        317     4800 Shares                 X                  3       4800      0      0
CHESAPEAKE
ENERGY CONV
PFD 4.5        PREFERRED STOCK 165167842       1409     8750 Shares                 X                  2          0      0      0
CHESAPEAKE
UTILITIES
CORPORATI      COMMON STOCK    165303108         13      500 Shares                          X         1        500      0      0
CHEVRONTEXACO
CORPORATION    COMMON STOCK    166764100      41953   423212 Shares                 X                  1     416689      0   6523
CHEVRONTEXACO
CORPORATION    COMMON STOCK    166764100       7386    77954 Shares                 X                  2      24788      0  53166
CHEVRONTEXACO
CORPORATION    COMMON STOCK    166764100      10270   103601 Shares                 X                  3     100126      0   3475
CHEVRONTEXACO
CORPORATION    COMMON STOCK    166764100         15      150 Shares                 X                  4        150      0      0
CHEVRONTEXACO
CORPORATION    COMMON STOCK    166764100      24539   247540 Shares                          X         1     233596      0  13944
CHICAGO BRIDGE
& IRON
CO N V C       COMMON STOCK    167250109         17      432 Shares                 X                  1        400      0     32
CHICAGO
BRIDGE & IRON
CO N V C       COMMON STOCK    167250109        239     6000 Shares                 X                  2          0      0   6000
CHICAGO BRIDGE
& IRON
CO N V C       COMMON STOCK    167250109         73     1825 Shares                          X         1         25      0   1800
CHICOS FAS INC COMMON STOCK    168615102          5     1000 Shares                 X                  1       1000      0      0
CHICOS FAS INC COMMON STOCK    168615102          2      300 Shares                          X         1        300      0      0
CHILDRENS PL
RETL ST        COMMON STOCK    168905107         51     1400 Shares                 X                  1       1400      0      0
CHILDRENS PL
RETL ST        COMMON STOCK    168905107       1029    28500 Shares                 X                  3      28500      0      0
CHINA FUND INC PREFERRED STOCK 169373107         15      506 Shares                 X                  1          0      0      0
CHINA MOBILE
LTD SPON ADR   COMMON STOCK    16941M109         20      300 Shares                          X         1        300      0      0
CHIPOTLE
MEXICAN
GRILL-CL A     COMMON STOCK    169656105          1       10 Shares                 X                  1          0      0     10
CHIQUITA
BRANDS INTL
INC            COMMON STOCK    170032809          4      250 Shares                 X                  1        250      0      0
CHOICEPOINT
INC COM        COMMON STOCK    170388102          5      100 Shares                          X         1        100      0      0
CHRISTOPHER &
BANKS CORP     COMMON STOCK    171046105          2      337 Shares                 X                  1        337      0      0
CHUBB CORP     COMMON STOCK    171232101        355     7250 Shares                 X                  1       7250      0      0
CHUBB CORP     COMMON STOCK    171232101       3853    78623 Shares                 X                  2          0      0  78623
CHUBB CORP     COMMON STOCK    171232101        157     3200 Shares                 X                  3       3200      0      0
CHUBB CORP     COMMON STOCK    171232101        230     4700 Shares                          X         1       4700      0      0
CHURCH &
DWIGHT CO INC  COMMON STOCK    171340102         68     1215 Shares                 X                  1          0      0   1215
CHURCH &
DWIGHT CO INC  COMMON STOCK    171340102        673    11950 Shares                          X         1      11950      0      0
CIENA
CORPORATION    COMMON STOCK    171779309         54     2310 Shares                 X                  1       2300      0     10
CIENA
CORPORATION    COMMON STOCK    171779309       1183    51050 Shares                 X                  3      51050      0      0
CIGNA CORP     COMMON STOCK    125509109        345     9760 Shares                 X                  1       9760      0      0
CIGNA CORP     COMMON STOCK    125509109         91     2550 Shares                 X                  3       2550      0      0
CIGNA CORP     COMMON STOCK    125509109        342     9660 Shares                          X         1       9660      0      0
CINCINNATI
FINANCIAL
CORPORATION    COMMON STOCK    172062101        906    35660 Shares                 X                  1      34890      0    770
CINCINNATI
FINANCIAL
CORPORATION    COMMON STOCK    172062101        326     9856 Shares                 X                  2       5999      0   3857
CINCINNATI
FINANCIAL
CORPORATION    COMMON STOCK    172062101        325    12781 Shares                 X                  3      11005      0   1776
CINCINNATI
FINANCIAL
CORPORATION    COMMON STOCK    172062101         98     3856 Shares                          X         1       3856      0      0
CINTAS CORP    COMMON STOCK    172908105         29     1100 Shares                 X                  3       1100      0      0
CIRCUIT STORES
COM            COMMON STOCK    172737108         11     3800 Shares                          X         1       3800      0      0
CISCO SYSTEMS
INCORPORATED   COMMON STOCK    17275R102      19282   828981 Shares                 X                  1     810029      0  18952
CISCO SYSTEMS
INCORPORATED   COMMON STOCK    17275R102       7862   333581 Shares                 X                  2     123922      0 209659


                                   13 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
CISCO SYSTEMS
INCORPORATED   COMMON STOCK    17275R102       9514   409069 Shares                 X                  3     401880      0   7189
CISCO SYSTEMS
INCORPORATED   COMMON STOCK    17275R102         20      850 Shares                 X                  4        850      0      0
CISCO SYSTEMS
INCORPORATED   COMMON STOCK    17275R102       5500   236463 Shares                          X         1     210913      0  25550
CIT GROUP INC  COMMON STOCK    125581108        353    51824 Shares                 X                  1      49954      0   1870
CIT GROUP INC  COMMON STOCK    125581108        513    75154 Shares                 X                  3      71964      0   3190
CIT GROUP INC  COMMON STOCK    125581108          2      250 Shares                 X                  4        250      0      0
CIT GROUP INC  COMMON STOCK    125581108        109    16045 Shares                          X         1      15300      0    745
CITADEL
BROADCASTING
COMPANY        COMMON STOCK    17285T106          0      107 Shares                 X                  1        107      0      0
CITADEL
BROADCASTING
COMPANY        COMMON STOCK    17285T106          0       92 Shares                 X                  2          0      0     92
CITADEL
BROADCASTING
COMPANY        COMMON STOCK    17285T106          1      618 Shares                          X         1        572      0     46
CITIGROUP
INCORPORATED   COMMON STOCK    172967101       3788   225985 Shares                 X                  1     217729      0   8256
CITIGROUP
INCORPORATED   COMMON STOCK    172967101       4488   244835 Shares                 X                  2      82519      0 162316
CITIGROUP
INCORPORATED   COMMON STOCK    172967101       3370   201085 Shares                 X                  3     195321      0   5764
CITIGROUP
INCORPORATED   COMMON STOCK    172967101          7      400 Shares                 X                  4        400      0      0
CITIGROUP
INCORPORATED   COMMON STOCK    172967101       1991   118785 Shares                          X         1     111684      0   7101
CITIZENS
COMMUN CO      COMMON STOCK    17453B101        105     9300 Shares                 X                  1       7800      0   1500
CITIZENS
COMMUN CO      COMMON STOCK    17453B101         36     3200 Shares                 X                  2          0      0   3200
CITIZENS
COMMUN CO      COMMON STOCK    17453B101        135    11900 Shares                 X                  3      11900      0      0
CITIZENS
COMMUN CO      COMMON STOCK    17453B101         64     5650 Shares                          X         1       3900      0   1750
CITRIX SYS INC COMMON STOCK    177376100       2166    73663 Shares                 X                  1      71214      0   2449
CITRIX SYS INC COMMON STOCK    177376100       2047    69657 Shares                 X                  3      69657      0      0
CITRIX SYS INC COMMON STOCK    177376100         50     1700 Shares                          X         1       1700      0      0
CITY HOLDING
COMPANY        COMMON STOCK    177835105       1570    38509 Shares                 X                  1      38509      0      0
CITY NATIONAL
CORP COM       COMMON STOCK    178566105          8      200 Shares                 X                  1        200      0      0
CLAYMORE S&P
GLOBAL WATER
ETF            PREFERRED STOCK 18383Q507          2      100 Shares                 X                  1          0      0      0
CLEAN HARBORS
INC            COMMON STOCK    184496107          0        5 Shares                 X                  1          0      0      5
CLEAR CHANNEL
COMMUN         COMMON STOCK    184502102         42     1200 Shares                 X                  1       1200      0      0
CLEAR CHANNEL
COMMUN         COMMON STOCK    184502102        153     4350 Shares                 X                  3       4350      0      0
CLEAR CHANNEL
COMMUN         COMMON STOCK    184502102          7      200 Shares                 X                  4        200      0      0
CLEAR CHANNEL
COMMUN         COMMON STOCK    184502102          5      150 Shares                          X         1        150      0      0
CLEVELAND
CLIFFS INC     COMMON STOCK    185896107      11284    94671 Shares                 X                  1      92616      0   2055
CLEVELAND
CLIFFS INC     COMMON STOCK    185896107      10040    84226 Shares                 X                  3      82728      0   1498
CLEVELAND
CLIFFS INC     COMMON STOCK    185896107       1302    10920 Shares                          X         1       8030      0   2890
CLOROX CO      COMMON STOCK    189054109        668    12802 Shares                 X                  1      12802      0      0
CLOROX CO      COMMON STOCK    189054109        313     6000 Shares                 X                  2          0      0   6000
CLOROX CO      COMMON STOCK    189054109        199     3800 Shares                 X                  3       3800      0      0
CLOROX CO      COMMON STOCK    189054109        204     3915 Shares                          X         1       3915      0      0
CME GROUP INC  CLASS A         12572Q105         36       93 Shares                 X                  1         93      0      0
CME GROUP INC  CLASS A         12572Q105        182      475 Shares                 X                  3        475      0      0
CME GROUP INC  CLASS A         12572Q105          5       14 Shares                          X         1         14      0      0
CMS ENERGY
CORP           COMMON STOCK    125896100         33     2200 Shares                 X                  3       2200      0      0
CMS ENERGY
CORP           COMMON STOCK    125896100          3      200 Shares                          X         1        200      0      0
CNOOC LTD -ADR COMMON STOCK    126132109         52      300 Shares                          X         1        300      0      0
COACH INC      COMMON STOCK    189754104       2610    90374 Shares                 X                  1      84776      0   5598
COACH INC      COMMON STOCK    189754104       1992    68971 Shares                 X                  3      66859      0   2112
COACH INC      COMMON STOCK    189754104        242     8367 Shares                          X         1       8367      0      0
COCA COLA
BOTTLING CO
CONSOLID       COMMON STOCK    191098102          5      125 Shares                 X                  1        125      0      0
COCA COLA
COMPANY        COMMON STOCK    191216100      15275   293867 Shares                 X                  1     288575      0   5292
COCA COLA
COMPANY        COMMON STOCK    191216100        621    11103 Shares                 X                  2       5000      0   6103
COCA COLA
COMPANY        COMMON STOCK    191216100       7174   138011 Shares                 X                  3     133878      0   4133


                                   14 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
COCA COLA
COMPANY        COMMON STOCK    191216100         13      250 Shares                 X                  4        250      0      0
COCA COLA
COMPANY        COMMON STOCK    191216100       6678   128479 Shares                          X         1     127369      0   1110
COCA COLA
ENTERPRISE     COMMON STOCK    191219104         20     1177 Shares                 X                  1       1177      0      0
COCA COLA
ENTERPRISE     COMMON STOCK    191219104         45     2575 Shares                 X                  3       2575      0      0
COCA-COLA
FEMSA SA DE
CV SPON        COMMON STOCK    191241108          1       20 Shares                 X                  1         20      0      0
CODORUS VALLEY
BANCORP INC    COMMON STOCK    192025104        671    49301 Shares                 X                  1      32265      0  17036
CODORUS VALLEY
BANCORP INC    COMMON STOCK    192025104         29     2124 Shares                          X         1       2124      0      0
COGNEX CORP
COM            COMMON STOCK    192422103          0       15 Shares                 X                  1          0      0     15
COGNIZANT TECH
SOLNS          CLASS A         192446102        245     7543 Shares                 X                  1       7229      0    314
COGNIZANT TECH
SOLNS          CLASS A         192446102        699    21500 Shares                 X                  3      21500      0      0
COHEN & STEERS
PREM INCOME
RLT            PREFERRED STOCK 19247V104         14      920 Shares                          X         1          0      0      0
COHEN & STEERS
QUALITY INC
RLT            PREFERRED STOCK 19247L106         46     3000 Shares                 X                  1          0      0      0
COHEN & STEERS
REIT AND
UTILIT         PREFERRED STOCK 19247Y108         11      600 Shares                 X                  2          0      0      0
COHEN & STEERS
SELECT UTILITY PREFERRED STOCK 19248A109         25     1009 Shares                 X                  1          0      0      0
COHU
INCORPORATED   COMMON STOCK    192576106         12      800 Shares                 X                  1        800      0      0
COLGATE
PALMOLIVE
COMPANY        COMMON STOCK    194162103       6732    97419 Shares                 X                  1      97344      0     75
COLGATE
PALMOLIVE
COMPANY        COMMON STOCK    194162103      13082   180648 Shares                 X                  2      67949      0 112699
COLGATE
PALMOLIVE
COMPANY        COMMON STOCK    194162103        930    13451 Shares                 X                  3      13451      0      0
COLGATE
PALMOLIVE
COMPANY        COMMON STOCK    194162103          7      100 Shares                 X                  4        100      0      0
COLGATE
PALMOLIVE
COMPANY        COMMON STOCK    194162103       4744    68659 Shares                          X         1      60809      0   7850
COLLECTORS
UNIVERSE INC   COMMON STOCK    19421R200          0       50 Shares                 X                  1         50      0      0
COLONIAL
BANCGROUP      COMMON STOCK    195493309         23     5200 Shares                 X                  3       5200      0      0
COMCAST CORP   CLASS A         20030N101       4265   224840 Shares                 X                  1     222174      0   2666
COMCAST CORP   CLASS A         20030N101         43     2250 Shares                 X                  2          0      0   2250
COMCAST CORP   CLASS A         20030N101       2342   123481 Shares                 X                  3     118986      0   4495
COMCAST CORP   CLASS A         20030N101       1238    65259 Shares                          X         1      62565      0   2694
COMCAST CORP-
SPECIAL CL A   COMMON STOCK    20030N200        176     9400 Shares                 X                  1       9400      0      0
COMCAST CORP-
SPECIAL CL A   COMMON STOCK    20030N200         58     3100 Shares                 X                  2          0      0   3100
COMCAST CORP-
SPECIAL CL A   COMMON STOCK    20030N200          8      450 Shares                 X                  4        450      0      0
COMCAST CORP-
SPECIAL CL A   COMMON STOCK    20030N200        101     5374 Shares                          X         1       5074      0    300
COMERICA INC   COMMON STOCK    200340107         79     3066 Shares                 X                  1       3066      0      0
COMERICA INC   COMMON STOCK    200340107         33     1300 Shares                 X                  3       1300      0      0
COMMERCE
ENERGY GROUP
INC            COMMON STOCK    20061Q106          0      325 Shares                 X                  1        325      0      0
COMMERCIAL
METALS CO      COMMON STOCK    201723103         23      600 Shares                 X                  1        600      0      0
COMMERCIAL
METALS CO      COMMON STOCK    201723103        943    25000 Shares                 X                  3      25000      0      0
COMMERCIAL
METALS CO      COMMON STOCK    201723103        591    15664 Shares                          X         1      15664      0      0
COMMERCIAL
NATL FINANCIAL
CORP           COMMON STOCK    202217105         12      820 Shares                 X                  1        820      0      0
COMMUNITY BANK
SYSTEM INC     COMMON STOCK    203607106        464    22500 Shares                 X                  1          0      0  22500
COMMUNITY
HEALTH SYSTEMS
INC            COMMON STOCK    203668108         49     1500 Shares                          X         1       1500      0      0
COMPAGNIE
GENERALE DE
GEOPHYSI       COMMON STOCK    204386106          0        7 Shares                 X                  1          0      0      7
COMPANHIA VAL
DO RIO         ADR(1 ORD SHR)  204412209       3603   100587 Shares                 X                  1      99773      0    814
COMPANHIA VAL
DO RIO         ADR(1 ORD SHR)  204412209         36     1000 Shares                 X                  2          0      0   1000
COMPANHIA VAL
DO RIO         ADR(1 ORD SHR)  204412209       1385    38670 Shares                 X                  3      36731      0   1939
COMPANHIA VAL
DO RIO         ADR(1 ORD SHR)  204412209          9      250 Shares                          X         1        250      0      0
COMPANHIA VALE
DO RIO DOCE
SPO            COMMON STOCK    204412100         72     2400 Shares                 X                  1       2400      0      0
COMPLETE PROD
SERVCS         COMMON STOCK    20453E109         66     1800 Shares                 X                  1       1800      0      0
COMPLETE PROD
SERVCS         COMMON STOCK    20453E109       1482    40700 Shares                 X                  3      40700      0      0
COMPTON
PETROLEUM CORP COMMON STOCK    204940100         47     3700 Shares                 X                  2          0      0   3700
COMPUTER
SCIENCES       COMMON STOCK    205363104         19      400 Shares                 X                  1        400      0      0
COMPUTER
SCIENCES       COMMON STOCK    205363104         61     1300 Shares                 X                  3       1300      0      0


                                    15 of 66






                                                               COLUMN 5
                                                   -----------------------        COLUMN 6
                 COLUMN 2                           SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                 COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF        COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS        CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- -------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
COMPUTER
SCIENCES       COMMON STOCK   205363104          9      200 Shares                          X         1        200      0      0
COMPUTER TASK
GROUP          COMMON STOCK   205477102        301    58750 Shares                 X                  1      58750      0      0
COMPUWARE CORP COMMON STOCK   205638109         28     2900 Shares                 X                  3       2900      0      0
COMPUWARE CORP COMMON STOCK   205638109         14     1500 Shares                          X         1       1500      0      0
COMSTOCK RES
INC            COMMON STOCK   205768203        144     1710 Shares                 X                  1       1700      0     10
COMSTOCK RES
INC            COMMON STOCK   205768203       2968    35150 Shares                 X                  3      35150      0      0
COMTECH
TELECOMMUNICA-
TIONS COR      COMMON STOCK   205826209          1       12 Shares                 X                  1          0      0     12
CONAGRA FOODS
INC            COMMON STOCK   205887102         58     3034 Shares                 X                  1       3034      0      0
CONAGRA FOODS
INC            COMMON STOCK   205887102         81     4200 Shares                 X                  3       4200      0      0
CONAGRA FOODS
INC            COMMON STOCK   205887102         75     3904 Shares                          X         1       3904      0      0
CONCUR
TECHNOLOGIES
INCORPORAT     COMMON STOCK   206708109          0       15 Shares                 X                  1          0      0     15
CONOCOPHILLIPS COMMON STOCK   20825C104      25703   272309 Shares                 X                  1     268067      0   4242
CONOCOPHILLIPS COMMON STOCK   20825C104        760     8048 Shares                 X                  2          0      0   8048
CONOCOPHILLIPS COMMON STOCK   20825C104       9462   100236 Shares                 X                  3      97410      0   2826
CONOCOPHILLIPS COMMON STOCK   20825C104         32      344 Shares                 X                  4        344      0      0
CONOCOPHILLIPS COMMON STOCK   20825C104       7337    77729 Shares                          X         1      71519      0   6210
CONSOL ENERGY
INC            COMMON STOCK   20854P109       1087     9673 Shares                 X                  1       9673      0      0
CONSOL ENERGY
INC            COMMON STOCK   20854P109       1493    13286 Shares                 X                  3      13286      0      0
CONSOLDTD
EDISON INC     COMMON STOCK   209115104        270     6902 Shares                 X                  1       6902      0      0
CONSOLDTD
EDISON INC     COMMON STOCK   209115104         94     2400 Shares                 X                  3       2400      0      0
CONSOLDTD
EDISON INC     COMMON STOCK   209115104         32      808 Shares                          X         1        808      0      0
CONSOLIDATED
COMMUNICATIONS
HL             COMMON STOCK   209034107          9      600 Shares                 X                  1        600      0      0
CONSOLIDATED
GRAPHIC        COMMON STOCK   209341106         29      585 Shares                 X                  1        500      0     85
CONSOLIDATED
GRAPHIC        COMMON STOCK   209341106        552    11200 Shares                 X                  3      11200      0      0
CONSOLIDATED-
TOMOKA LAND CO COMMON STOCK   210226106         13      300 Shares                 X                  1        300      0      0
CONSTELLATION
BRANDS         CLASS A        21036P108         38     1922 Shares                 X                  1       1922      0      0
CONSTELLATION
BRANDS         CLASS A        21036P108        957    38200 Shares                 X                  2      38200      0      0
CONSTELLATION
BRANDS         CLASS A        21036P108         34     1700 Shares                 X                  3       1700      0      0
CONSTELLATION
BRANDS         CLASS A        21036P108         15      770 Shares                          X         1        770      0      0
CONSTELLATION
ENRGY          COMMON STOCK   210371100       4592    55928 Shares                 X                  1      55928      0      0
CONSTELLATION
ENRGY          COMMON STOCK   210371100        243     2964 Shares                 X                  3       2964      0      0
CONSTELLATION
ENRGY          COMMON STOCK   210371100       5420    66018 Shares                          X         1      61418      0   4600
CONVERGYS CORP COMMON STOCK   212485106         16     1100 Shares                 X                  3       1100      0      0
CON-WAY INC    COMMON STOCK   205944101         24      500 Shares                 X                  1        500      0      0
COOPER INDS
LTD            CLASS A        G24182100        103     2600 Shares                 X                  1       2600      0      0
COOPER INDS
LTD            CLASS A        G24182100         59     1500 Shares                 X                  3       1500      0      0
COOPER INDS
LTD            CLASS A        G24182100         79     2000 Shares                          X         1       2000      0      0
CORN PRODS
INTL INC COM   COMMON STOCK   219023108        220     4488 Shares                          X         1       4488      0      0
CORNING
INCORPORATED   COMMON STOCK   219350105       3877   168181 Shares                 X                  1     165403      0   2778
CORNING
INCORPORATED   COMMON STOCK   219350105       1194    51450 Shares                 X                  2       8450      0  43000
CORNING
INCORPORATED   COMMON STOCK   219350105        632    27419 Shares                 X                  3      25255      0   2164
CORNING
INCORPORATED   COMMON STOCK   219350105          7      300 Shares                 X                  4        300      0      0
CORNING
INCORPORATED   COMMON STOCK   219350105       1163    50440 Shares                          X         1      40830      0   9610
CORTEX
PHARMACEUTI-
CALS INC       COMMON STOCK   220524300          1     1390 Shares                          X         1       1390      0      0
COSTCO WHSL
CORP           COMMON STOCK   22160K105        628     8960 Shares                 X                  1       8960      0      0
COSTCO WHSL
CORP           COMMON STOCK   22160K105        330     4700 Shares                 X                  2          0      0   4700
COSTCO WHSL
CORP           COMMON STOCK   22160K105        277     3940 Shares                 X                  3       3940      0      0
COSTCO WHSL
CORP           COMMON STOCK   22160K105        382     5450 Shares                          X         1       5450      0      0
COUNTRYWIDE
FINL           COMMON STOCK   222372104         23     5300 Shares                 X                  1       4800      0    500
COUNTRYWIDE
FINL           COMMON STOCK   222372104         22     5100 Shares                 X                  3       5100      0      0


                                   16 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
COUNTRYWIDE
FINL           COMMON STOCK    222372104         14     3249 Shares                          X         1          0      0   3249
COVANCE INC
COM            COMMON STOCK    222816100        143     1666 Shares                 X                  1       1617      0     49
COVANCE INC
COM            COMMON STOCK    222816100        110     1283 Shares                          X         1       1283      0      0
COVENTRY
HEALTH CARE
INCORPORATED   COMMON STOCK    222862104         21      700 Shares                 X                  1        700      0      0
COVENTRY
HEALTH CARE
INCORPORATED   COMMON STOCK    222862104       5330   152850 Shares                 X                  2      68500      0  84350
COVENTRY
HEALTH CARE
INCORPORATED   COMMON STOCK    222862104         44     1450 Shares                 X                  3       1450      0      0
COVENTRY
HEALTH CARE
INCORPORATED   COMMON STOCK    222862104          3      100 Shares                          X         1        100      0      0
COVIDIEN LTD   COMMON STOCK    G2552X108        313     6531 Shares                 X                  1       4402      0   2129
COVIDIEN LTD   COMMON STOCK    G2552X108        563    11750 Shares                 X                  2          0      0  11750
COVIDIEN LTD   COMMON STOCK    G2552X108        208     4350 Shares                 X                  3       4350      0      0
COVIDIEN LTD   COMMON STOCK    G2552X108        212     4419 Shares                          X         1       3616      0    803
CPFL ENERGIA
SA - ADR       COMMON STOCK    126153105          7      100 Shares                 X                  1        100      0      0
CRANE CO       COMMON STOCK    224399105        347     9000 Shares                          X         1       9000      0      0
CRAY INC       COMMON STOCK    225223304          0       75 Shares                 X                  1         75      0      0
CREE RESEARCH
INC COM        COMMON STOCK    225447101         40     1750 Shares                          X         1          0      0   1750
CROCS INC      COMMON STOCK    227046109          2      200 Shares                 X                  1        200      0      0
CROSS TIMBERS
ROYALTY TRUST  COMMON STOCK    22757R109          0        1 Shares                 X                  1          0      0      0
CROSSTEX
ENERGY LP      COMMON STOCK    22765U102         34     1200 Shares                 X                  2          0      0   1200
CSX CORP       COMMON STOCK    126408103       1857    29569 Shares                 X                  1      29569      0      0
CSX CORP       COMMON STOCK    126408103         32      512 Shares                 X                  2          0      0    512
CSX CORP       COMMON STOCK    126408103        221     3525 Shares                 X                  3       3525      0      0
CSX CORP       COMMON STOCK    126408103       2077    33061 Shares                          X         1      23861      0   9200
CUISINE
SOLUTIONS INC  COMMON STOCK    229904107         54    25000 Shares                 X                  2          0      0  25000
CUMMINS INC    COMMON STOCK    231021106       2595    39612 Shares                 X                  1      37621      0   1991
CUMMINS INC    COMMON STOCK    231021106       3211    49001 Shares                 X                  3      47698      0   1303
CUMMINS INC    COMMON STOCK    231021106        163     2495 Shares                          X         1       1100      0   1395
CURTISS WRIGHT
CORP           COMMON STOCK    231561101         56     1262 Shares                 X                  1       1262      0      0
CURTISS WRIGHT
CORP           COMMON STOCK    231561101         33      728 Shares                 X                  2          0      0    728
CURTISS WRIGHT
CORP           COMMON STOCK    231561101         16      360 Shares                          X         1        360      0      0
CUTERA INC     COMMON STOCK    232109108          4      400 Shares                 X                  1        400      0      0
CV
THERAPEUTICS
INC            COMMON STOCK    126667104         25     3000 Shares                 X                  1       3000      0      0
CVS CAREMARK
CORP           COMMON STOCK    126650100       6790   171597 Shares                 X                  1     166797      0   4800
CVS CAREMARK
CORP           COMMON STOCK    126650100        795    20098 Shares                 X                  2          0      0  20098
CVS CAREMARK
CORP           COMMON STOCK    126650100       1909    48232 Shares                 X                  3      48232      0      0
CVS CAREMARK
CORP           COMMON STOCK    126650100       2056    51960 Shares                          X         1      47500      0   4460
CYMER INC      COMMON STOCK    232572107          8      300 Shares                 X                  2          0      0    300
CYMER INC      COMMON STOCK    232572107          4      160 Shares                 X                  3        160      0      0
CYTEC
INDUSTRIES INC
COM            COMMON STOCK    232820100         16      300 Shares                 X                  1        300      0      0
D R HORTON INC COMMON STOCK    23331A109         29     2700 Shares                 X                  3       2700      0      0
D R HORTON INC COMMON STOCK    23331A109          5      480 Shares                          X         1        480      0      0
D&E
COMMUNICATIONS
INC            COMMON STOCK    232860106          3      300 Shares                 X                  1        300      0      0
DAIMLER AG     COMMON STOCK    D1668R123         78     1259 Shares                 X                  1       1259      0      0
DAIMLER AG     COMMON STOCK    D1668R123          8      124 Shares                 X                  2          0      0    124
DAIMLER AG     COMMON STOCK    D1668R123         38      624 Shares                          X         1        124      0    500
DAKTRONICS INC COMMON STOCK    234264109          4      200 Shares                 X                  1        200      0      0
DANAHER
CORPORATION    COMMON STOCK    235851102       1062    13737 Shares                 X                  1      13737      0      0
DANAHER
CORPORATION    COMMON STOCK    235851102       6590    85785 Shares                 X                  2      32705      0  53080
DANAHER
CORPORATION    COMMON STOCK    235851102        174     2250 Shares                 X                  3       2250      0      0
DANAHER
CORPORATION    COMMON STOCK    235851102        140     1806 Shares                          X         1       1236      0    570
DARDEN
RESTAURANT     COMMON STOCK    237194105        674    21098 Shares                 X                  1      21098      0      0


                                    17 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- ------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
DARDEN
RESTAURANT     COMMON STOCK    237194105         39     1225 Shares                 X                  3       1225      0      0
DARDEN
RESTAURANT     COMMON STOCK    237194105        192     6025 Shares                          X         1       6025      0      0
DARLING
INTL INC       COMMON STOCK    237266101         51     3100 Shares                 X                  1       3100      0      0
DARLING
INTL INC       COMMON STOCK    237266101       1177    71300 Shares                 X                  3      71300      0      0
DATA DOMAIN
INC            COMMON STOCK    23767P109          1       30 Shares                 X                  1          0      0     30
DAVITA INC
WITH ATTACHED
RIGHT          COMMON STOCK    23918K108         24      450 Shares                 X                  1        450      0      0
DAVITA INC
WITH ATTACHED
RIGHT          COMMON STOCK    23918K108          8      150 Shares                          X         1          0      0    150
DAWSON
GEOPHYSICAL    COMMON STOCK    239359102         48      800 Shares                 X                  1        800      0      0
DAWSON
GEOPHYSICAL    COMMON STOCK    239359102       1029    17300 Shares                 X                  3      17300      0      0
DCP MIDSTREAM
PARTNERS LP    COMMON STOCK    23311P100         29     1000 Shares                 X                  2          0      0   1000
DEAN FOODS CO
NEW            COMMON STOCK    242370104         29     1500 Shares                 X                  3       1500      0      0
DECKERS
OUTDOOR CORP   COMMON STOCK    243537107          1        5 Shares                 X                  1          0      0      5
DEERE & CO     COMMON STOCK    244199105       2626    36402 Shares                 X                  1      35802      0    600
DEERE & CO     COMMON STOCK    244199105        443     6150 Shares                 X                  3       6150      0      0
DEERE & CO     COMMON STOCK    244199105        542     7510 Shares                          X         1       6024      0   1486
DEL MONTE
FOODS CO       COMMON STOCK    24522P103          2      223 Shares                 X                  1        223      0      0
DEL MONTE
FOODS CO       COMMON STOCK    24522P103         12     1736 Shares                          X         1       1736      0      0
DELHAIZE GROUP
SPONSORED ADR  COMMON STOCK    29759W101          7      100 Shares                 X                  1        100      0      0
DELL INC       COMMON STOCK    24702R101       1328    60699 Shares                 X                  1      60699      0      0
DELL INC       COMMON STOCK    24702R101          2      100 Shares                 X                  2          0      0    100
DELL INC       COMMON STOCK    24702R101       1003    45822 Shares                 X                  3      45822      0      0
DELL INC       COMMON STOCK    24702R101        428    19560 Shares                          X         1      16695      0   2865
DELTA
PETROLEUM CORP COMMON STOCK    247907207        498    19500 Shares                          X         1      19500      0      0
DENBURY RES
INC            COMMON STOCK    247916208        430    11778 Shares                 X                  1      11266      0    512
DENBURY RES
INC            COMMON STOCK    247916208       1135    31100 Shares                 X                  3      31100      0      0
DENTSPLY INTL
INC            COMMON STOCK    249030107       2059    55955 Shares                 X                  1      55403      0    552
DENTSPLY INTL
INC            COMMON STOCK    249030107       1439    39070 Shares                 X                  3      39070      0      0
DENTSPLY INTL
INC            COMMON STOCK    249030107        403    10940 Shares                          X         1      10940      0      0
DEUTSCHE
TELEKOM AG
SPONSORED      COMMON STOCK    251566105         74     4505 Shares                 X                  1       4505      0      0
DEV
DIVERSIFIED
RLTY CORP      COMMON STOCK    251591103        105     3031 Shares                 X                  1          0      0      0
DEV
DIVERSIFIED
RLTY CORP      COMMON STOCK    251591103         38     1100 Shares                 X                  3       1100      0      0
DEV
DIVERSIFIED
RLTY CORP      COMMON STOCK    251591103         21      600 Shares                          X         1          0      0      0
DEVON ENERGY
CORP           COMMON STOCK    25179M103       2627    21859 Shares                 X                  1      21471      0    388
DEVON ENERGY
CORP           COMMON STOCK    25179M103        120     1000 Shares                 X                  2          0      0   1000
DEVON ENERGY
CORP           COMMON STOCK    25179M103       1635    13605 Shares                 X                  3      13605      0      0
DEVON ENERGY
CORP           COMMON STOCK    25179M103        556     4630 Shares                          X         1       3120      0   1510
DEVRY INC      COMMON STOCK    251893103         28      515 Shares                 X                  1        500      0     15
DIAGEO PLC
SPONSORED ADR  COMMON STOCK    25243Q205        376     5096 Shares                 X                  1       5096      0      0
DIAGEO PLC
SPONSORED ADR  COMMON STOCK    25243Q205         37      500 Shares                 X                  3        500      0      0
DIAMOND
OFFSHORE
DRILLING COM   COMMON STOCK    25271C102          7       50 Shares                 X                  1         50      0      0
DIAMOND
OFFSHORE
DRILLING COM   COMMON STOCK    25271C102          6       40 Shares                 X                  3         40      0      0
DIAMONDS TR
UNIT SER 1     COMMON STOCK    252787106        573     5050 Shares                 X                  1       5050      0      0
DIAMONDS TR
UNIT SER 1     COMMON STOCK    252787106        394     3470 Shares                 X                  2          0      0   3470
DIEBOLD INC    COMMON STOCK    253651103          3       90 Shares                 X                  1         90      0      0
DIEBOLD INC    COMMON STOCK    253651103         12      350 Shares                          X         1        350      0      0
DIGITAL RLTY
TR INC         COMMON STOCK    253868103         81     1980 Shares                 X                  1          0      0      0
DIGITAL RLTY
TR INC         COMMON STOCK    253868103       1502    36700 Shares                 X                  3      36700      0      0
DILLARDS INC   CLASS A         254067101          7      600 Shares                 X                  3        600      0      0
DIODES
INCORPORATED   COMMON STOCK    254543101          0       15 Shares                 X                  1          0      0     15
DIONEX CORP    COMMON STOCK    254546104        923    13900 Shares                 X                  2          0      0  13900


                                   18 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
DIRECTV GROUP
INC            COMMON STOCK    25459L106         22      837 Shares                 X                  1        788      0     49
DIRECTV GROUP
INC            COMMON STOCK    25459L106        168     6480 Shares                 X                  3       6480      0      0
DIRECTV GROUP
INC            COMMON STOCK    25459L106         38     1448 Shares                          X         1       1448      0      0
DISCOVER FINL
SVCS           COMMON STOCK    254709108         57     4306 Shares                 X                  1       4306      0      0
DISCOVER FINL
SVCS           COMMON STOCK    254709108         58     4400 Shares                 X                  3       4400      0      0
DISCOVER FINL
SVCS           COMMON STOCK    254709108         17     1289 Shares                          X         1       1133      0    156
DISCOVERY
HOLDING CO     COMMON STOCK    25468Y206         42     1872 Shares                          X         1       1872      0      0
DISCOVERY
HOLDING CO-A   COMMON STOCK    25468Y107         32     1468 Shares                 X                  1       1468      0      0
DISCOVERY
HOLDING CO-A   COMMON STOCK    25468Y107         54     2448 Shares                          X         1       2448      0      0
DISNEY WALT
COMPANY        COMMON STOCK    254687106       6852   219621 Shares                 X                  1     216643      0   2978
DISNEY WALT
COMPANY        COMMON STOCK    254687106        879    28138 Shares                 X                  2       7338      0  20800
DISNEY WALT
COMPANY        COMMON STOCK    254687106        802    25708 Shares                 X                  3      24263      0   1445
DISNEY WALT
COMPANY        COMMON STOCK    254687106         13      425 Shares                 X                  4        425      0      0
DISNEY WALT
COMPANY        COMMON STOCK    254687106       2888    92578 Shares                          X         1      86278      0   6300
DNP SELECT
INCOME FUND
INC            PREFERRED STOCK 23325P104         25     2428 Shares                 X                  1          0      0      0
DNP SELECT
INCOME FUND
INC            PREFERRED STOCK 23325P104         10     1000 Shares                          X         1          0      0      0
DOLBY
LABORATORIES
INC CL A       COMMON STOCK    25659T107         97     2400 Shares                 X                  2          0      0   2400
DOLLAR TREE
INC            COMMON STOCK    256746108         61     1861 Shares                          X         1       1861      0      0
DOMINION RES
INC VA         COMMON STOCK    25746U109       5161   108682 Shares                 X                  1     107107      0   1575
DOMINION RES
INC VA         COMMON STOCK    25746U109        190     4000 Shares                 X                  2          0      0   4000
DOMINION RES
INC VA         COMMON STOCK    25746U109        240     5050 Shares                 X                  3       5050      0      0
DOMINION RES
INC VA         COMMON STOCK    25746U109       3385    71274 Shares                          X         1      61838      0   9436
DOMINION
RESOURCES
BLACK WARRI    COMMON STOCK    25746Q108         57     2300 Shares                 X                  1       2300      0      0
DONEGAL GROUP
INC CL A       COMMON STOCK    257701201         27     1685 Shares                 X                  1       1685      0      0
DONEGAL GROUP
INC CL B       COMMON STOCK    257701300         15      842 Shares                 X                  1        842      0      0
DONNELLEY R R
& SONS         COMMON STOCK    257867101        122     4099 Shares                 X                  1       4099      0      0
DONNELLEY R R
& SONS         COMMON STOCK    257867101        127     4280 Shares                 X                  2          0      0   4280
DONNELLEY R R
& SONS         COMMON STOCK    257867101        133     4500 Shares                 X                  3       4500      0      0
DONNELLEY R R
& SONS         COMMON STOCK    257867101        121     4066 Shares                          X         1       4066      0      0
DOVER CORP     COMMON STOCK    260003108       1441    29800 Shares                 X                  1      29800      0      0
DOVER CORP     COMMON STOCK    260003108         89     1840 Shares                 X                  3       1840      0      0
DOVER CORP     COMMON STOCK    260003108       1267    26200 Shares                          X         1      26200      0      0
DOW CHEMICAL
COMPANY        COMMON STOCK    260543103       4695   134493 Shares                 X                  1     129018      0   5475
DOW CHEMICAL
COMPANY        COMMON STOCK    260543103       3218    90225 Shares                 X                  2      35175      0  55050
DOW CHEMICAL
COMPANY        COMMON STOCK    260543103        734    21015 Shares                 X                  3      21015      0      0
DOW CHEMICAL
COMPANY        COMMON STOCK    260543103       2525    72333 Shares                          X         1      71533      0    800
DPL INC        COMMON STOCK    233293109        112     4255 Shares                 X                  1       4255      0      0
DPL INC        COMMON STOCK    233293109         26      968 Shares                          X         1        968      0      0
DR PEPPER
SNAPPLE GROUP
INC            COMMON STOCK    26138E109          1       27 Shares                 X                  1         27      0      0
DR REDDYS
LABS LTD ADR   COMMON STOCK    256135203         16     1000 Shares                 X                  1       1000      0      0
DRESS BARN INC COMMON STOCK    261570105         23     1730 Shares                 X                  1       1700      0     30
DRESS BARN INC COMMON STOCK    261570105        450    33600 Shares                 X                  3      33600      0      0
DREYFUS
MUNICIPAL
INCOME FUND    PREFERRED STOCK 26201R102         61     7200 Shares                          X         1          0      0      0
DREYFUS
STRATEGIC MUN
BD FD          PREFERRED STOCK 26202F107        209    27602 Shares                 X                  1          0      0      0
DREYFUS
STRATEGIC
MUN BD FD      PREFERRED STOCK 26202F107         53     7000 Shares                          X         1          0      0      0
DRIL-QUIP INC  COMMON STOCK    262037104         55      870 Shares                 X                  1        800      0     70
DRIL-QUIP INC  COMMON STOCK    262037104       1090    17300 Shares                 X                  3      17300      0      0
DRS
TECHNOLOGIES
INC            COMMON STOCK    23330X100        472     6000 Shares                 X                  2          0      0   6000
DRYSHIPS INC   COMMON STOCK    Y2109Q101         65      810 Shares                 X                  1        800      0     10
DRYSHIPS INC   COMMON STOCK    Y2109Q101       1171    14600 Shares                 X                  3      14600      0      0


                                    19 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
DTE ENERGY CO  COMMON STOCK    233331107        304     7162 Shares                 X                  1       7162      0      0
DTE ENERGY CO  COMMON STOCK    233331107         74     1745 Shares                 X                  3       1745      0      0
DTE ENERGY CO  COMMON STOCK    233331107        258     6079 Shares                          X         1       4568      0   1511
DU PONT E I DE
NEMOURS &
COMPANY        COMMON STOCK    263534109       6238   145442 Shares                 X                  1     144192      0   1250
DU PONT E I DE
NEMOURS &
COMPANY        COMMON STOCK    263534109       1491    33336 Shares                 X                  2      15936      0  17400
DU PONT E I DE
NEMOURS &
COMPANY        COMMON STOCK    263534109        408     9500 Shares                 X                  3       9500      0      0
DU PONT E I DE
NEMOURS &
COMPANY        COMMON STOCK    263534109          4      100 Shares                 X                  4        100      0      0
DU PONT E I DE
NEMOURS &
COMPANY        COMMON STOCK    263534109       6769   157817 Shares                          X         1     153717      0   4100
DUKE ENERGY
CORP           COMMON STOCK    26441C105        838    48219 Shares                 X                  1      41219      0   7000
DUKE ENERGY
CORP           COMMON STOCK    26441C105        287    16492 Shares                 X                  3      16492      0      0
DUKE ENERGY
CORP           COMMON STOCK    26441C105        588    33811 Shares                          X         1      32311      0   1500
DUKE REALTY
CORP           COMMON STOCK    264411505         30     1350 Shares                 X                  1          0      0      0
DUKE REALTY
CORP           COMMON STOCK    264411505        196     8747 Shares                 X                  2          0      0      0
DUKE REALTY
CORP           COMMON STOCK    264411505         76     3400 Shares                          X         1          0      0      0
DUN &
BRADSTREET
CORP           COMMON STOCK    26483E100         58      662 Shares                 X                  1        474      0    188
DUN &
BRADSTREET
CORP           COMMON STOCK    26483E100         53      600 Shares                          X         1        600      0      0
DWS MUNICIPAL
INCOME TRUST   PREFERRED STOCK 23338M106         14     1400 Shares                          X         1          0      0      0
DWS STRATEGIC
MUNICIPAL
INCOME         PREFERRED STOCK 23338T101         17     1500 Shares                 X                  1          0      0      0
DYNEGY INC     CLASS A         26817G102         32     3800 Shares                 X                  3       3800      0      0
E M C
CORPORATION
MASSACHUSETTS  COMMON STOCK    268648102       6002   408559 Shares                 X                  1     404543      0   4016
E M C
CORPORATION
MASSACHUSETTS  COMMON STOCK    268648102       8759   601434 Shares                 X                  2     218334      0 383100
E M C
CORPORATION
MASSACHUSETTS  COMMON STOCK    268648102       2744   186836 Shares                 X                  3     182983      0   3853
E M C
CORPORATION
MASSACHUSETTS  COMMON STOCK    268648102        932    63455 Shares                          X         1      56010      0   7445
E TRADE FINL
CORP           COMMON STOCK    269246104         12     3700 Shares                 X                  3       3700      0      0
EAGLE BANCORP
INC MD         COMMON STOCK    268948106        735    79481 Shares                 X                  2          0      0  79481
EAGLE BULK
SHIPPING INC   COMMON STOCK    Y2187A101         30     1000 Shares                 X                  1       1000      0      0
EAGLE
MATERIALS INC
COM W RIGH     COMMON STOCK    26969P108          9      345 Shares                 X                  1        345      0      0
EARTHLINK INC  COMMON STOCK    270321102        870   100540 Shares                 X                  3     100540      0      0
EAST WEST
BANCORP INC    COMMON STOCK    27579R104         71    10000 Shares                 X                  2          0      0  10000
EASTGROUP
PROPERTIES
INCORPORATED   COMMON STOCK    277276101       3200    74050 Shares                 X                  2       6500      0      0
EASTMAN CHEM
CO             COMMON STOCK    277432100         78     1127 Shares                 X                  1       1127      0      0
EASTMAN CHEM
CO             COMMON STOCK    277432100         48      700 Shares                 X                  3        700      0      0
EASTMAN CHEM
CO             COMMON STOCK    277432100         60      872 Shares                          X         1        372      0    500
EASTMAN KODAK
CO             COMMON STOCK    277461109         22     1520 Shares                 X                  1       1520      0      0
EASTMAN KODAK
CO             COMMON STOCK    277461109         39     2700 Shares                 X                  3       2700      0      0
EASTMAN KODAK
CO             COMMON STOCK    277461109         56     3859 Shares                          X         1       3859      0      0
EATON CORP     COMMON STOCK    278058102        661     7778 Shares                 X                  1       7778      0      0
EATON CORP     COMMON STOCK    278058102        119     1400 Shares                 X                  3       1400      0      0
EATON CORP     COMMON STOCK    278058102         51      600 Shares                          X         1        600      0      0
EATON VANCE
CORP           COMMON NON VTG  278265103        294     7390 Shares                 X                  1       7075      0    315
EATON VANCE
CORP           COMMON NON VTG  278265103        775    19500 Shares                 X                  3      19500      0      0
EATON VANCE
MUNICIPAL
INCOME T       PREFERRED STOCK 27826U108         66     5000 Shares                          X         1          0      0      0
EATON VANCE
PA MUNI INC TR PREFERRED STOCK 27826T101        123    10000 Shares                          X         1          0      0      0
EATON VANCE SR
FLOATING
RATE F         PREFERRED STOCK 27828Q105         34     2400 Shares                 X                  1          0      0      0
EATON VANCE
TAX-ADVANTAGED
DVD            PREFERRED STOCK 27828G107         29     1250 Shares                 X                  1          0      0      0
EATON VANCE
TAX-ADVANTAGED
DVD            PREFERRED STOCK 27828G107        148     6400 Shares                          X         1          0      0      0
EBAY INC       COMMON STOCK    278642103        848    31031 Shares                 X                  1      31031      0      0
EBAY INC       COMMON STOCK    278642103        269     9840 Shares                 X                  3       9840      0      0
EBAY INC       COMMON STOCK    278642103         80     2939 Shares                          X         1       2939      0      0
ECOLAB INC     COMMON STOCK    278865100       1131    26300 Shares                 X                  1      26300      0      0


                                    20 of 66







                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
ECOLAB INC     COMMON STOCK    278865100         64     1500 Shares                 X                  3       1500      0      0
ECOLAB INC     COMMON STOCK    278865100         80     1850 Shares                          X         1       1850      0      0
EDISON INTL    COMMON STOCK    281020107         38      742 Shares                 X                  1        742      0      0
EDISON INTL    COMMON STOCK    281020107        149     2900 Shares                 X                  3       2900      0      0
EDWARDS
LIFESCIENCES
CORP COM       COMMON STOCK    28176E108        122     1970 Shares                 X                  1       1970      0      0
EDWARDS
LIFESCIENCES
CORP COM       COMMON STOCK    28176E108        106     1714 Shares                          X         1       1114      0    600
EFJ
INCORPORATED   COMMON STOCK    26843B101         88    50000 Shares                 X                  2          0      0  50000
EL PASO
CORPORATION    COMMON STOCK    28336L109         52     2411 Shares                 X                  1       2411      0      0
EL PASO
CORPORATION    COMMON STOCK    28336L109        326    15000 Shares                 X                  2          0      0  15000
EL PASO
CORPORATION    COMMON STOCK    28336L109        135     6200 Shares                 X                  3       6200      0      0
EL PASO
CORPORATION    COMMON STOCK    28336L109         88     4048 Shares                          X         1       4048      0      0
ELDORADO GOLD
CORP           COMMON STOCK    284902103         74     8500 Shares                 X                  1       8500      0      0
ELDORADO GOLD
CORP           COMMON STOCK    284902103       1569   181300 Shares                 X                  3     181300      0      0
ELECTRONIC
ARTS           COMMON STOCK    285512109       2727    61382 Shares                 X                  1      60697      0    685
ELECTRONIC
ARTS           COMMON STOCK    285512109        506    11384 Shares                 X                  3       9950      0   1434
ELECTRONIC
ARTS           COMMON STOCK    285512109        323     7280 Shares                          X         1       7280      0      0
ELECTRONIC
DATA SYS       COMMON STOCK    285661104         18      740 Shares                 X                  1        740      0      0
ELECTRONIC
DATA SYS       COMMON STOCK    285661104        108     4375 Shares                 X                  3       4375      0      0
ELECTRONIC
DATA SYS       COMMON STOCK    285661104         10      408 Shares                          X         1        408      0      0
ELECTRONICS
FOR IMAGING
INC CO         COMMON STOCK    286082102         22     1520 Shares                 X                  1       1475      0     45
ELECTRONICS
FOR IMAGING
INC CO         COMMON STOCK    286082102          7      500 Shares                          X         1          0      0    500
ELI LILLY & CO COMMON STOCK    532457108       3836    83110 Shares                 X                  1      82204      0    906
ELI LILLY & CO COMMON STOCK    532457108        373     8083 Shares                 X                  2          0      0   8083
ELI LILLY & CO COMMON STOCK    532457108       1798    38976 Shares                 X                  3      37544      0   1432
ELI LILLY & CO COMMON STOCK    532457108          5      100 Shares                 X                  4        100      0      0
ELI LILLY & CO COMMON STOCK    532457108       4515    97818 Shares                          X         1      95573   1600    645
EMBARQ
CORPORATION    COMMON STOCK    29078E105          3       65 Shares                 X                  1          0      0     65
EMBARQ
CORPORATION    COMMON STOCK    29078E105         66     1400 Shares                 X                  3       1400      0      0
EMBARQ
CORPORATION    COMMON STOCK    29078E105         24      516 Shares                          X         1        516      0      0
EMERSON
ELECTRIC
COMPANY        COMMON STOCK    291011104      10801   218431 Shares                 X                  1     216097      0   2334
EMERSON
ELECTRIC
COMPANY        COMMON STOCK    291011104       3938    78810 Shares                 X                  2      20500      0  58310
EMERSON
ELECTRIC
COMPANY        COMMON STOCK    291011104       3208    64890 Shares                 X                  3      62703      0   2187
EMERSON
ELECTRIC
COMPANY        COMMON STOCK    291011104       5733   115938 Shares                          X         1     102158      0  13780
ENBRIDGE
ENERGY
PTNR           COMMON STOCK    29250R106         20      400 Shares                 X                  1        400      0      0
ENCANA CORP    COMMON STOCK    292505104         55      600 Shares                 X                  1        600      0      0
ENCANA CORP    COMMON STOCK    292505104         91     1000 Shares                 X                  2          0      0   1000
ENDEAVOUR
INTERNATIONAL
CORP           COMMON STOCK    29259G101          2     1000 Shares                          X         1       1000      0      0
ENDO
PHARMACEUTI-
CALS HLDGS INC COMMON STOCK    29264F205          8      330 Shares                 X                  3        330      0      0
ENDURANCE
SPECIALTY
HOLDINGS L     COMMON STOCK    G30397106          4      120 Shares                 X                  3        120      0      0
ENERGEN CORP   COMMON STOCK    29265N108         36      465 Shares                 X                  1        465      0      0
ENERGIZER
HLDGS INC COM  COMMON STOCK    29266R108         95     1300 Shares                 X                  1       1300      0      0
ENERGIZER
HLDGS INC COM  COMMON STOCK    29266R108          7      100 Shares                          X         1        100      0      0
ENERGY CONV
DEVICES        COMMON STOCK    292659109         49      660 Shares                 X                  1        600      0     60
ENERGY CONV
DEVICES        COMMON STOCK    292659109        936    12700 Shares                 X                  3      12700      0      0
ENERGY CONV
DEVICES        COMMON STOCK    292659109         15      200 Shares                          X         1        200      0      0
ENERGY EAST
CORP COM       COMMON STOCK    29266M109        127     5122 Shares                 X                  1       5122      0      0
ENERGY EAST
CORP COM       COMMON STOCK    29266M109        148     6000 Shares                 X                  2          0      0   6000
ENERGY EAST
CORP COM       COMMON STOCK    29266M109        198     8003 Shares                          X         1       7313    490    200
ENERGY SELECT
SECTOR SPDR FD PREFERRED STOCK 81369Y506         18      200 Shares                 X                  1          0      0      0
ENERGY SELECT
SECTOR SPDR FD PREFERRED STOCK 81369Y506         44      500 Shares                 X                  2          0      0      0


                                    21 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
ENERGY SELECT
SECTOR SPDR FD PREFERRED STOCK 81369Y506         14      160 Shares                          X         1          0      0      0
ENERGY
TRANSFER
EQUITY LP      COMMON STOCK    29273V100         32     1100 Shares                 X                  2          0      0   1100
ENERGY
TRANSFER
PARTNERS LP    COMMON STOCK    29273R109         74     1700 Shares                 X                  2          0      0   1700
ENERGY
TRANSFER
PARTNERS LP    COMMON STOCK    29273R109         43     1000 Shares                          X         1       1000      0      0
ENERGYSOLUT-
IONS INC       COMMON STOCK    292756202         47     2100 Shares                 X                  1       2100      0      0
ENERGYSOLUT-
IONS INC       COMMON STOCK    292756202       1265    56600 Shares                 X                  3      56600      0      0
ENERPLUS
RESOURCES FUND COMMON STOCK    29274D604         42      900 Shares                 X                  1        900      0      0
ENERPLUS
RESOURCES FUND COMMON STOCK    29274D604        125     2705 Shares                          X         1       2705      0      0
ENI SPA-SPONS
ADR            COMMON STOCK    26874R108          1       14 Shares                 X                  1         14      0      0
ENI SPA-SPONS
ADR            COMMON STOCK    26874R108         16      212 Shares                 X                  2          0      0    212
ENSCO INTL INC COMMON STOCK    26874Q100       9280   114932 Shares                 X                  1     111041      0   3891
ENSCO INTL INC COMMON STOCK    26874Q100       2914    36095 Shares                 X                  3      33987      0   2108
ENSCO INTL INC COMMON STOCK    26874Q100       1207    14945 Shares                          X         1      12325      0   2620
ENTERGY CORP   COMMON STOCK    29364G103        190     1574 Shares                 X                  1       1574      0      0
ENTERGY CORP   COMMON STOCK    29364G103        199     1650 Shares                 X                  3       1650      0      0
ENTERGY CORP   COMMON STOCK    29364G103        235     1953 Shares                          X         1       1953      0      0
ENTERPRISE GP
HOLDINGS LP    COMMON STOCK    293716106         30     1000 Shares                 X                  2          0      0   1000
ENTERPRISE
PRODUCTS
PARTNERS L.P.  COMMON STOCK    293792107         59     1985 Shares                 X                  1       1985      0      0
ENTERPRISE
PRODUCTS
PARTNERS L.P.  COMMON STOCK    293792107       3947   133485 Shares                 X                  2      27685      0 105800
ENTERPRISE
PRODUCTS
PARTNERS L.P.  COMMON STOCK    293792107         78     2632 Shares                          X         1       2632      0      0
ENVIRONMENTAL
POWER CORP     COMMON STOCK    29406L201          0      100 Shares                 X                  1        100      0      0
EOG RESOURCES
INC            COMMON STOCK    26875P101       4943    37675 Shares                 X                  1      36916      0    759
EOG RESOURCES
INC            COMMON STOCK    26875P101       3405    25956 Shares                 X                  3      24734      0   1222
EOG RESOURCES
INC            COMMON STOCK    26875P101        592     4510 Shares                          X         1       3140      0   1370
EP MEDSYSTEMS
INC COM        COMMON STOCK    26881P103         75    25000 Shares                 X                  2          0      0  25000
EQUIFAX INC    COMMON STOCK    294429105         44     1300 Shares                 X                  3       1300      0      0
EQUIFAX INC    COMMON STOCK    294429105         78     2316 Shares                          X         1       2316      0      0
EQUINIX INC    COMMON STOCK    29444U502          0        5 Shares                 X                  1          0      0      5
EQUITABLE
RESOURCES INC  COMMON STOCK    294549100       1088    15750 Shares                 X                  1      15750      0      0
EQUITABLE
RESOURCES INC  COMMON STOCK    294549100        345     5000 Shares                          X         1       5000      0      0
EQUITY INCOME
FUND-AT&T
SHARES         OTHER           294700703         61      600 Shares                          X         1          0      0      0
EQUITY ONE
INCORPORATED   COMMON STOCK    294752100         16      800 Shares                 X                  1          0      0      0
EQUITY
RESIDENTIAL
(REIT)         COMMON STOCK    29476L107         10      250 Shares                 X                  1          0      0      0
EQUITY
RESIDENTIAL
(REIT)         COMMON STOCK    29476L107         10      250 Shares                 X                  2          0      0      0
EQUITY
RESIDENTIAL
(REIT)         COMMON STOCK    29476L107         92     2400 Shares                 X                  3       2400      0      0
EQUITY
RESIDENTIAL
(REIT)         COMMON STOCK    29476L107        149     3900 Shares                          X         1          0      0      0
ERIE INDEMNITY
CO CL A        COMMON STOCK    29530P102       4961   107500 Shares                 X                  1     107500      0      0
ESMARK
INCORPORATED   COMMON STOCK    296475106          5      245 Shares                 X                  1        245      0      0
ESTEE LAUDER
CO             CLASS A         518439104       5177   111456 Shares                 X                  1     105388      0   6068
ESTEE LAUDER
CO             CLASS A         518439104        916    19739 Shares                 X                  3      16910      0   2829
ESTEE LAUDER
CO             CLASS A         518439104        401     8630 Shares                          X         1       6040      0   2590
EV ENERGY
PARTNER LP     COMMON STOCK    26926V107         35     1200 Shares                 X                  2          0      0   1200
EVEREST RE
GROUP LTD COM  COMMON STOCK    G3223R108          2       23 Shares                 X                  1         23      0      0
EVERGREEN
ENERGY INC     COMMON STOCK    30024B104         35    20000 Shares                 X                  2          0      0  20000
EVERGREEN
INCOME ADV FD  PREFERRED STOCK 30023Y105         21     2000 Shares                 X                  1          0      0      0
EVERGREEN
SOLAR INC      COMMON STOCK    30033R108         37     3800 Shares                 X                  1       3800      0      0
EVERGREEN
SOLAR INC      COMMON STOCK    30033R108       1027   106000 Shares                 X                  3     106000      0      0
EXELON CORP    COMMON STOCK    30161N101       6539    72692 Shares                 X                  1      71842      0    850
EXELON CORP    COMMON STOCK    30161N101        513     5700 Shares                 X                  3       5700      0      0
EXELON CORP    COMMON STOCK    30161N101       2095    23291 Shares                          X         1      22941      0    350


                                    22 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
EXPEDIA INC    COMMON STOCK    30212P105         33     1800 Shares                 X                  3       1800      0      0
EXPEDIA INC    COMMON STOCK    30212P105          6      300 Shares                          X         1        300      0      0
EXPEDITORS
INTL WASH      COMMON STOCK    302130109        813    18914 Shares                 X                  1      18507      0    407
EXPEDITORS
INTL WASH      COMMON STOCK    302130109        194     4500 Shares                 X                  2          0      0   4500
EXPEDITORS
INTL WASH      COMMON STOCK    302130109       1224    28450 Shares                 X                  3      28450      0      0
EXPRESS
SCRIPTS INC    COMMON STOCK    302182100      14281   227691 Shares                 X                  1     222504      0   5187
EXPRESS
SCRIPTS INC    COMMON STOCK    302182100       4398    70125 Shares                 X                  3      67784      0   2341
EXPRESS
SCRIPTS INC    COMMON STOCK    302182100       3371    53741 Shares                          X         1      50551      0   3190
EXPRESS-1
EXPEDITED
SOLUTIONS      COMMON STOCK    30217Q108          1      800 Shares                 X                  1        800      0      0
EXXON MOBIL
CORPORATION    COMMON STOCK    30231G102      98948  1122756 Shares                 X                  1    1107494      0  15262
EXXON MOBIL
CORPORATION    COMMON STOCK    30231G102       6253    71528 Shares                 X                  2      14538      0  56990
EXXON MOBIL
CORPORATION    COMMON STOCK    30231G102      23049   261532 Shares                 X                  3     256403      0   5129
EXXON MOBIL
CORPORATION    COMMON STOCK    30231G102         26      300 Shares                 X                  4        300      0      0
EXXON MOBIL
CORPORATION    COMMON STOCK    30231G102      78174   887032 Shares                          X         1     803353      0  83679
F5 NETWORKS
INC            COMMON STOCK    315616102       1159    40792 Shares                 X                  1      39821      0    971
F5 NETWORKS
INC            COMMON STOCK    315616102        820    28848 Shares                 X                  3      27241      0   1607
F5 NETWORKS
INC            COMMON STOCK    315616102         65     2285 Shares                          X         1       2285      0      0
FACTSET
RESEARCH
SYSTEMS INC    COMMON STOCK    303075105         51      900 Shares                          X         1        900      0      0
FAIRPOINT
COMMUNICATIONS
INC            COMMON STOCK    305560104         20     2779 Shares                 X                  1       2778      0      1
FAIRPOINT
COMMUNICATIONS
INC            COMMON STOCK    305560104          2      233 Shares                 X                  3        233      0      0
FAIRPOINT
COMMUNICATIONS
INC            COMMON STOCK    305560104         21     2847 Shares                          X         1       2746      0    101
FAMILY DOLLAR
STORES         COMMON STOCK    307000109          6      300 Shares                 X                  1        300      0      0
FAMILY DOLLAR
STORES         COMMON STOCK    307000109         25     1250 Shares                 X                  3       1250      0      0
FAMILY DOLLAR
STORES         COMMON STOCK    307000109         50     2497 Shares                          X         1       2497      0      0
FANNIE MAE -
FEDERAL
NATIONAL
MORTGAGE ASSOC COMMON STOCK    313586109       1279    65575 Shares                 X                  1      65075      0    500
FANNIE MAE -
FEDERAL
NATIONAL
MORTGAGE ASSOC COMMON STOCK    313586109        902    40400 Shares                 X                  2      16700      0  23700
FANNIE MAE -
FEDERAL
NATIONAL
MORTGAGE ASSOC COMMON STOCK    313586109        919    47100 Shares                 X                  3      45959      0   1141
FANNIE MAE -
FEDERAL
NATIONAL
MORTGAGE ASSOC COMMON STOCK    313586109        794    40675 Shares                          X         1      37110      0   3565
FASTENAL CO    COMMON STOCK    311900104        244     5651 Shares                 X                  1       5421      0    230
FASTENAL CO    COMMON STOCK    311900104        561    13000 Shares                 X                  2          0      0  13000
FASTENAL CO    COMMON STOCK    311900104        622    14400 Shares                 X                  3      14400      0      0
FASTENAL CO    COMMON STOCK    311900104         33      775 Shares                          X         1        775      0      0
FEDERAL REALTY
INV TR (REIT)  COMMON STOCK    313747206         69     1000 Shares                 X                  1          0      0      0
FEDERAL REALTY
INV TR (REIT)  COMMON STOCK    313747206         69     1000 Shares                 X                  2          0      0      0
FEDERAL SIGNAL
CORP           COMMON STOCK    313855108         12     1000 Shares                 X                  1       1000      0      0
FEDERATED INVS
INC            CLASS B         314211103         28      800 Shares                 X                  3        800      0      0
FEDEX
CORPORATION    COMMON STOCK    31428X106       1896    24059 Shares                 X                  1      22234      0   1825
FEDEX
CORPORATION    COMMON STOCK    31428X106        162     2050 Shares                 X                  2          0      0   2050
FEDEX
CORPORATION    COMMON STOCK    31428X106       1160    14714 Shares                 X                  3      14714      0      0
FEDEX
CORPORATION    COMMON STOCK    31428X106        270     3430 Shares                          X         1       2730      0    700
FERRELLGAS
PARTNERS LP    COMMON STOCK    315293100         28     1400 Shares                          X         1       1400      0      0
FIDELITY
NATIONAL
FINANCIAL -    COMMON STOCK    31620R105          5      374 Shares                 X                  1        374      0      0
FIDELITY
NATIONAL
FINANCIAL -    COMMON STOCK    31620R105         18     1441 Shares                 X                  2          0      0   1441
FIDELITY
NATIONAL
FINANCIAL -    COMMON STOCK    31620R105          9      735 Shares                          X         1        735      0      0
FIDELITY
NATL INFO      COMMON STOCK    31620M106        151     4084 Shares                 X                  1       3957      0    127
FIDELITY
NATL INFO      COMMON STOCK    31620M106        318     8641 Shares                 X                  3       8641      0      0
FIDELITY
NATL INFO      COMMON STOCK    31620M106         22      601 Shares                          X         1        601      0      0
FIFTH
THIRD BANCORP  COMMON STOCK    316773100        124    12146 Shares                 X                  1      12146      0      0
FIFTH
THIRD BANCORP  COMMON STOCK    316773100        700    68781 Shares                 X                  2          0      0  68781
FIFTH THIRD
BANCORP        COMMON STOCK    316773100         51     5000 Shares                 X                  3       5000      0      0


                                    23 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
FIFTH THIRD
BANCORP        COMMON STOCK    316773100         27     2637 Shares                          X         1       2637      0      0
FINANCIAL
SELECT SECTOR
SPDR F         PREFERRED STOCK 81369Y605         35     1720 Shares                 X                  3          0      0      0
FINANCIAL
SELECT SECTOR
SPDR F         PREFERRED STOCK 81369Y605          8      400 Shares                          X         1          0      0      0
FIRST HORIZON
NATL           COMMON STOCK    320517105         13     1700 Shares                 X                  3       1700      0      0
FIRST HORIZON
NATL           COMMON STOCK    320517105          1      100 Shares                          X         1        100      0      0
FIRST
INDUSTRIAL
REALTY TR (RE  COMMON STOCK    32054K103          9      317 Shares                 X                  1          0      0      0
FIRST
MARBLEHEAD
CORP           COMMON STOCK    320771108        439    85275 Shares                 X                  2      44875      0  40400
FIRST MARINER
BANCORP
INCORPOR       COMMON STOCK    320795107          9     3000 Shares                          X         1       3000      0      0
FIRST NIAGARA
FINANCIAL
GROUP          COMMON STOCK    33582V108         23     1762 Shares                 X                  1       1762      0      0
FIRST STATE
FINANCIAL
CORP FLO       COMMON STOCK    33708M206         20     3253 Shares                 X                  1       3253      0      0
FIRSTENERGY
CORP           COMMON STOCK    337932107        748     9086 Shares                 X                  1       9086      0      0
FIRSTENERGY
CORP           COMMON STOCK    337932107         99     1200 Shares                 X                  2          0      0   1200
FIRSTENERGY
CORP           COMMON STOCK    337932107        218     2650 Shares                 X                  3       2650      0      0
FIRSTENERGY
CORP           COMMON STOCK    337932107        167     2026 Shares                          X         1       2026      0      0
FISERV
INCORPORATED   COMMON STOCK    337738108         52     1145 Shares                 X                  1       1145      0      0
FISERV
INCORPORATED   COMMON STOCK    337738108       3099    67886 Shares                 X                  2       7286      0  60600
FISERV
INCORPORATED   COMMON STOCK    337738108         66     1450 Shares                 X                  3       1450      0      0
FISERV
INCORPORATED   COMMON STOCK    337738108         11      250 Shares                          X         1         50      0    200
FIVE STAR
QUALITY CARE
INC            COMMON STOCK    33832D106          0       10 Shares                          X         1          0      0     10
FLANDERS
CORPORATION    COMMON STOCK    338494107       3437   567973 Shares                 X                  2     233973      0 334000
FLEXIBLE
SOLUTIONS
INTERNATION    COMMON STOCK    33938T104          1      250 Shares                 X                  1        250      0      0
FLEXTRONICS
INTL LTD       COMMON STOCK    Y2573F102         90     9534 Shares                 X                  1       9534      0      0
FLEXTRONICS
INTL LTD       COMMON STOCK    Y2573F102         28     3000 Shares                          X         1       3000      0      0
FLIR SYSTEMS
INC            COMMON STOCK    302445101          2       40 Shares                 X                  1          0      0     40
FLOWERS FOODS
INC COM        COMMON STOCK    343498101        172     6085 Shares                 X                  2          0      0   6085
FLOWSERVE CORP
COM            COMMON STOCK    34354P105         83      605 Shares                 X                  1        600      0      5
FLUOR
CORPORATION    COMMON STOCK    343412102        712     3824 Shares                 X                  1       3824      0      0
FLUOR
CORPORATION    COMMON STOCK    343412102        149      800 Shares                 X                  3        800      0      0
FLUOR
CORPORATION    COMMON STOCK    343412102        330     1775 Shares                          X         1       1775      0      0
FMC
TECHNOLOGIES
INC            COMMON STOCK    30249U101        417     5415 Shares                 X                  1       5220      0    195
FMC
TECHNOLOGIES
INC            COMMON STOCK    30249U101        923    12000 Shares                 X                  3      12000      0      0
FNB CORP PA    COMMON STOCK    302520101         82     6987 Shares                 X                  1       6987      0      0
FNB CORP PA    COMMON STOCK    302520101        246    20921 Shares                          X         1      16014      0   4907
FOMENTO
ECONOMICO
MEXICANA ADR   COMMON STOCK    344419106          6      140 Shares                 X                  3        140      0      0
FOOT LOCKER
INC            COMMON STOCK    344849104         80     6400 Shares                 X                  3       6400      0      0
FORD MOTOR
COMPANY        COMMON STOCK    345370860         63    13085 Shares                 X                  1      13085      0      0
FORD MOTOR
COMPANY        COMMON STOCK    345370860        162    14283 Shares                 X                  2      14283      0      0
FORD MOTOR
COMPANY        COMMON STOCK    345370860         93    19438 Shares                 X                  3      19438      0      0
FORD MOTOR
COMPANY        COMMON STOCK    345370860         25     5110 Shares                          X         1       2550      0   2560
FORDING
CANADIAN COAL
TRUST          COMMON STOCK    345425102        755     7900 Shares                 X                  1       7900      0      0
FORDING
CANADIAN COAL
TRUST          COMMON STOCK    345425102        751     7850 Shares                          X         1       7850      0      0
FOREST CITY
ENTERPRISES
INC            COMMON STOCK    345550107         32     1000 Shares                 X                  2          0      0   1000
FOREST LABS
INC            COMMON STOCK    345838106         61     1751 Shares                 X                  1       1751      0      0
FOREST LABS
INC            COMMON STOCK    345838106         97     2800 Shares                 X                  3       2800      0      0
FOREST LABS
INC            COMMON STOCK    345838106         18      510 Shares                          X         1        510      0      0
FOREST OIL
CORP           COMMON STOCK    346091705         37      500 Shares                 X                  1        500      0      0
FORESTAR REAL
ESTATE GROUP   COMMON STOCK    346233109          1       42 Shares                 X                  1         42      0      0
FORESTAR REAL
ESTATE GROUP   COMMON STOCK    346233109          1       33 Shares                          X         1         33      0      0
FORMFACTOR INC COMMON STOCK    346375108         50     2720 Shares                 X                  1       2500      0    220
FORMFACTOR INC COMMON STOCK    346375108        875    47450 Shares                 X                  3      47450      0      0


                                    24 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
FORTUNE BRANDS
INC            COMMON STOCK    349631101        673    10778 Shares                 X                  1      10778      0      0
FORTUNE BRANDS
INC            COMMON STOCK    349631101         16      250 Shares                 X                  2          0      0    250
FORTUNE BRANDS
INC            COMMON STOCK    349631101         87     1400 Shares                 X                  3       1400      0      0
FORTUNE BRANDS
INC            COMMON STOCK    349631101        655    10489 Shares                          X         1       8382      0   2107
FOSSIL INC     COMMON STOCK    349882100         28      975 Shares                 X                  1        900      0     75
FOSSIL INC     COMMON STOCK    349882100        512    17600 Shares                 X                  3      17600      0      0
FOSTER WHEELER
LTD            COMMON STOCK    G36535139       7658   104689 Shares                 X                  1     103354      0   1335
FOSTER WHEELER
LTD            COMMON STOCK    G36535139       4061    55498 Shares                 X                  3      54034      0   1464
FOSTER WHEELER
LTD            COMMON STOCK    G36535139        451     6160 Shares                          X         1       5060      0   1100
FOUNDATION
COAL HLDG      COMMON STOCK    35039W100        115     1300 Shares                 X                  1       1300      0      0
FOUNDATION
COAL HLDG      COMMON STOCK    35039W100       2618    29550 Shares                 X                  3      29550      0      0
FOUNDRY
NETWORKS INC   COMMON STOCK    35063R100          1       50 Shares                 X                  1          0      0     50
FPL GROUP INC  COMMON STOCK    302571104       7112   108444 Shares                 X                  1     108388      0     56
FPL GROUP INC  COMMON STOCK    302571104        233     3550 Shares                 X                  3       3550      0      0
FPL GROUP INC  COMMON STOCK    302571104         20      300 Shares                 X                  4        300      0      0
FPL GROUP INC  COMMON STOCK    302571104       3689    56253 Shares                          X         1      47511      0   8742
FRANCE TELECOM
SA-SPONS ADR   COMMON STOCK    35177Q105          2       70 Shares                 X                  1         70      0      0
FRANKLIN RES
INC            COMMON STOCK    354613101         76      825 Shares                 X                  1        825      0      0
FRANKLIN RES
INC            COMMON STOCK    354613101        131     1425 Shares                 X                  3       1425      0      0
FRANKLIN RES
INC            COMMON STOCK    354613101         32      350 Shares                          X         1        350      0      0
FREDDIE MAC -
FEDERAL HOME
LOAN MORTGAGE  COMMON STOCK    313400301         94     5748 Shares                 X                  1       5748      0      0
FREDDIE MAC -
FEDERAL HOME
LOAN MORTGAGE  COMMON STOCK    313400301       4263   227330 Shares                 X                  2      59962      0 167368
FREDDIE MAC -
FEDERAL HOME
LOAN MORTGAGE  COMMON STOCK    313400301        146     8900 Shares                 X                  3       8900      0      0
FREDDIE MAC -
FEDERAL HOME
LOAN MORTGAGE  COMMON STOCK    313400301          8      480 Shares                          X         1        480      0      0
FREEPORT-
MCMORAN C&G    COMMON STOCK    35671D857       2016    17206 Shares                 X                  1      17106      0    100
FREEPORT-
MCMORAN C&G    COMMON STOCK    35671D857       1174    10008 Shares                 X                  3      10008      0      0
FREEPORT-
MCMORAN C&G    COMMON STOCK    35671D857         18      150 Shares                          X         1        150      0      0
FREIGHTCAR
AMERICA        COMMON STOCK    357023100         25      715 Shares                 X                  1        700      0     15
FREIGHTCAR
AMERICA        COMMON STOCK    357023100        526    14800 Shares                 X                  3      14800      0      0
FRONTEER
DEVELOPMENT
GROUP INC      COMMON STOCK    35903Q106          3      500 Shares                 X                  1        500      0      0
FRONTIER OIL
CORPORATION    COMMON STOCK    35914P105         28     1191 Shares                 X                  1       1191      0      0
FRONTLINE LTD  COMMON STOCK    G3682E127        112     1600 Shares                 X                  1       1600      0      0
FULL HOUSE
RESORTS INC    COMMON STOCK    359678109          1      500 Shares                 X                  1        500      0      0
FULTON
FINANCIAL CORP COMMON STOCK    360271100       4072   392282 Shares          X                               392282      0      0
FULTON
FINANCIAL CORP COMMON STOCK    360271100       1734   172548 Shares                 X                  1     172548      0      0
FULTON
FINANCIAL CORP COMMON STOCK    360271100       1356   134945 Shares                          X         1     130603   4000    342
GABELLI EQUITY
TRUST          PREFERRED STOCK 362397101         12     1509 Shares                 X                  1          0      0      0
GABELLI GLOBAL
HEALTHCARE
& WE           PREFERRED STOCK 36246K103          0       75 Shares                 X                  1          0      0      0
GABELLI GLOBAL
MULTIMEDIA TR  PREFERRED STOCK 36239Q109          1      135 Shares                 X                  1          0      0      0
GABELLI
UTILITY TRUST  PREFERRED STOCK 36240A101          1      150 Shares                 X                  1          0      0      0
GALLAGHER
ARTHUR J. & CO COMMON STOCK    363576109         24     1000 Shares                 X                  1       1000      0      0
GAMESTOP CORP
HLDG           CLASS A         36467W109       1067    26423 Shares                 X                  1      25301      0   1122
GAMESTOP CORP
HLDG           CLASS A         36467W109       1022    25300 Shares                 X                  3      25300      0      0
GANNETT INC    COMMON STOCK    364730101        150     6933 Shares                 X                  1       6933      0      0
GANNETT INC    COMMON STOCK    364730101        116     5332 Shares                 X                  2          0      0   5332
GANNETT INC    COMMON STOCK    364730101         65     3000 Shares                 X                  3       3000      0      0
GANNETT INC    COMMON STOCK    364730101        218    10050 Shares                          X         1      10050      0      0
GAP INC        COMMON STOCK    364760108        200    12025 Shares                 X                  1      12025      0      0
GAP INC        COMMON STOCK    364760108         69     4160 Shares                 X                  3       4160      0      0
GAP INC        COMMON STOCK    364760108        118     7100 Shares                          X         1       7100      0      0


                                    25 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
GARMIN LIMITED
ORD            COMMON STOCK    G37260109        129     3000 Shares                 X                  2          0      0   3000
GEN PROBE INC  COMMON STOCK    36866T103        162     3400 Shares                 X                  1       3250      0    150
GEN PROBE INC  COMMON STOCK    36866T103        446     9400 Shares                 X                  3       9400      0      0
GENCO SHIPPING
& TRADING LTD  COMMON STOCK    Y2685T107          7      100 Shares                 X                  1        100      0      0
GENCORP INC    COMMON STOCK    368682100          5      645 Shares                 X                  1        645      0      0
GENELABS
TECHNOLOGIES
INC            COMMON STOCK    368706206          0      600 Shares                 X                  1        600      0      0
GENENTECH INC  COMMON STOCK    368710406       3288    43319 Shares                 X                  1      42519      0    800
GENENTECH INC  COMMON STOCK    368710406        114     1500 Shares                 X                  2          0      0   1500
GENENTECH INC  COMMON STOCK    368710406          9      120 Shares                 X                  3        120      0      0
GENENTECH INC  COMMON STOCK    368710406        453     5965 Shares                          X         1       5065      0    900
GENERAL
AMERICAN
INVESTORS CO   PREFERRED STOCK 368802104         59     1829 Shares                 X                  2          0      0      0
GENERAL CABLE
CORPORATION    COMMON STOCK    369300108          1       10 Shares                 X                  1          0      0     10
GENERAL
COMMUNICATIONS
INC CLA        COMMON STOCK    369385109          1      200 Shares                 X                  2          0      0    200
GENERAL
DYNAMICS       COMMON STOCK    369550108       4896    58150 Shares                 X                  1      58150      0      0
GENERAL
DYNAMICS       COMMON STOCK    369550108         17      200 Shares                 X                  2          0      0    200
GENERAL
DYNAMICS       COMMON STOCK    369550108        373     4438 Shares                 X                  3       4438      0      0
GENERAL
DYNAMICS       COMMON STOCK    369550108       1114    13225 Shares                          X         1      13225      0      0
GENERAL
ELECTRIC
COMPANY        COMMON STOCK    369604103      52477  1966161 Shares                 X                  1    1933760      0  32401
GENERAL
ELECTRIC
COMPANY        COMMON STOCK    369604103      17284   647563 Shares                 X                  2     168961      0 478602
GENERAL
ELECTRIC
COMPANY        COMMON STOCK    369604103      10146   380182 Shares                 X                  3     367509      0  12673
GENERAL
ELECTRIC
COMPANY        COMMON STOCK    369604103         15      550 Shares                 X                  4        550      0      0
GENERAL
ELECTRIC
COMPANY        COMMON STOCK    369604103      50071  1876037 Shares                          X         1    1796700      0  79337
GENERAL
GROWTH PPTYS   COMMON STOCK    370021107         70     2000 Shares                 X                  1          0      0      0
GENERAL GROWTH
PPTYS          COMMON STOCK    370021107          7      191 Shares                 X                  2          0      0      0
GENERAL GROWTH
PPTYS          COMMON STOCK    370021107         81     2325 Shares                 X                  3       2325      0      0
GENERAL MILLS
INC            COMMON STOCK    370334104       3750    61701 Shares                 X                  1      61701      0      0
GENERAL MILLS
INC            COMMON STOCK    370334104        122     2000 Shares                 X                  2          0      0   2000
GENERAL MILLS
INC            COMMON STOCK    370334104        542     8925 Shares                 X                  3       8925      0      0
GENERAL MILLS
INC            COMMON STOCK    370334104          9      150 Shares                 X                  4        150      0      0
GENERAL MILLS
INC            COMMON STOCK    370334104       1737    28588 Shares                          X         1      28188      0    400
GENERAL MOTORS
CORP           COMMON STOCK    370442105         52     4488 Shares                 X                  1       3908      0    580
GENERAL MOTORS
CORP           COMMON STOCK    370442105         61     5300 Shares                 X                  3       5300      0      0
GENERAL MOTORS
CORP           COMMON STOCK    370442105         39     3372 Shares                          X         1       3224      0    148
GENERAL MOTORS
CORP PFD 5.25% PREFERRED STOCK 370442733          3      200 Shares                 X                  1          0      0      0
GENESEE & WYO
INC            CLASS A         371559105         59     1740 Shares                 X                  1       1600      0    140
GENESEE & WYO
INC            CLASS A         371559105       1161    34125 Shares                 X                  3      34125      0      0
GENESIS ENERGY
LP             COMMON STOCK    371927104         37     2000 Shares                 X                  2          0      0   2000
GENESIS LEASE
LTD-ADS        COMMON STOCK    37183T107          5      500 Shares                 X                  1        500      0      0
GENUINE PARTS
COMPANY        COMMON STOCK    372460105        159     4000 Shares                 X                  1       4000      0      0
GENUINE PARTS
COMPANY        COMMON STOCK    372460105        421    10500 Shares                 X                  2       7300      0   3200
GENUINE PARTS
COMPANY        COMMON STOCK    372460105        132     3335 Shares                 X                  3       3335      0      0
GENUINE PARTS
COMPANY        COMMON STOCK    372460105        248     6250 Shares                          X         1       6250      0      0
GENWORTH
FINANCIAL      COMMON CLASS A  37247D106          2       85 Shares                 X                  1         85      0      0
GENWORTH
FINANCIAL      COMMON CLASS A  37247D106         69     3900 Shares                 X                  3       3900      0      0
GENZYME CORP   COMMON STOCK    372917104        782    10876 Shares                 X                  1      10301      0    575
GENZYME CORP   COMMON STOCK    372917104        204     2844 Shares                 X                  2          0      0   2844
GENZYME CORP   COMMON STOCK    372917104        167     2325 Shares                 X                  3       2325      0      0
GENZYME CORP   COMMON STOCK    372917104         91     1260 Shares                          X         1       1260      0      0
GEVITY HR
INCORPORATED   COMMON STOCK    374393106          0       15 Shares                 X                  1          0      0     15
GILEAD
SCIENCES INC   COMMON STOCK    375558103       4795    90562 Shares                 X                  1      89560      0   1002


                                    26 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
GILEAD
SCIENCES INC   COMMON STOCK    375558103       3909    73810 Shares                 X                  3      71480      0   2330
GILEAD
SCIENCES INC   COMMON STOCK    375558103        521     9833 Shares                          X         1       9833      0      0
GLACIER
BANCORP INC    COMMON STOCK    37637Q105         33     2075 Shares                 X                  1       1900      0    175
GLACIER
BANCORP INC    COMMON STOCK    37637Q105        620    38750 Shares                 X                  3      38750      0      0
GLADSTONE
CAPITAL CORP   COMMON STOCK    376535100         76     5000 Shares                 X                  1       5000      0      0
GLADSTONE
CAPITAL CORP   COMMON STOCK    376535100       7840   484705 Shares                 X                  2     130505      0 354200
GLADSTONE
COMMERCIAL
CORP           COMMON STOCK    376536108         69     4000 Shares                 X                  1          0      0      0
GLADSTONE
COMMERCIAL
CORP           COMMON STOCK    376536108       4738   273406 Shares                 X                  2          0      0      0
GLATFELTER     COMMON STOCK    377316104        532    39403 Shares                 X                  1      39403      0      0
GLAXOSMITH-
KLINE PLC ADR  COMMON STOCK    37733W105        988    22352 Shares                 X                  1      21442      0    910
GLAXOSMITH-
KLINE PLC ADR  COMMON STOCK    37733W105        160     3627 Shares                 X                  2          0      0   3627
GLAXOSMITH-
KLINE PLC ADR  COMMON STOCK    37733W105       1515    34258 Shares                          X         1      27558      0   6700
GLOBAL INDS
LTD            COMMON STOCK    379336100         66     3700 Shares                 X                  1       3700      0      0
GLOBAL INDS
LTD            COMMON STOCK    379336100       1461    81500 Shares                 X                  3      81500      0      0
GMX RES INC    COMMON STOCK    38011M108         85     1150 Shares                 X                  1       1150      0      0
GMX RES INC    COMMON STOCK    38011M108       1888    25475 Shares                 X                  3      25475      0      0
GOLD FIELDS
LIMITED ADR    COMMON STOCK    38059T106          3      250 Shares                 X                  1        250      0      0
GOLDMAN SACHS
GROUP          COMMON STOCK    38141G104       5610    32075 Shares                 X                  1      30513      0   1562
GOLDMAN SACHS
GROUP          COMMON STOCK    38141G104        236     1350 Shares                 X                  2          0      0   1350
GOLDMAN SACHS
GROUP          COMMON STOCK    38141G104       3880    22194 Shares                 X                  3      21777      0    417
GOLDMAN SACHS
GROUP          COMMON STOCK    38141G104       1068     6105 Shares                          X         1       5725      0    380
GOODRICH CORP  COMMON STOCK    382388106         43      900 Shares                 X                  1        900      0      0
GOODRICH CORP  COMMON STOCK    382388106         55     1150 Shares                 X                  3       1150      0      0
GOODRICH CORP  COMMON STOCK    382388106         81     1700 Shares                          X         1        400      0   1300
GOODYEAR TIRE
& RUBR         COMMON STOCK    382550101          2      100 Shares                 X                  1        100      0      0
GOODYEAR TIRE
& RUBR         COMMON STOCK    382550101         39     2200 Shares                 X                  3       2200      0      0
GOOGLE INC     CLASS A         38259P508      10040    19072 Shares                 X                  1      18733      0    339
GOOGLE INC     CLASS A         38259P508      16998    34123 Shares                 X                  2      11223      0  22900
GOOGLE INC     CLASS A         38259P508       9372    17805 Shares                 X                  3      17472      0    333
GOOGLE INC     CLASS A         38259P508        572     1087 Shares                          X         1        777      0    310
GRACO INC      COMMON STOCK    384109104        425    11169 Shares                 X                  1      10784      0    385
GRACO INC      COMMON STOCK    384109104        152     4000 Shares                 X                  2          0      0   4000
GRACO INC      COMMON STOCK    384109104        906    23800 Shares                 X                  3      23800      0      0
GRACO INC      COMMON STOCK    384109104          6      150 Shares                          X         1        150      0      0
GRAINGER W W
INC            COMMON STOCK    384802104        425     5200 Shares                 X                  1       5200      0      0
GRAINGER W W
INC            COMMON STOCK    384802104         82     1000 Shares                 X                  2          0      0   1000
GRAINGER W W
INC            COMMON STOCK    384802104         49      605 Shares                 X                  3        605      0      0
GRAINGER W W
INC            COMMON STOCK    384802104        262     3200 Shares                          X         1       3200      0      0
GRANITE
CONSTRUCTION
INCORPORA      COMMON STOCK    387328107         21      675 Shares                 X                  1        675      0      0
GREAT PLAINS
ENERGY INC     COMMON STOCK    391164100         19      770 Shares                 X                  1        770      0      0
GREAT PLAINS
ENERGY INC     COMMON STOCK    391164100         21      850 Shares                          X         1        850      0      0
GREATER CHINA
FUND INC       PREFERRED STOCK 39167B102          5      420 Shares                 X                  1          0      0      0
GREATER CHINA
FUND INC       PREFERRED STOCK 39167B102          1      100 Shares                          X         1          0      0      0
GREENBRIER
COMPANIES INC  COMMON STOCK    393657101        288    14200 Shares                 X                  2          0      0  14200
GREENBRIER COS
CONV 2.375% 5  OTHER           393657AD3        368   500000 Shares                 X                  2          0      0      0
GREENFIELD
ONLINE INC     COMMON STOCK    395150105          1       48 Shares                 X                  1          0      0     48
GUARANTY
FINANCIAL
GROUP          COMMON STOCK    40108N106          0       42 Shares                 X                  1         42      0      0
GUARANTY
FINANCIAL
GROUP          COMMON STOCK    40108N106          0       33 Shares                          X         1         33      0      0
GYMBOREE CORP  COMMON STOCK    403777105         31      772 Shares                 X                  1        700      0     72
GYMBOREE CORP  COMMON STOCK    403777105        572    14275 Shares                 X                  3      14275      0      0


                                    27 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
HALLIBURTON    COMMON STOCK    406216101        498     9375 Shares                 X                  1       8275      0   1100
HALLIBURTON    COMMON STOCK    406216101        412     7770 Shares                 X                  3       7770      0      0
HALLIBURTON    COMMON STOCK    406216101        729    13732 Shares                          X         1      13732      0      0
HANESBRANDS
INC            COMMON STOCK    410345102          4      137 Shares                 X                  1        137      0      0
HANESBRANDS
INC            COMMON STOCK    410345102         31     1145 Shares                          X         1        745      0    400
HANOVER
INSURANCE
GROUP INC      COMMON STOCK    410867105          0       10 Shares                 X                  1          0      0     10
HARLEY
DAVIDSON INC   COMMON STOCK    412822108        663    18274 Shares                 X                  1      18274      0      0
HARLEY
DAVIDSON INC   COMMON STOCK    412822108         76     2100 Shares                 X                  3       2100      0      0
HARLEY
DAVIDSON INC   COMMON STOCK    412822108        187     5150 Shares                          X         1       1950      0   3200
HARLEYSVILLE
NATIONAL CORP  COMMON STOCK    412850109          6      500 Shares                 X                  1        500      0      0
HARMAN INTL
INDS           COMMON STOCK    413086109         29      700 Shares                 X                  2          0      0    700
HARMAN INTL
INDS           COMMON STOCK    413086109         24      575 Shares                 X                  3        575      0      0
HARMONIC INC   COMMON STOCK    413160102         58     6100 Shares                 X                  1       6100      0      0
HARMONIC INC   COMMON STOCK    413160102       1284   135000 Shares                 X                  3     135000      0      0
HARRIS &
HARRIS GROUP
INC            COMMON STOCK    413833104          2      250 Shares                 X                  1        250      0      0
HARRIS &
HARRIS GROUP
INC            COMMON STOCK    413833104          1      200 Shares                          X         1        200      0      0
HARRIS CORP
DEL            COMMON STOCK    413875105       5412   107193 Shares                 X                  1     106004      0   1189
HARRIS CORP
DEL            COMMON STOCK    413875105       4190    82974 Shares                 X                  3      80925      0   2049
HARRIS CORP
DEL            COMMON STOCK    413875105        688    13620 Shares                          X         1      11870      0   1750
HARRIS STRATEX
NTWKS          CLASS A         41457P106         37     3882 Shares                 X                  1       3600      0    282
HARRIS STRATEX
NTWKS          CLASS A         41457P106        673    70900 Shares                 X                  3      70900      0      0
HARSCO CORP    COMMON STOCK    415864107      20152   370375 Shares                 X                  1     301605      0  68770
HARSCO CORP    COMMON STOCK    415864107       3146    57836 Shares                 X                  3      55732      0   2104
HARSCO CORP    COMMON STOCK    415864107       5818   106928 Shares                          X         1     106928      0      0
HARTFORD FINL
SVCS           COMMON STOCK    416515104       1751    27116 Shares                 X                  1      24556      0   2560
HARTFORD FINL
SVCS           COMMON STOCK    416515104         93     1440 Shares                 X                  2          0      0   1440
HARTFORD FINL
SVCS           COMMON STOCK    416515104        178     2750 Shares                 X                  3       2750      0      0
HARTFORD FINL
SVCS           COMMON STOCK    416515104          6      100 Shares                 X                  4        100      0      0
HARTFORD FINL
SVCS           COMMON STOCK    416515104        804    12459 Shares                          X         1      11419      0   1040
HARVEST ENERGY
TRUST-UNITS    COMMON STOCK    41752X101         14      600 Shares                 X                  1        600      0      0
HARVEST ENERGY
TRUST-UNITS    COMMON STOCK    41752X101          2      100 Shares                          X         1        100      0      0
HASBRO INC     COMMON STOCK    418056107          6      170 Shares                 X                  1        170      0      0
HASBRO INC     COMMON STOCK    418056107         50     1420 Shares                 X                  3       1420      0      0
HAYNES
INTERNATIONAL  COMMON STOCK    420877201        193     3356 Shares                 X                  1       3175      0    181
HAYNES
INTERNATIONAL  COMMON STOCK    420877201        508     8825 Shares                 X                  3       8825      0      0
HCC INS HLDGS
INC            COMMON STOCK    404132102        197     9334 Shares                 X                  1       8919      0    415
HCC INS HLDGS
INC            COMMON STOCK    404132102        523    24766 Shares                 X                  3      24766      0      0
HCP INC        COMMON STOCK    40414L109         50     1571 Shares                 X                  1          0      0      0
HCP INC        COMMON STOCK    40414L109        105     3316 Shares                 X                  2          0      0      0
HCP INC        COMMON STOCK    40414L109         45     1400 Shares                 X                  3       1400      0      0
HEALTH CARE
REIT INC       COMMON STOCK    42217K106        423     9500 Shares                 X                  2          0      0      0
HEALTH CARE
SELECT SECTOR
SPDR           COMMON STOCK    81369Y209          9      300 Shares                 X                  1        300      0      0
HEALTH
MANAGEMENT-
CLASS A        COMMON STOCK    421933102         46     7000 Shares                 X                  1       7000      0      0
HEALTH
MANAGEMENT-
CLASS A        COMMON STOCK    421933102         22     3435 Shares                          X         1       3085      0    350
HEALTH NET
INC COM        COMMON STOCK    42222G108         24     1000 Shares                 X                  1       1000      0      0
HEALTHCARE
REALTY TRUST
INC (R         COMMON STOCK    421946104          8      350 Shares                 X                  1          0      0      0
HEALTHCARE
REALTY TRUST
INC (R         COMMON STOCK    421946104        157     6600 Shares                 X                  2          0      0      0
HEALTHCARE
REALTY TRUST
INC (R         COMMON STOCK    421946104          5      200 Shares                          X         1          0      0      0
HEALTHEXTRAS
INCORPORATED   COMMON STOCK    422211102         12      400 Shares                 X                  1        400      0      0
HEALTHEXTRAS
INCORPORATED   COMMON STOCK    422211102         75     2500 Shares                 X                  2          0      0   2500


                                    28 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
HEARTLAND
PAYMENT
SYSTEMS INC    COMMON STOCK    42235N108         87     3700 Shares                 X                  2          0      0   3700
HECLA MNG CO
COM            COMMON STOCK    422704106          3      350 Shares                 X                  1        350      0      0
HEINZ H J
COMPANY        COMMON STOCK    423074103       1190    24866 Shares                 X                  1      24866      0      0
HEINZ H J
COMPANY        COMMON STOCK    423074103        629    13312 Shares                 X                  2       9512      0   3800
HEINZ H J
COMPANY        COMMON STOCK    423074103        134     2800 Shares                 X                  3       2800      0      0
HEINZ H J
COMPANY        COMMON STOCK    423074103        912    19066 Shares                          X         1      19066      0      0
HELIX ENRGY
SOLNS          COMMON STOCK    42330P107         55     1318 Shares                 X                  1       1318      0      0
HELIX ENRGY
SOLNS          COMMON STOCK    42330P107       1016    24400 Shares                 X                  3      24400      0      0
HENRY SCHEIN
INC COM        COMMON STOCK    806407102         10      200 Shares                 X                  1        200      0      0
HERBALIFE LTD  COMMON STOCK    G4412G101          5      130 Shares                 X                  3        130      0      0
HERCULES INC   COMMON STOCK    427056106         17     1000 Shares                 X                  3       1000      0      0
HERCULES INC   COMMON STOCK    427056106         86     5100 Shares                          X         1       5100      0      0
HESS
CORPORATION    COMMON STOCK    42809H107        309     2450 Shares                 X                  3       2450      0      0
HEWLETT
PACKARD
COMPANY        COMMON STOCK    428236103      10159   229786 Shares                 X                  1     226254      0   3532
HEWLETT
PACKARD
COMPANY        COMMON STOCK    428236103       1807    40384 Shares                 X                  2      14630      0  25754
HEWLETT
PACKARD
COMPANY        COMMON STOCK    428236103       5186   117321 Shares                 X                  3     113992      0   3329
HEWLETT
PACKARD
COMPANY        COMMON STOCK    428236103         10      237 Shares                 X                  4        237      0      0
HEWLETT
PACKARD
COMPANY        COMMON STOCK    428236103       2926    66183 Shares                          X         1      61483      0   4700
HEXCEL CORP    COMMON STOCK    428291108         46     2405 Shares                 X                  1       2200      0    205
HEXCEL CORP    COMMON STOCK    428291108        806    41800 Shares                 X                  3      41800      0      0
HI/FN INC      COMMON STOCK    428358105          1      260 Shares                 X                  1        260      0      0
HILAND
HOLDINGS GP LP COMMON STOCK    43129M107        812    30100 Shares                 X                  2          0      0  30100
HILAND
PARTNERS LP    COMMON STOCK    431291103         35      700 Shares                 X                  2          0      0    700
HILL INTL INC  COMMON STOCK    431466101         68     4155 Shares                 X                  1       3800      0    355
HILL INTL INC  COMMON STOCK    431466101       1289    78400 Shares                 X                  3      78400      0      0
HOLOGIC INC    COMMON STOCK    436440101       4486   205771 Shares                 X                  1     203195      0   2576
HOLOGIC INC    COMMON STOCK    436440101       3680   168726 Shares                 X                  3     164570      0   4156
HOLOGIC INC    COMMON STOCK    436440101        311    14255 Shares                          X         1      10455      0   3800
HOME DEPOT
INCORPORATED   COMMON STOCK    437076102       5651   241310 Shares                 X                  1     236489      0   4821
HOME DEPOT
INCORPORATED   COMMON STOCK    437076102       1858    68399 Shares                 X                  2      56399      0  12000
HOME DEPOT
INCORPORATED   COMMON STOCK    437076102       2153    91908 Shares                 X                  3      89021      0   2887
HOME DEPOT
INCORPORATED   COMMON STOCK    437076102          5      200 Shares                 X                  4        200      0      0
HOME DEPOT
INCORPORATED   COMMON STOCK    437076102       2192    93598 Shares                          X         1      85938      0   7660
HOME
PROPERTIES OF
NEW YORK INC   COMMON STOCK    437306103         71     1475 Shares                 X                  1          0      0      0
HOME
PROPERTIES OF
NEW YORK INC   COMMON STOCK    437306103       6469   134627 Shares                 X                  2      26998      0      0
HOME
PROPERTIES OF
NEW YORK INC   COMMON STOCK    437306103        158     3288 Shares                          X         1          0      0      0
HONEYWELL
INTERNATIONAL
INCORPORATED   COMMON STOCK    438516106        792    15745 Shares                 X                  1      15745      0      0
HONEYWELL
INTERNATIONAL
INCORPORATED   COMMON STOCK    438516106       1640    30912 Shares                 X                  2      13912      0  17000
HONEYWELL
INTERNATIONAL
INCORPORATED   COMMON STOCK    438516106        331     6580 Shares                 X                  3       6580      0      0
HONEYWELL
INTERNATIONAL
INCORPORATED   COMMON STOCK    438516106         15      300 Shares                 X                  4        300      0      0
HONEYWELL
INTERNATIONAL
INCORPORATED   COMMON STOCK    438516106       1700    33818 Shares                          X         1      33818      0      0
HOSPIRA INC    COMMON STOCK    441060100        138     3434 Shares                 X                  1       3434      0      0
HOSPIRA INC    COMMON STOCK    441060100         56     1400 Shares                 X                  3       1400      0      0
HOSPIRA INC    COMMON STOCK    441060100        137     3425 Shares                          X         1       3055      0    370
HOSPITALITY
PROPERTIES
TRUST (        COMMON STOCK    44106M102         17      709 Shares                 X                  1          0      0      0
HOSPITALITY
PROPERTIES
TRUST (        COMMON STOCK    44106M102          7      300 Shares                          X         1          0      0      0
HOST HOTELS &
RESORTS INC    COMMON STOCK    44107P104          2      178 Shares                 X                  1          0      0      0
HOST HOTELS &
RESORTS INC    COMMON STOCK    44107P104        164    11978 Shares                 X                  2          0      0      0
HOST HOTELS &
RESORTS INC    COMMON STOCK    44107P104         61     4500 Shares                 X                  3       4500      0      0
HOST HOTELS &
RESORTS INC    COMMON STOCK    44107P104          4      275 Shares                          X         1          0      0      0


                                    29 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
HOUSTON WIRE &
CABLE CO       COMMON STOCK    44244K109         52     2600 Shares                 X                  2          0      0   2600
HRPT
PROPERTIES
TRUST (REIT)   COMMON STOCK    40426W101          1      148 Shares                 X                  1          0      0      0
HRPT
PROPERTIES
TRUST (REIT)   COMMON STOCK    40426W101          8     1200 Shares                          X         1          0      0      0
HSBC HOLDINGS
PLC SPON ADR   COMMON STOCK    404280406         97     1260 Shares                 X                  1       1260      0      0
HSBC HOLDINGS
PLC SPON ADR   COMMON STOCK    404280406         19      250 Shares                          X         1        250      0      0
HUANENG POWER
INTL-SPONS ADR COMMON STOCK    443304100         72     2620 Shares                          X         1       2620      0      0
HUB GROUP INC  CLASS A         443320106         41     1200 Shares                 X                  1       1100      0    100
HUB GROUP INC  CLASS A         443320106        748    21900 Shares                 X                  3      21900      0      0
HUDSON CITY
BANCORP        COMMON STOCK    443683107         73     4400 Shares                 X                  3       4400      0      0
HUDSON
HIGHLAND
GROUP INC      COMMON STOCK    443792106          0       18 Shares                 X                  1         18      0      0
HUDSON
TECHNOLOGIES
INC            COMMON STOCK    444144109          1      500 Shares                 X                  1        500      0      0
HUGOTON
ROYALTY TRUST  COMMON STOCK    444717102          2       50 Shares                 X                  1         50      0      0
HUMAN GENOME
SCIENCES INC   COMMON STOCK    444903108         10     1840 Shares                 X                  2          0      0   1840
HUMAN GENOME
SCIENCES INC   COMMON STOCK    444903108         32     6200 Shares                          X         1       6200      0      0
HUMANA INC     COMMON STOCK    444859102         13      315 Shares                 X                  1        315      0      0
HUMANA INC     COMMON STOCK    444859102         61     1525 Shares                 X                  3       1525      0      0
HUNT JB TRANS
SVCS           COMMON STOCK    445658107         43     1300 Shares                 X                  1       1300      0      0
HUNT JB TRANS
SVCS           COMMON STOCK    445658107       1006    30230 Shares                 X                  3      30230      0      0
HUNTINGTON
BANCSHARE      COMMON STOCK    446150104          9     1500 Shares                 X                  1       1500      0      0
HUNTINGTON
BANCSHARE      COMMON STOCK    446150104         18     3100 Shares                 X                  3       3100      0      0
I SHARES
RUSSELL MIDCAP
VAL IN         PREFERRED STOCK 464287473         54      420 Shares                          X         1          0      0      0
IAC
INTERACTIVE-
CORP           COMMON STOCK    44919P300          4      208 Shares                 X                  1        208      0      0
IAC
INTERACTIVE-
CORP           COMMON STOCK    44919P300         31     1600 Shares                 X                  3       1600      0      0
IAC
INTERACTIVE-
CORP           COMMON STOCK    44919P300         34     1775 Shares                          X         1       1775      0      0
ICICI BANK
LIMITED
SPONSORED A    COMMON STOCK    45104G104          9      300 Shares                 X                  1        300      0      0
ICON PLC
SPONSORED ADR  COMMON STOCK    45103T107         66      880 Shares                 X                  1        800      0     80
ICON PLC
SPONSORED ADR  COMMON STOCK    45103T107       1397    18500 Shares                 X                  3      18500      0      0
IDACORP INC    COMMON STOCK    451107106         29     1000 Shares                          X         1          0      0   1000
IDEARC INC     COMMON STOCK    451663108          3     1135 Shares                 X                  1       1130      0      5
IDEARC INC     COMMON STOCK    451663108          6     2536 Shares                          X         1       2536      0      0
IDEXX LABS INC COMMON STOCK    45168D104         22      448 Shares                 X                  1        400      0     48
IDEXX LABS INC COMMON STOCK    45168D104        219     4500 Shares                 X                  2          0      0   4500
IDEXX LABS INC COMMON STOCK    45168D104        478     9800 Shares                 X                  3       9800      0      0
ILLINOIS TOOL
WORKS
INCORPORATED   COMMON STOCK    452308109        792    16670 Shares                 X                  1      16670      0      0
ILLINOIS TOOL
WORKS
INCORPORATED   COMMON STOCK    452308109       2056    43150 Shares                 X                  2       8920      0  34230
ILLINOIS TOOL
WORKS
INCORPORATED   COMMON STOCK    452308109        246     5190 Shares                 X                  3       5190      0      0
ILLINOIS TOOL
WORKS
INCORPORATED   COMMON STOCK    452308109        729    15350 Shares                          X         1      15350      0      0
ILLUMINA INC   COMMON STOCK    452327109          1       15 Shares                 X                  1          0      0     15
IMATION
CORPORATION
COM            COMMON STOCK    45245A107          0       20 Shares                 X                  1         20      0      0
IMPERIAL OIL
LTD            COMMON STOCK    453038408        165     3000 Shares                 X                  2          0      0   3000
IMPERIAL OIL
LTD            COMMON STOCK    453038408        275     5000 Shares                          X         1       5000      0      0
IMPLANT
SCIENCES CORP  COMMON STOCK    45320R108          2     2500 Shares                 X                  1       2500      0      0
IMS HEALTH INC COMMON STOCK    449934108        396    17009 Shares                 X                  1      16079      0    930
IMS HEALTH INC COMMON STOCK    449934108        295    12650 Shares                 X                  3      12650      0      0
IMS HEALTH INC COMMON STOCK    449934108         98     4215 Shares                          X         1       3915      0    300
INCYTE
GENOMICS INC
COM            COMMON STOCK    45337C102          3      400 Shares                 X                  1        400      0      0
INDEVUS
PHARMACEUTI-
CALS INC       COMMON STOCK    454072109          0       70 Shares                 X                  1          0      0     70
INDIA FUND     PREFERRED STOCK 454089103         10      293 Shares                 X                  1          0      0      0
INDYMAC
BANCORP INC    COMMON STOCK    456607100          0      200 Shares                 X                  1        100      0    100
INERGY
HOLDINGS LP    COMMON STOCK    45661Q107         32      900 Shares                 X                  2          0      0    900


                                    30 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
INFORMATICA
CORP           COMMON STOCK    45666Q102         70     4640 Shares                 X                  1       4300      0    340
INFORMATICA
CORP           COMMON STOCK    45666Q102       1226    81550 Shares                 X                  3      81550      0      0
INFOSYS
TECHNOLOGIES
LTDSPON A      COMMON STOCK    456788108          9      200 Shares                 X                  1        200      0      0
ING GLOBAL
EQUITY DIV &
PREM O         PREFERRED STOCK 45684E107         18     1150 Shares                          X         1          0      0      0
ING GROEP NV
SPONSORED ADR  COMMON STOCK    456837103         17      525 Shares                 X                  2          0      0    525
ING GROEP NV
SPONSORED ADR  COMMON STOCK    456837103         29      909 Shares                          X         1        909      0      0
ING PRIME RATE
TR             PREFERRED STOCK 44977W106          6     1000 Shares                 X                  1          0      0      0
ING PRIME RATE
TR             PREFERRED STOCK 44977W106         11     2000 Shares                          X         1          0      0      0
INGERSOLL-RAND
CO             CLASS A         G4776G101        283     7558 Shares                 X                  1       7558      0      0
INGERSOLL-RAND
CO             CLASS A         G4776G101       6983   174860 Shares                 X                  2      61330      0 113530
INGERSOLL-RAND
CO             CLASS A         G4776G101        104     2770 Shares                 X                  3       2770      0      0
INGERSOLL-RAND
CO             CLASS A         G4776G101        332     8860 Shares                          X         1       8860      0      0
INGRAM MICRO
INC CL A       COMMON STOCK    457153104          4      200 Shares                          X         1        200      0      0
INSURED
MUNICIPAL
INCOME FD      PREFERRED STOCK 45809F104         37     2964 Shares                 X                  2          0      0      0
INTEGRA
LIFESCIENCES
HOLDING        COMMON STOCK    457985208          1       13 Shares                 X                  1          0      0     13
INTEGRYS
ENERGY         COMMON STOCK    45822P105         25      500 Shares                 X                  1        500      0      0
INTEGRYS
ENERGY         COMMON STOCK    45822P105         30      600 Shares                 X                  3        600      0      0
INTEGRYS
ENERGY         COMMON STOCK    45822P105         84     1650 Shares                          X         1       1650      0      0
INTEL
CORPORATION    COMMON STOCK    458140100      13403   623968 Shares                 X                  1     618200      0   5768
INTEL
CORPORATION    COMMON STOCK    458140100        920    43263 Shares                 X                  2      32663      0  10600
INTEL
CORPORATION    COMMON STOCK    458140100       5182   241253 Shares                 X                  3     236217      0   5036
INTEL
CORPORATION    COMMON STOCK    458140100          9      400 Shares                 X                  4        400      0      0
INTEL
CORPORATION    COMMON STOCK    458140100       5621   261681 Shares                          X         1     236301      0  25380
INTERACTIVE
BROKERS GROUP
INC-           COMMON STOCK    45841N107          1       20 Shares                 X                  1          0      0     20
INTERACTIVE
INTELLIGENCE
INC            COMMON STOCK    45839M103          2      200 Shares                 X                  2          0      0    200
INTERCONTINEN-
TAL HOTELS-ADR COMMON STOCK    45857P301          2      167 Shares                 X                  1        167      0      0
INTERCONTINEN-
TALEXCH        COMMON STOCK    45865V100       2412    21159 Shares                 X                  1      20887      0    272
INTERCONTINEN-
TALEXCH        COMMON STOCK    45865V100       1979    17366 Shares                 X                  3      17055      0    311
INTERCONTINEN-
TALEXCH        COMMON STOCK    45865V100         10       90 Shares                          X         1          0      0     90
INTERDIGITAL
COMMUNICATIONS
CORP           COMMON STOCK    45867G101         24     1000 Shares                 X                  1       1000      0      0
INTERDIGITAL
COMMUNICATIONS
CORP           COMMON STOCK    45867G101       2970   125500 Shares                 X                  2      18300      0 107200
INTERFACE
FLOORING SYS
INC CL         COMMON STOCK    458665106          0       35 Shares                 X                  1          0      0     35
INTERMEC INC   COMMON STOCK    458786100          1       40 Shares                 X                  1          0      0     40
INTERNATIONAL
BUSINESS
MACHINES CORP  COMMON STOCK    459200101      41659   351467 Shares                 X                  1     344638      0   6829
INTERNATIONAL
BUSINESS
MACHINES CORP  COMMON STOCK    459200101      16609   140787 Shares                 X                  2      22889      0 117898
INTERNATIONAL
BUSINESS
MACHINES CORP  COMMON STOCK    459200101       8710    73483 Shares                 X                  3      71623      0   1860
INTERNATIONAL
BUSINESS
MACHINES CORP  COMMON STOCK    459200101         24      200 Shares                 X                  4        200      0      0
INTERNATIONAL
BUSINESS
MACHINES CORP  COMMON STOCK    459200101      15614   131733 Shares                          X         1     122008      0   9725
INTERNATIONAL
PAPER          COMMON STOCK    460146103        308    13198 Shares                 X                  1      12598      0    600
INTERNATIONAL
PAPER          COMMON STOCK    460146103        179     7673 Shares                 X                  3       7673      0      0
INTERNATIONAL
PAPER          COMMON STOCK    460146103        181     7770 Shares                          X         1       5534      0   2236
INTERNATIONAL
SPEEDWAY CORP
CL             COMMON STOCK    460335201          5      125 Shares                 X                  1        125      0      0
INTERPUBLIC
GROUP          COMMON STOCK    460690100         34     3900 Shares                 X                  3       3900      0      0
INTERSIL CORP
CL A           COMMON STOCK    46069S109          0       20 Shares                 X                  1          0      0     20
INTL FLAVORS &
FRAGR          COMMON STOCK    459506101         27      700 Shares                 X                  1        700      0      0
INTL FLAVORS &
FRAGR          COMMON STOCK    459506101         27      700 Shares                 X                  3        700      0      0
INTL GAME TECH COMMON STOCK    459902102         28     1119 Shares                 X                  1       1119      0      0
INTL GAME TECH COMMON STOCK    459902102         71     2850 Shares                 X                  3       2850      0      0
INTL GAME TECH COMMON STOCK    459902102         75     3000 Shares                          X         1       3000      0      0
INTL RECTIFIER
CORP           COMMON STOCK    460254105         54     2830 Shares                 X                  1       2830      0      0


                                    31 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
INTL RECTIFIER
CORP           COMMON STOCK    460254105        821    42800 Shares                 X                  3      42800      0      0
INTL RECTIFIER
CORP           COMMON STOCK    460254105          2      100 Shares                          X         1        100      0      0
INTREPID
POTASH INC     COMMON STOCK    46121Y102        151     2300 Shares                 X                  1       2300      0      0
INTREPID
POTASH INC     COMMON STOCK    46121Y102       3170    48200 Shares                 X                  3      48200      0      0
INTUIT         COMMON STOCK    461202103        132     4770 Shares                 X                  1       4615      0    155
INTUIT         COMMON STOCK    461202103        347    12600 Shares                 X                  3      12600      0      0
INTUIT         COMMON STOCK    461202103         17      600 Shares                          X         1        600      0      0
INTUITIVE
SURGIC INC     COMMON STOCK    46120E602       4518    16769 Shares                 X                  1      16605      0    164
INTUITIVE
SURGIC INC     COMMON STOCK    46120E602         40      150 Shares                 X                  2          0      0    150
INTUITIVE
SURGIC INC     COMMON STOCK    46120E602       3177    11792 Shares                 X                  3      11537      0    255
INTUITIVE
SURGIC INC     COMMON STOCK    46120E602        308     1145 Shares                          X         1       1100      0     45
INVACARE CORP
COM            COMMON STOCK    461203101          4      200 Shares                          X         1        200      0      0
INVERNESS
MEDICAL
INNOVATIONS    COMMON STOCK    46126P106          0       13 Shares                 X                  1          0      0     13
INVESTORS
BANCORP        COMMON STOCK    46146P102         31     2400 Shares                 X                  1       2200      0    200
INVESTORS
BANCORP        COMMON STOCK    46146P102        585    44800 Shares                 X                  3      44800      0      0
INVITROGEN
CORP           COMMON STOCK    46185R100        325     8271 Shares                 X                  1       7939      0    332
INVITROGEN
CORP           COMMON STOCK    46185R100        864    22000 Shares                 X                  3      22000      0      0
INVITROGEN
CORP           COMMON STOCK    46185R100         31      800 Shares                          X         1          0      0    800
IOWA
TELECOMMUNICA-
TIONS SERVIC   COMMON STOCK    462594201         38     2150 Shares                 X                  2          0      0   2150
IRON MTN INC
PA COM         COMMON STOCK    462846106        199     7500 Shares                 X                  2          0      0   7500
ISHARES COHEN
& STEERS
RLTY IN        PREFERRED STOCK 464287564         30      400 Shares                          X         1          0      0      0
ISHARES COMEX
GOLD TRUST     PREFERRED STOCK 464285105         13      144 Shares                 X                  1          0      0      0
ISHARES DJ
SELECT
DIVIDEND IND   PREFERRED STOCK 464287168         56     1130 Shares                 X                  1          0      0      0
ISHARES DJ
SELECT
DIVIDEND IND   PREFERRED STOCK 464287168         12      250 Shares                          X         1          0      0      0
ISHARES DJ US
BASIC
MATERIALS      PREFERRED STOCK 464287838        103     1225 Shares                 X                  1          0      0      0
ISHARES DJ US
BASIC
MATERIALS      PREFERRED STOCK 464287838         63      750 Shares                          X         1          0      0      0
ISHARES DJ US
ENERGY SECTOR
ID             COMMON STOCK    464287796         17      112 Shares                 X                  2          0      0    112
ISHARES DJ US
HEALTHCARE
SECTO          COMMON STOCK    464287762          6      100 Shares                 X                  2          0      0    100
ISHARES DJ
US HOME
CONSTRUCT F    COMMON STOCK    464288752        444    31050 Shares                 X                  2          0      0  31050
ISHARES DJ US
INDUSTRIAL
SEC I          PREFERRED STOCK 464287754         13      200 Shares                 X                  2          0      0      0
ISHARES DJ US
OIL EQUIP & SV PREFERRED STOCK 464288844        278     3500 Shares                 X                  2          0      0      0
ISHARES DJ US
REAL ESTATE
INDE           COMMON STOCK    464287739          6      100 Shares                 X                  2          0      0    100
ISHARES DOW
JONES US FINL
SECT           PREFERRED STOCK 464287788         23      340 Shares                 X                  1          0      0      0
ISHARES DOW
JONES US FINL
SECT           PREFERRED STOCK 464287788         19      275 Shares                 X                  2          0      0      0
ISHARES DOW
JONES US FINL
SECT           PREFERRED STOCK 464287788         48      705 Shares                          X         1          0      0      0
ISHARES DOW
JONES US TRANS
IND            PREFERRED STOCK 464287192          5       60 Shares                 X                  1          0      0      0
ISHARES DOW
JONES US UTIL
SECT           PREFERRED STOCK 464287697         38      385 Shares                 X                  1          0      0      0
ISHARES
FTSE/XINHUA
CHINA 25       PREFERRED STOCK 464287184        602     4600 Shares                 X                  2          0      0      0
ISHARES
FTSE/XINHUA
CHINA 25       PREFERRED STOCK 464287184         31      234 Shares                          X         1          0      0      0
ISHARES LEHMAN
20+ YR TREAS   COMMON STOCK    464287432         18      200 Shares                          X         1        200      0      0
ISHARES LEHMAN
UST INF PR S   PREFERRED STOCK 464287176         52      485 Shares                 X                  1          0      0      0
ISHARES LEHMAN
UST INF PR S   PREFERRED STOCK 464287176       1132    10500 Shares                 X                  2          0      0      0
ISHARES MSCI
AUSTRALIA
INDEX F        PREFERRED STOCK 464286103         11      415 Shares                          X         1          0      0      0
ISHARES MSCI
BRAZIL INDEX
FUND           PREFERRED STOCK 464286400         98     1100 Shares                 X                  2          0      0      0
ISHARES MSCI
CANADA INDEX
FD             PREFERRED STOCK 464286509         50     1500 Shares                 X                  2          0      0      0
ISHARES MSCI
CANADA INDEX
FD             PREFERRED STOCK 464286509         12      365 Shares                          X         1          0      0      0
ISHARES MSCI
EAFE INDEX FD  PREFERRED STOCK 464287465        883    12857 Shares                 X                  1          0      0      0
ISHARES MSCI
EAFE INDEX FD  PREFERRED STOCK 464287465       4697    68406 Shares                 X                  2          0      0      0
ISHARES MSCI
EAFE INDEX FD  PREFERRED STOCK 464287465       1283    18685 Shares                          X         1          0      0      0
ISHARES MSCI
EMERGING
MARKETS        PREFERRED STOCK 464287234         75      550 Shares                 X                  1          0      0      0


                                    32 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
ISHARES MSCI
EMERGING
MARKETS        PREFERRED STOCK 464287234         27      200 Shares                 X                  2          0      0      0
ISHARES MSCI
EMERGING
MARKETS        PREFERRED STOCK 464287234        100      735 Shares                          X         1          0      0      0
ISHARES MSCI
GERMANY
INDEX FD       PREFERRED STOCK 464286806         16      560 Shares                          X         1          0      0      0
ISHARES MSCI
JAPAN INDEX FD PREFERRED STOCK 464286848        118     9500 Shares                 X                  1          0      0      0
ISHARES MSCI
JAPAN INDEX FD PREFERRED STOCK 464286848         41     3300 Shares                          X         1          0      0      0
ISHARES MSCI
PACIFIC
EX-JAPAN       PREFERRED STOCK 464286665        415     3050 Shares                 X                  2          0      0      0
ISHARES MSCI
SPAIN INDEX FD COMMON STOCK    464286764         41      750 Shares                 X                  2          0      0    750
ISHARES
RUSSELL 1000
GROWTH IN      PREFERRED STOCK 464287614          1       10 Shares                 X                  1          0      0      0
ISHARES
RUSSELL 1000
INDEX FD       PREFERRED STOCK 464287622       3348    47514 Shares                          X         1          0      0      0
ISHARES
RUSSELL 1000
VALUE IND      PREFERRED STOCK 464287598         14      200 Shares                 X                  1          0      0      0
ISHARES
RUSSELL 1000
VALUE IND      PREFERRED STOCK 464287598         26      375 Shares                          X         1          0      0      0
ISHARES
RUSSELL 2000
GRWTH FD       PREFERRED STOCK 464287648        152     2000 Shares                 X                  1          0      0      0
ISHARES
RUSSELL 2000
GRWTH FD       PREFERRED STOCK 464287648       3452    45300 Shares                 X                  3      45300      0      0
ISHARES
RUSSELL 2000
INDEX FD       PREFERRED STOCK 464287655        719    10408 Shares                 X                  1          0      0      0
ISHARES
RUSSELL 2000
INDEX FD       PREFERRED STOCK 464287655         18      260 Shares                          X         1          0      0      0
ISHARES
RUSSELL MID
CAP GROWTH     PREFERRED STOCK 464287481        108     1025 Shares                 X                  1          0      0      0
ISHARES
RUSSELL MID
CAP GROWTH     PREFERRED STOCK 464287481        126     1190 Shares                 X                  2          0      0      0
ISHARES
RUSSELL MID
CAP GROWTH     PREFERRED STOCK 464287481        275     2600 Shares                 X                  3       2600      0      0
ISHARES
RUSSELL MID
CAP GROWTH     PREFERRED STOCK 464287481         58      550 Shares                          X         1          0      0      0
ISHARES
S&P 100 INDEX
FUND           COMMON STOCK    464287101        119     2048 Shares                 X                  2          0      0   2048
ISHARES S&P
500 BARRA
VALUE IN       COMMON STOCK    464287408        197     3100 Shares                 X                  1       3100      0      0
ISHARES S&P
500 INDEX FD   PREFERRED STOCK 464287200       2817    22004 Shares                 X                  1          0      0      0
ISHARES S&P
500 INDEX FD   PREFERRED STOCK 464287200         19      150 Shares                 X                  2          0      0      0
ISHARES S&P
500 INDEX FD   PREFERRED STOCK 464287200         47      370 Shares                          X         1          0      0      0
ISHARES S&P
500/BARRA
GRWTH IN       PREFERRED STOCK 464287309        807    12650 Shares                 X                  1          0      0      0
ISHARES S&P
EUROPE 350
INDEX F        PREFERRED STOCK 464287861         87      900 Shares                 X                  2          0      0      0
ISHARES S&P
EUROPE 350
INDEX F        PREFERRED STOCK 464287861        146     1500 Shares                          X         1          0      0      0
ISHARES S&P
GLOBAL ENERGY
SECT           PREFERRED STOCK 464287341         20      130 Shares                 X                  2          0      0      0
ISHARES S&P
MIDCAP 400
BARRA G        PREFERRED STOCK 464287606        342     3860 Shares                 X                  1          0      0      0
ISHARES S&P
MIDCAP 400
BARRA G        PREFERRED STOCK 464287606        792     8950 Shares                 X                  2          0      0      0
ISHARES S&P
MIDCAP 400
INDEX F        PREFERRED STOCK 464287507         23      287 Shares                 X                  2          0      0      0
ISHARES S&P
MIDCAP
400/BARRA V    PREFERRED STOCK 464287705        220     2971 Shares                 X                  1          0      0      0
ISHARES S&P
MIDCAP
400/BARRA V    PREFERRED STOCK 464287705         44      600 Shares                 X                  2          0      0      0
ISHARES S&P
MIDCAP
400/BARRA V    PREFERRED STOCK 464287705         30      400 Shares                          X         1          0      0      0
ISHARES S&P
NA NAT RES SIF PREFERRED STOCK 464287374        444     2900 Shares                 X                  2          0      0      0
ISHARES S&P
NA TECHNOLOGY
SFI            PREFERRED STOCK 464287549         18      350 Shares                 X                  1          0      0      0
ISHARES S&P
NA TECHNOLOGY
SFI            PREFERRED STOCK 464287549          4       85 Shares                 X                  2          0      0      0
ISHARES S&P
SMALLCAP 600
BARRA          PREFERRED STOCK 464287879         13      200 Shares                 X                  1          0      0      0
ISHARES S&P
SMALLCAP 600
BARRA          PREFERRED STOCK 464287887         80      624 Shares                 X                  1          0      0      0
ISHARES S&P
SMALLCAP 600
INDEX          PREFERRED STOCK 464287804        269     4465 Shares                 X                  1          0      0      0
ISHARES S&P
SMALLCAP 600
INDEX          PREFERRED STOCK 464287804         18      306 Shares                 X                  2          0      0      0
ISHARES S&P
SMALLCAP 600
INDEX          PREFERRED STOCK 464287804        383     6365 Shares                          X         1          0      0      0
ISHARES TRUST
DOW JONES      COMMON STOCK    464287721       5599   104244 Shares                 X                  2      29823      0  74421
ISIS
PHARMACEUTI-
CALS COM       COMMON STOCK    464330109          5      350 Shares                 X                  1        350      0      0
ISTAR          COMMON STOCK    45031U101         35     2650 Shares                 X                  1          0      0      0
ISTAR          COMMON STOCK    45031U101       2910   216295 Shares                 X                  2      64595      0      0
ITRON INC      COMMON STOCK    465741106         77      787 Shares                 X                  1        700      0     87
ITRON INC      COMMON STOCK    465741106       1358    13800 Shares                 X                  3      13800      0      0
ITT
CORPORATION    COMMON STOCK    450911102       1297    20484 Shares                 X                  1      19824      0    660
ITT
CORPORATION    COMMON STOCK    450911102         53      840 Shares                 X                  2          0      0    840


                                    33 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
ITT
CORPORATION    COMMON STOCK    450911102        101     1600 Shares                 X                  3       1600      0      0
ITT
CORPORATION    COMMON STOCK    450911102        231     3645 Shares                          X         1       2720      0    925
J CREW
GROUP INC      COMMON STOCK    46612H402          0       13 Shares                 X                  1          0      0     13
JA SOLAR
HOLDINGS       ADR(3 ORD SHRS) 466090107         44     2615 Shares                 X                  1       2600      0     15
JA SOLAR
HOLDINGS       ADR(3 ORD SHRS) 466090107        893    53000 Shares                 X                  3      53000      0      0
JABIL CIRCUIT
INC            COMMON STOCK    466313103         63     3830 Shares                 X                  1       3830      0      0
JABIL CIRCUIT
INC            COMMON STOCK    466313103         30     1800 Shares                 X                  3       1800      0      0
JABIL CIRCUIT
INC            COMMON STOCK    466313103         30     1855 Shares                          X         1       1855      0      0
JACK IN THE
BOX INC COM    COMMON STOCK    466367109          0       15 Shares                 X                  1          0      0     15
JACOBS ENGR
GROUP          COMMON STOCK    469814107        732     9075 Shares                 X                  1       9075      0      0
JACOBS ENGR
GROUP          COMMON STOCK    469814107        202     2500 Shares                 X                  2          0      0   2500
JACOBS ENGR
GROUP          COMMON STOCK    469814107         87     1075 Shares                 X                  3       1075      0      0
JACOBS ENGR
GROUP          COMMON STOCK    469814107        230     2850 Shares                          X         1       2850      0      0
JAKKS
PACIFIC INC    COMMON STOCK    47012E106          1       25 Shares                 X                  1          0      0     25
JAMES
RIVER COAL CO  COMMON STOCK    470355207         76     1300 Shares                 X                  1       1300      0      0
JAMES
RIVER COAL CO  COMMON STOCK    470355207       1721    29325 Shares                 X                  3      29325      0      0
JANUS
CAPITAL GROUP  COMMON STOCK    47102X105         34     1300 Shares                 X                  3       1300      0      0
JDS
UNIPHASE
CORPORATION    COMMON STOCK    46612J507          2      170 Shares                 X                  1        125      0     45
JDS UNIPHASE
CORPORATION    COMMON STOCK    46612J507        251    18786 Shares                 X                  2      18475      0    311
JDS UNIPHASE
CORPORATION    COMMON STOCK    46612J507         28     2500 Shares                 X                  3       2500      0      0
JEFFERIES GRP
INC            COMMON STOCK    472319102        118     7000 Shares                 X                  3       7000      0      0
JER INVESTORS
TRUST INC REIT COMMON STOCK    46614H301       3582   568550 Shares                 X                  2          0      0      0
JETBLUE
AIRWAYS
CORPORATION    COMMON STOCK    477143101          0      100 Shares                 X                  1        100      0      0
JETBLUE
AIRWAYS
CORPORATION    COMMON STOCK    477143101          3      843 Shares                 X                  2          0      0    843
JM SMUCKER CO  COMMON STOCK    832696405        115     2842 Shares                 X                  1       2842      0      0
JM SMUCKER CO  COMMON STOCK    832696405        246     6042 Shares                          X         1       5444      0    598
JOHN HANCOCK
BANK & THRIFT
OPP            PREFERRED STOCK 409735107          9     2000 Shares                 X                  1          0      0      0
JOHN HANCOCK
BANK & THRIFT
OPP            PREFERRED STOCK 409735107          7     1616 Shares                 X                  2          0      0      0
JOHN HANCOCK
PATR PREM
DIV FD         PREFERRED STOCK 41013T105         10     1123 Shares                          X         1          0      0      0
JOHN HANCOCK
PFD INC FD II  PREFERRED STOCK 41013X106         20     1050 Shares                 X                  1          0      0      0
JOHN HANCOCK
PFD INC FD III PREFERRED STOCK 41021P103          7      400 Shares                 X                  1          0      0      0
JOHNSON &
JOHNSON        COMMON STOCK    478160104      32618   506957 Shares                 X                  1     499989      0   6968
JOHNSON &
JOHNSON        COMMON STOCK    478160104       7758   120371 Shares                 X                  2      25855      0  94516
JOHNSON &
JOHNSON        COMMON STOCK    478160104      10255   159398 Shares                 X                  3     159398      0      0
JOHNSON &
JOHNSON        COMMON STOCK    478160104         13      200 Shares                 X                  4        200      0      0
JOHNSON &
JOHNSON        COMMON STOCK    478160104      29618   460340 Shares                          X         1     444890      0  15450
JOHNSON
CONTROLS INC   COMMON STOCK    478366107        741    25840 Shares                 X                  1      25840      0      0
JOHNSON
CONTROLS INC   COMMON STOCK    478366107        153     5320 Shares                 X                  3       5320      0      0
JOHNSON
CONTROLS INC   COMMON STOCK    478366107        199     6925 Shares                          X         1       6925      0      0
JONES
APPAREL GROUP  COMMON STOCK    480074103         70     5100 Shares                 X                  3       5100      0      0
JOY GLOBAL INC COMMON STOCK    481165108       5428    71581 Shares                 X                  1      71205      0    376
JOY GLOBAL INC COMMON STOCK    481165108       4348    57329 Shares                 X                  3      57329      0      0
JOY GLOBAL INC COMMON STOCK    481165108        586     7725 Shares                          X         1       7375      0    350
JP MORGAN
CHASE &
COMPANY        COMMON STOCK    46625H100       8759   255299 Shares                 X                  1     247651      0   7648
JP MORGAN
CHASE &
COMPANY        COMMON STOCK    46625H100      11578   318166 Shares                 X                  2      76682      0 241484
JP MORGAN
CHASE &
COMPANY        COMMON STOCK    46625H100       3823   111454 Shares                 X                  3     109262      0   2192
JP MORGAN
CHASE &
COMPANY        COMMON STOCK    46625H100       4842   141128 Shares                          X         1     129772      0  11356
JUNIPER
NETWORKS COM   COMMON STOCK    48203R104        102     4600 Shares                 X                  3       4600      0      0
KADANT INC COM COMMON STOCK    48282T104         23     1000 Shares                          X         1       1000      0      0
KANSAS CITY
SOUTHERN       COMMON STOCK    485170302          0        7 Shares                 X                  1          0      0      7


                                    34 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
KANSAS LIFE
INS CO COM     COMMON STOCK    484836101         58     1400 Shares                 X                  1       1400      0      0
KAYDON CORP    COMMON STOCK    486587108         21      400 Shares                 X                  1        400      0      0
KAYDON CORP    COMMON STOCK    486587108        471     9150 Shares                 X                  3       9150      0      0
KAYNE
ANDERSON MLP
INVESTMENT     PREFERRED STOCK 486606106         70     2541 Shares                          X         1          0      0      0
KB HOME        COMMON STOCK    48666K109         12      700 Shares                 X                  3        700      0      0
KBW REGIONAL
BANKING ETF    PREFERRED STOCK 78464A698        593    22250 Shares                 X                  1          0      0      0
KELLOGG CO     COMMON STOCK    487836108       1301    27090 Shares                 X                  1      27090      0      0
KELLOGG CO     COMMON STOCK    487836108        110     2300 Shares                 X                  3       2300      0      0
KELLOGG CO     COMMON STOCK    487836108       1010    21027 Shares                          X         1      19930      0   1097
KENNAMETAL
INC            COMMON STOCK    489170100        275     8460 Shares                 X                  1       8160      0    300
KENNAMETAL
INC            COMMON STOCK    489170100        583    17900 Shares                 X                  3      17900      0      0
KENNAMETAL
INC            COMMON STOCK    489170100         35     1075 Shares                          X         1       1075      0      0
KEYCORP        COMMON STOCK    493267108         49     4507 Shares                 X                  1       4507      0      0
KEYCORP        COMMON STOCK    493267108         60     5500 Shares                 X                  2          0      0   5500
KEYCORP        COMMON STOCK    493267108        110    10000 Shares                 X                  3      10000      0      0
KEYCORP        COMMON STOCK    493267108         26     2375 Shares                          X         1       2375      0      0
KHD HUMBOLDT
WEDAG          COMMON STOCK    482462108         77     2440 Shares                 X                  1       2300      0    140
KHD HUMBOLDT
WEDAG          COMMON STOCK    482462108       1447    45900 Shares                 X                  3      45900      0      0
KIMBERLY CLARK
CORP           COMMON STOCK    494368103       4618    77258 Shares                 X                  1      77258      0      0
KIMBERLY CLARK
CORP           COMMON STOCK    494368103        258     4312 Shares                 X                  2          0      0   4312
KIMBERLY CLARK
CORP           COMMON STOCK    494368103        352     5880 Shares                 X                  3       5600      0    280
KIMBERLY CLARK
CORP           COMMON STOCK    494368103          6      100 Shares                 X                  4        100      0      0
KIMBERLY CLARK
CORP           COMMON STOCK    494368103       3535    59133 Shares                          X         1      55133      0   4000
KIMCO REALTY
CORP           COMMON STOCK    49446R109        110     3200 Shares                 X                  2          0      0      0
KIMCO REALTY
CORP           COMMON STOCK    49446R109         79     2300 Shares                 X                  3       2300      0      0
KINDER MORGAN
ENERGY
PARTNERS L P   COMMON STOCK    494550106        186     3330 Shares                 X                  1       3330      0      0
KINDER MORGAN
ENERGY
PARTNERS L P   COMMON STOCK    494550106       9452   170350 Shares                 X                  2      39700      0 130650
KINDER MORGAN
ENERGY
PARTNERS L P   COMMON STOCK    494550106         54      975 Shares                          X         1        975      0      0
KINDER MORGAN
MGMT LLC       COMMON STOCK    49455U100         89     1655 Shares                 X                  1       1655      0      0
KINDER MORGAN
MGMT LLC       COMMON STOCK    49455U100       5765   108697 Shares                 X                  2      30647      0  78050
KINETIC
CONCEPTS INC   COMMON STOCK    49460W208         14      350 Shares                          X         1        350      0      0
KING PHARMACE-
UTICALS        COMMON STOCK    495582108         11     1066 Shares                 X                  2          0      0   1066
KING PHARMACE-
UTICALS        COMMON STOCK    495582108         26     2473 Shares                 X                  3       2473      0      0
KINROSS GOLD
CORPORATION    COMMON STOCK    496902404         18      769 Shares                 X                  1        769      0      0
KKR FINANCIAL
HOLDINGS LLC   COMMON STOCK    48248A306         63     6000 Shares                 X                  1          0      0      0
KKR FINANCIAL
HOLDINGS LLC   COMMON STOCK    48248A306       8193   755474 Shares                 X                  2     120685      0      0
KLA-TENCOR
CORP           COMMON STOCK    482480100          8      200 Shares                 X                  1        200      0      0
KLA-TENCOR
CORP           COMMON STOCK    482480100         61     1500 Shares                 X                  3       1500      0      0
KNIGHT CAPITAL
GROUP INC-A    COMMON STOCK    499005106          5      270 Shares                 X                  3        270      0      0
KNIGHTSBRIDGE
TANKERS LTD    COMMON STOCK    G5299G106         16      500 Shares                 X                  1        500      0      0
KNOLOGY INC    COMMON STOCK    499183804        282    25642 Shares                 X                  2          0      0  25642
KODIAK OIL &
GAS            COMMON STOCK    50015Q100        804   176200 Shares                 X                  3     176200      0      0
KOHLS CORP     COMMON STOCK    500255104        167     4166 Shares                 X                  1       4166      0      0
KOHLS CORP     COMMON STOCK    500255104        125     3135 Shares                 X                  3       3135      0      0
KOHLS CORP     COMMON STOCK    500255104        105     2610 Shares                          X         1       2610      0      0
KONINKLIJKE
PHILIPS ELEC
N V N          COMMON STOCK    500472303         12      356 Shares                 X                  1        356      0      0
KONINKLIJKE
PHILIPS ELEC
N V N          COMMON STOCK    500472303        237     7000 Shares                          X         1       7000      0      0
KOPPERS
HOLDINGS       COMMON STOCK    50060P106         60     1425 Shares                 X                  1       1400      0     25
KOPPERS
HOLDINGS       COMMON STOCK    50060P106       1068    25500 Shares                 X                  3      25500      0      0
KOREA ELECTRIC
POWER CORP
SP A           COMMON STOCK    500631106          0       24 Shares                 X                  1         24      0      0


                                    35 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
KORN/FERRY
INTL           COMMON STOCK    500643200          0       30 Shares                 X                  1          0      0     30
KRAFT FOODS
INC            CLASS A         50075N104       7569   266044 Shares                 X                  1     263316      0   2728
KRAFT FOODS
INC            CLASS A         50075N104        305    10719 Shares                 X                  2          0      0  10719
KRAFT FOODS
INC            CLASS A         50075N104       3329   116978 Shares                 X                  3     113103      0   3875
KRAFT FOODS
INC            CLASS A         50075N104          3      100 Shares                 X                  4        100      0      0
KRAFT FOODS
INC            CLASS A         50075N104       2714    95379 Shares                          X         1      90208      0   5171
KROGER CO      COMMON STOCK    501044101        234     8094 Shares                 X                  1       8094      0      0
KROGER CO      COMMON STOCK    501044101        166     5750 Shares                 X                  3       5750      0      0
KROGER CO      COMMON STOCK    501044101         12      400 Shares                 X                  4        400      0      0
KROGER CO      COMMON STOCK    501044101         14      500 Shares                          X         1          0      0    500
KT CORPORATION
SP ADR         COMMON STOCK    48268K101          1       41 Shares                 X                  1         41      0      0
K-TRON
INTERNATIONAL
INC            COMMON STOCK    482730108        130     1000 Shares                 X                  2          0      0   1000
KUBOTA
CORP-SPONS ADR COMMON STOCK    501173207          2       46 Shares                 X                  1         46      0      0
L-3
COMMUNICATIONS COMMON STOCK    502424104         43      475 Shares                 X                  1        475      0      0
L-3
COMMUNICATIONS COMMON STOCK    502424104        100     1100 Shares                 X                  3       1100      0      0
L-3
COMMUNICATIONS COMMON STOCK    502424104         75      825 Shares                          X         1        825      0      0
LABORATORY
CORPORATION OF
AMER HLDGS     COMMON STOCK    50540R409         35      500 Shares                 X                  1        500      0      0
LABORATORY
CORPORATION OF
AMER HLDGS     COMMON STOCK    50540R409      12201   172761 Shares                 X                  2      42385      0 130376
LABORATORY
CORPORATION OF
AMER HLDGS     COMMON STOCK    50540R409         70     1000 Shares                 X                  3       1000      0      0
LABORATORY
CORPORATION OF
AMER HLDGS     COMMON STOCK    50540R409          3       40 Shares                          X         1         40      0      0
LAM RESH CORP  COMMON STOCK    512807108          9      250 Shares                 X                  1        250      0      0
LAM RESH CORP  COMMON STOCK    512807108         14      396 Shares                          X         1        396      0      0
LANCE INC      COMMON STOCK    514606102         10      532 Shares                 X                  1        532      0      0
LANDSTAR
SYSTEMS INC    COMMON STOCK    515098101          7      120 Shares                 X                  3        120      0      0
LAS VEGAS
SANDS CORP     COMMON STOCK    517834107         14      300 Shares                 X                  1        300      0      0
LASERCARD CORP COMMON STOCK    51807U101          2      500 Shares                 X                  2          0      0    500
LAYNE
CHRISTENSEN CO COMMON STOCK    521050104         35      800 Shares                 X                  1        800      0      0
LAYNE
CHRISTENSEN CO COMMON STOCK    521050104        916    20900 Shares                 X                  3      20900      0      0
LAZARD WORLD
DIVIDEND &
INCOME         PREFERRED STOCK 521076109          8      460 Shares                          X         1          0      0      0
LEAR CORP      COMMON STOCK    521865105          4      258 Shares                 X                  1        258      0      0
LEAR CORP      COMMON STOCK    521865105          2      150 Shares                          X         1        150      0      0
LEGG MASON INC COMMON STOCK    524901105        519    11920 Shares                 X                  1      11645      0    275
LEGG MASON INC COMMON STOCK    524901105        155     3560 Shares                 X                  2          0      0   3560
LEGG MASON INC COMMON STOCK    524901105         52     1200 Shares                 X                  3       1200      0      0
LEGG MASON INC COMMON STOCK    524901105         79     1808 Shares                          X         1       1808      0      0
LEGGETT &
PLATT INC      COMMON STOCK    524660107        154     9157 Shares                 X                  1       9157      0      0
LEGGETT &
PLATT INC      COMMON STOCK    524660107         50     3000 Shares                 X                  3       3000      0      0
LEHMAN BROS
HLDGS          COMMON STOCK    524908100        323    16289 Shares                 X                  1      16110      0    179
LEHMAN BROS
HLDGS          COMMON STOCK    524908100        125     6315 Shares                 X                  3       6315      0      0
LEHMAN BROS
HLDGS          COMMON STOCK    524908100        151     7626 Shares                          X         1       7226      0    400
LENNAR CORP    CLASS A         526057104         17     1400 Shares                 X                  3       1400      0      0
LENNOX INTL
INC COM        COMMON STOCK    526107107          0        5 Shares                 X                  1          0      0      5
LEUCADIA NATL
CORP           COMMON STOCK    527288104         73     1550 Shares                 X                  3       1550      0      0
LEVEL 3
COMMUNICATIONS
INCORPORATED   COMMON STOCK    52729N100         15     5000 Shares                 X                  1       5000      0      0
LEVEL 3
COMMUNICATIONS
INCORPORATED   COMMON STOCK    52729N100         80    39000 Shares                 X                  2      39000      0      0
LEXMARK INTL   CLASS A         529771107         27      800 Shares                 X                  3        800      0      0
LIBERTY ALL
STAR EQUITY FD PREFERRED STOCK 530158104        256    43649 Shares                          X         1          0      0      0
LIBERTY GLOBAL
INC - CL A     COMMON STOCK    530555101          7      213 Shares                 X                  1        213      0      0
LIBERTY GLOBAL
INC - CL A     COMMON STOCK    530555101         48     1512 Shares                          X         1       1512      0      0
LIBERTY GLOBAL
INC CL C       COMMON STOCK    530555309          7      216 Shares                 X                  1        216      0      0


                                    36 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
LIBERTY GLOBAL
INC CL C       COMMON STOCK    530555309         74     2448 Shares                          X         1       2448      0      0
LIBERTY GLOBAL
INC-CL B       COMMON STOCK    530555200         29      936 Shares                          X         1        936      0      0
LIBERTY MEDIA
CORP - CL B    COMMON STOCK    53071M609         91     3744 Shares                          X         1       3744      0      0
LIBERTY MEDIA
CORP - ENT
SER A          COMMON STOCK    53071M500        163     6736 Shares                 X                  1       6736      0      0
LIBERTY MEDIA
CORP - ENT
SER A          COMMON STOCK    53071M500        230     9472 Shares                          X         1       9472      0      0
LIBERTY MEDIA
HLDG CORP -
CAP            COMMON STOCK    53071M302         24     1684 Shares                 X                  1       1684      0      0
LIBERTY MEDIA
HLDG CORP -
CAP            COMMON STOCK    53071M302         34     2368 Shares                          X         1       2368      0      0
LIBERTY MEDIA
HLDG CORP -
CAP            COMMON STOCK    53071M401         13      936 Shares                          X         1        936      0      0
LIBERTY MEDIA
HLDG CORP -
INTE           COMMON STOCK    53071M104        116     7870 Shares                 X                  1       7870      0      0
LIBERTY MEDIA
HLDG CORP -
INTE           COMMON STOCK    53071M104        175    11840 Shares                          X         1      11840      0      0
LIBERTY MEDIA
HLDG CORP -
INTE           COMMON STOCK    53071M203         69     4680 Shares                          X         1       4680      0      0
LIBERTY
PROPERTY TRUST
(REIT)         COMMON STOCK    531172104         33     1000 Shares                 X                  2          0      0      0
LIMITED BRANDS
INC            COMMON STOCK    532716107          3      200 Shares                 X                  1        200      0      0
LIMITED BRANDS
INC            COMMON STOCK    532716107        159     9400 Shares                 X                  3       9400      0      0
LINCOLN
NATIONAL
CORPORATION    COMMON STOCK    534187109       4679   103250 Shares                 X                  1     100020      0   3230
LINCOLN
NATIONAL
CORPORATION    COMMON STOCK    534187109       1463    30450 Shares                 X                  2      12450      0  18000
LINCOLN
NATIONAL
CORPORATION    COMMON STOCK    534187109       2855    63001 Shares                 X                  3      61795      0   1206
LINCOLN
NATIONAL
CORPORATION    COMMON STOCK    534187109          9      200 Shares                 X                  4        200      0      0
LINCOLN
NATIONAL
CORPORATION    COMMON STOCK    534187109        615    13561 Shares                          X         1      13561      0      0
LINEAR
TECHNOLOGY     COMMON STOCK    535678106        292     8965 Shares                 X                  1       8215      0    750
LINEAR
TECHNOLOGY     COMMON STOCK    535678106         68     2100 Shares                 X                  3       2100      0      0
LINEAR
TECHNOLOGY     COMMON STOCK    535678106        102     3140 Shares                          X         1       1425      0   1715
LINN ENERGY
LLC            COMMON STOCK    536020100         32     1300 Shares                 X                  1       1300      0      0
LIZ CLAIBORNE
INC            COMMON STOCK    539320101         13      900 Shares                 X                  3        900      0      0
LIZ CLAIBORNE
INC            COMMON STOCK    539320101         36     2527 Shares                          X         1       2527      0      0
LJ
INTERNATIONAL
INC            COMMON STOCK    G55312105          1      400 Shares                 X                  1        400      0      0
LKQ
CORPORATION    COMMON STOCK    501889208          0       20 Shares                 X                  1          0      0     20
LOCKHEED
MARTIN CORP    COMMON STOCK    539830109      12299   124657 Shares                 X                  1     122782      0   1875
LOCKHEED
MARTIN CORP    COMMON STOCK    539830109       1164    11798 Shares                 X                  2          0      0  11798
LOCKHEED
MARTIN CORP    COMMON STOCK    539830109       3560    36084 Shares                 X                  3      36084      0      0
LOCKHEED
MARTIN CORP    COMMON STOCK    539830109         10      100 Shares                 X                  4        100      0      0
LOCKHEED
MARTIN CORP    COMMON STOCK    539830109       2517    25510 Shares                          X         1      24335      0   1175
LOEWS CORP     COMMON STOCK    540424108        133     2834 Shares                 X                  1       2834      0      0
LOEWS CORP     COMMON STOCK    540424108        169     3600 Shares                 X                  2          0      0   3600
LOEWS CORP     COMMON STOCK    540424108         87     1858 Shares                 X                  3       1858      0      0
LONGS DRUG
STORES         COMMON STOCK    543162101         34      800 Shares                 X                  1        800      0      0
LONGS DRUG
STORES         COMMON STOCK    543162101        666    15800 Shares                 X                  3      15800      0      0
LORILLARD      CAROLNA GP STK  544147101        106     1534 Shares                 X                  3       1534      0      0
LOWES CO       COMMON STOCK    548661107       3608   173882 Shares                 X                  1     166791      0   7091
LOWES CO       COMMON STOCK    548661107       1502    72357 Shares                 X                  3      69056      0   3301
LOWES CO       COMMON STOCK    548661107        306    14749 Shares                          X         1      12499      0   2250
LSI
CORPORATION    COMMON STOCK    502161102         16     2538 Shares                 X                  1       2538      0      0
LSI
CORPORATION    COMMON STOCK    502161102         37     6000 Shares                 X                  3       6000      0      0
LSI
CORPORATION    COMMON STOCK    502161102          3      508 Shares                          X         1        500      0      8
LUBRIZOL CORP  COMMON STOCK    549271104        764    16492 Shares                          X         1      16492      0      0
LULULEMON
ATHLETICA
INC-W/I        COMMON STOCK    550021109          0       12 Shares                 X                  1          0      0     12
LUMERA CORP    COMMON STOCK    55024R106          1     1000 Shares                 X                  1       1000      0      0
LUMINEX CORP
DEL            COMMON STOCK    55027E102         67     3265 Shares                 X                  1       3000      0    265
LUMINEX CORP
DEL            COMMON STOCK    55027E102       1381    67200 Shares                 X                  3      67200      0      0
M & T BK CORP  COMMON STOCK    55261F104      43858   621744 Shares                 X                  1     611420      0  10324


                                    37 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
M & T BK CORP  COMMON STOCK    55261F104         11      150 Shares                 X                  2          0      0    150
M & T BK CORP  COMMON STOCK    55261F104         59      830 Shares                 X                  3        830      0      0
M & T BK CORP  COMMON STOCK    55261F104      11385   161399 Shares                          X         1      27065      0 134334
MACYS INC      COMMON STOCK    55616P104       1951   100458 Shares                 X                  1      96662      0   3796
MACYS INC      COMMON STOCK    55616P104       2087   107414 Shares                 X                  3     104440      0   2974
MACYS INC      COMMON STOCK    55616P104         28     1438 Shares                          X         1       1438      0      0
MAGELAN
MIDSTREAM
PARTNERS LP    COMMON STOCK    559080106       3841   104400 Shares                 X                  2      25400      0  79000
MAGELLAN
MIDSTREAM
HOLDINGS       COMMON STOCK    55907R108         34     1500 Shares                 X                  2          0      0   1500
MAGNA INTL INC
CL A           COMMON STOCK    559222401         41      700 Shares                          X         1        700      0      0
MAINE &
MARITIMES CORP COMMON STOCK    560377103         17      400 Shares                 X                  1        400      0      0
MANITOWOC INC  COMMON STOCK    563571108          7      225 Shares                 X                  1        225      0      0
MANITOWOC INC  COMMON STOCK    563571108         39     1200 Shares                 X                  3       1200      0      0
MANPOWER INC
WIS            COMMON STOCK    56418H100         87     1500 Shares                 X                  1       1500      0      0
MANPOWER INC
WIS            COMMON STOCK    56418H100          4       70 Shares                 X                  3         70      0      0
MANULIFE
FINANCIAL CORP COMMON STOCK    56501R106       1250    36019 Shares                 X                  1      36019      0      0
MANULIFE
FINANCIAL CORP COMMON STOCK    56501R106        889    25600 Shares                 X                  2          0      0  25600
MANULIFE
FINANCIAL CORP COMMON STOCK    56501R106         49     1404 Shares                          X         1       1404      0      0
MARATHON OIL
CORP           COMMON STOCK    565849106       2028    39099 Shares                 X                  1      38799      0    300
MARATHON OIL
CORP           COMMON STOCK    565849106        441     8500 Shares                 X                  3       8500      0      0
MARATHON OIL
CORP           COMMON STOCK    565849106         38      725 Shares                 X                  4        725      0      0
MARATHON OIL
CORP           COMMON STOCK    565849106        326     6285 Shares                          X         1       6060      0    225
MARINER ENERGY
INC            COMMON STOCK    56845T305         15      404 Shares                 X                  1        404      0      0
MARKEL
CORPORATION    COMMON STOCK    570535104       4161    10950 Shares                 X                  2       1960      0   8990
MARKET VECTORS
AGRIBUSINESS
ET             PREFERRED STOCK 57060U605         25      400 Shares                 X                  2          0      0      0
MARKET VECTORS
GOLD MINERS    PREFERRED STOCK 57060U100          6      115 Shares                 X                  1          0      0      0
MARKET VECTORS
GOLD MINERS    PREFERRED STOCK 57060U100          5      100 Shares                          X         1          0      0      0
MARKWEST
ENERGY
PARTNERS LP    COMMON STOCK    570759100         39     1100 Shares                 X                  2          0      0   1100
MARRIOTT INTL
INC            CLASS A         571903202         78     2975 Shares                 X                  1       2975      0      0
MARRIOTT INTL
INC            CLASS A         571903202        589    22440 Shares                 X                  2          0      0  22440
MARRIOTT INTL
INC            CLASS A         571903202         73     2800 Shares                 X                  3       2800      0      0
MARSH &
MCLENNAN COS   COMMON STOCK    571748102         72     2700 Shares                 X                  1       2700      0      0
MARSH &
MCLENNAN COS   COMMON STOCK    571748102         27     1000 Shares                 X                  2          0      0   1000
MARSH &
MCLENNAN COS   COMMON STOCK    571748102        119     4480 Shares                 X                  3       4480      0      0
MARSH &
MCLENNAN COS   COMMON STOCK    571748102         72     2725 Shares                          X         1       2725      0      0
MARSHALL&-
ILSLEY NEW     COMMON STOCK    571837103         23     1527 Shares                 X                  1       1527      0      0
MARSHALL&-
ILSLEY NEW     COMMON STOCK    571837103         89     5800 Shares                 X                  3       5800      0      0
MARTEK
BIOSCIENCES    COMMON STOCK    572901106        138     4088 Shares                 X                  1       3908      0    180
MARTEK
BIOSCIENCES    COMMON STOCK    572901106        370    10972 Shares                 X                  3      10972      0      0
MARTIN
MARIETTA
MATERIALS INC  COMMON STOCK    573284106         52      500 Shares                 X                  2          0      0    500
MARVEL ENTMT   COMMON STOCK    57383T103         53     1660 Shares                 X                  1       1500      0    160
MARVEL ENTMT   COMMON STOCK    57383T103        980    30500 Shares                 X                  3      30500      0      0
MASCO CORP     COMMON STOCK    574599106        370    23522 Shares                 X                  1      23522      0      0
MASCO CORP     COMMON STOCK    574599106        122     7800 Shares                 X                  3       7800      0      0
MASCO CORP     COMMON STOCK    574599106        252    15998 Shares                          X         1      15998      0      0
MASSEY ENERGY
CO             COMMON STOCK    576206106        218     2323 Shares                 X                  1       2323      0      0
MASSEY ENERGY
CO             COMMON STOCK    576206106       3244    34600 Shares                 X                  3      34600      0      0
MASSEY ENERGY
CO             COMMON STOCK    576206106        141     1500 Shares                          X         1       1500      0      0
MASTERCARD INC
CL A           COMMON STOCK    57636Q104        100      375 Shares                 X                  1        375      0      0
MASTERCARD INC
CL A           COMMON STOCK    57636Q104         40      150 Shares                 X                  2          0      0    150
MATTEL INC     COMMON STOCK    577081102         27     1593 Shares                 X                  1       1593      0      0


                                    38 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
MATTEL INC     COMMON STOCK    577081102         56     3300 Shares                 X                  3       3300      0      0
MATTEL INC     COMMON STOCK    577081102         77     4469 Shares                          X         1       4469      0      0
MATTHEWS INTL
CORP CL A      COMMON STOCK    577128101          1       15 Shares                 X                  1          0      0     15
MAXIMUS INC
COM            COMMON STOCK    577933104          4      120 Shares                 X                  3        120      0      0
MBIA INC       COMMON STOCK    55262C100          0      100 Shares                 X                  1        100      0      0
MBIA INC       COMMON STOCK    55262C100          7     1500 Shares                 X                  3       1500      0      0
MCAFEE INC     COMMON STOCK    579064106        296     8693 Shares                 X                  1       8310      0    383
MCAFEE INC     COMMON STOCK    579064106        807    23700 Shares                 X                  3      23700      0      0
MCCORMICK & CO
INC            COMMON NON VTG  579780206       2130    59730 Shares                 X                  1      58555      0   1175
MCCORMICK & CO
INC            COMMON NON VTG  579780206         72     2000 Shares                 X                  3       2000      0      0
MCCORMICK & CO
INC            COMMON STOCK    579780107          5      150 Shares                 X                  3        150      0      0
MCCORMICK & CO
INC            COMMON NON VTG  579780206        505    14150 Shares                          X         1      10905      0   3245
MCDERMOTT INTL
INC            COMMON STOCK    580037109       4861    78535 Shares                 X                  1      76723      0   1812
MCDERMOTT INTL
INC            COMMON STOCK    580037109       4307    69569 Shares                 X                  3      67879      0   1690
MCDERMOTT INTL
INC            COMMON STOCK    580037109        197     3175 Shares                          X         1       1545      0   1630
MCDONALDS CORP COMMON STOCK    580135101       5254    93461 Shares                 X                  1      92711      0    750
MCDONALDS CORP COMMON STOCK    580135101        242     4300 Shares                 X                  2          0      0   4300
MCDONALDS CORP COMMON STOCK    580135101       1077    19155 Shares                 X                  3      19155      0      0
MCDONALDS CORP COMMON STOCK    580135101         17      300 Shares                 X                  4        300      0      0
MCDONALDS CORP COMMON STOCK    580135101       2007    35695 Shares                          X         1      30475      0   5220
MCGRAW HILL
COS INC        COMMON STOCK    580645109        517    12896 Shares                 X                  1      12896      0      0
MCGRAW HILL
COS INC        COMMON STOCK    580645109        185     4630 Shares                 X                  3       4400      0    230
MCGRAW HILL
COS INC        COMMON STOCK    580645109       1118    27870 Shares                          X         1      22670      0   5200
MCKESSON CORP  COMMON STOCK    58155Q103         33      590 Shares                 X                  1        150      0    440
MCKESSON CORP  COMMON STOCK    58155Q103        220     3930 Shares                 X                  3       2930      0   1000
MCKESSON CORP  COMMON STOCK    58155Q103          3       50 Shares                          X         1         50      0      0
MCMORAN
EXPLORATION CO COMMON STOCK    582411104          3      125 Shares                 X                  1        125      0      0
MEADOW VALLEY
CORPORATION    COMMON STOCK    583185103        200    22220 Shares                 X                  2          0      0  22220
MEADWESTVACO
CORP           COMMON STOCK    583334107         12      489 Shares                 X                  1        489      0      0
MEADWESTVACO
CORP           COMMON STOCK    583334107        119     5000 Shares                 X                  3       5000      0      0
MEDASSETS INC  COMMON STOCK    584045108         26     1515 Shares                 X                  1       1400      0    115
MEDASSETS INC  COMMON STOCK    584045108        478    28000 Shares                 X                  3      28000      0      0
MEDCO HEALTH
SOL            COMMON STOCK    58405U102       1320    27966 Shares                 X                  1      27966      0      0
MEDCO HEALTH
SOL            COMMON STOCK    58405U102        114     2412 Shares                 X                  2          0      0   2412
MEDCO HEALTH
SOL            COMMON STOCK    58405U102        216     4560 Shares                 X                  3       4560      0      0
MEDCO HEALTH
SOL            COMMON STOCK    58405U102          2       48 Shares                 X                  4         48      0      0
MEDCO HEALTH
SOL            COMMON STOCK    58405U102       1929    40876 Shares                          X         1      36548      0   4328
MEDICINES CO   COMMON STOCK    584688105         65     3290 Shares                 X                  1       3000      0    290
MEDICINES CO   COMMON STOCK    584688105       1128    56900 Shares                 X                  3      56900      0      0
MEDIS
TECHNOLGIES
LTD            COMMON STOCK    58500P107          1      300 Shares                 X                  1        300      0      0
MEDTRONIC
INCORPORATED   COMMON STOCK    585055106       4784    92443 Shares                 X                  1      91643      0    800
MEDTRONIC
INCORPORATED   COMMON STOCK    585055106      19439   384438 Shares                 X                  2     135075      0 249363
MEDTRONIC
INCORPORATED   COMMON STOCK    585055106       1268    24518 Shares                 X                  3      24518      0      0
MEDTRONIC
INCORPORATED   COMMON STOCK    585055106       4261    82345 Shares                          X         1      77155      0   5190
MEMC ELECTR
MATLS          COMMON STOCK    552715104       3238    52613 Shares                 X                  1      51680      0    933
MEMC ELECTR
MATLS          COMMON STOCK    552715104       4468    72601 Shares                 X                  3      71913      0    688
MEMC ELECTR
MATLS          COMMON STOCK    552715104         20      325 Shares                          X         1        325      0      0
MEMRY CORP     COMMON STOCK    586263204          1      350 Shares                 X                  1        350      0      0
MENS WEARHOUSE
INC COM        COMMON STOCK    587118100          0       13 Shares                 X                  1          0      0     13
MENTOR CORP
MINN COM       COMMON STOCK    587188103          6      200 Shares                          X         1        200      0      0


                                    39 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
MERCADOLIBRE
INC            COMMON STOCK    58733R102          1       15 Shares                 X                  1          0      0     15
MERCK & CO INC COMMON STOCK    589331107       7957   211106 Shares                 X                  1     210533      0    573
MERCK & CO INC COMMON STOCK    589331107        604    16028 Shares                 X                  2          0      0  16028
MERCK & CO INC COMMON STOCK    589331107       2119    56257 Shares                 X                  3      54924      0   1333
MERCK & CO INC COMMON STOCK    589331107          8      200 Shares                 X                  4        200      0      0
MERCK & CO INC COMMON STOCK    589331107       5983   158755 Shares                          X         1     150125      0   8630
MERCURY
GENERAL CORP   COMMON STOCK    589400100        126     2700 Shares                 X                  3       2700      0      0
MEREDITH CORP  COMMON STOCK    589433101         19      672 Shares                 X                  1        672      0      0
MEREDITH CORP  COMMON STOCK    589433101         10      360 Shares                 X                  3        360      0      0
MERIDIAN
BIOSCIENCE INC COMMON STOCK    589584101         31     1158 Shares                          X         1       1158      0      0
MERRILL LYNCH
& COMPANY
INCORPORATED   COMMON STOCK    590188108        805    25393 Shares                 X                  1      24665      0    728
MERRILL LYNCH
& COMPANY
INCORPORATED   COMMON STOCK    590188108       1345    40882 Shares                 X                  2       5382      0  35500
MERRILL LYNCH
& COMPANY
INCORPORATED   COMMON STOCK    590188108        917    28894 Shares                 X                  3      28064      0    830
MERRILL LYNCH
& COMPANY
INCORPORATED   COMMON STOCK    590188108          3      100 Shares                 X                  4        100      0      0
MERRILL LYNCH
& COMPANY
INCORPORATED   COMMON STOCK    590188108        656    20681 Shares                          X         1      19711      0    970
MESA
LABORATORIES
INC COM        COMMON STOCK    59064R109         12      500 Shares                 X                  1        500      0      0
METAVANTE
TECHNOLOGIES
INC            COMMON STOCK    591407101         11      479 Shares                 X                  1        479      0      0
METAVANTE
TECHNOLOGIES
INC            COMMON STOCK    591407101         27     1200 Shares                 X                  3       1200      0      0
METLIFE INC    COMMON STOCK    59156R108         48      905 Shares                 X                  1        905      0      0
METLIFE INC    COMMON STOCK    59156R108        327     6200 Shares                 X                  3       6200      0      0
METLIFE INC    COMMON STOCK    59156R108         80     1521 Shares                          X         1       1521      0      0
METROPOLITAN
HEALTH
NETWORKS I     COMMON STOCK    592142103          1      500 Shares                 X                  1        500      0      0
MFA MORTGAGE
INVESTMENTS
INC            COMMON STOCK    55272X102         52     8000 Shares                 X                  2          0      0      0
MFS GOVT
MARKETS INCOME
TRUST          PREFERRED STOCK 552939100         22     3200 Shares                 X                  1          0      0      0
MFS
MULTIMARKET
INCOME TRUST   PREFERRED STOCK 552737108         21     3600 Shares                 X                  1          0      0      0
MGIC INVT CORP COMMON STOCK    552848103          7     1200 Shares                 X                  3       1200      0      0
MICROCHIP
TECHNOLOGY     COMMON STOCK    595017104        282     9220 Shares                 X                  1       9025      0    195
MICROCHIP
TECHNOLOGY     COMMON STOCK    595017104        425    13900 Shares                 X                  3      13900      0      0
MICRON
TECHNOLOGY     COMMON STOCK    595112103         43     7100 Shares                 X                  3       7100      0      0
MICRON
TECHNOLOGY     COMMON STOCK    595112103          2      300 Shares                          X         1        300      0      0
MICROSEMI CORP COMMON STOCK    595137100         54     2160 Shares                 X                  1       1900      0    260
MICROSEMI CORP COMMON STOCK    595137100       1038    41200 Shares                 X                  3      41200      0      0
MICROSOFT
CORPORATION    COMMON STOCK    594918104      23849   866928 Shares                 X                  1     845389      0  21539
MICROSOFT
CORPORATION    COMMON STOCK    594918104       1364    48292 Shares                 X                  2      40682      0   7610
MICROSOFT
CORPORATION    COMMON STOCK    594918104      12459   452940 Shares                 X                  3     444740      0   8200
MICROSOFT
CORPORATION    COMMON STOCK    594918104         30     1100 Shares                 X                  4       1100      0      0
MICROSOFT
CORPORATION    COMMON STOCK    594918104       7801   283559 Shares                          X         1     254238      0  29321
MICROSTRATEGY
INC            COMMON STOCK    594972408         22      334 Shares                 X                  1        334      0      0
MICROSTRATEGY
INC            COMMON STOCK    594972408          2       27 Shares                 X                  2          0      0     27
MID PENN
BANCORP
INCORPORATED   COMMON STOCK    59540G107         40     1597 Shares                 X                  1       1597      0      0
MID-AMERICA
APARTMENT
COMMUNIT       COMMON STOCK    59522J103         77     1500 Shares                 X                  2          0      0      0
MIDCAP SPDR
TRUST SERIES
1 S&P          PREFERRED STOCK 595635103       1637    11002 Shares                 X                  1          0      0      0
MIDCAP SPDR
TRUST SERIES
1 S&P          PREFERRED STOCK 595635103        197     1325 Shares                 X                  2          0      0      0
MIDCAP SPDR
TRUST SERIES
1 S&P          PREFERRED STOCK 595635103         68      455 Shares                 X                  3          0      0      0
MIDCAP SPDR
TRUST SERIES
1 S&P          PREFERRED STOCK 595635103       2465    16568 Shares                          X         1          0      0      0
MILLIPORE CORP COMMON STOCK    601073109         32      475 Shares                 X                  3        475      0      0
MINE SAFETY
APPLIANCES CO  COMMON STOCK    602720104         26      650 Shares                 X                  1        650      0      0
MIRANT CORP    COMMON STOCK    60467R100          9      230 Shares                 X                  3        230      0      0
MITCHAM
INDUSTRIES INC COMMON STOCK    606501104          0       15 Shares                 X                  1          0      0     15
ML MACADAMIA
ORCHARDS       COMMON STOCK    55307U107          0      100 Shares                          X         1        100      0      0


                                    40 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
MOHAWK
INDUSTRIES INC
COM            COMMON STOCK    608190104         45      700 Shares                 X                  1        700      0      0
MOLEX INC      COMMON STOCK    608554101         88     3600 Shares                 X                  1       3600      0      0
MOLEX INC      COMMON STOCK    608554101         28     1150 Shares                 X                  3       1150      0      0
MOLSON COORS
BREWING        CLASS B         60871R209         68     1250 Shares                 X                  3       1250      0      0
MOLSON COORS
BREWING        CLASS B         60871R209         33      600 Shares                          X         1        600      0      0
MONOGRAM
BIOSCIENCES
INC            COMMON STOCK    60975U108          6     5000 Shares                 X                  2          0      0   5000
MONSANTO CO    COMMON STOCK    61166W101       3710    29345 Shares                 X                  1      28950      0    395
MONSANTO CO    COMMON STOCK    61166W101       2631    20806 Shares                 X                  3      20292      0    514
MONSANTO CO    COMMON STOCK    61166W101       1742    13778 Shares                          X         1      12738      0   1040
MONSTER
WORLDWIDE      COMMON STOCK    611742107          3      125 Shares                 X                  1        125      0      0
MONSTER
WORLDWIDE      COMMON STOCK    611742107         23     1100 Shares                 X                  3       1100      0      0
MONTGOMERY ST
INCOME SECS
INC            PREFERRED STOCK 614115103         74     4653 Shares                 X                  1          0      0      0
MOODYS CORP    COMMON STOCK    615369105        475    13785 Shares                 X                  1      11302      0   2483
MOODYS CORP    COMMON STOCK    615369105        351    10200 Shares                 X                  3      10200      0      0
MOODYS CORP    COMMON STOCK    615369105        200     5800 Shares                          X         1       5800      0      0
MOOG INC CL A  COMMON STOCK    615394202          3       75 Shares                 X                  1         75      0      0
MORGAN STAN
DEAN QUALITY
MUN I          PREFERRED STOCK 61745P734         17     1413 Shares                          X         1          0      0      0
MORGAN STANLEY COMMON STOCK    617446448       2766    76692 Shares                 X                  1      74823      0   1869
MORGAN STANLEY COMMON STOCK    617446448       2565    71137 Shares                 X                  3      69050      0   2087
MORGAN STANLEY COMMON STOCK    617446448          4      100 Shares                 X                  4        100      0      0
MORGAN STANLEY COMMON STOCK    617446448        943    26145 Shares                          X         1      25483      0    662
MORGAN STANLEY
EMERGING
MKTS D         PREFERRED STOCK 61744H105          5      500 Shares                 X                  1          0      0      0
MORGAN STANLEY
HIGH YLD FD
INC            PREFERRED STOCK 61744M104          2      300 Shares                 X                  1          0      0      0
MORGAN STANLEY
INSD MUNI
INCOM          PREFERRED STOCK 61745P791         37     2814 Shares                          X         1          0      0      0
MORGAN STANLEY
QUALITY MUNI
IN             PREFERRED STOCK 61745P668         21     1708 Shares                          X         1          0      0      0
MOSAIC CO      COMMON STOCK    61945A107       3961    27377 Shares                 X                  1      27139      0    238
MOSAIC CO      COMMON STOCK    61945A107       3030    20932 Shares                 X                  3      20405      0    527
MOSAIC CO      COMMON STOCK    61945A107        134      925 Shares                          X         1        850      0     75
MOTOROLA INC   COMMON STOCK    620076109        369    50306 Shares                 X                  1      50306      0      0
MOTOROLA INC   COMMON STOCK    620076109        154    21000 Shares                 X                  2          0      0  21000
MOTOROLA INC   COMMON STOCK    620076109        272    37023 Shares                 X                  3      37023      0      0
MOTOROLA INC   COMMON STOCK    620076109          1      150 Shares                 X                  4        150      0      0
MOTOROLA INC   COMMON STOCK    620076109        373    50885 Shares                          X         1      50885      0      0
MURPHY OIL
CORP           COMMON STOCK    626717102         74      750 Shares                 X                  1        750      0      0
MURPHY OIL
CORP           COMMON STOCK    626717102         78      800 Shares                 X                  2          0      0    800
MURPHY OIL
CORP           COMMON STOCK    626717102        167     1700 Shares                 X                  3       1700      0      0
MURPHY OIL
CORP           COMMON STOCK    626717102        147     1500 Shares                          X         1       1500      0      0
MYLAN INC      COMMON STOCK    628530107          6      533 Shares                 X                  1        533      0      0
MYLAN INC      COMMON STOCK    628530107         35     2900 Shares                 X                  3       2900      0      0
MYRIAD
GENETICS INC   COMMON STOCK    62855J104         52     1135 Shares                 X                  1       1050      0     85
MYRIAD
GENETICS INC   COMMON STOCK    62855J104        835    18350 Shares                 X                  3      18350      0      0
NABORS INDS
LTD            COMMON STOCK    G6359F103       1380    28039 Shares                 X                  1      27545      0    494
NABORS INDS
LTD            COMMON STOCK    G6359F103        123     2500 Shares                 X                  3       2500      0      0
NABORS INDS
LTD            COMMON STOCK    G6359F103       1128    22905 Shares                          X         1      22905      0      0
NASDAQ OMX
GROUP          COMMON STOCK    631103108          0       12 Shares                 X                  1          0      0     12
NATIONAL BANK
OF GREECE ADR  COMMON STOCK    633643408         54     6006 Shares                 X                  1       6006      0      0
NATIONAL BANK
OF GREECE ADR  COMMON STOCK    633643408          3      338 Shares                          X         1        338      0      0
NATIONAL CITY
CORPORATION    COMMON STOCK    635405103        122    25501 Shares                 X                  1      19901      0   5600
NATIONAL CITY
CORPORATION    COMMON STOCK    635405103        217    21800 Shares                 X                  2      21800      0      0
NATIONAL CITY
CORPORATION    COMMON STOCK    635405103         34     7100 Shares                 X                  3       7100      0      0


                                    41 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
NATIONAL GRID
GROUP PLC-ADR  COMMON STOCK    636274300         27      415 Shares                 X                  1        415      0      0
NATIONAL PENN
BANCSHARES INC COMMON STOCK    637138108        111     8356 Shares                 X                  1       8356      0      0
NATIONAL PENN
BANCSHARES INC COMMON STOCK    637138108         94     7041 Shares                          X         1       7041      0      0
NATIONAL
RETAIL
PROPERTIES INC COMMON STOCK    637417106          4      200 Shares                          X         1          0      0      0
NATIONAL
SEMICONDUCT    COMMON STOCK    637640103         48     2350 Shares                 X                  1       2350      0      0
NATIONAL
SEMICONDUCT    COMMON STOCK    637640103         45     2170 Shares                 X                  3       2170      0      0
NATIONAL
SEMICONDUCT    COMMON STOCK    637640103         63     3090 Shares                          X         1       3090      0      0
NATIONAL-
OILWELL
INCORPORATED   COMMON STOCK    637071101        655     7388 Shares                 X                  1       7263      0    125
NATIONAL-
OILWELL
INCORPORATED   COMMON STOCK    637071101       2786    37250 Shares                 X                  2      17100      0  20150
NATIONAL-
OILWELL
INCORPORATED   COMMON STOCK    637071101       1945    21915 Shares                 X                  3      21915      0      0
NATIONAL-
OILWELL
INCORPORATED   COMMON STOCK    637071101         73      824 Shares                          X         1        824      0      0
NATIONWIDE
FINL SVCS INC  COMMON STOCK    638612101          7      140 Shares                 X                  1        140      0      0
NATIONWIDE
HEALTH
PROPERTIES (   COMMON STOCK    638620104         32     1020 Shares                 X                  1          0      0      0
NATL FUEL GAS
CO             COMMON STOCK    636180101         59     1000 Shares                          X         1       1000      0      0
NATURAL
RESOURCE
PARTNERS L P   COMMON STOCK    63900P103         18      434 Shares                 X                  1        434      0      0
NATURAL
RESOURCE
PARTNERS L P   COMMON STOCK    63900P103       1030    25000 Shares                 X                  2          0      0  25000
NCR CORP       COMMON STOCK    62886E108         10      388 Shares                 X                  1        388      0      0
NCR CORP       COMMON STOCK    62886E108         37     1474 Shares                          X         1       1458      0     16
NEENAH PAPER
INC            COMMON STOCK    640079109         17     1020 Shares                 X                  1       1020      0      0
NEENAH PAPER
INC            COMMON STOCK    640079109          0       18 Shares                          X         1         18      0      0
NETAPP INC COM COMMON STOCK    64110D104         74     3400 Shares                 X                  1       2700      0    700
NETAPP INC COM COMMON STOCK    64110D104         67     3100 Shares                 X                  3       3100      0      0
NETAPP INC COM COMMON STOCK    64110D104          6      275 Shares                          X         1        100      0    175
NETEASE.COM
INC-ADR        COMMON STOCK    64110W102          4      180 Shares                 X                  3        180      0      0
NETFLIX INC    COMMON STOCK    64110L106         42     1600 Shares                 X                  1       1600      0      0
NETFLIX INC    COMMON STOCK    64110L106        837    32100 Shares                 X                  3      32100      0      0
NETGEAR INC    COMMON STOCK    64111Q104          0       15 Shares                 X                  1          0      0     15
NEUROCRINE
BIOSCIENCES
INC            COMMON STOCK    64125C109         42    10000 Shares                 X                  1      10000      0      0
NEUROCRINE
BIOSCIENCES
INC            COMMON STOCK    64125C109          2      500 Shares                          X         1          0      0    500
NEW YORK TIMES
CO             CLASS A         650111107         19     1220 Shares                 X                  1       1220      0      0
NEW YORK TIMES
CO             CLASS A         650111107         20     1270 Shares                 X                  3       1270      0      0
NEW YORK TIMES
CO             CLASS A         650111107        154    10000 Shares                          X         1      10000      0      0
NEWELL
RUBBERMAID IN  COMMON STOCK    651229106        259    15411 Shares                 X                  1      15411      0      0
NEWELL
RUBBERMAID IN  COMMON STOCK    651229106         94     5650 Shares                 X                  3       5650      0      0
NEWELL
RUBBERMAID IN  COMMON STOCK    651229106        209    12477 Shares                          X         1      11977      0    500
NEWFIELD EXPL
CO             COMMON STOCK    651290108        431     6601 Shares                 X                  1       6404      0    197
NEWFIELD EXPL
CO             COMMON STOCK    651290108       3198    49001 Shares                 X                  3      49001      0      0
NEWMARKET
CORPORATION    COMMON STOCK    651587107        517     7800 Shares                          X         1       7800      0      0
NEWMONT MINING
CORP           COMMON STOCK    651639106         15      291 Shares                 X                  1        240      0     51
NEWMONT MINING
CORP           COMMON STOCK    651639106        206     3950 Shares                 X                  3       3950      0      0
NEWMONT MINING
CORP           COMMON STOCK    651639106         83     1600 Shares                          X         1        700      0    900
NEWS CORP LTD  CLASS A         65248E104       1903   126528 Shares                 X                  1     124311      0   2217
NEWS CORP LTD  CLASS A         65248E104       1829   121618 Shares                 X                  3     116470      0   5148
NEWS CORP LTD  CLASS A         65248E104         67     4440 Shares                          X         1       4340      0    100
NEWS
CORP-CLASS B   COMMON STOCK    65248E203          7      450 Shares                          X         1        450      0      0
NEXEN INC      COMMON STOCK    65334H102         13      320 Shares                 X                  1        320      0      0
NICHOLAS-
APPLEGATE INTL
& PREM         PREFERRED STOCK 65370C108         12      600 Shares                          X         1          0      0      0
NICOR INC      COMMON STOCK    654086107         21      500 Shares                 X                  1        500      0      0
NICOR INC      COMMON STOCK    654086107         14      340 Shares                 X                  3        340      0      0
NICOR INC      COMMON STOCK    654086107         49     1150 Shares                          X         1       1150      0      0


                                    42 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
NII HOLDINGS
INC-CL B       COMMON STOCK    62913F201         14      300 Shares                 X                  1        300      0      0
NII HOLDINGS
INC-CL B       COMMON STOCK    62913F201        138     2900 Shares                 X                  2          0      0   2900
NIKE INC       CLASS B         654106103       2385    40004 Shares                 X                  1      39154      0    850
NIKE INC       CLASS B         654106103        714    11965 Shares                 X                  3      11965      0      0
NIKE INC       CLASS B         654106103        205     3440 Shares                          X         1       2090      0   1350
NISOURCE INC   COMMON STOCK    65473P105         88     4921 Shares                 X                  1       4921      0      0
NISOURCE INC   COMMON STOCK    65473P105        102     5700 Shares                 X                  3       5700      0      0
NISOURCE INC   COMMON STOCK    65473P105         40     2251 Shares                          X         1       2251      0      0
NISSAN MOTOR
LTD SPONS ADR  COMMON STOCK    654744408          2      115 Shares                 X                  1        115      0      0
NOBLE
CORPORATION    COMMON STOCK    G65422100        522     8035 Shares                 X                  1       7235      0    800
NOBLE
CORPORATION    COMMON STOCK    G65422100        153     2350 Shares                 X                  3       2350      0      0
NOBLE ENERGY
INC            COMMON STOCK    655044105        637     6330 Shares                 X                  1       6145      0    185
NOBLE ENERGY
INC            COMMON STOCK    655044105       1271    12635 Shares                 X                  3      12635      0      0
NOBLE ENERGY
INC            COMMON STOCK    655044105         70      700 Shares                          X         1        700      0      0
NOKIA CORP
SPONSORED ADR  COMMON STOCK    654902204        885    36108 Shares                 X                  1      36108      0      0
NOKIA CORP
SPONSORED ADR  COMMON STOCK    654902204          5      210 Shares                 X                  3        210      0      0
NOKIA CORP
SPONSORED ADR  COMMON STOCK    654902204        566    23115 Shares                          X         1      22665      0    450
NOMURA HLDGS
INC            COMMON STOCK    65535H208          2      147 Shares                 X                  1        147      0      0
NORDSTROM INC  COMMON STOCK    655664100       1299    42860 Shares                 X                  1      42583      0    277
NORDSTROM INC  COMMON STOCK    655664100       1710    56423 Shares                 X                  3      56423      0      0
NORDSTROM INC  COMMON STOCK    655664100         12      400 Shares                          X         1        400      0      0
NORFOLK
SOUTHERN       COMMON STOCK    655844108       1538    24546 Shares                 X                  1      24346      0    200
NORFOLK
SOUTHERN       COMMON STOCK    655844108         13      200 Shares                 X                  2          0      0    200
NORFOLK
SOUTHERN       COMMON STOCK    655844108        242     3860 Shares                 X                  3       3860      0      0
NORFOLK
SOUTHERN       COMMON STOCK    655844108       1129    18010 Shares                          X         1      15310      0   2700
NORTEL
NETWORKS CORP  COMMON STOCK    656568508          4      539 Shares                 X                  1        539      0      0
NORTEL
NETWORKS CORP  COMMON STOCK    656568508          0       38 Shares                          X         1         38      0      0
NORTHEAST
UTILITIES COM  COMMON STOCK    664397106         10      375 Shares                 X                  1        375      0      0
NORTHEAST
UTILITIES COM  COMMON STOCK    664397106         14      555 Shares                          X         1        555      0      0
NORTHERN TR
CORP           COMMON STOCK    665859104        117     1700 Shares                 X                  3       1700      0      0
NORTHROP
GRUMMAN CO     COMMON STOCK    666807102        484     7236 Shares                 X                  1       7236      0      0
NORTHROP
GRUMMAN CO     COMMON STOCK    666807102        415     6200 Shares                 X                  3       6200      0      0
NORTHROP
GRUMMAN CO     COMMON STOCK    666807102        159     2373 Shares                          X         1       2373      0      0
NORTHWEST
AIRLINES CORP  COMMON STOCK    667280408          0        4 Shares                 X                  1          4      0      0
NORTHWEST
NATURAL GAS
COMPANY        COMMON STOCK    667655104         76     1650 Shares                 X                  1       1650      0      0
NORTHWEST
NATURAL GAS
COMPANY        COMMON STOCK    667655104         23      500 Shares                          X         1        500      0      0
NORTHWEST PIPE
COMPANY        COMMON STOCK    667746101         37      670 Shares                 X                  1        670      0      0
NORTHWESTERN
CORP           COMMON STOCK    668074305          9      355 Shares                          X         1        355      0      0
NOVA CHEMICALS
CORP           COMMON STOCK    66977W109          8      312 Shares                 X                  1        312      0      0
NOVARTIS AG
ADR            COMMON STOCK    66987V109       5700   103567 Shares                 X                  1     100869      0   2698
NOVARTIS AG
ADR            COMMON STOCK    66987V109        846    15362 Shares                 X                  3      13004      0   2358
NOVARTIS AG
ADR            COMMON STOCK    66987V109        783    14234 Shares                          X         1      11749      0   2485
NOVELL INC     COMMON STOCK    670006105          4      650 Shares                 X                  1        650      0      0
NOVELL INC     COMMON STOCK    670006105         21     3605 Shares                 X                  3       3605      0      0
NOVELL INC     COMMON STOCK    670006105         29     5000 Shares                          X         1       5000      0      0
NOVELLUS SYS
INC            COMMON STOCK    670008101         28     1320 Shares                 X                  3       1320      0      0
NOVO-NORDISK
A/S SPONS ADR  COMMON STOCK    670100205        330     5000 Shares                 X                  2          0      0   5000
NRG ENERGY INC COMMON STOCK    629377508          4      100 Shares                 X                  3        100      0      0
NSTAR COM      COMMON STOCK    67019E107         55     1620 Shares                 X                  1       1620      0      0
NTT DOCOMO INC
SPONSORED ADR  COMMON STOCK    62942M201          1       81 Shares                 X                  1         81      0      0


                                    43 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
NU SKIN
ENTERPRISES
INC            COMMON STOCK    67018T105         12      800 Shares                 X                  2          0      0    800
NUANCE
COMMUNICATION  COMMON STOCK    67020Y100         69     4375 Shares                 X                  1       4000      0    375
NUANCE
COMMUNICATION  COMMON STOCK    67020Y100       1199    76500 Shares                 X                  3      76500      0      0
NUCOR CORP     COMMON STOCK    670346105        760    10183 Shares                 X                  1       7883      0   2300
NUCOR CORP     COMMON STOCK    670346105        209     2800 Shares                 X                  3       2800      0      0
NUCOR CORP     COMMON STOCK    670346105        121     1620 Shares                          X         1       1620      0      0
NUCRYST
PHARMACEUTICA-
LS CORP        COMMON STOCK    67035Q100          0      200 Shares                 X                  1        200      0      0
NUSTAR ENERGY
LP             COMMON STOCK    67058H102         16      335 Shares                 X                  1        335      0      0
NUSTAR ENERGY
LP             COMMON STOCK    67058H102          9      200 Shares                          X         1        200      0      0
NUSTAR GP
HOLDINGS LLC   COMMON STOCK    67059L102         33     1500 Shares                 X                  2          0      0   1500
NUVASIVE INC   COMMON STOCK    670704105         69     1535 Shares                 X                  1       1400      0    135
NUVASIVE INC   COMMON STOCK    670704105       1366    30575 Shares                 X                  3      30575      0      0
NUVEEN INSD
MUNI
OPPORTUNITY    PREFERRED STOCK 670984103          6      500 Shares                 X                  2          0      0      0
NUVEEN INSD
MUNI
OPPORTUNITY    PREFERRED STOCK 670984103          5      396 Shares                          X         1          0      0      0
NUVEEN INSD
QUALITY MUN FD PREFERRED STOCK 67062N103         60     4624 Shares                 X                  1          0      0      0
NUVEEN INSD
QUALITY MUN FD PREFERRED STOCK 67062N103         10      760 Shares                 X                  2          0      0      0
NUVEEN INSURED
PREM INC MUNI
F              PREFERRED STOCK 6706D8104         36     3100 Shares                 X                  2          0      0      0
NUVEEN INVT
QUALITY MUNI
FD             PREFERRED STOCK 67062E103          4      333 Shares                          X         1          0      0      0
NUVEEN
MARYLAND
DIVIDEND ADV M PREFERRED STOCK 67069R107         13      923 Shares                 X                  1          0      0      0
NUVEEN
MARYLAND PREM
INC MUN F      PREFERRED STOCK 67061Q107         26     2100 Shares                 X                  2          0      0      0
NUVEEN MD DIV
ADVANTAGE MUN
FD             PREFERRED STOCK 67070V105         55     4059 Shares                 X                  1          0      0      0
NUVEEN MD DIV
ADVANTAGE MUN
FD             PREFERRED STOCK 67070V105         14     1000 Shares                 X                  2          0      0      0
NUVEEN MULTI
STRATEGY INC
& GR           PREFERRED STOCK 67073D102         18     1860 Shares                 X                  1          0      0      0
NUVEEN MULTI
STRATEGY INC
& GR           PREFERRED STOCK 67073D102          5      500 Shares                          X         1          0      0      0
NUVEEN MUNI
MARKET
OPPORTUNITY    PREFERRED STOCK 67062W103        191    15000 Shares                          X         1          0      0      0
NUVEEN
MUNICIPAL
ADVANTAGE FD   PREFERRED STOCK 67062H106         13     1000 Shares                          X         1          0      0      0
NUVEEN
MUNICIPAL
VALUE FUND     PREFERRED STOCK 670928100         29     2963 Shares                 X                  1          0      0      0
NUVEEN
MUNICIPAL
VALUE FUND     PREFERRED STOCK 670928100         25     2594 Shares                          X         1          0      0      0
NUVEEN NY INVT
QUALITY MUN FD PREFERRED STOCK 67062X101         38     2965 Shares                          X         1          0      0      0
NUVEEN NY
QUALITY INC
MUNI FD        PREFERRED STOCK 670986108         88     7026 Shares                 X                  1          0      0      0
NUVEEN PA
DIVIDEND ADV
MUNI FD        PREFERRED STOCK 67070E103         13     1000 Shares                          X         1          0      0      0
NUVEEN PA INVT
QUALITY MUN FD PREFERRED STOCK 670972108        129    10218 Shares                 X                  1          0      0      0
NUVEEN PA INVT
QUALITY MUN FD PREFERRED STOCK 670972108         45     3600 Shares                          X         1          0      0      0
NUVEEN PA PREM
INCOME MUN
FD 2           PREFERRED STOCK 67061F101         38     3215 Shares                 X                  1          0      0      0
NUVEEN PA PREM
INCOME MUN
FD 2           PREFERRED STOCK 67061F101       1643   137734 Shares                          X         1          0      0      0
NUVEEN
PERFORMANCE
PLUS MUNI F    PREFERRED STOCK 67062P108         39     3000 Shares                 X                  1          0      0      0
NUVEEN
PERFORMANCE
PLUS MUNI F    PREFERRED STOCK 67062P108          5      390 Shares                          X         1          0      0      0
NUVEEN PFD &
CVRT INCOME
FUND           PREFERRED STOCK 67073B106         24     2500 Shares                 X                  1          0      0      0
NUVEEN PREMIER
INSD MUNI INC
F              PREFERRED STOCK 670987106          5      410 Shares                 X                  1          0      0      0
NUVEEN PREMIER
INSD MUNI INC FPREFERRED STOCK 670987106         13     1050 Shares                 X                  2          0      0      0
NUVEEN PREMIER
INSD MUNI INC FPREFERRED STOCK 670987106         13     1000 Shares                          X         1          0      0      0
NUVEEN QUALITY
INCOME MUNI FD PREFERRED STOCK 670977107          7      500 Shares                 X                  1          0      0      0
NUVEEN QUALITY
INCOME MUNI FD PREFERRED STOCK 670977107          3      210 Shares                          X         1          0      0      0
NUVEEN QUALITY
PFD INCOME FD 2PREFERRED STOCK 67072C105         17     1735 Shares                 X                  1          0      0      0
NUVEEN QUALITY
PFD INCOME FD 3PREFERRED STOCK 67072W101          7      700 Shares                          X         1          0      0      0
NUVEEN SELECT
QUALITY MUN FD PREFERRED STOCK 670973106          6      406 Shares                          X         1          0      0      0
NUVEEN SELECT
TAX-FREE INC 2 PREFERRED STOCK 67063C106        550    40000 Shares                          X         1          0      0      0
NUVEEN VA DVD
ADV MUNI BOND
FU             PREFERRED STOCK 67069M108         53     4000 Shares                 X                  1          0      0      0
NUVEEN VA DVD
ADV MUNI BOND
FU             PREFERRED STOCK 67069M108          8      625 Shares                 X                  2          0      0      0
NUVEEN VA DVD
ADV MUNI FD 2  PREFERRED STOCK 67071C106         56     4000 Shares                 X                  1          0      0      0


                                    44 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
NUVEEN VA DVD
ADV MUNI FD 2  PREFERRED STOCK 67071C106          9      650 Shares                 X                  2          0      0      0
NVIDIA CORP    COMMON STOCK    67066G104          3      156 Shares                 X                  1        156      0      0
NVIDIA CORP    COMMON STOCK    67066G104         94     5000 Shares                 X                  3       5000      0      0
NVR INC        COMMON STOCK    62944T105          1        1 Shares                 X                  1          0      0      1
NVR INC        COMMON STOCK    62944T105          5       10 Shares                 X                  3         10      0      0
NYSE EURONEXT  COMMON STOCK    629491101         56     1100 Shares                 X                  1         50      0   1050
NYSE EURONEXT  COMMON STOCK    629491101        120     2375 Shares                 X                  3       2375      0      0
NYSE EURONEXT  COMMON STOCK    629491101         10      200 Shares                          X         1        200      0      0
O2MICRO INTL
LTD            ADR(50 ORD SHRS 67107W100         26     3890 Shares                 X                  1       3600      0    290
O2MICRO INTL
LTD            ADR(50 ORD SHRS 67107W100        456    68500 Shares                 X                  3      68500      0      0
OCCIDENTAL
PETROLEUM
CORPORATION    COMMON STOCK    674599105        557     6204 Shares                 X                  1       6204      0      0
OCCIDENTAL
PETROLEUM
CORPORATION    COMMON STOCK    674599105       2095    25050 Shares                 X                  2       9350      0  15700
OCCIDENTAL
PETROLEUM
CORPORATION    COMMON STOCK    674599105        786     8750 Shares                 X                  3       8750      0      0
OCCIDENTAL
PETROLEUM
CORPORATION    COMMON STOCK    674599105        333     3701 Shares                          X         1       3701      0      0
OCEANEERING
INTL INC       COMMON STOCK    675232102        131     1700 Shares                 X                  1       1700      0      0
OCEANEERING
INTL INC       COMMON STOCK    675232102       1529    19850 Shares                 X                  3      19850      0      0
OFFICE DEPOT
INC            COMMON STOCK    676220106         16     1500 Shares                 X                  1       1500      0      0
OFFICE DEPOT
INC            COMMON STOCK    676220106         26     2400 Shares                 X                  3       2400      0      0
OFFICEMAX INC  COMMON STOCK    67622P101         95     6800 Shares                 X                  3       6800      0      0
OGE ENERGY
CORP COM       COMMON STOCK    670837103         13      400 Shares                 X                  1        400      0      0
OGE ENERGY
CORP COM       COMMON STOCK    670837103         76     2410 Shares                          X         1       2410      0      0
OLD NATIONAL
BANCORP COM    COMMON STOCK    680033107         81     5700 Shares                 X                  1       5700      0      0
OLD REPUBLIC
INTL CORP COM  COMMON STOCK    680223104         47     4000 Shares                 X                  1       4000      0      0
OLIN CORP COM  COMMON STOCK    680665205         20      750 Shares                 X                  1        750      0      0
OLIN CORP COM  COMMON STOCK    680665205         34     1300 Shares                          X         1       1300      0      0
OMNICELL
INCORPORATED   COMMON STOCK    68213N109          1       41 Shares                 X                  1          0      0     41
OMNICOM GROUP
INC            COMMON STOCK    681919106        302     6730 Shares                 X                  1       6730      0      0
OMNICOM GROUP
INC            COMMON STOCK    681919106        136     3040 Shares                 X                  3       3040      0      0
OMNICOM GROUP
INC            COMMON STOCK    681919106        159     3550 Shares                          X         1       3550      0      0
OMNITURE INC   COMMON STOCK    68212S109         53     2830 Shares                 X                  1       2600      0    230
OMNITURE INC   COMMON STOCK    68212S109        966    52000 Shares                 X                  3      52000      0      0
OMNOVA
SOLUTIONS INC
COM            COMMON STOCK    682129101          2      645 Shares                 X                  1        645      0      0
ON
SEMICONDUCTOR
COR            COMMON STOCK    682189105         80     8775 Shares                 X                  1       8000      0    775
ON
SEMICONDUCTOR
COR            COMMON STOCK    682189105       1421   154900 Shares                 X                  3     154900      0      0
ON TRACK
INNOVATION     SHARES          M8791A109          2      900 Shares                 X                  3        900      0      0
ONCOTHYREON INCCOMMON STOCK    682324108          2      833 Shares                 X                  1        150      0    683
ONEOK INC      COMMON STOCK    682680103         39      800 Shares                 X                  1        800      0      0
ONEOK PARTNERS
LP             COMMON STOCK    68268N103         34      600 Shares                 X                  2          0      0    600
ONEOK PARTNERS
LP             COMMON STOCK    68268N103        112     2000 Shares                          X         1       2000      0      0
OPTIONSXPRESS
HOLDINGS INC   COMMON STOCK    684010101          1       26 Shares                 X                  1          0      0     26
ORACLE
CORPORATION    COMMON STOCK    68389X105       3873   184430 Shares                 X                  1     184430      0      0
ORACLE
CORPORATION    COMMON STOCK    68389X105       1204    60166 Shares                 X                  2      41166      0  19000
ORACLE
CORPORATION    COMMON STOCK    68389X105       3324   158285 Shares                 X                  3     158285      0      0
ORACLE
CORPORATION    COMMON STOCK    68389X105         18      850 Shares                 X                  4        850      0      0
ORACLE
CORPORATION    COMMON STOCK    68389X105        581    27685 Shares                          X         1      27685      0      0
ORION ENERGY
SYSTEMS INC    COMMON STOCK    686275108          1      100 Shares                 X                  1        100      0      0
OSHKOSH
CORPORATION    COMMON STOCK    688239201          7      350 Shares                 X                  1        350      0      0
OSI
PHARMACEUTI-
CALS           COMMON STOCK    671040103         45     1095 Shares                 X                  1       1000      0     95
OSI
PHARMACEUTI-
CALS           COMMON STOCK    671040103        802    19400 Shares                 X                  3      19400      0      0
OTELCO INC     COMMON STOCK    688823202         22     1355 Shares                 X                  1       1355      0      0


                                    45 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
OYO GEOSPACE   COMMON STOCK    671074102         46      780 Shares                 X                  1        700      0     80
OYO GEOSPACE   COMMON STOCK    671074102        811    13750 Shares                 X                  3      13750      0      0
PACCAR INC     COMMON STOCK    693718108         12      280 Shares                 X                  1        280      0      0
PACCAR INC     COMMON STOCK    693718108        282     6750 Shares                 X                  2          0      0   6750
PACCAR INC     COMMON STOCK    693718108        138     3300 Shares                 X                  3       3300      0      0
PACKAGING CORP
AMER           COMMON STOCK    695156109         62     2900 Shares                 X                  3       2900      0      0
PACTIV CORP    COMMON STOCK    695257105          4      200 Shares                 X                  1        200      0      0
PACTIV CORP    COMMON STOCK    695257105         22     1050 Shares                 X                  3       1050      0      0
PACTIV CORP    COMMON STOCK    695257105          4      200 Shares                          X         1        200      0      0
PAETEC HOLDING
CORP           COMMON STOCK    695459107          6     1000 Shares                 X                  1       1000      0      0
PALATIN
TECHNOLOGIES
INC            COMMON STOCK    696077304          1     5000 Shares                 X                  2          0      0   5000
PALL CORP      COMMON STOCK    696429307         46     1150 Shares                 X                  3       1150      0      0
PALL CORP      COMMON STOCK    696429307         79     2000 Shares                          X         1       2000      0      0
PALM INC       COMMON STOCK    696643105         92    17000 Shares                 X                  2          0      0  17000
PAN AMERICAN
SILVER CORP    COMMON STOCK    697900108          3      100 Shares                 X                  1        100      0      0
PAPA JOHNS
INTERNATIONAL
INC            COMMON STOCK    698813102          5      200 Shares                 X                  1        200      0      0
PARAMETRIC
TECH CORP      COMMON STOCK    699173209         50     3020 Shares                 X                  1       2800      0    220
PARAMETRIC
TECH CORP      COMMON STOCK    699173209       1159    69500 Shares                 X                  3      69500      0      0
PAREXEL INTL
CORP           COMMON STOCK    699462107         98     3710 Shares                 X                  1       3400      0    310
PAREXEL INTL
CORP           COMMON STOCK    699462107       1971    74900 Shares                 X                  3      74900      0      0
PARKER
DRILLING CO    COMMON STOCK    701081101          1      130 Shares                 X                  1          0      0    130
PARKER
HANNIFIN CORP  COMMON STOCK    701094104        324     4544 Shares                 X                  1       4544      0      0
PARKER
HANNIFIN CORP  COMMON STOCK    701094104        109     1530 Shares                 X                  3       1530      0      0
PARKER
HANNIFIN CORP  COMMON STOCK    701094104        145     2032 Shares                          X         1       2032      0      0
PATRIOT COAL
CORP           COMMON STOCK    70336T104        199     1296 Shares                 X                  1       1279      0     17
PATRIOT COAL
CORP           COMMON STOCK    70336T104       3100    20225 Shares                 X                  3      20225      0      0
PATRIOT COAL
CORP           COMMON STOCK    70336T104         10       67 Shares                          X         1         67      0      0
PATTERSON
COMPANIES      COMMON STOCK    703395103         35     1200 Shares                 X                  3       1200      0      0
PATTERSON-UTI
ENERGY INC     COMMON STOCK    703481101         34      950 Shares                 X                  1        950      0      0
PATTERSON-UTI
ENERGY INC     COMMON STOCK    703481101          5      140 Shares                 X                  3        140      0      0
PAYCHEX INC    COMMON STOCK    704326107       1222    39079 Shares                 X                  1      39079      0      0
PAYCHEX INC    COMMON STOCK    704326107        242     7750 Shares                 X                  2          0      0   7750
PAYCHEX INC    COMMON STOCK    704326107        151     4800 Shares                 X                  3       4800      0      0
PAYCHEX INC    COMMON STOCK    704326107         93     2975 Shares                          X         1       2975      0      0
PDL BIOPHARMA
INC            COMMON STOCK    69329Y104          3      300 Shares                          X         1        300      0      0
PEABODY ENERGY
CORP           COMMON STOCK    704549104       4150    47137 Shares                 X                  1      46014      0   1123
PEABODY ENERGY
CORP           COMMON STOCK    704549104       1598    18150 Shares                 X                  3      18150      0      0
PEABODY ENERGY
CORP           COMMON STOCK    704549104        612     6955 Shares                          X         1       4975      0   1980
PEDIATRIX MED
GRP            COMMON STOCK    705324101        266     5404 Shares                 X                  1       5125      0    279
PEDIATRIX MED
GRP            COMMON STOCK    705324101       1418    28800 Shares                 X                  3      28800      0      0
PEDIATRIX MED
GRP            COMMON STOCK    705324101         39      800 Shares                          X         1          0      0    800
PEETS COFFEE &
TEA INC COM    COMMON STOCK    705560100          4      200 Shares                 X                  1        200      0      0
PENGROWTH
ENERGY TRUST   COMMON STOCK    706902509          4      200 Shares                 X                  1        200      0      0
PENGROWTH
ENERGY TRUST   COMMON STOCK    706902509         46     2300 Shares                 X                  2          0      0   2300
PENN ESTATE
INV TR (REIT)  COMMON STOCK    709102107         65     2816 Shares                 X                  1          0      0      0
PENN ESTATE
INV TR (REIT)  COMMON STOCK    709102107         21      900 Shares                 X                  2          0      0      0
PENN NATL
GAMING INC     COMMON STOCK    707569109          2       75 Shares                 X                  1         75      0      0
PENN VA
RESOURCE
PARTNERS LP    COMMON STOCK    707884102         27     1000 Shares                          X         1       1000      0      0
PENN VIRGINIA
GP HOLDINGS LP COMMON STOCK    70788P105         56     1700 Shares                 X                  2          0      0   1700
PENNEY J C INC COMMON STOCK    708160106        140     3861 Shares                 X                  1       3861      0      0


                                    46 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
PENNEY J C INC COMMON STOCK    708160106         36     1000 Shares                 X                  2          0      0   1000
PENNEY J C INC COMMON STOCK    708160106        198     5468 Shares                 X                  3       5468      0      0
PENNEY J C INC COMMON STOCK    708160106        130     3583 Shares                          X         1       3583      0      0
PENNICHUCK
CORPORATION
NEW            COMMON STOCK    708254206         14      600 Shares                 X                  1        600      0      0
PENNS WOODS
BANCORP INC.   COMMON STOCK    708430103         31     1000 Shares                 X                  1          0      0   1000
PENNS WOODS
BANCORP INC.   COMMON STOCK    708430103        304     9721 Shares                 X                  3       9721      0      0
PENNSYLVANIA
COMMERCE
BANCORP        COMMON STOCK    708677109        119     4928 Shares                 X                  1       4928      0      0
PENNWEST
ENERGY TRUST   COMMON STOCK    707885109         75     2210 Shares                          X         1       2210      0      0
PENTAIR INC
COM            COMMON STOCK    709631105         28      800 Shares                 X                  1        800      0      0
PENTAIR INC
COM            COMMON STOCK    709631105        273     7800 Shares                          X         1       7800      0      0
PEPCO HOLDINGS
INC            COMMON STOCK    713291102        559    21783 Shares                 X                  1      20257      0   1526
PEPCO HOLDINGS
INC            COMMON STOCK    713291102         55     2155 Shares                 X                  2          0      0   2155
PEPCO HOLDINGS
INC            COMMON STOCK    713291102         45     1750 Shares                 X                  3       1750      0      0
PEPCO HOLDINGS
INC            COMMON STOCK    713291102        302    11785 Shares                          X         1       9485      0   2300
PEPSI BOTTLING
GRP            COMMON STOCK    713409100         36     1300 Shares                 X                  3       1300      0      0
PEPSIAMERICAS
INC COM        COMMON STOCK    71343P200         12      600 Shares                          X         1        600      0      0
PEPSICO
INCORPORATED   COMMON STOCK    713448108      28591   449613 Shares                 X                  1     445659      0   3954
PEPSICO
INCORPORATED   COMMON STOCK    713448108       6139    94132 Shares                 X                  2      17775      0  76357
PEPSICO
INCORPORATED   COMMON STOCK    713448108       8369   131611 Shares                 X                  3     129388      0   2223
PEPSICO
INCORPORATED   COMMON STOCK    713448108         10      150 Shares                 X                  4        150      0      0
PEPSICO
INCORPORATED   COMMON STOCK    713448108      15050   236673 Shares                          X         1     213961      0  22712
PERFECT WORLD  ADR 5 ORD SHRS
CO             B               71372U104         38     1525 Shares                 X                  1       1400      0    125
PERFECT WORLD  ADR 5 ORD SHRS
CO             B               71372U104        699    28000 Shares                 X                  3      28000      0      0
PERINI
CORPORATION    COMMON STOCK    713839108          4      120 Shares                 X                  3        120      0      0
PERKINELMER
INC            COMMON STOCK    714046109         14      505 Shares                 X                  1        505      0      0
PERKINELMER
INC            COMMON STOCK    714046109         29     1030 Shares                 X                  3       1030      0      0
PERKINELMER
INC            COMMON STOCK    714046109        111     4000 Shares                          X         1       4000      0      0
PERMA-FIX
ENVIRONMENTAL
SVCS           COMMON STOCK    714157104        780   270000 Shares                 X                  2          0      0 270000
PERMIAN BASIN
ROYALTY TRUST  COMMON STOCK    714236106         45     1700 Shares                 X                  1       1700      0      0
PERMIAN BASIN
ROYALTY TRUST  COMMON STOCK    714236106        995    37700 Shares                 X                  3      37700      0      0
PERRIGO CO     COMMON STOCK    714290103        333    10483 Shares                 X                  1       9951      0    532
PERRIGO CO     COMMON STOCK    714290103       1635    51449 Shares                 X                  3      51449      0      0
PETE & RES
CORP COM       COMMON STOCK    716549100         44     1000 Shares                 X                  1       1000      0      0
PETMED EXPRESS
INC            COMMON STOCK    716382106         10      800 Shares                 X                  1        800      0      0
PETRO-CANADA   COMMON STOCK    71644E102         89     1600 Shares                          X         1       1600      0      0
PETROCHINA CO
LTD ADR        COMMON STOCK    71646E100         16      125 Shares                          X         1        125      0      0
PETROHAWK
ENERGY         COMMON STOCK    716495106        458     9900 Shares                 X                  1       9900      0      0
PETROHAWK
ENERGY         COMMON STOCK    716495106       4058    87650 Shares                 X                  3      87650      0      0
PETROLEO
BRASILEIRO SA
ADR            COMMON STOCK    71654V101         51      880 Shares                 X                  2          0      0    880
PETROLEO
BRASILEIRO SA
SPNS AD        COMMON STOCK    71654V408          2       28 Shares                 X                  1         28      0      0
PETSMART INC   COMMON STOCK    716768106        323    16185 Shares                 X                  1      16185      0      0
PETSMART INC   COMMON STOCK    716768106        111     5560 Shares                          X         1       5560      0      0
PFIZER
INCORPORATED   COMMON STOCK    717081103      12118   693620 Shares                 X                  1     684632      0   8988
PFIZER
INCORPORATED   COMMON STOCK    717081103       4527   245959 Shares                 X                  2      66500      0 179459
PFIZER
INCORPORATED   COMMON STOCK    717081103       2842   162602 Shares                 X                  3     162602      0      0
PFIZER
INCORPORATED   COMMON STOCK    717081103         13      750 Shares                 X                  4        750      0      0
PFIZER
INCORPORATED   COMMON STOCK    717081103       7443   426046 Shares                          X         1     413631    600  11815
PG&E CORP      COMMON STOCK    69331C108        114     2863 Shares                 X                  1       2863      0      0
PG&E CORP      COMMON STOCK    69331C108        123     3100 Shares                 X                  3       3100      0      0
PG&E CORP      COMMON STOCK    69331C108         81     2050 Shares                          X         1        550      0   1500


                                    47 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
PHARMACEUTICAL
HOLDERS TRUST  PREFERRED STOCK 71712A206         34      500 Shares                          X         1          0      0      0
PHARMACEUTICAL
PROD           COMMON STOCK    717124101        395     9218 Shares                 X                  1       8800      0    418
PHARMACEUTICAL
PROD           COMMON STOCK    717124101       1055    24600 Shares                 X                  3      24600      0      0
PHASE FORWARD
INC            COMMON STOCK    71721R406          1       30 Shares                 X                  1          0      0     30
PHILIP MORRIS
INTL           COMMON STOCK    718172109      14447   292500 Shares                 X                  1     289775      0   2725
PHILIP MORRIS
INTL           COMMON STOCK    718172109       1324    26800 Shares                 X                  2          0      0  26800
PHILIP MORRIS
INTL           COMMON STOCK    718172109       5858   118594 Shares                 X                  3     118594      0      0
PHILIP MORRIS
INTL           COMMON STOCK    718172109       7193   145632 Shares                          X         1     138222      0   7410
PHILLIPS VAN
HEUSEN         COMMON STOCK    718592108         24      665 Shares                 X                  1        600      0     65
PHILLIPS VAN
HEUSEN         COMMON STOCK    718592108        483    13200 Shares                 X                  3      13200      0      0
PHOENIX COS
INC COM        COMMON STOCK    71902E109         13     1745 Shares                 X                  1       1745      0      0
PHOENIX COS
INC COM        COMMON STOCK    71902E109         14     1798 Shares                 X                  2          0      0   1798
PHOENIX COS
INC COM        COMMON STOCK    71902E109         10     1256 Shares                          X         1       1256      0      0
PHOTON
DYNAMICS       COMMON STOCK    719364101         71     4715 Shares                 X                  1       4300      0    415
PHOTON
DYNAMICS       COMMON STOCK    719364101       1230    81600 Shares                 X                  3      81600      0      0
PIEDMONT NAT
GAS INC        COMMON STOCK    720186105         57     2180 Shares                 X                  1       2180      0      0
PIEDMONT NAT
GAS INC        COMMON STOCK    720186105         10      400 Shares                          X         1        400      0      0
PIMCO
MUNICIPAL
INCOME FUND    PREFERRED STOCK 72200R107          1       71 Shares                 X                  1          0      0      0
PIMCO
MUNICIPAL
INCOME FUND    PREFERRED STOCK 72200R107         16     1000 Shares                 X                  2          0      0      0
PIMCO
MUNICIPAL
INCOME FUND II PREFERRED STOCK 72201A103         18     1335 Shares                 X                  1          0      0      0
PIMCO
MUNICIPAL
INCOME FUND II PREFERRED STOCK 72200W106        177    13200 Shares                          X         1          0      0      0
PIMCO RCM
STRAT GLOBAL
GOVT           PREFERRED STOCK 72200X104         15     1500 Shares                 X                  1          0      0      0
PINNACLE DATA
SYSTEMS INC    COMMON STOCK    723454104          0      300 Shares                 X                  1        300      0      0
PINNACLE WEST
CAP            COMMON STOCK    723484101         28      900 Shares                 X                  1        900      0      0
PINNACLE WEST
CAP            COMMON STOCK    723484101         28      900 Shares                 X                  3        900      0      0
PINNACLE WEST
CAP            COMMON STOCK    723484101          3      100 Shares                          X         1        100      0      0
PIONEER
MUNICIPAL HI
INC ADV T      PREFERRED STOCK 723762100         27     2000 Shares                 X                  1          0      0      0
PIONEER
NATURAL
RESOURCES CO   COMMON STOCK    723787107          4       55 Shares                 X                  1         55      0      0
PIPER JAFFRAY
COS            COMMON STOCK    724078100         60     2060 Shares                 X                  1       1970      0     90
PIPER JAFFRAY
COS            COMMON STOCK    724078100        166     5650 Shares                 X                  3       5650      0      0
PIPER JAFFRAY
COS            COMMON STOCK    724078100          1       20 Shares                          X         1         20      0      0
PITNEY BOWES
INC            COMMON STOCK    724479100        360    10550 Shares                 X                  1      10550      0      0
PITNEY BOWES
INC            COMMON STOCK    724479100        110     3225 Shares                 X                  3       3225      0      0
PITNEY BOWES
INC            COMMON STOCK    724479100        142     4150 Shares                          X         1       4150      0      0
PITTSBURGH &
WEST VIRGINIA
RR             COMMON STOCK    724819107          2      250 Shares                          X         1          0      0      0
PIZZA INN INC  COMMON STOCK    725848105          1      325 Shares                 X                  1        325      0      0
PLAINS ALL
AMERICAN
PIPELINE L P   COMMON STOCK    726503105       8592   188500 Shares                 X                  2      36450      0 152050
PLAINS
EXPLORATION &
PRODUCT C      COMMON STOCK    726505100          1        8 Shares                 X                  1          0      0      8
PLATINUM
UNDERWRITER    COMMON STOCK    G7127P100         32      985 Shares                 X                  1        900      0     85
PLATINUM
UNDERWRITER    COMMON STOCK    G7127P100        565    17350 Shares                 X                  3      17350      0      0
PLUM CREEK
TIMBER CO      COMMON STOCK    729251108        204     4780 Shares                 X                  1          0      0      0
PLUM CREEK
TIMBER CO      COMMON STOCK    729251108         75     1750 Shares                 X                  2          0      0      0
PLUM CREEK
TIMBER CO      COMMON STOCK    729251108         66     1550 Shares                 X                  3       1550      0      0
PMC-SIERRA INC COMMON STOCK    69344F106        280    36705 Shares                 X                  1      34760      0   1945
PMC-SIERRA INC COMMON STOCK    69344F106       1611   210600 Shares                 X                  3     210600      0      0
PNC FINL SVCS
GRP            COMMON STOCK    693475105      11487   201167 Shares                 X                  1     191371      0   9796
PNC FINL SVCS
GRP            COMMON STOCK    693475105        790    13844 Shares                 X                  2          0      0  13844
PNC FINL SVCS
GRP            COMMON STOCK    693475105        263     4606 Shares                 X                  3       4606      0      0
PNC FINL SVCS
GRP            COMMON STOCK    693475105       3248    56888 Shares                          X         1      45134   6500   5254
POLO RALPH
LAUREN         CLASS A         731572103          6      100 Shares                 X                  1        100      0      0


                                    48 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
POLO RALPH
LAUREN         CLASS A         731572103         31      500 Shares                 X                  3        500      0      0
PORTUGAL
TELECOM SGPS S
A SPON         COMMON STOCK    737273102          9      765 Shares                 X                  1        765      0      0
POST
PROPERTIES INC COMMON STOCK    737464107          6      200 Shares                 X                  1          0      0      0
POTASH CORP OF
SASK           COMMON STOCK    73755L107       2635    11527 Shares                 X                  1      11394      0    133
POTASH CORP OF
SASK           COMMON STOCK    73755L107       1794     7847 Shares                 X                  3       7541      0    306
POTASH CORP OF
SASK           COMMON STOCK    73755L107         57      250 Shares                          X         1        250      0      0
POWERSHARES
DYN BIOTECH &
GENO           PREFERRED STOCK 73935X856        103     6000 Shares                          X         1          0      0      0
POWERSHARES
GLOBAL WATER
PORTF          COMMON STOCK    73935X575         27     1300 Shares                 X                  1       1300      0      0
POWERSHARES
GLOBAL WATER
PORTF          PREFERRED STOCK 73936T623        118     5500 Shares                 X                  2          0      0      0
POWERSHARES
QQQ            PREFERRED STOCK 73935A104        442     9795 Shares                 X                  1          0      0      0
POWERSHARES
QQQ            PREFERRED STOCK 73935A104        230     5100 Shares                 X                  2          0      0      0
POWERSHARES
QQQ            PREFERRED STOCK 73935A104       2348    51980 Shares                          X         1          0      0      0
PPG INDUSTRIES
INC            COMMON STOCK    693506107        571     9947 Shares                 X                  1       9147      0    800
PPG INDUSTRIES
INC            COMMON STOCK    693506107        151     2625 Shares                 X                  3       2625      0      0
PPG INDUSTRIES
INC            COMMON STOCK    693506107        989    17233 Shares                          X         1      16233      0   1000
PPL CORP       COMMON STOCK    69351T106       6954   133037 Shares                 X                  1     131737      0   1300
PPL CORP       COMMON STOCK    69351T106        175     3350 Shares                 X                  3       3350      0      0
PPL CORP       COMMON STOCK    69351T106       2664    50970 Shares                          X         1      41278   2130   7562
PRAXAIR INC    COMMON STOCK    74005P104         78      827 Shares                 X                  1        827      0      0
PRAXAIR INC    COMMON STOCK    74005P104        801     8500 Shares                 X                  2          0      0   8500
PRAXAIR INC    COMMON STOCK    74005P104        259     2750 Shares                 X                  3       2750      0      0
PRAXAIR INC    COMMON STOCK    74005P104        272     2891 Shares                          X         1       2891      0      0
PRECISION
CASTPARTS      COMMON STOCK    740189105       4031    41830 Shares                 X                  1      41163      0    667
PRECISION
CASTPARTS      COMMON STOCK    740189105       2760    28647 Shares                 X                  3      27425      0   1222
PRECISION
CASTPARTS      COMMON STOCK    740189105        161     1675 Shares                          X         1       1675      0      0
PRECISION
DRILLING
CORP-US$       COMMON STOCK    740215108         57     2100 Shares                          X         1       2100      0      0
PRICE T ROWE
GRP            COMMON STOCK    74144T108       1919    33990 Shares                 X                  1      33990      0      0
PRICE T ROWE
GRP            COMMON STOCK    74144T108        723    12800 Shares                 X                  2          0      0  12800
PRICE T ROWE
GRP            COMMON STOCK    74144T108        133     2350 Shares                 X                  3       2350      0      0
PRICE T ROWE
GRP            COMMON STOCK    74144T108       1369    24240 Shares                          X         1      24050      0    190
PRICELINE.COM
INCORPORATED   COMMON STOCK    741503403          1        7 Shares                 X                  1          0      0      7
PRINCIPAL FINL
GRP            COMMON STOCK    74251V102         97     2300 Shares                 X                  3       2300      0      0
PROASSURANCE
CORP           COMMON STOCK    74267C106        235     4884 Shares                 X                  1       4670      0    214
PROASSURANCE
CORP           COMMON STOCK    74267C106        625    13000 Shares                 X                  3      13000      0      0
PROCTER &
GAMBLE
CORPORATION    COMMON STOCK    742718109      37431   615543 Shares                 X                  1     610676      0   4867
PROCTER &
GAMBLE
CORPORATION    COMMON STOCK    742718109      21281   343262 Shares                 X                  2      43892      0 299370
PROCTER &
GAMBLE
CORPORATION    COMMON STOCK    742718109       9752   160372 Shares                 X                  3     157077      0   3295
PROCTER &
GAMBLE
CORPORATION    COMMON STOCK    742718109         18      295 Shares                 X                  4        295      0      0
PROCTER &
GAMBLE
CORPORATION    COMMON STOCK    742718109      34482   567052 Shares                          X         1     463360      0 103692
PROGRESS
ENERGY INC     COMMON STOCK    743263105        289     6897 Shares                 X                  1       6297      0    600
PROGRESS
ENERGY INC     COMMON STOCK    743263105         97     2327 Shares                 X                  3       2327      0      0
PROGRESS
ENERGY INC     COMMON STOCK    743263105         85     2035 Shares                          X         1       2035      0      0
PROGRESSIVE
CORP           COMMON STOCK    743315103         75     4000 Shares                 X                  1       4000      0      0
PROGRESSIVE
CORP           COMMON STOCK    743315103        116     6200 Shares                 X                  3       6200      0      0
PROLOGIS       COM SH BEN INT  743410102        307     5648 Shares                 X                  1          0      0      0
PROLOGIS       COM SH BEN INT  743410102         92     1688 Shares                 X                  2          0      0      0
PROLOGIS       COM SH BEN INT  743410102        819    15075 Shares                 X                  3      14975      0      0
PROTECTIVE
LIFE CORP      COMMON STOCK    743674103         95     2500 Shares                 X                  3       2500      0      0
PROVIDENT
BANKSHARES
CORPORATI      COMMON STOCK    743859100         67    10465 Shares                 X                  1      10465      0      0
PROVIDENT
BANKSHARES
CORPORATI      COMMON STOCK    743859100         18     2810 Shares                          X         1       2810      0      0


                                    49 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
PROVIDENT
ENERGY TRUST
UNITS          COMMON STOCK    74386K104         74     6500 Shares                 X                  1       6500      0      0
PROVIDENT
ENERGY TRUST
UNITS          COMMON STOCK    74386K104         39     3400 Shares                 X                  2          0      0   3400
PROVIDENT
ENERGY TRUST
UNITS          COMMON STOCK    74386K104         19     1700 Shares                          X         1       1700      0      0
PROVIDENT
FINANCIAL
SERVICES I     COMMON STOCK    74386T105         11      800 Shares                 X                  1        800      0      0
PROXYMED INC   COMMON STOCK    744290305          0      500 Shares                          X         1        500      0      0
PRUDENTIAL
FINL           COMMON STOCK    744320102        264     4417 Shares                 X                  1       4073      0    344
PRUDENTIAL
FINL           COMMON STOCK    744320102        227     3800 Shares                 X                  3       3800      0      0
PRUDENTIAL
FINL           COMMON STOCK    744320102         43      713 Shares                          X         1        713      0      0
PSYCHIATRIC
SOLUTION       COMMON STOCK    74439H108       5388   142377 Shares                 X                  1     139899      0   2478
PSYCHIATRIC
SOLUTION       COMMON STOCK    74439H108       6422   169693 Shares                 X                  3     165672      0   4021
PSYCHIATRIC
SOLUTION       COMMON STOCK    74439H108        254     6700 Shares                          X         1       5525      0   1175
PUBLIC STORAGE
INC COM        COMMON STOCK    74460D109          5       56 Shares                 X                  1          0      0      0
PUBLIC STORAGE
INC COM        COMMON STOCK    74460D109         91     1125 Shares                 X                  3       1125      0      0
PUBLIC SVC
ENTERPR        COMMON STOCK    744573106        389     8466 Shares                 X                  1       8466      0      0
PUBLIC SVC
ENTERPR        COMMON STOCK    744573106        202     4400 Shares                 X                  3       4400      0      0
PUBLIC SVC
ENTERPR        COMMON STOCK    744573106        372     8102 Shares                          X         1       8102      0      0
PUGET ENERGY
INC COM        COMMON STOCK    745310102         14      600 Shares                 X                  1        600      0      0
PUGET ENERGY
INC COM        COMMON STOCK    745310102         21      874 Shares                          X         1        874      0      0
PULTE HOMES
INC            COMMON STOCK    745867101         58     6000 Shares                 X                  2          0      0   6000
PULTE HOMES
INC            COMMON STOCK    745867101         18     1900 Shares                 X                  3       1900      0      0
PUTNAM PREMIER
INCOME TRUST   PREFERRED STOCK 746853100          1      114 Shares                 X                  1          0      0      0
QLOGIC CORP    COMMON STOCK    747277101         28     1924 Shares                 X                  1       1924      0      0
QLOGIC CORP    COMMON STOCK    747277101         25     1720 Shares                 X                  3       1720      0      0
QUALCOMM INC   COMMON STOCK    747525103       7544   170027 Shares                 X                  1     168647      0   1380
QUALCOMM INC   COMMON STOCK    747525103        204     4600 Shares                 X                  2          0      0   4600
QUALCOMM INC   COMMON STOCK    747525103       4293    96743 Shares                 X                  3      93525      0   3218
QUALCOMM INC   COMMON STOCK    747525103       1616    36423 Shares                          X         1      36023      0    400
QUANTA SVCS
INC            COMMON STOCK    74762E102       2338    70267 Shares                 X                  1      68873      0   1394
QUANTA SVCS
INC            COMMON STOCK    74762E102       2486    74725 Shares                 X                  3      74725      0      0
QUANTA SVCS
INC            COMMON STOCK    74762E102         12      375 Shares                          X         1          0      0    375
QUEST CAPITAL
CORP           COMMON STOCK    74835U109          2     1000 Shares                 X                  1       1000      0      0
QUEST
DIAGNOSTICS    COMMON STOCK    74834L100        410     8460 Shares                 X                  1       8460      0      0
QUEST
DIAGNOSTICS    COMMON STOCK    74834L100         97     2000 Shares                 X                  2          0      0   2000
QUEST
DIAGNOSTICS    COMMON STOCK    74834L100         63     1300 Shares                 X                  3       1300      0      0
QUEST
DIAGNOSTICS    COMMON STOCK    74834L100        266     5498 Shares                          X         1       5198      0    300
QUESTAR CORP   COMMON STOCK    748356102        227     3200 Shares                 X                  1       3200      0      0
QUESTAR CORP   COMMON STOCK    748356102        107     1500 Shares                 X                  3       1500      0      0
QUESTAR CORP   COMMON STOCK    748356102        227     3200 Shares                          X         1       3200      0      0
QUIXOTE CORP   COMMON STOCK    749056107          2      300 Shares                 X                  1        300      0      0
QWEST
COMMUNICATIONS
INTERNATIONAL  COMMON STOCK    749121109         11     2810 Shares                 X                  1       2810      0      0
QWEST
COMMUNICATIONS
INTERNATIONAL  COMMON STOCK    749121109       1070   256955 Shares                 X                  2     100455      0 156500
QWEST
COMMUNICATIONS
INTERNATIONAL  COMMON STOCK    749121109         55    13900 Shares                 X                  3      13900      0      0
QWEST
COMMUNICATIONS
INTERNATIONAL  COMMON STOCK    749121109         10     2513 Shares                          X         1       2303      0    210
R H DONNELLEY
CORP           COMMON STOCK    74955W307          0       74 Shares                 X                  1         74      0      0
R H DONNELLEY
CORP           COMMON STOCK    74955W307          0       40 Shares                          X         1         40      0      0
RADIOSHACK
CORP           COMMON STOCK    750438103         16     1300 Shares                 X                  3       1300      0      0
RAIT FINANCIAL
TRUST          COMMON STOCK    749227104          4      500 Shares                          X         1          0      0      0
RANGE
RESOURCES CORP COMMON STOCK    75281A109         10      158 Shares                 X                  1        158      0      0
RANGE
RESOURCES CORP COMMON STOCK    75281A109         92     1400 Shares                 X                  3       1400      0      0
RAYONIER
INCORPORATED   COMMON STOCK    754907103         20      464 Shares                 X                  1        464      0      0


                                    50 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
RAYONIER
INCORPORATED   COMMON STOCK    754907103       1987    46600 Shares                 X                  2       8800      0  37800
RAYONIER
INCORPORATED   COMMON STOCK    754907103        130     3050 Shares                          X         1       3050      0      0
RAYTHEON       COMMON STOCK    755111507        476     8450 Shares                 X                  1       8426      0     24
RAYTHEON       COMMON STOCK    755111507        214     3810 Shares                 X                  3       3810      0      0
RAYTHEON       COMMON STOCK    755111507         11      200 Shares                 X                  4        200      0      0
RAYTHEON       COMMON STOCK    755111507       1402    24909 Shares                          X         1      24409      0    500
REALTY INCOME
CORP           COMMON STOCK    756109104        137     6000 Shares                 X                  2          0      0      0
RED HAT INC
COM            COMMON STOCK    756577102         10      500 Shares                 X                  2          0      0    500
REDWOOD TRUST
INC-REIT       COMMON STOCK    758075402          7      290 Shares                 X                  1          0      0      0
REED ELSEVIER
PLC SPONS ADR  COMMON STOCK    758205207          1       24 Shares                 X                  1         24      0      0
REGENERON
PHARMACEUTI-
CALS           COMMON STOCK    75886F107          0       20 Shares                 X                  1          0      0     20
REGENERX
BIOPHARMA-
CEUTICALS IN   COMMON STOCK    75886X108         15    11400 Shares                 X                  2          0      0  11400
REGIONS FINL
CORP           COMMON STOCK    7591EP100         33     3021 Shares                 X                  1       3021      0      0
REGIONS FINL
CORP           COMMON STOCK    7591EP100          2      164 Shares                 X                  2          0      0    164
REGIONS FINL
CORP           COMMON STOCK    7591EP100         69     6300 Shares                 X                  3       6300      0      0
REGIONS FINL
CORP           COMMON STOCK    7591EP100         52     4771 Shares                          X         1       4771      0      0
REGIS CORP
MINN           COMMON STOCK    758932107          3      100 Shares                 X                  1        100      0      0
RENT-A-CENTER
INCORPORATED
NEW            COMMON STOCK    76009N100          0       20 Shares                 X                  1          0      0     20
REPSOL YPF SA
SPON ADR       COMMON STOCK    76026T205         36      918 Shares                 X                  1        918      0      0
RESEARCH IN
MOTION LIMITED COMMON STOCK    760975102        395     3375 Shares                 X                  1       3375      0      0
RESEARCH IN
MOTION LIMITED COMMON STOCK    760975102      16812   143813 Shares                 X                  2          0      0 143813
RESEARCH IN
MOTION LIMITED COMMON STOCK    760975102         53      450 Shares                 X                  3        450      0      0
RESMED INC     COMMON STOCK    761152107        148     4142 Shares                 X                  1       3925      0    217
RESMED INC     COMMON STOCK    761152107        803    22450 Shares                 X                  3      22450      0      0
REX ENERGY
CORP           COMMON STOCK    761565100        116     4400 Shares                 X                  1       4400      0      0
REX ENERGY
CORP           COMMON STOCK    761565100       2556    96800 Shares                 X                  3      96800      0      0
REYNOLDS AMERN
INC            COMMON STOCK    761713106        127     2726 Shares                 X                  1       2726      0      0
REYNOLDS AMERN
INC            COMMON STOCK    761713106         75     1600 Shares                 X                  3       1600      0      0
REYNOLDS AMERN
INC            COMMON STOCK    761713106         42      900 Shares                          X         1        900      0      0
RF
MICRODEVICES
INC            COMMON STOCK    749941100        107    36864 Shares                 X                  1      34779      0   2085
RF
MICRODEVICES
INC            COMMON STOCK    749941100        746   257116 Shares                 X                  3     257116      0      0
RIO TINTO PLC
SPONSORED ADR  COMMON STOCK    767204100         25       50 Shares                 X                  1         50      0      0
RIO TINTO PLC
SPONSORED ADR  COMMON STOCK    767204100        322      650 Shares                 X                  2          0      0    650
RITCHIE BROS
AUCTNRS        COMMON STOCK    767744105       1628    60022 Shares                 X                  1      59333      0    689
RITCHIE BROS
AUCTNRS        COMMON STOCK    767744105       3481   128375 Shares                 X                  3     128375      0      0
RITE AID CORP
COM            COMMON STOCK    767754104         12     7600 Shares                 X                  1       5300      0   2300
RITE AID CORP
COM            COMMON STOCK    767754104          1      600 Shares                          X         1        600      0      0
ROBERT HALF
INTL INC       COMMON STOCK    770323103         26     1070 Shares                 X                  1       1070      0      0
ROBERT HALF
INTL INC       COMMON STOCK    770323103         39     1620 Shares                 X                  3       1620      0      0
ROBERT HALF
INTL INC       COMMON STOCK    770323103         29     1205 Shares                          X         1       1100      0    105
ROCKWELL
AUTOMATION     COMMON STOCK    773903109       5266   120425 Shares                 X                  1     117704      0   2721
ROCKWELL
AUTOMATION     COMMON STOCK    773903109         71     1632 Shares                 X                  2          0      0   1632
ROCKWELL
AUTOMATION     COMMON STOCK    773903109       3617    82713 Shares                 X                  3      79887      0   2826
ROCKWELL
AUTOMATION     COMMON STOCK    773903109          8      175 Shares                 X                  4        175      0      0
ROCKWELL
AUTOMATION     COMMON STOCK    773903109        622    14215 Shares                          X         1      12740      0   1475
ROCKWELL
COLLINS INC    COMMON STOCK    774341101        224     4673 Shares                 X                  1       4673      0      0
ROCKWELL
COLLINS INC    COMMON STOCK    774341101         78     1632 Shares                 X                  2          0      0   1632
ROCKWELL
COLLINS INC    COMMON STOCK    774341101         67     1400 Shares                 X                  3       1400      0      0
ROCKWELL
COLLINS INC    COMMON STOCK    774341101        152     3175 Shares                          X         1       3095      0     80
ROFIN SINAR
TECH INC       COMMON STOCK    775043102         50     1672 Shares                 X                  1       1500      0    172


                                    51 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
ROFIN SINAR
TECH INC       COMMON STOCK    775043102        893    29550 Shares                 X                  3      29550      0      0
ROHM & HAAS CO COMMON STOCK    775371107         17      368 Shares                 X                  1        368      0      0
ROHM & HAAS CO COMMON STOCK    775371107         55     1175 Shares                 X                  3       1175      0      0
ROHM & HAAS CO COMMON STOCK    775371107        510    10990 Shares                          X         1      10990      0      0
ROME BANCORP
INC            COMMON STOCK    77587P103          6      528 Shares                 X                  2          0      0    528
ROPER
INDUSTRIES INC COMMON STOCK    776696106         20      300 Shares                 X                  1        300      0      0
ROPER
INDUSTRIES INC COMMON STOCK    776696106        165     2500 Shares                 X                  2          0      0   2500
ROSS STORES
INC            COMMON STOCK    778296103        429    12087 Shares                 X                  1      11172      0    915
ROSS STORES
INC            COMMON STOCK    778296103        417    11750 Shares                 X                  3      11750      0      0
ROSS STORES
INC            COMMON STOCK    778296103        157     4425 Shares                          X         1       3050      0   1375
ROWAN COS INC  COMMON STOCK    779382100          1       20 Shares                 X                  1          0      0     20
ROWAN COS INC  COMMON STOCK    779382100         47     1000 Shares                 X                  3       1000      0      0
ROYAL BANK
SCOTLAND PFD
6.40%          PREFERRED STOCK 780097796         36     2000 Shares                 X                  1          0      0      0
ROYAL BK
CANADA         COMMON STOCK    780087102         36      800 Shares                 X                  2          0      0    800
ROYAL BK
CANADA         COMMON STOCK    780087102         45     1000 Shares                          X         1       1000      0      0
ROYAL DUTCH
SHELL PLC-ADR
A              COMMON STOCK    780259206       3947    48299 Shares                 X                  1      48299      0      0
ROYAL DUTCH
SHELL PLC-ADR
A              COMMON STOCK    780259206        410     5014 Shares                 X                  2          0      0   5014
ROYAL DUTCH
SHELL PLC-ADR
A              COMMON STOCK    780259206       3976    48658 Shares                          X         1      44058      0   4600
ROYAL DUTCH
SHELL PLC-ADR
B              COMMON STOCK    780259107         64      800 Shares                 X                  2          0      0    800
ROYCE VALUE
TRUST (CE)     COMMON STOCK    780910105         16     1027 Shares                 X                  1       1027      0      0
ROYCE VALUE
TRUST (CE)     COMMON STOCK    780910105        114     7275 Shares                          X         1       7275      0      0
RPM
INCORPORATED
OHIO           COMMON STOCK    749685103        610    29300 Shares                 X                  2      18300      0  11000
RPM
INCORPORATED
OHIO           COMMON STOCK    749685103          6      300 Shares                 X                  3        300      0      0
RPM
INCORPORATED
OHIO           COMMON STOCK    749685103         33     1600 Shares                          X         1       1600      0      0
RUBICON
TECHNOLOGY INC COMMON STOCK    78112T107          0       20 Shares                 X                  1          0      0     20
RUBY TUESDAY
INC            COMMON STOCK    781182100          1      200 Shares                 X                  1        200      0      0
RYDER SYSTEMS
INC            COMMON STOCK    783549108         88     1275 Shares                 X                  1       1200      0     75
RYDER SYSTEMS
INC            COMMON STOCK    783549108       2029    29470 Shares                 X                  3      29470      0      0
RYDEX RUSSELL
TOP 50 ETF     PREFERRED STOCK 78355W205        492     5280 Shares                          X         1          0      0      0
RYLAND GROUP
INC            COMMON STOCK    783764103         24     1100 Shares                 X                  2          0      0   1100
S & T BANCORP
INC            COMMON STOCK    783859101         12      400 Shares                          X         1        400      0      0
SABINE RLY TR
INT BEN INT    COMMON STOCK    785688102         42      615 Shares                          X         1        615      0      0
SAFETY
INSURANCE GRP  COMMON STOCK    78648T100          8      215 Shares                 X                  1        215      0      0
SAFEWAY INC    COMMON STOCK    786514208          6      200 Shares                 X                  1        200      0      0
SAFEWAY INC    COMMON STOCK    786514208        109     3825 Shares                 X                  3       3825      0      0
SAFEWAY INC    COMMON STOCK    786514208         51     1800 Shares                          X         1        300      0   1500
SALESFORCE.COM
INC            COMMON STOCK    79466L302          2       27 Shares                 X                  1         19      0      8
SALISBURY
BANCOCORP INC  COMMON STOCK    795226109        172     5700 Shares          X                                 5700      0      0
SALLY BEAUTY
COMPANY INC    COMMON STOCK    79546E104          7     1100 Shares                 X                  1       1100      0      0
SAN JUAN BASIN
ROYALTY TR     COMMON STOCK    798241105         93     2000 Shares                 X                  1       2000      0      0
SAN JUAN BASIN
ROYALTY TR     COMMON STOCK    798241105        990    21400 Shares                 X                  3      21400      0      0
SAN JUAN BASIN
ROYALTY TR     COMMON STOCK    798241105          9      200 Shares                          X         1        200      0      0
SANDISK CORP   COMMON STOCK    80004C101         34     1800 Shares                 X                  1       1800      0      0
SANDISK CORP   COMMON STOCK    80004C101         41     2175 Shares                 X                  3       2175      0      0
SANDISK CORP   COMMON STOCK    80004C101          8      405 Shares                          X         1        405      0      0
SANDY SPRING
BANCORP INC    COMMON STOCK    800363103          3      200 Shares                 X                  1        200      0      0
SANDY SPRING
BANCORP INC    COMMON STOCK    800363103        839    50630 Shares                          X         1      50630      0      0
SANOFI-AVENTIS
ADR            COMMON STOCK    80105N105         39     1173 Shares                 X                  1       1173      0      0
SANOFI-AVENTIS
ADR            COMMON STOCK    80105N105         60     1800 Shares                 X                  3       1800      0      0
SAP AG SPONS
ADR            COMMON STOCK    803054204         13      250 Shares                 X                  2          0      0    250


                                    52 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
SAP AG SPONS
ADR            COMMON STOCK    803054204         63     1200 Shares                          X         1       1200      0      0
SARA LEE CORP  COMMON STOCK    803111103        292    23800 Shares                 X                  1      23800      0      0
SARA LEE CORP  COMMON STOCK    803111103        103     8400 Shares                 X                  3       8400      0      0
SARA LEE CORP  COMMON STOCK    803111103        436    35590 Shares                          X         1      30790      0   4800
SASOL LTD
SPONS-ADR      COMMON STOCK    803866300         59     1000 Shares                          X         1       1000      0      0
SATYAM
COMPUTER
SERVICES LIMIT COMMON STOCK    804098101         12      500 Shares                 X                  1        500      0      0
SAUL CENTERS
INCORPORATED   COMMON STOCK    804395101        117     2500 Shares                 X                  2          0      0      0
SCANA CORP NEW
COM            COMMON STOCK    80589M102        185     5006 Shares                 X                  1       5006      0      0
SCANA CORP NEW
COM            COMMON STOCK    80589M102         37     1000 Shares                 X                  3       1000      0      0
SCANA CORP NEW
COM            COMMON STOCK    80589M102        237     6409 Shares                          X         1       6409      0      0
SCHERING
PLOUGH CORP    COMMON STOCK    806605101       1850    93962 Shares                 X                  1      93962      0      0
SCHERING
PLOUGH CORP    COMMON STOCK    806605101        417    21200 Shares                 X                  2          0      0  21200
SCHERING
PLOUGH CORP    COMMON STOCK    806605101        803    40719 Shares                 X                  3      40719      0      0
SCHERING
PLOUGH CORP    COMMON STOCK    806605101        767    38950 Shares                          X         1      30950      0   8000
SCHERING
PLOUGH PFD CV
6.0% 08/13/10  CONV PFD STOCK  806605705       4561    25080 Shares                 X                  2       6330      0      0
SCHLUMBERGER
LTD            COMMON STOCK    806857108      25134   233958 Shares                 X                  1     232433      0   1525
SCHLUMBERGER
LTD            COMMON STOCK    806857108       3954    36806 Shares                 X                  2          0      0  36806
SCHLUMBERGER
LTD            COMMON STOCK    806857108       8085    75261 Shares                 X                  3      73598      0   1663
SCHLUMBERGER
LTD            COMMON STOCK    806857108         43      400 Shares                 X                  4        400      0      0
SCHLUMBERGER
LTD            COMMON STOCK    806857108       8060    75023 Shares                          X         1      69738      0   5285
SCHOLASTIC
CORP           COMMON STOCK    807066105          5      160 Shares                 X                  3        160      0      0
SCHWAB CHARLES
CORP           COMMON STOCK    808513105        326    15859 Shares                 X                  1      15859      0      0
SCHWAB CHARLES
CORP           COMMON STOCK    808513105        174     8510 Shares                 X                  3       8510      0      0
SCOLR PHARMA
INC            COMMON STOCK    78402X107         20    20000 Shares                 X                  2          0      0  20000
SCRIPPS E W CO
OHIO           CLASS A         811054204         29      700 Shares                 X                  3        700      0      0
SEAGATE
TECHNOLOGY     COMMON STOCK    G7945J104        828    43288 Shares                 X                  1      36577      0   6711
SEAGATE
TECHNOLOGY     COMMON STOCK    G7945J104        705    36824 Shares                 X                  3      36824      0      0
SEAGATE
TECHNOLOGY     COMMON STOCK    G7945J104        160     8369 Shares                          X         1       6969      0   1400
SEALED AIR
CORP           COMMON STOCK    81211K100          5      270 Shares                 X                  1        270      0      0
SEALED AIR
CORP           COMMON STOCK    81211K100         27     1400 Shares                 X                  3       1400      0      0
SEARS HOLDING
CORP           COMMON STOCK    812350106        164     2226 Shares                 X                  1       2226      0      0
SEARS HOLDING
CORP           COMMON STOCK    812350106         48      650 Shares                 X                  3        650      0      0
SEARS HOLDING
CORP           COMMON STOCK    812350106         41      562 Shares                          X         1        562      0      0
SEASPAN CORP   COMMON STOCK    Y75638109        132     5500 Shares                          X         1       5500      0      0
SECURE
COMPUTING CORP COMMON STOCK    813705100          0      104 Shares                 X                  1        104      0      0
SEI CORP COM   COMMON STOCK    784117103         59     2520 Shares                 X                  1       2520      0      0
SELECT SECTOR
SPDR UTILITIES COMMON STOCK    81369Y886         37      900 Shares                 X                  1        900      0      0
SELECT
SECTOR SPDR
UTILITIES      COMMON STOCK    81369Y886         24      600 Shares                          X         1        600      0      0
SELECTIVE INS
GROUP INC      COMMON STOCK    816300107         70     3712 Shares                 X                  1       3712      0      0
SELIGMAN
SELECT
MUNICIPAL FD   PREFERRED STOCK 816344105          9     1000 Shares                          X         1          0      0      0
SEMPRA ENERGY  COMMON STOCK    816851109         11      200 Shares                 X                  1        200      0      0
SEMPRA ENERGY  COMMON STOCK    816851109        124     2200 Shares                 X                  3       2200      0      0
SEMPRA ENERGY  COMMON STOCK    816851109         30      532 Shares                          X         1        532      0      0
SENIOR HOUSING
PROPERTIES
TR (           COMMON STOCK    81721M109         10      500 Shares                 X                  1          0      0      0
SENIOR HOUSING
PROPERTIES
TR (           COMMON STOCK    81721M109          2      100 Shares                          X         1          0      0      0
SERVICE
CORPORATION
INTL           COMMON STOCK    817565104         72     7300 Shares                 X                  2          0      0   7300
SEVERN BANCORP
INC            COMMON STOCK    81811M100          3      484 Shares                 X                  1        484      0      0
SEVERN BANCORP
INC            COMMON STOCK    81811M100         67    10000 Shares                 X                  2          0      0  10000
SEVERN BANCORP
INC            COMMON STOCK    81811M100          5      726 Shares                          X         1        726      0      0
SHANDA
INTERACTIVE E  ADR(2 ORD SHRS) 81941Q203         50     1835 Shares                 X                  1       1700      0    135


                                    53 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
SHANDA
INTERACTIVE E  ADR(2 ORD SHRS) 81941Q203        968    35650 Shares                 X                  3      35650      0      0
SHAW GROUP INC
COM            COMMON STOCK    820280105          4       70 Shares                 X                  1          0      0     70
SHERWIN
WILLIAMS CO    COMMON STOCK    824348106         17      380 Shares                 X                  1        380      0      0
SHERWIN
WILLIAMS CO    COMMON STOCK    824348106         42      910 Shares                 X                  3        910      0      0
SHERWIN
WILLIAMS CO    COMMON STOCK    824348106        239     5200 Shares                          X         1        200      0   5000
SHIP FINANCE
INTL LTD       COMMON STOCK    G81075106         20      691 Shares                 X                  1        691      0      0
SIERRA PACIFIC
RESOURCES      COMMON STOCK    826428104          6      495 Shares                 X                  1        495      0      0
SIERRA
WIRELESS INC   COMMON STOCK    826516106          0       15 Shares                 X                  1          0      0     15
SIGMA ALDRICH
CORP           COMMON STOCK    826552101         15      270 Shares                 X                  1        270      0      0
SIGMA ALDRICH
CORP           COMMON STOCK    826552101         59     1100 Shares                 X                  3       1100      0      0
SILVER
STANDARD
RESOURCES INC  COMMON STOCK    82823L106          4      125 Shares                 X                  1        125      0      0
SILVER WHEATON COMMON STOCK    828336107         71     4830 Shares                 X                  1       4800      0     30
SILVER WHEATON COMMON STOCK    828336107       1344    91700 Shares                 X                  3      91700      0      0
SIMON PROPERTY
GROUP
INCORPORATED   COMMON STOCK    828806109       1155    12854 Shares                 X                  1          0      0      0
SIMON PROPERTY
GROUP
INCORPORATED   COMMON STOCK    828806109       1316    14472 Shares                 X                  2       5050      0      0
SIMON PROPERTY
GROUP
INCORPORATED   COMMON STOCK    828806109        180     2010 Shares                 X                  3       1950      0      0
SIMON
PROPERTY
GROUP
INCORPORATED   COMMON STOCK    828806109        906    10074 Shares                          X         1          0      0      0
SIRIUS
SATELLITE
RADIO INC COM  COMMON STOCK    82966U103         12     6170 Shares                 X                  1       6170      0      0
SIRIUS
SATELLITE
RADIO INC COM  COMMON STOCK    82966U103         37    19500 Shares                 X                  2          0      0  19500
SIRONA DENTAL
SYSTEMS INC    COMMON STOCK    82966C103         25      975 Shares                 X                  1        975      0      0
SIX FLAGS INC  COMMON STOCK    83001P109         23    20000 Shares                 X                  2          0      0  20000
SK TELECOM CO
LTD - ADR      COMMON STOCK    78440P108          0       24 Shares                 X                  1         24      0      0
SKECHERS U S A
INC            CLASS A         830566105         63     3195 Shares                 X                  1       3000      0    195
SKECHERS U S A
INC            CLASS A         830566105       1178    59600 Shares                 X                  3      59600      0      0
SLM CORP.      COMMON STOCK    78442P106         34     1733 Shares                 X                  1       1733      0      0
SLM CORP.      COMMON STOCK    78442P106       7956   442928 Shares                 X                  2     153728      0 289200
SLM CORP.      COMMON STOCK    78442P106         79     4100 Shares                 X                  3       4100      0      0
SMITH INTL INC COMMON STOCK    832110100       2777    33400 Shares                 X                  1      33400      0      0
SMITH INTL INC COMMON STOCK    832110100        154     1850 Shares                 X                  3       1850      0      0
SMITH INTL INC COMMON STOCK    832110100         33      400 Shares                          X         1        400      0      0
SMITHFIELD
FOODS INC      COMMON STOCK    832248108         18      900 Shares                 X                  2          0      0    900
SMITHFIELD
FOODS INC      COMMON STOCK    832248108         20     1000 Shares                          X         1       1000      0      0
SNAP-ON INC    COMMON STOCK    833034101         25      480 Shares                 X                  3        480      0      0
SOHU COM INC   COMMON STOCK    83408W103         78     1110 Shares                 X                  1       1000      0    110
SOHU COM INC   COMMON STOCK    83408W103       1395    19800 Shares                 X                  3      19800      0      0
SOLUTIA INC    COMMON STOCK    834376501          0       10 Shares                          X         1         10      0      0
SONOCO PRODS   COMMON STOCK    835495102         19      600 Shares                 X                  1        600      0      0
SONOCO PRODS   COMMON STOCK    835495102         59     1900 Shares                 X                  3       1900      0      0
SONOSITE INC   COMMON STOCK    83568G104         40     1430 Shares                 X                  1       1300      0    130
SONOSITE INC   COMMON STOCK    83568G104        742    26500 Shares                 X                  3      26500      0      0
SONY CORP -
SPONSORED ADR  COMMON STOCK    835699307         12      282 Shares                 X                  1        282      0      0
SONY CORP -
SPONSORED ADR  COMMON STOCK    835699307         52     1200 Shares                          X         1       1200      0      0
SOTHEBY'S      COMMON STOCK    835898107          0       15 Shares                 X                  1          0      0     15
SOUTHERN CO    COMMON STOCK    842587107        909    26025 Shares                 X                  1      24975      0   1050
SOUTHERN CO    COMMON STOCK    842587107        105     3003 Shares                 X                  2          0      0   3003
SOUTHERN CO    COMMON STOCK    842587107        234     6700 Shares                 X                  3       6700      0      0
SOUTHERN CO    COMMON STOCK    842587107       1140    32636 Shares                          X         1      32236      0    400
SOUTHERN
COPPER CORP    COMMON STOCK    84265V105         50      473 Shares                 X                  1        273      0    200
SOUTHERN
COPPER CORP    COMMON STOCK    84265V105          3       30 Shares                 X                  3         30      0      0
SOUTHWEST
AIRLS CO       COMMON STOCK    844741108         10      800 Shares                 X                  1        800      0      0


                                    54 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
SOUTHWEST
AIRLS CO       COMMON STOCK    844741108         89     6800 Shares                 X                  3       6800      0      0
SOUTHWEST
AIRLS CO       COMMON STOCK    844741108         21     1600 Shares                          X         1       1600      0      0
SOUTHWEST GAS
CORP COM       COMMON STOCK    844895102         30     1000 Shares                          X         1       1000      0      0
SOUTHWESTERN
ENERGY         COMMON STOCK    845467109       1898    39863 Shares                 X                  1      39456      0    407
SOUTHWESTERN
ENERGY         COMMON STOCK    845467109       2455    51564 Shares                 X                  3      51564      0      0
SOUTHWESTERN
ENERGY         COMMON STOCK    845467109         10      200 Shares                          X         1        200      0      0
SOVEREIGN
BANCORP        COMMON STOCK    845905108        859   116752 Shares                 X                  1     114028      0   2724
SOVEREIGN
BANCORP        COMMON STOCK    845905108         31     4200 Shares                 X                  3       4200      0      0
SOVEREIGN
BANCORP        COMMON STOCK    845905108         21     2835 Shares                          X         1       2415      0    420
SPDR GOLD
TRUST          PREFERRED STOCK 78463V107         18      200 Shares                 X                  1          0      0      0
SPDR GOLD
TRUST          PREFERRED STOCK 78463V107        713     7803 Shares                 X                  3          0      0      0
SPDR GOLD
TRUST          PREFERRED STOCK 78463V107         41      446 Shares                          X         1          0      0      0
SPDR S&P
EMERGING
MARKETS ETF    PREFERRED STOCK 78463X509        126     1800 Shares                 X                  2          0      0      0
SPDR S&P
PHARMACEUTI-
CALS ETF       PREFERRED STOCK 78464A722          6      185 Shares                          X         1          0      0      0
SPECTRA ENERGY
CORP           COMMON STOCK    847560109        438    15238 Shares                 X                  1      13838      0   1400
SPECTRA ENERGY
CORP           COMMON STOCK    847560109        173     6025 Shares                 X                  3       6025      0      0
SPECTRA ENERGY
CORP           COMMON STOCK    847560109        414    14400 Shares                          X         1      14150      0    250
SPRINT NEXTEL
CORP           COMMON STOCK    852061100        163    17123 Shares                 X                  1      10423      0   6700
SPRINT NEXTEL
CORP           COMMON STOCK    852061100        113    11925 Shares                 X                  2          0      0  11925
SPRINT NEXTEL
CORP           COMMON STOCK    852061100        237    24900 Shares                 X                  3      24900      0      0
SPRINT NEXTEL
CORP           COMMON STOCK    852061100         61     6370 Shares                          X         1       6370      0      0
SPX CORP COM   COMMON STOCK    784635104        479     3633 Shares                 X                  1       3633      0      0
SRA
INTERNATIONAL
INCORPORATED   COMMON STOCK    78464R105         79     3500 Shares                 X                  2          0      0   3500
ST JOE COMPANY COMMON STOCK    790148100         47     1360 Shares                 X                  1       1360      0      0
ST JOE COMPANY COMMON STOCK    790148100       5555   148803 Shares                 X                  2      52018      0  96785
ST JOE COMPANY COMMON STOCK    790148100         24      688 Shares                          X         1        688      0      0
ST JUDE
MEDICAL INC    COMMON STOCK    790849103        121     2950 Shares                 X                  3       2950      0      0
ST MARY LAND &
EXPLORATION
COM            COMMON STOCK    792228108        323     5000 Shares                 X                  2          0      0   5000
STANDARD &
POORS DEP
RCPTS UT SER 1 COMMON STOCK    78462F103       5579    43591 Shares                 X                  1          0      0      0
STANDARD &
POORS DEP
RCPTS UT SER 1 COMMON STOCK    78462F103        731     5614 Shares                 X                  2       3093      0      0
STANDARD &
POORS DEP
RCPTS UT SER 1 COMMON STOCK    78462F103       8505    66453 Shares                          X         1          0      0      0
STANDARD MOTOR
PRODUCTS
INCORP         COMMON STOCK    853666105          1      100 Shares                 X                  1        100      0      0
STANLEY WORKS  COMMON STOCK    854616109        251     5600 Shares                 X                  1       5600      0      0
STANLEY WORKS  COMMON STOCK    854616109         31      700 Shares                 X                  3        700      0      0
STANLEY WORKS  COMMON STOCK    854616109        435     9700 Shares                          X         1       9700      0      0
STAPLES INC    COMMON STOCK    855030102       5724   241003 Shares                 X                  1     235610      0   5393
STAPLES INC    COMMON STOCK    855030102        713    30000 Shares                 X                  2          0      0  30000
STAPLES INC    COMMON STOCK    855030102        631    26563 Shares                 X                  3      22802      0   3761
STAPLES INC    COMMON STOCK    855030102       1192    50198 Shares                          X         1      50098      0    100
STAR GAS
PARTNERS LP    COMMON STOCK    85512C105          1      500 Shares                 X                  1        500      0      0
STARBUCKS
CORPORATION    COMMON STOCK    855244109        244    15507 Shares                 X                  1      15507      0      0
STARBUCKS
CORPORATION    COMMON STOCK    855244109       1430    85205 Shares                 X                  2      50505      0  34700
STARBUCKS
CORPORATION    COMMON STOCK    855244109        100     6350 Shares                 X                  3       6350      0      0
STARBUCKS
CORPORATION    COMMON STOCK    855244109         25     1600 Shares                          X         1       1600      0      0
STARWOOD
HTLS&RESORT    COMMON STOCK    85590A401         15      368 Shares                 X                  1        368      0      0
STARWOOD
HTLS&RESORT    COMMON STOCK    85590A401        157     3925 Shares                 X                  3       3925      0      0
STATE STREET
CORP           COMMON STOCK    857477103        180     2817 Shares                 X                  1       2817      0      0
STATE STREET
CORP           COMMON STOCK    857477103       1376    30201 Shares                 X                  2      13500      0  16701
STATE STREET
CORP           COMMON STOCK    857477103        238     3725 Shares                 X                  3       3725      0      0
STATE STREET
CORP           COMMON STOCK    857477103       5362    83800 Shares                          X         1      83800      0      0


                                    55 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
STATOILHYDRO
ASA SPONSORED
ADR            COMMON STOCK    85771P102          5      140 Shares                 X                  3        140      0      0
STEEL DYNAMICS
INC            COMMON STOCK    858119100        508    12991 Shares                 X                  1      12505      0    486
STEEL DYNAMICS
INC            COMMON STOCK    858119100       3127    80025 Shares                 X                  3      80025      0      0
STELLARONE
CORP           COMMON STOCK    85856G100         25     1731 Shares                 X                  1       1731      0      0
STEMCELLS
INCORPORATED   COMMON STOCK    85857R105          1     1000 Shares                 X                  2          0      0   1000
STERICYCLE INC
COM            COMMON STOCK    858912108         21      400 Shares                 X                  2          0      0    400
STIFEL FINL
CORP           COMMON STOCK    860630102         62     1795 Shares                 X                  1       1650      0    145
STIFEL FINL
CORP           COMMON STOCK    860630102          9      264 Shares                 X                  2          0      0    264
STIFEL FINL
CORP           COMMON STOCK    860630102       1104    32100 Shares                 X                  3      32100      0      0
STMICRO-
ELECTRONICS
N V            COMMON STOCK    861012102          1      100 Shares                 X                  1        100      0      0
STRAYER ED INC COMMON STOCK    863236105         41      197 Shares                 X                  1        175      0     22
STRAYER ED INC COMMON STOCK    863236105        874     4180 Shares                 X                  3       4180      0      0
STRYKER CORP   COMMON STOCK    863667101        532     8455 Shares                 X                  1       8455      0      0
STRYKER CORP   COMMON STOCK    863667101       4771    75875 Shares                 X                  2          0      0  75875
STRYKER CORP   COMMON STOCK    863667101        139     2210 Shares                 X                  3       2210      0      0
STRYKER CORP   COMMON STOCK    863667101        280     4445 Shares                          X         1       3845      0    600
STURM RUGER &
CO INC COM     COMMON STOCK    864159108          2      250 Shares                 X                  1        250      0      0
STURM RUGER &
CO INC COM     COMMON STOCK    864159108          7     1000 Shares                          X         1       1000      0      0
SUBURBAN
PROPANE
PARTNERS LP L  COMMON STOCK    864482104         10      250 Shares                 X                  1        250      0      0
SUBURBAN
PROPANE
PARTNERS LP L  COMMON STOCK    864482104         38     1000 Shares                 X                  2          0      0   1000
SUBURBAN
PROPANE
PARTNERS LP L  COMMON STOCK    864482104         38     1000 Shares                          X         1       1000      0      0
SUCCESSFACTORS
INC            COMMON STOCK    864596101         44     4060 Shares                 X                  1       3700      0    360
SUCCESSFACTORS
INC            COMMON STOCK    864596101       1105   100900 Shares                 X                  3     100900      0      0
SUN LIFE FINL
INC            COMMON STOCK    866796105        119     2917 Shares                 X                  1       2917      0      0
SUN
MICROSYSTEMS
INC            COMMON STOCK    866810203         17     1601 Shares                 X                  1       1601      0      0
SUN
MICROSYSTEMS
INC            COMMON STOCK    866810203         14     1300 Shares                 X                  2          0      0   1300
SUN
MICROSYSTEMS
INC            COMMON STOCK    866810203         79     7300 Shares                 X                  3       7300      0      0
SUN
MICROSYSTEMS
INC            COMMON STOCK    866810203         15     1350 Shares                          X         1       1350      0      0
SUNCOR ENERGY
INC            COMMON STOCK    867229106       1237    21292 Shares                 X                  1      21292      0      0
SUNCOR ENERGY
INC            COMMON STOCK    867229106         35      600 Shares                 X                  2          0      0    600
SUNCOR ENERGY
INC            COMMON STOCK    867229106        116     2000 Shares                          X         1       2000      0      0
SUNOCO INC     COMMON STOCK    86764P109         52     1285 Shares                 X                  1       1285      0      0
SUNOCO INC     COMMON STOCK    86764P109        167     4100 Shares                 X                  3       4100      0      0
SUNOCO INC     COMMON STOCK    86764P109          8      200 Shares                          X         1        200      0      0
SUNOCO
LOGISTICS
PARTNERS L.P.  COMMON STOCK    86764L108        923    19300 Shares                 X                  2       9200      0  10100
SUNOCO
LOGISTICS
PARTNERS L.P.  COMMON STOCK    86764L108         42      900 Shares                          X         1        900      0      0
SUNPOWER CORP
CL A           COMMON STOCK    867652109         14      200 Shares                 X                  1        200      0      0
SUNRISE SENIOR
LIVING INC     COMMON STOCK    86768K106          4      200 Shares                 X                  1        200      0      0
SUNRISE SENIOR
LIVING INC     COMMON STOCK    86768K106       6430   286900 Shares                 X                  2     100975      0 185925
SUNTRUST BANKS
INC            COMMON STOCK    867914103        311     8588 Shares                 X                  1       8588      0      0
SUNTRUST BANKS
INC            COMMON STOCK    867914103        723    19964 Shares                 X                  2          0      0  19964
SUNTRUST BANKS
INC            COMMON STOCK    867914103        172     4753 Shares                 X                  3       4753      0      0
SUNTRUST BANKS
INC            COMMON STOCK    867914103        746    20585 Shares                          X         1      18885      0   1700
SUPERCONDUCTOR
TECHNOLOGIES
IN             COMMON STOCK    867931305          0       12 Shares                 X                  1         12      0      0
SUPERIOR
ENERGY
SERVICES INC C COMMON STOCK    868157108         22      400 Shares                 X                  1        400      0      0
SUPERVALU INC  COMMON STOCK    868536103        104     3364 Shares                 X                  1       3364      0      0
SUPERVALU INC  COMMON STOCK    868536103         56     1800 Shares                 X                  3       1800      0      0
SUSQUEHANNA
BANCSHARES INC COMMON STOCK    869099101        315    22111 Shares          X                                22111      0      0
SUSQUEHANNA
BANCSHARES INC COMMON STOCK    869099101        880    64306 Shares                 X                  1      62160      0   2146
SUSQUEHANNA
BANCSHARES INC COMMON STOCK    869099101        650    47452 Shares                          X         1      45670   1782      0


                                    56 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
-------------- --------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
SYMANTEC CORP  COMMON STOCK    871503108        165     8532 Shares                 X                  1       8532      0      0
SYMANTEC CORP  COMMON STOCK    871503108        145     7500 Shares                 X                  3       7500      0      0
SYMANTEC CORP  COMMON STOCK    871503108         78     4010 Shares                          X         1       4010      0      0
SYNOPSYS INC
COM            COMMON STOCK    871607107         36     1500 Shares                          X         1          0      0   1500
SYNOVUS FINL
CORP COM       COMMON STOCK    87161C105          8      900 Shares                          X         1        900      0      0
SYSCO
CORPORATION    COMMON STOCK    871829107       4301   156349 Shares                 X                  1     154746      0   1603
SYSCO
CORPORATION    COMMON STOCK    871829107       2400    85446 Shares                 X                  2      32646      0  52800
SYSCO
CORPORATION    COMMON STOCK    871829107        758    27561 Shares                 X                  3      23958      0   3603
SYSCO
CORPORATION    COMMON STOCK    871829107          7      250 Shares                 X                  4        250      0      0
SYSCO
CORPORATION    COMMON STOCK    871829107       7364   267701 Shares                          X         1     264801      0   2900
TAIWAN
SEMICONDUCTOR
SPON ADR       COMMON STOCK    874039100         25     2300 Shares                 X                  1       2300      0      0
TAIWAN
SEMICONDUCTOR
SPON ADR       COMMON STOCK    874039100         11     1004 Shares                          X         1          0      0   1004
TALISMAN
ENERGY INC     COMMON STOCK    87425E103        101     4555 Shares                 X                  1       4555      0      0
TALISMAN
ENERGY INC     COMMON STOCK    87425E103          4      190 Shares                 X                  3        190      0      0
TALISMAN
ENERGY INC     COMMON STOCK    87425E103          5      210 Shares                          X         1          0      0    210
TARGET CORP    COMMON STOCK    87612E106       6251   134452 Shares                 X                  1     133902      0    550
TARGET CORP    COMMON STOCK    87612E106        788    15650 Shares                 X                  2      14650      0   1000
TARGET CORP    COMMON STOCK    87612E106       1601    34429 Shares                 X                  3      33152      0   1277
TARGET CORP    COMMON STOCK    87612E106       1073    23087 Shares                          X         1      22512      0    575
TECH DATA CORP
COM            COMMON STOCK    878237106          7      200 Shares                 X                  3        200      0      0
TECH DATA CORP
COM            COMMON STOCK    878237106         17      500 Shares                          X         1        500      0      0
TECHNE CORP    COMMON STOCK    878377100        752     9723 Shares                 X                  2          0      0   9723
TECHTARGET     COMMON STOCK    87874R100         21     2000 Shares                 X                  2          0      0   2000
TECK COMINCO
LTD- CL B      COMMON STOCK    878742204         48     1000 Shares                          X         1       1000      0      0
TECO ENERGY
INC            COMMON STOCK    872375100        230    10680 Shares                 X                  1      10680      0      0
TECO ENERGY
INC            COMMON STOCK    872375100         34     1600 Shares                 X                  3       1600      0      0
TECO ENERGY
INC            COMMON STOCK    872375100        428    19910 Shares                          X         1      19610      0    300
TELE NORTE
LESTE PART ADR COMMON STOCK    879246106         12      500 Shares                 X                  1        500      0      0
TELE NORTE
LESTE PART ADR COMMON STOCK    879246106          6      260 Shares                 X                  3        260      0      0
TELECOM
ARGENTINA
SA-SP ADR      COMMON STOCK    879273209          3      190 Shares                 X                  1        190      0      0
TELECOM ITALIA
SPA            COMMON STOCK    87927Y102          1       54 Shares                 X                  1         54      0      0
TELEDYNE TECH
INC            COMMON STOCK    879360105         29      600 Shares                 X                  1        600      0      0
TELEDYNE TECH
INC            COMMON STOCK    879360105        674    13800 Shares                 X                  3      13800      0      0
TELEDYNE TECH
INC            COMMON STOCK    879360105         13      275 Shares                          X         1        275      0      0
TELEFLEX INC   COMMON STOCK    879369106         89     1600 Shares                 X                  3       1600      0      0
TELEFONAKTIE-
BOLAGET LM
ERICSSO        COMMON STOCK    294821608          1      106 Shares                 X                  1        106      0      0
TELEFONAKTIE-
BOLAGET LM
ERICSSO        COMMON STOCK    294821608         27     2560 Shares                          X         1       2560      0      0
TELEFONICA S A
SPONSORED ADR  COMMON STOCK    879382208        103     1300 Shares                 X                  1       1300      0      0
TELEFONICA S A
SPONSORED ADR  COMMON STOCK    879382208         44      555 Shares                 X                  2          0      0    555
TELEFONOS DE
MEXICO SA DE
CV             COMMON STOCK    879403707        109     4546 Shares                 X                  1       4546      0      0
TELEFONOS DE
MEXICO SP ADR
L              COMMON STOCK    879403780        196     8272 Shares                 X                  1       8272      0      0
TELEFONOS DE
MEXICO SP ADR
L              COMMON STOCK    879403780         47     2000 Shares                          X         1          0      0   2000
TELLABS INC    COMMON STOCK    879664100         17     3700 Shares                 X                  3       3700      0      0
TELMEX
INTERNACIONAL
SAB DE CV      COMMON STOCK    879690105        133     8272 Shares                 X                  1       8272      0      0
TELMEX
INTERNACIONAL
SAB DE CV      COMMON STOCK    879690204         73     4546 Shares                 X                  1       4546      0      0
TELMEX
INTERNACIONAL
SAB DE CV      COMMON STOCK    879690105         32     2000 Shares                          X         1          0      0   2000
TEMPLE INLAND
INC            COMMON STOCK    879868107          1      128 Shares                 X                  1        128      0      0
TEMPLE INLAND
INC            COMMON STOCK    879868107          6      513 Shares                 X                  2          0      0    513
TEMPLE INLAND
INC            COMMON STOCK    879868107          1      100 Shares                 X                  3        100      0      0
TEMPLE INLAND
INC            COMMON STOCK    879868107          1      100 Shares                          X         1        100      0      0


                                    57 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
TEMPLETON
DRAGON FUND
INC            PREFERRED STOCK 88018T101          2      100 Shares                 X                  1          0      0      0
TEMPLETON
GLOBAL
INCOME FUND-D  PREFERRED STOCK 880198106        333    37500 Shares                 X                  1          0      0      0
TENET
HEALTHCARE     COMMON STOCK    88033G100         23     4100 Shares                 X                  3       4100      0      0
TEPPCO
PARTNERS
LIMITED
PARTNERSHIP    COMMON STOCK    872384102         88     2650 Shares                 X                  1       2650      0      0
TEPPCO
PARTNERS
LIMITED
PARTNERSHIP    COMMON STOCK    872384102       3127    93150 Shares                 X                  2      27250      0  65900
TERADATA CORP  COMMON STOCK    88076W103          7      302 Shares                 X                  1        302      0      0
TERADATA CORP  COMMON STOCK    88076W103         39     1700 Shares                 X                  3       1700      0      0
TERADATA CORP  COMMON STOCK    88076W103         34     1474 Shares                          X         1       1458      0     16
TERADYNE INC   COMMON STOCK    880770102         17     1500 Shares                 X                  3       1500      0      0
TEREX CORP     COMMON STOCK    880779103         39      751 Shares                 X                  1        751      0      0
TEREX CORP     COMMON STOCK    880779103         49      950 Shares                 X                  3        950      0      0
TERRA
INDUSTRIES INC COMMON STOCK    880915103         86     1750 Shares                 X                  1       1750      0      0
TERRA
INDUSTRIES INC COMMON STOCK    880915103       1512    30640 Shares                 X                  3      30640      0      0
TERRA
INDUSTRIES INC COMMON STOCK    880915103          1       27 Shares                          X         1         27      0      0
TESORO
CORPORATION    COMMON STOCK    881609101         24     1200 Shares                 X                  3       1200      0      0
TESSERA
TECHNOLOGIES
INC            COMMON STOCK    88164L100         11      701 Shares                 X                  1        684      0     17
TETRA TECH INC COMMON STOCK    88162G103          2      100 Shares                 X                  1        100      0      0
TEVA
PHARMACEUTICAL
SPONS ADR      COMMON STOCK    881624209        651    14219 Shares                 X                  1      13819      0    400
TEVA
PHARMACEUTICAL
SPONS ADR      COMMON STOCK    881624209        692    15110 Shares                          X         1      12985      0   2125
TEXAS
INSTRUMENTS
INCORPORATED   COMMON STOCK    882508104       4479   159051 Shares                 X                  1     157549      0   1502
TEXAS
INSTRUMENTS
INCORPORATED   COMMON STOCK    882508104       2599    91988 Shares                 X                  2      76688      0  15300
TEXAS
INSTRUMENTS
INCORPORATED   COMMON STOCK    882508104        697    24755 Shares                 X                  3      23255      0   1500
TEXAS
INSTRUMENTS
INCORPORATED   COMMON STOCK    882508104          3      100 Shares                 X                  4        100      0      0
TEXAS
INSTRUMENTS
INCORPORATED   COMMON STOCK    882508104       1994    70810 Shares                          X         1      62975      0   7835
TEXTAINER
GRUP HLDS      COMMON STOCK    G8766E109         47     2400 Shares                 X                  1       2400      0      0
TEXTAINER
GRUP HLDS      COMMON STOCK    G8766E109        946    48400 Shares                 X                  3      48400      0      0
TEXTRON INC    COMMON STOCK    883203101        428     8936 Shares                 X                  1       8936      0      0
TEXTRON INC    COMMON STOCK    883203101        144     3000 Shares                 X                  3       2300      0    700
TEXTRON INC    COMMON STOCK    883203101         77     1600 Shares                          X         1        200      0   1400
TF FINANCIAL
CORP           COMMON STOCK    872391107        108     5000 Shares                 X                  1       5000      0      0
THE HERSHEY
COMPANY        COMMON STOCK    427866108       2834    86442 Shares                 X                  1      82388      0   4054
THE HERSHEY
COMPANY        COMMON STOCK    427866108         26      800 Shares                 X                  2          0      0    800
THE HERSHEY
COMPANY        COMMON STOCK    427866108        548    16727 Shares                 X                  3      14783      0   1944
THE HERSHEY
COMPANY        COMMON STOCK    427866108       1427    43524 Shares                          X         1      37009      0   6515
THE PANTRY INC COMMON STOCK    698657103          2      150 Shares                 X                  1        150      0      0
THE SCOTTS
MIRACLE-GRO
COMPANY        COMMON STOCK    810186106        224    12750 Shares                 X                  1      12750      0      0
THE SCOTTS
MIRACLE-GRO
COMPANY        COMMON STOCK    810186106         61     3500 Shares                 X                  2          0      0   3500
THE WESTERN
UNION          COMMON STOCK    959802109        370    14961 Shares                 X                  1      14961      0      0
THE WESTERN
UNION          COMMON STOCK    959802109        159     6450 Shares                 X                  3       6450      0      0
THE WESTERN
UNION          COMMON STOCK    959802109          5      200 Shares                 X                  4        200      0      0
THE WESTERN
UNION          COMMON STOCK    959802109        359    14524 Shares                          X         1      13824      0    700
THE9 LIMITED   ADR(1 ORD SHR)  88337K104         45     2000 Shares                 X                  1       2000      0      0
THE9 LIMITED   ADR(1 ORD SHR)  88337K104        919    40700 Shares                 X                  3      40700      0      0
THERMO FISHER
SCI            COMMON STOCK    883556102        598    10735 Shares                 X                  1      10735      0      0
THERMO FISHER
SCI            COMMON STOCK    883556102        134     2400 Shares                 X                  2          0      0   2400
THERMO FISHER
SCI            COMMON STOCK    883556102        210     3770 Shares                 X                  3       3770      0      0
THERMO FISHER
SCI            COMMON STOCK    883556102        187     3350 Shares                          X         1       3350      0      0
THOMSON
REUTERS PLC
ADR            COMMON STOCK    885141101         26      160 Shares                 X                  1        160      0      0
THORNBURG MTG
INC (REIT)     COMMON STOCK    885218107          2     7672 Shares                 X                  1          0      0      0
THORNBURG MTG
INC (REIT)     COMMON STOCK    885218107          0     2250 Shares                          X         1          0      0      0



                                    58 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
THQ INC COM
NEW            COMMON STOCK    872443403          1       25 Shares                 X                  1          0      0     25
TIBCO SOFTWARE
INC            COMMON STOCK    88632Q103         37     4900 Shares                 X                  1       4500      0    400
TIBCO SOFTWARE
INC            COMMON STOCK    88632Q103        663    86700 Shares                 X                  3      86700      0      0
TIDEWATER INC  COMMON STOCK    886423102         65     1000 Shares                 X                  1       1000      0      0
TIFFANY & CO   COMMON STOCK    886547108         86     2104 Shares                 X                  1       2104      0      0
TIFFANY & CO   COMMON STOCK    886547108        469    11500 Shares                 X                  2          0      0  11500
TIFFANY & CO   COMMON STOCK    886547108         49     1200 Shares                 X                  3       1200      0      0
TIGERLOGIC
CORP           COMMON STOCK    8867EQ101        295    60000 Shares                 X                  2          0      0  60000
TIM HORTONS
INC            COMMON STOCK    88706M103        148     5173 Shares                 X                  1       5173      0      0
TIME WARNER
INC            COMMON STOCK    887317105        638    43139 Shares                 X                  1      43139      0      0
TIME WARNER
INC            COMMON STOCK    887317105       1404    94851 Shares                 X                  2      71431      0  23420
TIME WARNER
INC            COMMON STOCK    887317105        473    31955 Shares                 X                  3      31955      0      0
TIME WARNER
INC            COMMON STOCK    887317105        305    20614 Shares                          X         1      19914      0    700
TIMKEN CO COM  COMMON STOCK    887389104         36     1094 Shares                          X         1       1094      0      0
TITAN
INTERNATIONAL
INC            COMMON STOCK    88830M102          1       20 Shares                 X                  1          0      0     20
TITAN
MACHINERY INC  COMMON STOCK    88830R101          1       35 Shares                 X                  1          0      0     35
TITANIUM
METALS CORP    COMMON STOCK    888339207         11      800 Shares                 X                  3        800      0      0
TIVO INC       COMMON STOCK    888706108          1      100 Shares                 X                  1        100      0      0
TJX COMPANIES
INC            COMMON STOCK    872540109        923    29334 Shares                 X                  1      29039      0    295
TJX COMPANIES
INC            COMMON STOCK    872540109       1621    51511 Shares                 X                  3      51511      0      0
TNS INC        COMMON STOCK    872960109         49     2053 Shares                 X                  1       1900      0    153
TNS INC        COMMON STOCK    872960109       1009    42100 Shares                 X                  3      42100      0      0
TOLL BROTHERS
INC            COMMON STOCK    889478103       1077    57495 Shares                 X                  1      57310      0    185
TOLL BROTHERS
INC            COMMON STOCK    889478103        250    13325 Shares                 X                  2          0      0  13325
TOLL BROTHERS
INC            COMMON STOCK    889478103        682    36435 Shares                 X                  3      36435      0      0
TOLL BROTHERS
INC            COMMON STOCK    889478103        225    12000 Shares                          X         1      11500      0    500
TOMPKINS
FINANCIAL CORP COMMON STOCK    890110109         13      350 Shares                 X                  1        350      0      0
TONGJITANG
CHINESE
MEDICINES-A    COMMON STOCK    89025E103          1      200 Shares                          X         1        200      0      0
TOOTSIE ROLL
INDUSTRIES     COMMON STOCK    890516107         36     1415 Shares                 X                  1       1415      0      0
TORCHMARK CORP COMMON STOCK    891027104         47      800 Shares                 X                  3        800      0      0
TORO CO COM    COMMON STOCK    891092108         53     1600 Shares                 X                  1       1600      0      0
TORONTO-
DOMINION BANK  COMMON STOCK    891160509         21      334 Shares                 X                  1        334      0      0
TORONTO-
DOMINION BANK  COMMON STOCK    891160509        132     2113 Shares                          X         1       2031      0     82
TORTOISE
ENERGY CAPITAL
CORP           COMMON STOCK    89147U100         25     1000 Shares                          X         1       1000      0      0
TORTOISE
ENERGY
INFRASTRUCTURE PREFERRED STOCK 89147L100         27     1000 Shares                 X                  1          0      0      0
TOTAL SA
SPONSORED ADR  COMMON STOCK    89151E109         62      732 Shares                 X                  1        732      0      0
TOTAL SYS SVCS
INC            COMMON STOCK    891906109         41     1851 Shares                 X                  3       1851      0      0
TOTAL SYS SVCS
INC            COMMON STOCK    891906109         10      435 Shares                          X         1        435      0      0
TOYOTA MOTOR
CORP SPON ADR  COMMON STOCK    892331307         38      407 Shares                 X                  1        407      0      0
TOYOTA MOTOR
CORP SPON ADR  COMMON STOCK    892331307         19      200 Shares                          X         1        200      0      0
TRACTOR SUPPLY
COMPANY        COMMON STOCK    892356106        116     4000 Shares                 X                  2          0      0   4000
TRADESTATION
GROUP INC      COMMON STOCK    89267P105          9      900 Shares                 X                  1        900      0      0
TRANS1 INC     COMMON STOCK    89385X105         28     1850 Shares                 X                  1       1700      0    150
TRANS1 INC     COMMON STOCK    89385X105        538    35700 Shares                 X                  3      35700      0      0
TRANSACT
TECHNOLOGIES
INC COM        COMMON STOCK    892918103          8     1000 Shares                 X                  1       1000      0      0
TRANSCANADA
CORP           COMMON STOCK    89353D107         60     1560 Shares                 X                  1       1560      0      0
TRANSCANADA
CORP           COMMON STOCK    89353D107         12      300 Shares                          X         1        300      0      0
TRANSMONTAIGNE
PARTNERS LP    COMMON STOCK    89376V100         32     1200 Shares                 X                  2          0      0   1200
TRANSOCEAN INC COMMON STOCK    G90073100       3336    21889 Shares                 X                  1      20539      0   1350
TRANSOCEAN INC COMMON STOCK    G90073100        219     1434 Shares                 X                  2          0      0   1434


                                    59 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
TRANSOCEAN INC COMMON STOCK    G90073100        791     5190 Shares                 X                  3       5190      0      0
TRANSOCEAN INC COMMON STOCK    G90073100        666     4368 Shares                          X         1       3884      0    484
TRAVELCENTERS
OF AMERICA LLC COMMON STOCK    894174101          0       30 Shares                 X                  1         30      0      0
TRAVELCENTERS
OF AMERICA LLC COMMON STOCK    894174101          0       30 Shares                          X         1         30      0      0
TRAVELERS
CO(THE)        COMMON STOCK    89417E109        794    18305 Shares                 X                  1      18148      0    157
TRAVELERS
CO(THE)        COMMON STOCK    89417E109        605    13944 Shares                 X                  2          0      0  13944
TRAVELERS
CO(THE)        COMMON STOCK    89417E109        229     5275 Shares                 X                  3       5275      0      0
TRAVELERS
CO(THE)        COMMON STOCK    89417E109          7      160 Shares                 X                  4        160      0      0
TRAVELERS
CO(THE)        COMMON STOCK    89417E109        432     9959 Shares                          X         1       9750      0    209
TREDEGAR CORP  COMMON STOCK    894650100         33     2250 Shares                 X                  1       2250      0      0
TREDEGAR CORP  COMMON STOCK    894650100          5      360 Shares                          X         1        360      0      0
TRI-
CONTINENTAL
CORP           PREFERRED STOCK 895436103          4      251 Shares                 X                  1          0      0      0
TRI-
CONTINENTAL
CORP           PREFERRED STOCK 895436103         70     4240 Shares                          X         1          0      0      0
TRIMBLE NAV
LTD COM        COMMON STOCK    896239100        250     7000 Shares                 X                  2          0      0   7000
TRINITY
INDUSTRIES INC COMMON STOCK    896522109          9      250 Shares                 X                  1        250      0      0
TRINITY
INDUSTRIES INC COMMON STOCK    896522109         31      900 Shares                          X         1        900      0      0
TRONOX
INC-CLASS B    COMMON STOCK    897051207          0      161 Shares                 X                  1          0      0    161
TRONOX
INC-CLASS B    COMMON STOCK    897051207          0       50 Shares                          X         1         50      0      0
TRUEBLUE INC   COMMON STOCK    89785X101          1       40 Shares                 X                  1          0      0     40
TUPPERWARE
BRANDS         COMMON STOCK    899896104         66     1930 Shares                 X                  1       1800      0    130
TUPPERWARE
BRANDS         COMMON STOCK    899896104        907    26500 Shares                 X                  3      26500      0      0
TUPPERWARE
BRANDS         COMMON STOCK    899896104         15      450 Shares                          X         1        450      0      0
TYCO ELEC LTD  COMMON STOCK    G9144P105        237     6616 Shares                 X                  1       4487      0   2129
TYCO ELEC LTD  COMMON STOCK    G9144P105        242     6750 Shares                 X                  2          0      0   6750
TYCO ELEC LTD  COMMON STOCK    G9144P105        149     4150 Shares                 X                  3       4150      0      0
TYCO ELEC LTD  COMMON STOCK    G9144P105         97     2712 Shares                          X         1       2712      0      0
TYCO INTL LTD  COMMON STOCK    G9143X208        268     6691 Shares                 X                  1       4562      0   2129
TYCO INTL LTD  COMMON STOCK    G9143X208        270     6750 Shares                 X                  2          0      0   6750
TYCO INTL LTD  COMMON STOCK    G9143X208        168     4200 Shares                 X                  3       4200      0      0
TYCO INTL LTD  COMMON STOCK    G9143X208        150     3744 Shares                          X         1       2941      0    803
TYLER
TECHNOLOGIES
INC            COMMON STOCK    902252105       4947   361100 Shares                 X                  2     114900      0 246200
TYSON FOODS
INC            CLASS A         902494103         34     2300 Shares                 X                  3       2300      0      0
UBS AG         COMMON STOCK    H89231338         77     3723 Shares                 X                  1       3723      0      0
UDR INC REIT   COMMON STOCK    902653104         11      500 Shares                 X                  1          0      0      0
UGI CORP       COMMON STOCK    902681105        334    11646 Shares                 X                  1      11646      0      0
UGI CORP       COMMON STOCK    902681105        158     5500 Shares                          X         1       5500      0      0
ULTRA
PETROLEUM CORP COMMON STOCK    903914109        196     2000 Shares                 X                  2          0      0   2000
UNDER ARMOUR
INC-CLASS A    COMMON STOCK    904311107          5      200 Shares                 X                  1        200      0      0
UNDER ARMOUR
INC-CLASS A    COMMON STOCK    904311107         56     2200 Shares                 X                  2          0      0   2200
UNILEVER NV NY
SHARES         COMMON STOCK    904784709        326    11471 Shares                 X                  1      11471      0      0
UNILEVER NV NY
SHARES         COMMON STOCK    904784709        258     9090 Shares                          X         1       9090      0      0
UNILEVER PLC
SPONSORED ADR  COMMON STOCK    904767704          8      275 Shares                 X                  1        275      0      0
UNILEVER PLC
SPONSORED ADR  COMMON STOCK    904767704          7      250 Shares                 X                  3        250      0      0
UNILEVER PLC
SPONSORED ADR  COMMON STOCK    904767704         47     1640 Shares                          X         1       1640      0      0
UNION
BANKSHARES
CORPORATION    COMMON STOCK    905399101          4      300 Shares                          X         1        300      0      0
UNION PAC CORP COMMON STOCK    907818108       1125    14898 Shares                 X                  1      14898      0      0
UNION PAC CORP COMMON STOCK    907818108       1239    16414 Shares                 X                  2          0      0  16414
UNION PAC CORP COMMON STOCK    907818108        340     4500 Shares                 X                  3       4500      0      0
UNION PAC CORP COMMON STOCK    907818108       1199    15880 Shares                          X         1      12280      0   3600
UNISYS
CORPORATION    COMMON STOCK    909214108         13     3200 Shares                 X                  3       3200      0      0


                                    60 of 66




                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
UNITED
BANKSHARES INC COMMON STOCK    909907107         19      824 Shares                 X                  2          0      0    824
UNITED
FINANCIAL
BANCORP INC    COMMON STOCK    91030T109          0       30 Shares                 X                  1          0      0     30
UNITED PARCEL
SV INC         CLASS B         911312106       3394    55207 Shares                 X                  1      53531      0   1676
UNITED PARCEL
SV INC         CLASS B         911312106       9313   150299 Shares                 X                  2       6428      0 143871
UNITED PARCEL
SV INC         CLASS B         911312106        739    12027 Shares                 X                  3      11531      0    496
UNITED PARCEL
SV INC         CLASS B         911312106          9      150 Shares                 X                  4        150      0      0
UNITED PARCEL
SV INC         CLASS B         911312106       1071    17425 Shares                          X         1      15595      0   1830
UNITED RENTALS
INCORPORATED   COMMON STOCK    911363109        270    22800 Shares                 X                  2      15800      0   7000
UNITED STATES
OIL FD LP      PREFERRED STOCK 91232N108         57      500 Shares                 X                  1          0      0      0
UNITED STATES
STL            COMMON STOCK    912909108        374     2024 Shares                 X                  1       2024      0      0
UNITED STATES
STL            COMMON STOCK    912909108        240     1300 Shares                 X                  3       1300      0      0
UNITED STATES
STL            COMMON STOCK    912909108         28      153 Shares                          X         1        153      0      0
UNITED
TECHNOLOGIES
CORPORATION    COMMON STOCK    913017109       8513   137978 Shares                 X                  1     132638      0   5340
UNITED
TECHNOLOGIES
CORPORATION    COMMON STOCK    913017109       2904    46430 Shares                 X                  2       5570      0  40860
UNITED
TECHNOLOGIES
CORPORATION    COMMON STOCK    913017109       1495    24230 Shares                 X                  3      24230      0      0
UNITED
TECHNOLOGIES
CORPORATION    COMMON STOCK    913017109       3204    51924 Shares                          X         1      49504      0   2420
UNITED
THERAPEUTICS   COMMON STOCK    91307C102        116     1185 Shares                 X                  1       1100      0     85
UNITED
THERAPEUTICS   COMMON STOCK    91307C102       2190    22400 Shares                 X                  3      22400      0      0
UNITEDHEALTH
GROUP INC.     COMMON STOCK    91324P102       2069    78824 Shares                 X                  1      77808      0   1016
UNITEDHEALTH
GROUP INC.     COMMON STOCK    91324P102       8832   301195 Shares                 X                  2     114180      0 187015
UNITEDHEALTH
GROUP INC.     COMMON STOCK    91324P102       1435    54665 Shares                 X                  3      52342      0   2323
UNITEDHEALTH
GROUP INC.     COMMON STOCK    91324P102        234     8897 Shares                          X         1       5867      0   3030
UNITRIN INC
COM            COMMON STOCK    913275103         34     1233 Shares                 X                  1       1233      0      0
UNITRIN INC
COM            COMMON STOCK    913275103         39     1400 Shares                          X         1       1400      0      0
UNIVERSAL
DISPLAY CORP   COMMON STOCK    91347P105         17     1360 Shares                 X                  1       1300      0     60
UNIVEST CORP
OF PA          COMMON STOCK    915271100         49     2454 Shares                 X                  1       2454      0      0
UNUMPROVIDENT
CORPORATION    COMMON STOCK    91529Y106       1484    70975 Shares                 X                  2      20700      0  50275
UNUMPROVIDENT
CORPORATION    COMMON STOCK    91529Y106         67     3300 Shares                 X                  3       3300      0      0
URBAN
OUTFITTERS     COMMON STOCK    917047102        229     7335 Shares                 X                  1       6999      0    336
URBAN
OUTFITTERS     COMMON STOCK    917047102        609    19500 Shares                 X                  3      19500      0      0
URSTADT BIDDLE
PPTYS INC CL A COMMON STOCK    917286205         44     3000 Shares                          X         1          0      0      0
US BANCORP NEW COMMON STOCK    902973304       2216    79467 Shares                 X                  1      79467      0      0
US BANCORP NEW COMMON STOCK    902973304       1653    56200 Shares                 X                  2      19000      0  37200
US BANCORP NEW COMMON STOCK    902973304        527    18900 Shares                 X                  3      18900      0      0
US BANCORP NEW COMMON STOCK    902973304          7      253 Shares                 X                  4        253      0      0
US BANCORP NEW COMMON STOCK    902973304        619    22197 Shares                          X         1      17091      0   5106
UST INC        COMMON STOCK    902911106        390     7150 Shares                 X                  1       7150      0      0
UST INC        COMMON STOCK    902911106         98     1800 Shares                 X                  3       1800      0      0
UST INC        COMMON STOCK    902911106        120     2200 Shares                          X         1       2200      0      0
UTI WORLDWIDE
INC            COMMON STOCK    G87210103         80     4000 Shares                 X                  2          0      0   4000
V F CORP       COMMON STOCK    918204108        336     4720 Shares                 X                  1       4720      0      0
V F CORP       COMMON STOCK    918204108         53      750 Shares                 X                  3        750      0      0
V F CORP       COMMON STOCK    918204108        669     9400 Shares                          X         1       9400      0      0
VAIL RESORTS
INC            COMMON STOCK    91879Q109          0        6 Shares                 X                  1          0      0      6
VALEANT PHARMA
INTL           COMMON STOCK    91911X104         39     2296 Shares                 X                  1       2116      0    180
VALEANT PHARMA
INTL           COMMON STOCK    91911X104        609    35600 Shares                 X                  3      35600      0      0
VALERO ENERGY
CORP           COMMON STOCK    91913Y100        521    12650 Shares                 X                  1      12650      0      0
VALERO ENERGY
CORP           COMMON STOCK    91913Y100        233     5660 Shares                 X                  3       5660      0      0
VALERO ENERGY
CORP           COMMON STOCK    91913Y100        206     5000 Shares                          X         1       5000      0      0
VALSPAR CORP   COMMON STOCK    920355104         61     3200 Shares                 X                  3       3200      0      0


                                    61 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
VALUECLICK INC COMMON STOCK    92046N102         31     2060 Shares                 X                  1       1945      0    115
VALUECLICK INC COMMON STOCK    92046N102         85     5600 Shares                 X                  3       5600      0      0
VALUECLICK INC COMMON STOCK    92046N102         30     2000 Shares                          X         1       2000      0      0
VAN KAMPEN
BOND FUND      PREFERRED STOCK 920955101          2      100 Shares                          X         1          0      0      0
VAN KAMPEN
MUNICIPAL
OPPORTUNI      PREFERRED STOCK 920935103        102     7385 Shares                          X         1          0      0      0
VAN KAMPEN
PENN VALUE
MUNI INC       PREFERRED STOCK 92112T108        266    20852 Shares                 X                  1          0      0      0
VAN KAMPEN
PENN VALUE
MUNI INC       PREFERRED STOCK 92112T108        691    54115 Shares                          X         1          0      0      0
VAN KAMPEN
SENIOR INCOME
TRUST          PREFERRED STOCK 920961109         23     4000 Shares                 X                  1          0      0      0
VAN KAMPEN TR
FOR INV GR
MUNIC          PREFERRED STOCK 920929106         81     5851 Shares                          X         1          0      0      0
VAN KAMPEN
TRUST INSURED
MUNIC          PREFERRED STOCK 920928108          7      505 Shares                 X                  1          0      0      0
VANGUARD
EMERGING MKTS
ETF            PREFERRED STOCK 922042858          9      200 Shares                 X                  1          0      0      0
VANGUARD
EMERGING MKTS
ETF            PREFERRED STOCK 922042858         14      290 Shares                          X         1          0      0      0
VANGUARD
ENERGY ETF     PREFERRED STOCK 92204A306         27      212 Shares                 X                  1          0      0      0
VANGUARD
EUROPEAN ETF   PREFERRED STOCK 922042874         20      308 Shares                          X         1          0      0      0
VANGUARD INFO
TECH ETF       COMMON STOCK    92204A702          8      160 Shares                          X         1        160      0      0
VANGUARD
MATERIALS ETF  PREFERRED STOCK 92204A801         23      250 Shares                 X                  1          0      0      0
VANGUARD TOTAL
STOCK MARKET
ET             PREFERRED STOCK 922908769        377     5882 Shares                          X         1          0      0      0
VARIAN INC     COMMON STOCK    922206107          6      120 Shares                 X                  1        120      0      0
VARIAN MED SYS
INC            COMMON STOCK    92220P105         93     1795 Shares                 X                  1       1795      0      0
VARIAN MED SYS
INC            COMMON STOCK    92220P105         52     1000 Shares                 X                  2          0      0   1000
VARIAN MED SYS
INC            COMMON STOCK    92220P105         62     1200 Shares                 X                  3       1200      0      0
VARIAN MED SYS
INC            COMMON STOCK    92220P105          9      175 Shares                          X         1        175      0      0
VARIAN
SEMICONDUCTOR
EQUIP ASS      COMMON STOCK    922207105         36     1041 Shares                 X                  1       1041      0      0
VCA ANTECH INC COMMON STOCK    918194101         69     2500 Shares                 X                  2          0      0   2500
VECTOR GROUP
LTD            COMMON STOCK    92240M108          9      551 Shares                          X         1        551      0      0
VECTREN CORP
COM            COMMON STOCK    92240G101         16      500 Shares                 X                  1        500      0      0
VERIFONE
HOLDINGS INC   COMMON STOCK    92342Y109         12     1000 Shares                 X                  2          0      0   1000
VERIGY LTD     COMMON STOCK    Y93691106         59     2578 Shares                 X                  1       2578      0      0
VERIGY LTD     COMMON STOCK    Y93691106          1       46 Shares                          X         1         46      0      0
VERISIGN INC   COMMON STOCK    92343E102         63     1655 Shares                 X                  1       1655      0      0
VERISIGN INC   COMMON STOCK    92343E102         66     1750 Shares                 X                  3       1750      0      0
VERIZON
COMMUNICATIONS COMMON STOCK    92343V104      16543   467304 Shares                 X                  1     457770      0   9534
VERIZON
COMMUNICATIONS COMMON STOCK    92343V104      10489   293902 Shares                 X                  2      80844      0 213058
VERIZON
COMMUNICATIONS COMMON STOCK    92343V104       3787   106975 Shares                 X                  3     103320      0   3655
VERIZON
COMMUNICATIONS COMMON STOCK    92343V104       8985   253820 Shares                          X         1     242319      0  11501
VERMILLION INC COMMON STOCK    92407M206          0       13 Shares                 X                  2          0      0     13
VIACOM INC     CLASS B         92553P201        307    10057 Shares                 X                  1      10057      0      0
VIACOM INC     CLASS B         92553P201        179     5860 Shares                 X                  3       5860      0      0
VIACOM INC     CLASS B         92553P201        136     4441 Shares                          X         1       3291      0   1150
VISA INC       COMMON STOCK    92826C839          6       70 Shares                 X                  1         70      0      0
VISA INC       COMMON STOCK    92826C839         33      400 Shares                 X                  2          0      0    400
VISHAY
INTERTECHNOLO-
GY INC COM     COMMON STOCK    928298108          9     1000 Shares                 X                  1       1000      0      0
VIST FINANCIAL
CORP           COMMON STOCK    918255100         31     2180 Shares                 X                  1       2180      0      0
VISTEON CORP
COM            COMMON STOCK    92839U107          2      621 Shares                 X                  1        621      0      0
VITAL IMAGES
INC            COMMON STOCK    92846N104         25     2000 Shares                 X                  2          0      0   2000
VIVUS INC      COMMON STOCK    928551100          5      740 Shares                 X                  3        740      0      0
VK ADVANTAGE
MUNI INCOME
TR I           PREFERRED STOCK 92112K107         11      933 Shares                 X                  1          0      0      0
VMWARE INC     COMMON STOCK    928563402         24      445 Shares                 X                  1        445      0      0
VODAFONE GROUP
PLC - SP ADR   COMMON STOCK    92857W209        994    33726 Shares                 X                  1      33726      0      0
VODAFONE GROUP
PLC - SP ADR   COMMON STOCK    92857W209        132     4464 Shares                 X                  2          0      0   4464


                                    62 of 66





                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
VODAFONE GROUP
PLC - SP ADR   COMMON STOCK    92857W209        345    11694 Shares                          X         1      11533      0    161
VORNADO REALTY
TRUST (REIT)   COMMON STOCK    929042109         18      200 Shares                 X                  1          0      0      0
VORNADO REALTY
TRUST (REIT)   COMMON STOCK    929042109        106     1200 Shares                 X                  2          0      0      0
VORNADO REALTY
TRUST (REIT)   COMMON STOCK    929042109        106     1200 Shares                 X                  3       1200      0      0
VULCAN
MATERIALS CO   COMMON STOCK    929160109          4       72 Shares                 X                  1         72      0      0
VULCAN
MATERIALS CO   COMMON STOCK    929160109         60     1000 Shares                 X                  3       1000      0      0
W P CAREY &
CO LLC         COMMON STOCK    92930Y107          8      263 Shares                 X                  1          0      0      0
W P CAREY &
CO LLC         COMMON STOCK    92930Y107        144     5019 Shares                          X         1          0      0      0
WABCO HOLDINGS
INC            COMMON STOCK    92927K102          9      200 Shares                 X                  1        200      0      0
WABTEC         COMMON STOCK    929740108         80     1645 Shares                 X                  1       1500      0    145
WABTEC         COMMON STOCK    929740108       1437    29550 Shares                 X                  3      29550      0      0
WACHOVIA CORP  COMMON STOCK    929903102       4310   277511 Shares                 X                  1     270247      0   7264
WACHOVIA CORP  COMMON STOCK    929903102        717    46140 Shares                 X                  2          0      0  46140
WACHOVIA CORP  COMMON STOCK    929903102        739    47625 Shares                 X                  3      45147      0   2478
WACHOVIA CORP  COMMON STOCK    929903102          2      100 Shares                 X                  4        100      0      0
WACHOVIA CORP  COMMON STOCK    929903102       1546    99532 Shares                          X         1      91357      0   8175
WADDELL & REED
FINL INC CL A  COMMON STOCK    930059100         11      300 Shares                 X                  1        300      0      0
WAL MART
STORES INC     COMMON STOCK    931142103      13930   247860 Shares                 X                  1     245260      0   2600
WAL MART
STORES INC     COMMON STOCK    931142103        310     5516 Shares                 X                  2          0      0   5516
WAL MART
STORES INC     COMMON STOCK    931142103       5884   104691 Shares                 X                  3     102170      0   2521
WAL MART
STORES INC     COMMON STOCK    931142103         17      300 Shares                 X                  4        300      0      0
WAL MART
STORES INC     COMMON STOCK    931142103       5075    90294 Shares                          X         1      83254      0   7040
WALGREEN CO    COMMON STOCK    931422109        723    22248 Shares                 X                  1      22198      0     50
WALGREEN CO    COMMON STOCK    931422109         98     3000 Shares                 X                  2          0      0   3000
WALGREEN CO    COMMON STOCK    931422109        281     8650 Shares                 X                  3       8650      0      0
WALGREEN CO    COMMON STOCK    931422109        646    19885 Shares                          X         1      13715      0   6170
WALTER INDS
INC            COMMON STOCK    93317Q105         89      815 Shares                 X                  1        800      0     15
WALTER INDS
INC            COMMON STOCK    93317Q105       1773    16300 Shares                 X                  3      16300      0      0
WARNACO GROUP
INC            CL A NEW        934390402         48     1095 Shares                 X                  1       1000      0     95
WARNACO GROUP
INC            CL A NEW        934390402        874    19850 Shares                 X                  3      19850      0      0
WASHINGTON
MUTUAL
INCORPORATED   COMMON STOCK    939322103         35     7159 Shares                 X                  1       7159      0      0
WASHINGTON
MUTUAL
INCORPORATED   COMMON STOCK    939322103        395    40480 Shares                 X                  2      36380      0   4100
WASHINGTON
MUTUAL
INCORPORATED   COMMON STOCK    939322103         48     9700 Shares                 X                  3       9700      0      0
WASHINGTON
MUTUAL
INCORPORATED   COMMON STOCK    939322103         18     3604 Shares                          X         1       2604      0   1000
WASHINGTON
POST CO        CLASS B         939640108        323      550 Shares                 X                  2          0      0    550
WASHINGTON
POST CO        CLASS B         939640108         35       60 Shares                 X                  3         60      0      0
WASHINGTON
REAL ESTATE
INVT (R        COMMON STOCK    939653101        329    10951 Shares                 X                  1          0      0      0
WASHINGTON
REAL ESTATE
INVT (R        COMMON STOCK    939653101         11      377 Shares                 X                  2          0      0      0
WASHINGTON
REAL ESTATE
INVT (R        COMMON STOCK    939653101         18      600 Shares                          X         1          0      0      0
WASTE
CONNECTIONS I  COMMON STOCK    941053100        288     9032 Shares                 X                  1       8567      0    465
WASTE
CONNECTIONS I  COMMON STOCK    941053100       1740    54497 Shares                 X                  3      54497      0      0
WASTE
MANAGEMENT INC COMMON STOCK    94106L109         79     2087 Shares                 X                  1       2087      0      0
WASTE
MANAGEMENT INC COMMON STOCK    94106L109        162     4300 Shares                 X                  3       4300      0      0
WASTE
MANAGEMENT INC COMMON STOCK    94106L109        500    13272 Shares                          X         1       9772      0   3500
WATERS CORP    COMMON STOCK    941848103        174     2700 Shares                 X                  1       2700      0      0
WATERS CORP    COMMON STOCK    941848103         55      850 Shares                 X                  3        850      0      0
WATSON
PHARMACEUTCLS  COMMON STOCK    942683103         24      900 Shares                 X                  3        900      0      0
WATSON
PHARMACEUTCLS  COMMON STOCK    942683103         41     1526 Shares                          X         1        763    763      0
WCI INDUSTRIES COMMON STOCK    92923C104          0      150 Shares                 X                  1        150      0      0
WCI INDUSTRIES COMMON STOCK    92923C104          2     1500 Shares                 X                  2          0      0   1500


                                    63 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
WD 40 CO COM   COMMON STOCK    929236107          6      200 Shares                          X         1        200      0      0
WEATHERFORD
INTL LTD       COMMON STOCK    G95089101       4134    83367 Shares                 X                  1      82825      0    542
WEATHERFORD
INTL LTD       COMMON STOCK    G95089101       3006    60616 Shares                 X                  3      60616      0      0
WEATHERFORD
INTL LTD       COMMON STOCK    G95089101        559    11274 Shares                          X         1      11274      0      0
WEBSTER
FINANCIAL CORP COMMON STOCK    947890109        218    11356 Shares          X                                11356      0      0
WEINGARTEN
REALTY
INVESTORS      COMMON STOCK    948741103         30     1000 Shares                 X                  1          0      0      0
WEINGARTEN
REALTY
INVESTORS      COMMON STOCK    948741103       4792   155648 Shares                 X                  2      17704      0      0
WEIS MARKETS
INC            COMMON STOCK    948849104         57     1750 Shares                 X                  1       1300      0    450
WEIS MARKETS
INC            COMMON STOCK    948849104         25      757 Shares                          X         1        757      0      0
WELLPOINT INC  COMMON STOCK    94973V107         54     1127 Shares                 X                  1       1127      0      0
WELLPOINT INC  COMMON STOCK    94973V107        219     4600 Shares                 X                  3       4600      0      0
WELLS FARGO &
COMPANY NEW    COMMON STOCK    949746101       7308   307706 Shares                 X                  1     305542      0   2164
WELLS FARGO &
COMPANY NEW    COMMON STOCK    949746101      10027   405419 Shares                 X                  2      74366      0 331053
WELLS FARGO &
COMPANY NEW    COMMON STOCK    949746101       1807    76085 Shares                 X                  3      74724      0   1361
WELLS FARGO &
COMPANY NEW    COMMON STOCK    949746101          5      200 Shares                 X                  4        200      0      0
WELLS FARGO &
COMPANY NEW    COMMON STOCK    949746101       3860   162509 Shares                          X         1     158213      0   4296
WENDYS INTL
INC            COMMON STOCK    950590109        108     3970 Shares                 X                  1       3970      0      0
WENDYS INTL
INC            COMMON STOCK    950590109         22      825 Shares                 X                  3        825      0      0
WERNER
ENTERPRISES
INC            COMMON STOCK    950755108         16      847 Shares                 X                  1        847      0      0
WESTAR ENERGY
INC            COMMON STOCK    95709T100          6      300 Shares                 X                  1        300      0      0
WESTAR ENERGY
INC            COMMON STOCK    95709T100          3      150 Shares                          X         1        150      0      0
WESTERN ASSET
GLOBAL HIGH
INC            PREFERRED STOCK 95766B109         29     2650 Shares                 X                  1          0      0      0
WESTERN ASSET
MANAGED
MUNICIPA       PREFERRED STOCK 95766M105         33     3000 Shares                 X                  1          0      0      0
WESTERN ASSET
MANAGED
MUNICIPA       PREFERRED STOCK 95766M105         54     5000 Shares                 X                  2          0      0      0
WESTERN ASSET
MANAGED
MUNICIPA       PREFERRED STOCK 95766M105         11     1016 Shares                          X         1          0      0      0
WESTERN ASSET
MUNICIPAL
HIGH I         PREFERRED STOCK 95766N103          9     1050 Shares                 X                  1          0      0      0
WESTN DIGITAL
CORP           COMMON STOCK    958102105         33      967 Shares                 X                  1        967      0      0
WEYERHAEUSER
COMPANY        COMMON STOCK    962166104        233     4565 Shares                 X                  1       4565      0      0
WEYERHAEUSER
COMPANY        COMMON STOCK    962166104       1086    20200 Shares                 X                  2       3800      0  16400
WEYERHAEUSER
COMPANY        COMMON STOCK    962166104         97     1900 Shares                 X                  3       1900      0      0
WEYERHAEUSER
COMPANY        COMMON STOCK    962166104        190     3717 Shares                          X         1       2919      0    798
WGL HLDGS INC
COM            COMMON STOCK    92924F106          7      200 Shares                 X                  1        200      0      0
WGL HLDGS INC
COM            COMMON STOCK    92924F106         62     1796 Shares                 X                  2          0      0   1796
WGL HLDGS INC
COM            COMMON STOCK    92924F106         64     1828 Shares                 X                  3       1828      0      0
WGL HLDGS INC
COM            COMMON STOCK    92924F106         17      500 Shares                          X         1        500      0      0
WHIRLPOOL CORP COMMON STOCK    963320106         18      290 Shares                 X                  1        290      0      0
WHIRLPOOL CORP COMMON STOCK    963320106        136     2200 Shares                 X                  3       2200      0      0
WHIRLPOOL CORP COMMON STOCK    963320106         53      858 Shares                          X         1        858      0      0
WHITE
MOUNTAINS
INSURANCE GROU COMMON STOCK    G9618E107         43      100 Shares                 X                  1        100      0      0
WHITE
MOUNTAINS
INSURANCE GROU COMMON STOCK    G9618E107       1740     4055 Shares                 X                  2          0      0   4055
WHITNEY HLDG
CORP           COMMON STOCK    966612103        230    12557 Shares                 X                  1      12537      0     20
WHITNEY HLDG
CORP           COMMON STOCK    966612103        655    35769 Shares                 X                  3      35769      0      0
WHOLE FOODS
MKT INC        COMMON STOCK    966837106         24     1000 Shares                 X                  1       1000      0      0
WHOLE FOODS
MKT INC        COMMON STOCK    966837106        176     7420 Shares                 X                  2          0      0   7420
WHOLE FOODS
MKT INC        COMMON STOCK    966837106         32     1350 Shares                 X                  3       1350      0      0
WILBER CORP
COM            COMMON STOCK    967797101          6      750 Shares                 X                  1        750      0      0
WILLBROS GROUP
INC            COMMON STOCK    969199108         66     1505 Shares                 X                  1       1400      0    105
WILLBROS GROUP
INC            COMMON STOCK    969199108       1294    29550 Shares                 X                  3      29550      0      0
WILLIAMS COS
INC            COM USD 1       969457100         83     2067 Shares                 X                  1       2067      0      0
WILLIAMS COS
INC            COM USD 1       969457100        315     9500 Shares                 X                  2       9200      0    300


                                    64 of 66






                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
WILLIAMS COS
INC            COM USD 1       969457100        206     5100 Shares                 X                  3       5100      0      0
WILLIAMS COS
INC            COM USD 1       969457100         48     1200 Shares                          X         1          0      0   1200
WILLIAMS
PARTNERS LP    COMMON STOCK    96950F104         30      900 Shares                 X                  2          0      0    900
WILLIAMS
SONOMA INC     COMMON STOCK    969904101         79     3983 Shares                 X                  1       3798      0    185
WILLIAMS
SONOMA INC     COMMON STOCK    969904101        305    15400 Shares                 X                  3      15400      0      0
WILLIS GROUP
HLDGS LTD      COMMON STOCK    G96655108         80     2540 Shares                 X                  1       2540      0      0
WILLIS GROUP
HLDGS LTD      COMMON STOCK    G96655108         20      630 Shares                          X         1        630      0      0
WILMINGTON
TRUST CRP      COMMON STOCK    971807102        106     4000 Shares                 X                  3       4000      0      0
WINDSTREAM
CORP           COMMON STOCK    97381W104         88     7130 Shares                 X                  1       7130      0      0
WINDSTREAM
CORP           COMMON STOCK    97381W104        106     8553 Shares                 X                  3       8553      0      0
WINDSTREAM
CORP           COMMON STOCK    97381W104        397    32154 Shares                          X         1      27812      0   4342
WIPRO LTD-ADR  COMMON STOCK    97651M109          2      200 Shares                 X                  1        200      0      0
WISCONSIN
ENERGY CORP
COM            COMMON STOCK    976657106        170     3752 Shares                 X                  1       3752      0      0
WISCONSIN
ENERGY CORP
COM            COMMON STOCK    976657106        110     2425 Shares                          X         1       2425      0      0
WISDOMTREE
INTL REAL ES
FD             PREFERRED STOCK 97717W331         54     1475 Shares                 X                  1          0      0      0
WMS INDUSTRIES
INC            COMMON STOCK    929297109         42     1400 Shares                 X                  1       1400      0      0
WMS INDUSTRIES
INC            COMMON STOCK    929297109        819    27500 Shares                 X                  3      27500      0      0
WOLVERINE
WORLD WIDE     COMMON STOCK    978097103         24      900 Shares                 X                  1        900      0      0
WOLVERINE
WORLD WIDE     COMMON STOCK    978097103        488    18300 Shares                 X                  3      18300      0      0
WOODWARD
GOVNR CO       COMMON STOCK    980745103         62     1730 Shares                 X                  1       1600      0    130
WOODWARD
GOVNR CO       COMMON STOCK    980745103       1137    31900 Shares                 X                  3      31900      0      0
WORTHINGTON
INDS INC COM   COMMON STOCK    981811102        267    13000 Shares                          X         1          0      0  13000
WRIGHT EXPRESS
CORP           COMMON STOCK    98233Q105          0       20 Shares                 X                  1          0      0     20
WRIGLEY WM JR
CO             COMMON STOCK    982526105       1148    14760 Shares                 X                  1      14760      0      0
WRIGLEY WM JR
CO             COMMON STOCK    982526105        362     4658 Shares                 X                  2          0      0   4658
WRIGLEY WM JR
CO             COMMON STOCK    982526105        161     2075 Shares                 X                  3       2075      0      0
WRIGLEY WM JR
CO             COMMON STOCK    982526105        452     5813 Shares                          X         1       5813      0      0
WYETH          COMMON STOCK    983024100      13704   285740 Shares                 X                  1     284278      0   1462
WYETH          COMMON STOCK    983024100       1556    34425 Shares                 X                  2      15300      0  19125
WYETH          COMMON STOCK    983024100       3680    76710 Shares                 X                  3      76710      0      0
WYETH          COMMON STOCK    983024100         14      300 Shares                 X                  4        300      0      0
WYETH          COMMON STOCK    983024100      13535   282218 Shares                          X         1     237535      0  44683
WYNDHAM
WORLDWIDE CO   COMMON STOCK    98310W108          4      200 Shares                 X                  1        200      0      0
WYNDHAM
WORLDWIDE CO   COMMON STOCK    98310W108         32     1800 Shares                 X                  3       1800      0      0
WYNDHAM
WORLDWIDE CO   COMMON STOCK    98310W108          6      333 Shares                          X         1        333      0      0
WYNN RESORTS
LIMITED        COMMON STOCK    983134107          8      100 Shares                 X                  1        100      0      0
XCEL ENERGY
INC            COMMON STOCK    98389B100         29     1465 Shares                 X                  1       1465      0      0
XCEL ENERGY
INC            COMMON STOCK    98389B100         76     3800 Shares                 X                  3       3800      0      0
XCEL ENERGY
INC            COMMON STOCK    98389B100        111     5514 Shares                          X         1       5514      0      0
XENOPORT INC   COMMON STOCK    98411C100         30      767 Shares                 X                  1        700      0     67
XENOPORT INC   COMMON STOCK    98411C100        549    14050 Shares                 X                  3      14050      0      0
XEROX CORP     COMMON STOCK    984121103         69     5056 Shares                 X                  1       5056      0      0
XEROX CORP     COMMON STOCK    984121103        114     8400 Shares                 X                  3       8200      0    200
XEROX CORP     COMMON STOCK    984121103        146    10740 Shares                          X         1      10740      0      0
XFONE INC      COMMON STOCK    98414Y109          1      275 Shares                 X                  1        275      0      0
XILINX INC     COMMON STOCK    983919101         63     2500 Shares                 X                  3       2500      0      0
XL CAP LTD     CLASS A         G98255105          3      160 Shares                 X                  1        160      0      0
XL CAP LTD     CLASS A         G98255105         34     1650 Shares                 X                  3       1650      0      0
XM SATELLITE
RADIO HLDGS
INC CL A       COMMON STOCK    983759101          4      530 Shares                 X                  1        530      0      0
XM SATELLITE
RADIO HLDGS
INC CL A       COMMON STOCK    983759101        307    13800 Shares                 X                  2      13800      0      0


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                                                            COLUMN 5
                                                    -----------------------        COLUMN 6
                 COLUMN 2                            SHARES                  INVESTMENT AUTHORITY  COLUMN 7        COLUMN 8
                   TITLE                  COLUMN 4     OR               PUT ----------------------             VOTING AUTHORITY
                     OF         COLUMN 3    VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  ---------------------
NAME OF ISSUER     CLASS         CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED    OTHER  MANAGERS   SOLE  SHARED  OTHER
---------------------------------------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
X-RITE INC COM COMMON STOCK    983857103          1      250 Shares                 X                  1        250      0      0
XTO ENERGY INC COMMON STOCK    98385X106       3870    56486 Shares                 X                  1      56258      0    228
XTO ENERGY INC COMMON STOCK    98385X106        504     7350 Shares                 X                  2          0      0   7350
XTO ENERGY INC COMMON STOCK    98385X106       1248    18227 Shares                 X                  3      18227      0      0
XTO ENERGY INC COMMON STOCK    98385X106        388     5659 Shares                          X         1       5659      0      0
XYRATEX LTD    COMMON STOCK    G98268108         48     2865 Shares                 X                  1       2700      0    165
XYRATEX LTD    COMMON STOCK    G98268108       1000    60100 Shares                 X                  3      60100      0      0
YAHOO INC      COMMON STOCK    984332106        468    22635 Shares                 X                  1      22635      0      0
YAHOO INC      COMMON STOCK    984332106        124     6000 Shares                 X                  2          0      0   6000
YAHOO INC      COMMON STOCK    984332106        737    35691 Shares                 X                  3      35691      0      0
YAHOO INC      COMMON STOCK    984332106         18      895 Shares                          X         1        895      0      0
YAMANA GOLD
INC            COMMON STOCK    98462Y100         25     1500 Shares                 X                  1       1500      0      0
YORK WATER
COMPANY        COMMON STOCK    987184108       1547   106150 Shares                 X                  1      99114      0   7036
YORK WATER
COMPANY        COMMON STOCK    987184108       1048    71938 Shares                          X         1      71938      0      0
YUM BRANDS INC COMMON STOCK    988498101        651    18554 Shares                 X                  1      18554      0      0
YUM BRANDS INC COMMON STOCK    988498101       1820    51880 Shares                 X                  2          0      0  51880
YUM BRANDS INC COMMON STOCK    988498101        162     4620 Shares                 X                  3       4620      0      0
YUM BRANDS INC COMMON STOCK    988498101        341     9715 Shares                          X         1       6075      0   3640
ZEBRA
TECHNOLOGIES
CORP CL A      COMMON STOCK    989207105         73     2250 Shares                          X         1       2250      0      0
ZENITH
NATIONAL
INSURANCE CORP COMMON STOCK    989390109         49     1400 Shares                 X                  2          0      0   1400
ZIMMER
HOLDINGS
INCORPORATED   COMMON STOCK    98956P102       8892   130671 Shares                 X                  1     128092      0   2579
ZIMMER
HOLDINGS
INCORPORATED   COMMON STOCK    98956P102       5752    80885 Shares                 X                  2      25255      0  55630
ZIMMER
HOLDINGS
INCORPORATED   COMMON STOCK    98956P102       4123    60607 Shares                 X                  3      59180      0   1427
ZIMMER
HOLDINGS
INCORPORATED   COMMON STOCK    98956P102       1357    19937 Shares                          X         1      18872      0   1065
ZIONS
BANCORPORATION COMMON STOCK    989701107        694    22050 Shares                 X                  1      19447      0   2603
ZIONS
BANCORPORATION COMMON STOCK    989701107        331    10491 Shares                 X                  3       9186      0   1305
ZIONS
BANCORPORATION COMMON STOCK    989701107        104     3295 Shares                          X         1       2080      0   1215

                                            3512268 89319308


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