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

                                   Form 13F

                              Form 13F Cover Page

Report for Calendar Year or Quarter Ended: September 30, 2001
                                           ------------------

Check here if amendment [ ] Amendment Number [ ]

Institutional Investment Manager filing this report:

Name:          State Street Corporation
               ------------------------
Address:       225 Franklin Street
               -------------------
               Boston, Massachusetts 02110
               ---------------------------

Form 13F File Number:  28-399
                       ------

The 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 parts of this form.

Person signing this report on behalf of the reporting manager:

Name:          Frederick P. Baughman
               --------------------------------------------
Title          Senior Vice President, Controller and Chief Accounting Officer
               --------------------------------------------------------------
Telephone:     617-786-3000
               ---------------------

Signature, Place, and Date of Signing:

       /s/ Frederick P. Baughman       Boston, Massachusetts    November 1, 2001
     -----------------------------     ---------------------    ----------------
            [Signature]                    [City, State]             [Date]

Report Type (Check only one):

[_]  13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
     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).)

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


List of Other Managers Reporting for this Manager:
(if there are no entries in this list, omit this section.)

            ----------------------------------------
            13F File Number    Name
            ----------------------------------------
               28-5798         Roy A. Hammer
            ----------------------------------------



                             Form 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:           10
                                             --
Form 13F Information Table Entry Total:      3,201
                                             -----
Form 13F Information Table Value Total:      286,979,638
                                             -----------
                                             (thousands)


List of Other Included Managers:

Provide a numbered list of the names(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               28-1932             Frederick Ballou
-----------------------------------------------------------
2               28-3602             Francis L. Coolidge
-----------------------------------------------------------
3               28-2710             F. Davis Dossori, Jr.
-----------------------------------------------------------
4               28-3488             Nicholas A. Grace
-----------------------------------------------------------
5               28-5798             Roy A. Hammer
-----------------------------------------------------------
6               28-6740             Edward J. Joyce
-----------------------------------------------------------
7               28-5796             George H. Kidder
-----------------------------------------------------------
8               28-1487             Peter B. Loring
-----------------------------------------------------------
9               28-4282             Dean Ridlon
-----------------------------------------------------------
10              28-6281             Michael B. Elefante
-----------------------------------------------------------




---------------------------------------------------------------------------------------------------------------------
                                                                                    Investment Discretion
       Name of        Title of        Cusip         Fair Market       Shares        Sole       Shared as      Shared
       Issuer          Class          Number           Value         Prin Amt                   Defined        Other
---------------------------------------------------------------------------------------------------------------------
                                                                             
DAIMLERCHRYSLER AG      ORD          D1668R12        1,828,480        60,990        60,662         328
ACE LTD                 ORD          G0070K10       26,289,945       910,632       902,440       8,192
AMDOCS LTD              ORD          G0260210       11,954,443       448,572       341,316      99,856         7,400
ARCH CAP GROUP LTD      ORD          G0450A10          211,167        12,607        12,607
BUNGE LIMITED           COM          G1696210          583,100        34,300        34,300
EVEREST RE GROUP LTD    COM          G3223R10       12,485,676       192,978       192,978
FOSTER WHEELER LTD      SHS          G3653510          256,580        51,316        50,316       1,000
FRESH DEL MONTE PROD    ORD          G3673810          435,715        33,620        32,620       1,000
GLOBAL CROSSING LTD     COM          G3921A10       25,053,733    13,918,741    13,917,321       1,420
LORAL SPACE & COMMUN    COM          G5646210          321,752       247,502       234,339      13,163
PARTNERRE LTD           COM          G6852T10          486,495        10,329        10,329
RENAISSANCE RE HLDGS    COM          G7496G10        5,878,551        66,118        66,118
SANTA FE INTL CORP      ORD          G7805C10        1,568,143        73,795        73,795
TRANSOCEAN SEDCO FOR    ORD          G9007810      136,606,905     5,174,504     5,090,691      47,487        36,326
TYCOM LTD               COM          G9144B10          202,482        25,794        24,735       1,059
WILLIS GROUP HOLDING    SHS          G9665510        1,714,487        73,300        70,500       2,800
XOMA LTD                ORD          G9825R10          512,898        60,842        60,842
XL CAP LTD              CL A         G9825510      151,519,393     1,917,967     1,916,567       1,400
UBS AG                  NAMEN AKT    H8920M85       34,318,570       743,631        92,347     651,284
CHECK POINT SOFTWARE    ORD          M2246510          647,762        29,417        29,342          75
ASML HLDG NV            N Y SHS      N0705911        8,153,784       727,367        76,770     618,292        32,305
ROYAL CARIBBEAN CRUI    COM          V7780T10        1,428,012       133,086       127,086       6,000
FLEXTRONICS INTL LTD    ORD          Y2573F10       37,797,356     2,285,209     1,284,174   1,001,035
TEEKAY SHIPPING MARS    COM          Y8564W10        6,355,575       203,835       145,200      51,155         7,480
AAR CORP                COM          00036110        1,821,946       227,459       227,359         100
ABB LTD                 SPONSORED    00037520          411,209        56,253        56,253
ACTV INC                COM          00088E10          688,051       337,280       337,180         100
A D C TELECOMMUNICAT    COM          00088610       55,382,893    15,869,024    15,820,407      43,987         4,630
ADE CORP MASS           COM          00089C10          726,544        77,292        77,092         200
ABN AMRO HLDG NV        SPONSORED    00093710        2,105,787       126,702       126,702
ABM INDS INC            COM          00095710        4,051,111       156,959       156,859         100
ACT MFG INC             COM          00097310          434,249        97,804        97,804
AEP INDS INC            COM          00103110          275,300        11,012        11,012
AFC ENTERPRISES INC     COM          00104Q10        1,819,312        89,182        89,182
AFLAC INC               COM          00105510      302,061,717    11,187,471    11,035,585     124,836        27,050
AGCO CORP               COM          00108410        7,065,000       780,663       779,943         720
AGL RES INC             COM          00120410       15,975,161       799,958       799,358         600
AES CORP                COM          00130H10      126,038,753     9,831,416     9,810,019      18,079         3,318
AK STL HLDG CORP        COM          00154710       10,453,418     1,237,091     1,231,061       5,650           380
AMB PROPERTY CORP       COM          00163T10       19,192,295       783,359       783,259         100
Page Total                                       1,015,113,750


-------------------------------------------------------------------------------------------
   Name of                              Voting Authority
    Issuer                            Sole           Shared           None
-------------------------------------------------------------------------------------------
                                                             
DAIMLERCHRYSLER AG                    60,990
ACE LTD                              908,732                           1,900
AMDOCS LTD                           426,872           7,400          14,300
ARCH CAP GROUP LTD                    12,607
BUNGE LIMITED                         34,300
EVEREST RE GROUP LTD                 192,978
FOSTER WHEELER LTD                    51,316
FRESH DEL MONTE PROD                  33,620
GLOBAL CROSSING LTD               12,446,475         189,300       1,282,966
LORAL SPACE & COMMUN                 247,502
PARTNERRE LTD                         10,329
RENAISSANCE RE HLDGS                  63,418                           2,700
SANTA FE INTL CORP                    73,795
TRANSOCEAN SEDCO FOR               4,539,283         109,670         525,551
TYCOM LTD                             25,794
WILLIS GROUP HOLDING                  73,300
XOMA LTD                              60,842
XL CAP LTD                         1,721,902          29,300         166,765
UBS AG                               321,108         416,982           5,541
CHECK POINT SOFTWARE                  20,960           8,407              50
ASML HLDG NV                         684,462          32,305          10,600
ROYAL CARIBBEAN CRUI                 133,086
FLEXTRONICS INTL LTD               2,266,709                          18,500
TEEKAY SHIPPING MARS                 196,355           7,480
AAR CORP                             208,059                          19,400
ABB LTD                               56,253
ACTV INC                             312,180                          25,100
A D C TELECOMMUNICAT              13,810,089         247,175       1,811,760
ADE CORP MASS                         71,192                           6,100
ABN AMRO HLDG NV                     126,702
ABM INDS INC                         145,559                          11,400
ACT MFG INC                           89,904                           7,900
AEP INDS INC                          11,012
AFC ENTERPRISES INC                   86,382                           2,800
AFLAC INC                          9,580,438         191,123       1,415,910
AGCO CORP                            741,363                          39,300
AGL RES INC                          749,158                          50,800
AES CORP                           8,544,983         161,879       1,124,554
AK STL HLDG CORP                   1,173,811           9,480          53,800
AMB PROPERTY CORP                    735,659           4,300          43,400
Page Total
-------------------------------------------------------------------------------------------


                                                                    Page 1 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
AMC ENTMT INC                  COM         00166910        1,594,288      151,837      151,837
AMLI RESIDENTIAL PPT           SH BEN INT  00173510        5,407,774      229,143      229,143
AMR CORP                       COM         00176510       61,961,960    3,237,302    3,066,717      170,145          440
AOL TIME WARNER INC            COM         00184A10    3,149,491,943   95,150,814   94,315,726      728,511      106,577
APAC CUSTOMER SERVIC           COM         00185E10          374,923      214,242      214,242
AT&T CORP                      COM         00195710    1,764,887,824   91,444,965   77,786,969   13,220,051      437,945
ATMI INC                       COM         00207R10        3,564,006      230,680      229,640        1,040
ATP OIL & GAS CORP             COM         00208J10          308,468       44,384       44,384
ATS MED INC                    COM         00208310          745,128      186,282      186,282
AT&T WIRELESS SVCS I           COM         00209A10      745,070,020   49,870,818   49,330,770      404,124      135,924
AVI BIOPHARMA INC              COM         00234610          758,929      102,558      102,558
AVX CORP NEW                   COM         00244410        9,095,645      559,044      558,744          300
AXT INC                        COM         00246W10        1,758,158      165,864      165,764          100
AAIPHARMA INC                  COM         00252W10        1,513,858       88,015       88,015
AARON RENTS INC                COM         00253520        1,820,986      117,483      117,483
ABBOTT LABS                    COM         00282410    1,752,151,495   33,792,700   32,360,558      762,099      670,043
ABERCROMBIE & FITCH            CL A        00289620       17,506,183      995,235      987,039        5,946        2,250
ABGENIX INC                    COM         00339B10       10,753,421      473,719      471,849        1,770          100
ABIOMED INC                    COM         00365410        2,266,452      129,734      129,234          500
ACACIA RESH CORP               COM         00388110        1,369,098      148,977      148,957                        20
ACADIA RLTY TR                 COM SH BEN  00423910        1,000,102      154,099      154,099
ACCLAIM ENTMT INC              COM PAR $0  00432520          913,783      340,964      340,964
ACCREDO HEALTH INC             COM         00437V10        8,156,475      224,079      224,049           30
ACKERLEY GROUP INC             COM         00452710        1,356,396      126,766      126,766
ACLARA BIOSCIENCES I           COM         00461P10        1,628,243      289,723      289,723
ACTIVISION INC NEW             COM NEW     00493020       21,136,112      776,492      776,492
ACTION PERFORMANCE C           COM         00493310        2,913,745      160,008      160,008
ACTEL CORP                     COM         00493410        7,176,283      404,070      404,050           20
ACTERNA CORP                   COM         00503U10        3,608,616    1,134,785    1,134,645                       140
ACTIVE POWER INC               COM         00504W10        1,373,802      274,212      274,212
ACTRADE FINL TECHNOL           COM         00507P10        1,015,622       55,287       55,287
ACTUATE CORP                   COM         00508B10        2,147,144      512,445      512,345                       100
ACTUANT CORP                   CL A NEW    00508X20          246,840       13,600       13,560           40
ACXIOM CORP                    COM         00512510        8,485,521      902,715      901,475        1,140          100
ADAPTEC INC                    COM         00651F10        7,567,034      962,727      951,482       11,245
ADECCO SA                      SPONSORED   00675410          281,894       33,164       33,164
ADELPHIA BUSINESS SO           CL A        00684710          269,781      254,511      254,511
ADELPHIA COMMUNICATI           CL A        00684810       11,726,106      528,203      521,773        2,370        4,060
ADMINISTAFF INC                COM         00709410        5,074,316      195,166      195,146           20
ADOBE SYS INC                  COM         00724F10      117,123,499    4,884,216    4,875,086        8,350          780
ADOLOR CORP                    COM         00724X10        6,443,320      380,586      320,782       59,704          100
ADTRAN INC                     COM         00738A10        5,880,909      307,901      307,651          150          100
ADVANCED DIGITAL INF           COM         00752510        4,761,209      461,805      460,785          920          100
ADVANCED MARKETING S           COM         00753T10        3,094,513      201,597      201,597
Page Total                                             7,755,781,824


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
AMC ENTMT INC                     140,237                         11,600
AMLI RESIDENTIAL PPT              218,443                         10,700
AMR CORP                        2,683,422        203,705         350,175
AOL TIME WARNER INC            82,072,866      1,457,037      11,620,911
APAC CUSTOMER SERVIC              214,242
AT&T CORP                      68,358,282     13,655,693       9,430,990
ATMI INC                          214,680                         16,000
ATP OIL & GAS CORP                 42,484                          1,900
ATS MED INC                       170,882                         15,400
AT&T WIRELESS SVCS I           42,958,791        820,774       6,091,253
AVI BIOPHARMA INC                 102,558
AVX CORP NEW                      522,244          3,900          32,900
AXT INC                           153,564                         12,300
AAIPHARMA INC                      81,915                          6,100
AARON RENTS INC                   104,583                         12,900
ABBOTT LABS                    28,347,481      1,771,401       3,673,818
ABERCROMBIE & FITCH               928,785          8,350          58,100
ABGENIX INC                       418,619          6,900          48,200
ABIOMED INC                       119,434                         10,300
ACACIA RESH CORP                  138,057             20          10,900
ACADIA RLTY TR                    142,399                         11,700
ACCLAIM ENTMT INC                 314,364                         26,600
ACCREDO HEALTH INC                207,964                         16,115
ACKERLEY GROUP INC                119,466                          7,300
ACLARA BIOSCIENCES I              267,523                         22,200
ACTIVISION INC NEW                765,792                         10,700
ACTION PERFORMANCE C              151,508                          8,500
ACTEL CORP                        389,570                         14,500
ACTERNA CORP                      997,645         18,440         118,700
ACTIVE POWER INC                  254,812                         19,400
ACTRADE FINL TECHNOL               51,087                          4,200
ACTUATE CORP                      477,045            100          35,300
ACTUANT CORP                       13,090                            510
ACXIOM CORP                       839,615          7,000          56,100
ADAPTEC INC                       869,784                         92,943
ADECCO SA                          33,164
ADELPHIA BUSINESS SO              249,011                          5,500
ADELPHIA COMMUNICATI              476,193          8,560          43,450
ADMINISTAFF INC                   180,866                         14,300
ADOBE SYS INC                   4,145,260        161,334         577,622
ADOLOR CORP                       363,086            100          17,400
ADTRAN INC                        294,401            100          13,400
ADVANCED DIGITAL INF              426,755            100          34,950
ADVANCED MARKETING S              193,747                          7,850
Page Total
----------------------------------------------------------------------------


                                                                    Page 2 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion
           Name of            Title of         Cusip        Fair Market          Shares         Sole       Shared as      Shared
            Issuer              Class          Number          Value            Prin Amt                    Defined        Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
ADVANCED FIBRE COMMU           COM            00754A10          12,835,323       878,530       876,410       1,820         300
ADVANCED TISSUE SCIE           COM            00755F10           2,004,244       564,576       564,576
ADVANCED NEUROMODULA           COM            00757T10           1,129,661        54,573        54,573
ADVO INC                       COM            00758510           6,345,794       186,641       186,641
AEROFLEX INC                   COM            00776810          11,185,669     1,016,879     1,016,679         100         100
ADVANCEPCS                     COM            00790K10          18,745,921       261,158       260,198         960
ADVANCED MICRO DEVIC           COM            00790310          56,973,235     6,990,581     6,977,101      13,040         440
AEGON N V                      ORD AMER R     00792410           3,795,566       145,424       145,419           5
ADVANTA CORP                   CL A           00794210           1,852,373       197,061       197,061
ADVANCED ENERGY INDS           COM            00797310           2,739,493       164,732       164,732
ADVENT SOFTWARE INC            COM            00797410          14,078,916       373,942       373,405         537
AETHER SYS INC                 COM            00808V10           1,289,174       205,610       200,410       5,200
AETNA INC NEW                  COM            00817Y10          83,857,616     2,902,652     2,897,033       4,776         843
AFFILIATED COMPUTER            CL A           00819010          38,604,377       474,197       473,127         790         280
AFFILIATED MANAGERS            COM            00825210          18,939,545       333,384       292,889      34,320       6,175
AFFYMETRIX INC                 COM            00826T10           3,936,920       245,291       244,371         820         100
AGENCY COM LTD                 COM            00844710             372,510       149,004        23,027       1,700     124,277
AGERE SYS INC                  CL A           00845V10          15,604,479     3,769,198     3,762,298       6,900
AGILENT TECHNOLOGIES           COM            00846U10         198,899,060    10,173,865     9,870,729     130,218     172,918
AGILE SOFTWARE CORP            COM            00846X10           2,330,739       256,407       256,347          60
AIR PRODS & CHEMS IN           COM            00915810         591,140,892    15,322,470     4,753,805  10,392,585     176,080
AIRBORNE INC                   COM            00926910          10,556,837     1,105,428     1,103,908       1,520
AIRGAS INC                     COM            00936310          13,812,623     1,040,891     1,040,841          50
AIRGATE PCS INC                COM            00936710           4,592,139       103,380       103,380
AIRTRAN HLDGS INC              COM            00949P10           2,194,916       517,669       517,669
AKAMAI TECHNOLOGIES            COM            00971T10           2,500,109       859,144       680,866       3,578     174,700
AKSYS LTD                      COM            01019610             719,887       142,552       142,552
AKZO NOBEL NV                  SPONSORED      01019930           2,470,623        60,763        60,763
ALABAMA NATL BANCORP           COM            01031710           4,270,332       129,404       128,929         475
ALAMOSA HLDGS INC              COM            01158910          11,188,431       807,829       807,729                     100
ALASKA AIR GROUP INC           COM            01165910           6,522,681       326,624       325,044          80       1,500
ALASKA COMMUNICATION           COM            01167P10             739,752        97,208        97,208
ALBANY INTL CORP               CL A           01234810           4,609,669       308,133       308,133
ALBANY MOLECULAR RES           COM            01242310           5,497,213       221,394       220,994         400
ALBEMARLE CORP                 COM            01265310           7,929,022       419,525       418,575         950
ALBERTA ENERGY LTD             COM            01287310           8,220,653       242,140        25,086     217,054
ALBERTO CULVER CO              CL B CONV      01306810          52,895,961     1,360,143     1,359,033       1,010         100
ALBERTSONS INC                 COM            01310410         286,157,781     8,976,091     8,930,152      21,478      24,461
ALCAN INC                      COM            01371610         138,408,600     4,613,620     4,612,445       1,175
ALCOA INC                      COM            01381710         623,229,925    20,097,708    20,033,084      49,372      15,252
ALCATEL                        SPONSORED      01390430          10,331,203       890,621       222,705     667,916
ALEXANDER & BALDWIN            COM            01448210          11,067,217       472,756       472,656         100
ALEXANDERS INC                 COM            01475210           1,312,212        21,547        21,547
ALEXANDRIA REAL ESTA           COM            01527110          17,526,451       444,270       349,818      94,452
Page Total                                                   2,313,415,744


---------------------------------------------------------------------------
                                         Voting Authority
           Name of                    Sole            Shared           None
            Issuer
---------------------------------------------------------------------------
                                                           
ADVANCED FIBRE COMMU                822,930           8,300          47,300
ADVANCED TISSUE SCIE                522,876                          41,700
ADVANCED NEUROMODULA                 50,073                           4,500
ADVO INC                            175,041                          11,600
AEROFLEX INC                        982,379             100          34,400
ADVANCEPCS                          231,535           3,400          26,223
ADVANCED MICRO DEVIC              6,084,185          99,996         806,400
AEGON N V                           144,902                             522
ADVANTA CORP                        183,961                          13,100
ADVANCED ENERGY INDS                153,232                          11,500
ADVENT SOFTWARE INC                 344,642           2,600          26,700
AETHER SYS INC                      191,810                          13,800
AETNA INC NEW                     2,546,789          32,869         322,994
AFFILIATED COMPUTER                 447,094           2,780          24,323
AFFILIATED MANAGERS                 311,309           6,175          15,900
AFFYMETRIX INC                      217,591           4,100          23,600
AGENCY COM LTD                       22,927         124,277           1,800
AGERE SYS INC                     3,352,662          39,800         376,736
AGILENT TECHNOLOGIES              8,778,897         323,757       1,071,211
AGILE SOFTWARE CORP                 240,667                          15,740
AIR PRODS & CHEMS IN              4,306,982      10,427,602         587,886
AIRBORNE INC                      1,058,628                          46,800
AIRGAS INC                        1,004,591                          36,300
AIRGATE PCS INC                      96,680                           6,700
AIRTRAN HLDGS INC                   481,169                          36,500
AKAMAI TECHNOLOGIES                 620,086         174,700          64,358
AKSYS LTD                           131,852                          10,700
AKZO NOBEL NV                        60,763
ALABAMA NATL BANCORP                124,404                           5,000
ALAMOSA HLDGS INC                   764,629             100          43,100
ALASKA AIR GROUP INC                300,724           1,500          24,400
ALASKA COMMUNICATION                 97,208
ALBANY INTL CORP                    298,633                           9,500
ALBANY MOLECULAR RES                208,494                          12,900
ALBEMARLE CORP                      394,325           6,100          19,100
ALBERTA ENERGY LTD                  237,240                           4,900
ALBERTO CULVER CO                 1,237,241          25,903          96,999
ALBERTSONS INC                    7,761,367         167,235       1,047,489
ALCAN INC                         4,217,918          77,800         317,902
ALCOA INC                        17,811,760         292,407       1,993,541
ALCATEL                             877,715                          12,906
ALEXANDER & BALDWIN                 446,856                          25,900
ALEXANDERS INC                       20,447                           1,100
ALEXANDRIA REAL ESTA                435,270                           9,000
Page Total


                                                                    Page 3 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion
           Name of           Title of         Cusip        Fair Market         Shares           Sole       Shared as      Shared
            Issuer            Class           Number          Value           Prin Amt                      Defined        Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
ALEXION PHARMACEUTIC           COM          01535110         2,343,585         137,696            137,396       300
ALFA CORP                      COM          01536510         7,401,679         335,221            335,121       100
ALICO INC                      COM          01623010           658,922          25,993             25,993
ALIGN TECHNOLOGY INC           COM          01625510           248,692         114,079             87,566                  26,513
ALKERMES INC                   COM          01642T10         7,314,265         373,558            370,218     2,240         1,100
ALLEGHANY CORP DEL             COM          01717510         6,458,943          32,457             32,053       404
ALLEGHENY ENERGY INC           COM          01736110       123,376,812       3,361,766          3,344,108     4,458        13,200
ALLEGHENY TECHNOLOGI           COM          01741R10        21,968,919       1,648,081          1,644,141     3,940
ALLEGIANCE TELECOM I           COM          01747T10         2,421,563         804,506            689,736    92,990        21,780
ALLEN TELECOM INC              COM          01809110         2,126,915         244,473            244,413        60
ALLERGAN INC                   COM          01849010       188,738,132       2,846,729          2,840,684     5,545           500
ALLETE INC                     COM          01852210        21,514,806         839,111            837,711                   1,400
ALLIANCE CAP MGMT HL           UNIT LTD P   01855A10         2,106,998          46,105             44,488       600         1,017
ALLIANCE GAMING CORP           COM NEW      01859P60         4,980,905         350,768            350,768
ALLIANCE IMAGING INC           COM NEW      01860620           303,020          21,800             21,800
ALLIANCE SEMICONDUCT           COM          01877H10         1,895,843         264,045            264,045
ALLIANT ENERGY CORP            COM          01880210        30,225,721         965,678            941,805    12,090        11,783
ALLIANT TECHSYSTEMS            COM          01880410        23,064,492         269,445            268,838       607
ALLIANZ AKTIENGESELL           SP ADR 1/1   01880510        10,077,611         438,157            147,094   291,063
ALLIED CAP CORP NEW            COM          01903Q10        14,103,885         619,951            610,187     1,500         8,264
ALLIED IRISH BKS P L           SPON ADR O   01922840           371,231          20,510             20,510
ALLIED WASTE INDS IN           COM PAR$.0   01958930        58,544,608       4,591,734          4,584,079     7,555           100
ALLMERICA FINL CORP            COM          01975410        65,161,578       1,452,878            516,637   931,464         4,777
ALLOY INC                      COM          01985510           955,547          77,435             77,435
ALLSCRIPTS HEALTHCAR           COM          01988P10         1,032,763         245,896            245,796       100
ALLSTATE CORP                  COM          02000210       618,044,979      16,547,389         16,496,394    37,331        13,664
ALLTEL CORP                    COM          02003910       420,979,919       7,264,537          6,488,755   651,344       124,438
ALPHA INDS INC                 COM          02075310         7,489,313         386,645            385,855       690           100
ALPHARMA INC                   CL A         02081310         7,157,059         248,509            248,089       420
ALTERA CORP                    COM          02144110       129,942,703       7,933,010          7,798,370    99,340        35,300
AMAZON COM INC                 COM          02313510        10,685,285       1,789,830          1,786,462     3,228           140
AMBAC FINL GROUP INC           COM          02313910       116,241,242       2,124,680          2,118,208     3,272         3,200
AMBASSADORS INTL INC           COM          02317810           828,253          49,596             49,496                     100
AMCOL INTL CORP                COM          02341W10         1,139,017         201,596            201,596
AMERADA HESS CORP              COM          02355110       109,668,437       1,727,062          1,719,827     3,860         3,375
AMERCO                         COM          02358610         1,862,686         102,458            102,458
AMEREN CORP                    COM          02360810       104,690,265       2,726,309          2,722,568     3,035           706
AMERICA MOVIL S A DE           SPON ADR L   02364W10         1,208,481          81,489             81,489
AMERICA ONLINE LATIN           CL A         02365B10           559,309         170,003            169,903                     100
AMERICA WEST HLDG CO           CL B         02365720           534,772         289,066            289,066
AMCORE FINL INC                COM          02391210         5,068,718         223,095            223,095
AMERICAN AXLE & MFG            COM          02406110         1,325,196         103,937            103,737                     200
AMERICAN CAPITAL STR           COM          02493710         8,258,851         301,528            301,528
AMERICAN EAGLE OUTFI           COM          02553E10        12,320,030         619,097            616,727     2,180           190
Page Total                                               2,155,401,950



---------------------------------------------------------------------------
                                         Voting Authority
           Name of                    Sole            Shared           None
            Issuer
---------------------------------------------------------------------------
                                                          
ALEXION PHARMACEUTIC                128,296                           9,400
ALFA CORP                           309,621                          25,600
ALICO INC                            25,993
ALIGN TECHNOLOGY INC                 83,266          26,513           4,300
ALKERMES INC                        331,458           6,400          35,700
ALLEGHANY CORP DEL                   28,995             300           3,162
ALLEGHENY ENERGY INC              3,040,981          60,143         260,642
ALLEGHENY TECHNOLOGI              1,471,520          27,322         149,239
ALLEGIANCE TELECOM I                726,676          26,380          51,450
ALLEN TELECOM INC                   225,473                          19,000
ALLERGAN INC                      2,449,813         109,646         287,270
ALLETE INC                          781,311           8,700          49,100
ALLIANCE CAP MGMT HL                 45,088           1,017
ALLIANCE GAMING CORP                341,768                           9,000
ALLIANCE IMAGING INC                 21,800
ALLIANCE SEMICONDUCT                246,645                          17,400
ALLIANT ENERGY CORP                 896,195          16,783          52,700
ALLIANT TECHSYSTEMS                 255,495                          13,950
ALLIANZ AKTIENGESELL                432,257                           5,900
ALLIED CAP CORP NEW                 548,204          17,064          54,683
ALLIED IRISH BKS P L                 20,510
ALLIED WASTE INDS IN              4,119,005         135,721         337,008
ALLMERICA FINL CORP                 485,277         933,101          34,500
ALLOY INC                            73,735                           3,700
ALLSCRIPTS HEALTHCAR                226,596                          19,300
ALLSTATE CORP                    14,606,397         240,323       1,700,669
ALLTEL CORP                       6,460,380         226,219         577,938
ALPHA INDS INC                      359,445             100          27,100
ALPHARMA INC                        231,109                          17,400
ALTERA CORP                       6,948,719         293,052         691,239
AMAZON COM INC                    1,480,607          11,940         297,283
AMBAC FINL GROUP INC              1,916,389          29,310         178,981
AMBASSADORS INTL INC                 48,196             100           1,300
AMCOL INTL CORP                     183,996                          17,600
AMERADA HESS CORP                 1,534,087          29,710         163,265
AMERCO                               97,158                           5,300
AMEREN CORP                       2,389,009          49,354         287,946
AMERICA MOVIL S A DE                  4,984          76,505
AMERICA ONLINE LATIN                165,003             100           4,900
AMERICA WEST HLDG CO                264,866                          24,200
AMCORE FINL INC                     204,795                          18,300
AMERICAN AXLE & MFG                 102,037             200           1,700
AMERICAN CAPITAL STR                286,728                          14,800
AMERICAN EAGLE OUTFI                583,557           4,890          30,650
Page Total


                                                                    Page 4 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion
           Name of            Title of         Cusip        Fair Market          Shares         Sole       Shared as      Shared
            Issuer              Class          Number          Value            Prin Amt                    Defined        Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
AMERICAN ELEC PWR IN           COM             02553710      287,042,012       6,639,880       6,611,802      20,052      8,026
AMERICAN EXPRESS CO            COM             02581610      999,550,346      34,396,089      33,474,607     751,154    170,328
AMERICAN FINL GROUP            COM             02593210       11,720,956         527,971         526,751       1,220
AMERICAN FINL HLDGS            COM             02607510        5,368,962         218,695         218,595                    100
AMERICAN GREETINGS C           CL A            02637510       23,032,131       1,739,587       1,736,443       3,144
AMERICAN HEALTHWAYS            COM             02649V10        2,218,952          62,949          62,949
AMERICAN HOME PRODS            COM             02660910    1,629,326,535      27,971,271      26,509,020     782,438    679,813
AMERICAN INTL GROUP            COM             02687410    4,419,894,414      56,665,313      53,207,244   2,239,882  1,218,187
AMERICAN ITALIAN PAS           CL A            02707010        6,335,562         146,487         146,467          20
AMERICAN MGMT SYS IN           COM             02735210        4,530,916         377,262         363,642         320     13,300
AMERICAN MED SYS HLD           COM             02744M10        4,850,015         254,327         254,327
AMERICAN NATL INS CO           COM             02859110        7,103,376          87,696          87,096         600
AMERICAN PHYSICIANS            COM             02888410        1,926,251          92,742          92,742
AMERICAN PWR CONVERS           COM             02906610       50,158,323       4,294,377       4,284,890       9,247        240
AMERICAN RLTY INVS I           COM             02917410          351,236          31,700          31,700
AMERICAN STD COS INC           COM             02971210       41,158,590         748,338         746,628       1,510        200
AMERICAN STS WTR CO            COM             02989910        3,291,779          88,967          88,967
AMERICAN TOWER CORP            CL A            02991220       17,854,581       1,285,427       1,091,338     169,934     24,155
AMERICAN SUPERCONDUC           COM             03011110        1,714,721         183,589         181,764       1,825
AMERICAN WTR WKS INC           COM             03041110       36,162,645         915,510         911,300       2,910      1,300
AMERICAN WOODMARK CO           COM             03050610        1,332,812          45,411          45,300          11        100
AMERICREDIT CORP               COM             03060R10       35,280,457       1,115,764       1,114,264       1,200        300
AMERISTAR CASINOS IN           COM             03070Q10          326,701          25,073          25,073
AMERIPATH INC                  COM             03071D10        5,238,633         199,491         199,451          40
AMERON INTL INC                COM             03071010        1,999,508          31,029          30,919         110
AMERSHAM PLC                   SPONSORED       03071910          852,525          20,226          20,226
AMERITRADE HLDG CORP           CL A            03072H10        2,746,701         684,963         682,823       2,140
AMERUS GROUP CO                COM             03072M10       12,684,284         360,349         360,349
AMERISOURCEBERGEN CO           COM             03073E10      141,857,430       1,999,400       1,995,253       3,752        385
AMETEK INC NEW                 COM             03110010       10,261,709         390,476         388,126       2,100        250
AMGEN INC                      COM             03116210    1,309,770,552      22,286,380      22,005,843     173,410    107,127
AMKOR TECHNOLOGY INC           COM             03165210        8,514,109         809,326         807,426       1,800        100
AMPHENOL CORP NEW              CL A            03209510       11,497,489         330,663         330,143         620        100
AMSOUTH BANCORPORATI           COM             03216510      132,361,105       7,324,909       7,268,150      33,306     23,453
AMSURG CORP                    COM             03232P40        4,545,143         164,978         164,978
AMTRAN INC                     COM             03234G10          206,013          23,955          23,955
AMYLIN PHARMACEUTICA           COM             03234610        2,659,050         480,841         480,641         100        100
AMVESCAP PLC                   SPONSORED       03235E10          457,119          21,301          21,301
ANADARKO PETE CORP             COM             03251110      286,245,962       5,953,535       5,428,372     395,796    129,367
ANADIGICS INC                  COM             03251510        3,306,651         271,037         271,017          20
ANALOG DEVICES INC             COM             03265410      257,373,884       7,870,761       7,525,342     254,059     91,360
ANALOGIC CORP                  COM PAR $0      03265720        2,423,115          59,830          59,530         300
ANAREN MICROWAVE INC           COM             03274410        2,945,926         180,179         180,179
ANCHOR BANCORP WIS I           COM             03283910        3,197,060         192,594         192,574          20
Page Total                                                 9,791,676,241


---------------------------------------------------------------------------
                                         Voting Authority
           Name of                    Sole            Shared           None
            Issuer
---------------------------------------------------------------------------
                                                          
AMERICAN ELEC PWR IN               5,763,246         123,556        753,078
AMERICAN EXPRESS CO               26,502,126       4,397,179      3,496,784
AMERICAN FINL GROUP                  498,471           3,200         26,300
AMERICAN FINL HLDGS                  198,995             100         19,600
AMERICAN GREETINGS C               1,603,581          13,633        122,373
AMERICAN HEALTHWAYS                   58,349                          4,600
AMERICAN HOME PRODS               23,363,599       1,475,523      3,132,149
AMERICAN INTL GROUP               48,096,852       2,026,433      6,542,028
AMERICAN ITALIAN PAS                 134,387                         12,100
AMERICAN MGMT SYS IN                 337,062          13,300         26,900
AMERICAN MED SYS HLD                 236,927                         17,400
AMERICAN NATL INS CO                  80,896                          6,800
AMERICAN PHYSICIANS                   85,542                          7,200
AMERICAN PWR CONVERS               3,761,749          62,295        470,333
AMERICAN RLTY INVS I                  31,700
AMERICAN STD COS INC                 706,438           4,100         37,800
AMERICAN STS WTR CO                   81,667                          7,300
AMERICAN TOWER CORP                1,141,672          38,355        105,400
AMERICAN SUPERCONDUC                 170,689                         12,900
AMERICAN WTR WKS INC                 831,410           6,200         77,900
AMERICAN WOODMARK CO                  41,911             100          3,400
AMERICREDIT CORP                   1,060,462           5,200         50,102
AMERISTAR CASINOS IN                  25,073
AMERIPATH INC                        184,191                         15,300
AMERON INTL INC                       28,729                          2,300
AMMERSHAM PL                          20,226
AMERITRADE HLDG CORP                 609,163           7,600         68,200
AMERUS GROUP CO                      333,649                         26,700
AMERISOURCEBERGEN CO               1,751,567          79,284        168,549
AMETEK INC NEW                       367,386             250         22,840
AMGEN INC                         18,637,115         840,533      2,808,732
AMKOR TECHNOLOGY INC                 721,726          10,900         76,700
AMPHENOL CORP NEW                    297,463           4,100         29,300
AMSOUTH BANCORPORATI               6,455,587         123,579        745,743
AMSURG CORP                          150,178                         14,800
AMTRAN INC                            23,955
AMYLIN PHARMACEUTICA                 442,941             100         37,800
AMVESCAP PLC                          21,301
ANADARKO PETE CORP                 5,128,170         208,237        617,128
ANADIGICS INC                        251,237                         19,800
ANALOG DEVICES INC                 6,735,171         333,194        802,396
ANALOGIC CORP                         55,830                          4,000
ANAREN MICROWAVE INC                 167,079                         13,100
ANCHOR BANCORP WIS I                 175,994                         16,600
Page Total

                                                               Page 5 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion
           Name of            Title of         Cusip        Fair Market          Shares         Sole       Shared as      Shared
            Issuer              Class          Number          Value            Prin Amt                    Defined        Other
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
ANCHOR GAMING                  COM             03303710         5,470,737        131,825        131,525          300
ANDERSON EPL LTD               COM             03390110           633,729         25,148         25,148
ANDOVER BANCORP INC            COM             03425810         2,726,607         53,421         53,321          100
ANDREW CORP                    COM             03442510        38,319,131      2,107,763      2,102,203        5,460        100
ANDRX GROUP                    COM             03455310        23,837,001        367,175        366,450          725
ANHEUSER BUSCH COS I           COM             03522910       817,957,400     19,530,979     19,106,073      212,850    212,056
ANIXTER INTL INC               COM             03529010         5,570,122        224,783        224,463          320
ANNALY MTG MGMT INC            COM             03571040         5,390,847        373,069        373,069
ANNTAYLOR STORES COR           COM             03611510         4,793,158        218,666        218,306          360
ANSOFT CORP                    COM             03638410           979,342        107,384         45,829        5,553     56,002
ANSYS INC                      COM             03662Q10         3,079,071        172,497        172,497
ANSWERTHINK INC                COM             03691610         1,491,122        317,260        317,160          100
ANTHRACITE CAP INC             COM             03702310         2,764,403        265,808        265,808
ANTIGENICS INC DEL             COM             03703210         1,624,668        127,425        127,425
AO TATNEFT                     SPON ADR R      03737P30           281,820         32,098         32,098
AON CORP                       COM             03738910       223,003,200      5,309,600      5,287,991       10,513     11,096
APACHE CORP                    COM             03741110       119,064,463      2,768,941      2,695,170       55,641     18,130
APACHE CORP                    PFD C DP 1      03741160           931,000         25,000                      25,000
APARTMENT INVT & MGM           CL A            03748R10        38,188,260        843,753        773,958       69,795
APHTON CORP                    COM             03759P10         1,176,670        119,702        119,662           40
APOGEE ENTERPRISES I           COM             03759810        16,697,669      1,294,393      1,294,293                     100
APOGENT TECHNOLOGIES           COM             03760A10        31,013,811      1,297,649      1,273,909       22,140      1,600
APOLLO GROUP INC               CL A            03760410        62,919,876      1,497,023      1,492,818        3,905        300
APOLLO GROUP INC               COM UNV PH      03760420         1,396,729         45,114         45,114
APPLE COMPUTER INC             COM             03783310       115,862,569      7,470,185      7,449,119       19,506      1,560
APPLEBEES INTL INC             COM             03789910        11,122,768        377,043        360,543       16,500
APPLIED INNOVATION I           COM             03791610           525,813         66,140         66,140
APRIA HEALTHCARE GRO           COM             03793310        20,204,123        780,082        780,002           80
APPLERA CORP                   COM AP BIO      03802010       124,299,334      5,094,235      4,896,626      162,169     35,440
APPLERA CORP                   COM CE GEN      03802020        12,182,212        505,486        501,337        3,349        800
APPLICA INC                    COM             03815A10         1,447,637        171,318        171,318
APPLIED INDL TECHNOL           COM             03820C10         4,742,053        280,761        280,761
APPLIED MICRO CIRCUI           COM             03822W10        39,760,923      5,688,258      5,668,903        9,075     10,280
APPLIED MATLS INC              COM             03822210       544,163,338     19,133,732     18,214,487      746,878    172,367
APPLIED MOLECULAR EV           COM             03823E10         1,010,249        136,705        136,705
APTARGROUP INC                 COM             03833610        20,897,942        657,168        376,231      174,977    105,960
AQUILA INC DEL                 CL A            03840J10         2,549,902        116,968        116,968
ARBITRON INC                   COM             03875Q10         6,596,714        252,168        250,642        1,526
ARCH CHEMICALS INC             COM             03937R10         3,757,871        165,545        165,545
ARCH COAL INC                  COM             03938010         8,895,868        570,248        569,624          183        441
ARCHER DANIELS MIDLA           COM             03948310       174,948,751     13,895,850     13,863,383       22,132     10,334
ARCHSTONE CMNTYS TR            SH BEN INT      03958110        37,801,204      1,448,322      1,369,222       79,100
ARCTIC CAT INC                 COM             03967010         1,998,666        148,269        148,249           20
ARDEN GROUP INC                CL A            03976210           574,650         12,873         12,873
Page Total                                                  2,542,653,423


---------------------------------------------------------------------------
                                         Voting Authority
           Name of                    Sole            Shared           None
            Issuer
---------------------------------------------------------------------------
                                                          
ANCHOR GAMING                      123,325                            8,500
ANDERSON EPL LTD                     8,972                           16,176
ANDOVER BANCORP INC                 49,221                            4,200
ANDREW CORP                      1,927,383            16,237        164,143
ANDRX GROUP                        326,462             3,900         36,813
ANHEUSER BUSCH COS I            16,616,574           757,076      2,157,329
ANIXTER INTL INC                   209,983                           14,800
ANNALY MTG MGMT INC                345,269                           27,800
ANNTAYLOR STORES COR               202,066                           16,600
ANSOFT CORP                         51,382            56,002
ANSYS INC                          163,597                            8,900
ANSWERTHINK INC                    294,760                           22,500
ANTHRACITE CAP INC                 246,108                           19,700
ANTIGENICS INC DEL                 119,025                            8,400
AO TATNEFT                           5,174            26,924
AON CORP                         4,576,718            83,151        649,731
APACHE CORP                      2,419,896            55,900        293,145
APACHE CORP                         25,000
APARTMENT INVT & MGM               798,253             4,300         41,200
APHTON CORP                        109,902                            9,800
APOGEE ENTERPRISES I               314,737           954,056         25,600
APOGENT TECHNOLOGIES             1,223,249             8,300         66,100
APOLLO GROUP INC                 1,435,623             6,100         55,300
APOLLO GROUP INC                    39,714                            5,400
APPLE COMPUTER INC               6,423,574           110,642        935,969
APPLEBEES INTL INC                 354,243                           22,800
APPLIED INNOVATION I                66,140
APRIA HEALTHCARE GRO               754,382                           25,700
APPLERA CORP                     4,328,537           199,226        566,472
APPLERA CORP                       429,040             4,500         71,946
APPLICA INC                        156,718                           14,600
APPLIED INDL TECHNOL               265,961                           14,800
APPLIED MICRO CIRCUI             5,000,235           103,053        584,970
APPLIED MATLS INC               16,208,296           721,824      2,203,612
APPLIED MOLECULAR EV               126,605                           10,100
APTARGROUP INC                     530,496           105,960         20,712
AQUILA INC DEL                     106,068                           10,900
ARBITRON INC                       235,554                           16,614
ARCH CHEMICALS INC                 152,145                           13,400
ARCH COAL INC                      547,207               441         22,600
ARCHER DANIELS MIDLA            12,154,651           210,781      1,530,417
ARCHSTONE CMNTYS TR              1,353,922             7,300         87,100
ARCTIC CAT INC                     137,369                           10,900
ARDEN GROUP INC                     12,873
Page Total


                                                               Page 6 of 73




                                                                                   Investment Discretion
           Name of              Title of    Cusip     Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number       Value      Prin Amt                    Defined     Other

--------------------------------------------------------------------------------------------------------------------
                                                                                     
ARDEN RLTY INC                 COM         03979310   16,674,273     652,103      651,103        1,000
AREA BANCSHARES CORP           COM         03987210    2,327,096     136,888      136,888
ARENA PHARMACEUTICAL           COM         04004710    1,600,533     145,503      145,503
ARGONAUT GROUP INC             COM         04015710    3,129,981     190,969      190,349          620
ARGOSY GAMING CO               COM         04022810   14,082,893     537,515      537,515
ARIAD PHARMACEUTICAL           COM         04033A10      515,715     210,496      210,496
ARIBA INC                      COM         04033V10    3,006,085   1,616,175    1,603,174        9,881      3,120
ARKANSAS BEST CORP D           COM         04079010    3,289,203     158,822      158,822
ARMOR HOLDINGS INC             COM         04226010    2,624,965     132,574      132,574
ARMSTRONG HLDGS INC            COM         04238410      882,196     323,149      319,499        3,650
ARNOLD INDS INC                COM         04259510    3,805,922     183,861      180,341        3,520
ARQULE INC                     COM         04269E10    2,427,953     232,340      229,840        2,500
ARRIS GROUP INC                COM         04269Q10    1,672,590     467,204      465,384        1,620        200
ARRAY BIOPHARMA INC            COM         04269X10    1,011,593     112,150      112,150
ARROW ELECTRS INC              COM         04273510   21,765,866   1,043,426    1,039,056        3,920        450
ARROW FINL CORP                COM         04274410    1,249,056      44,657       44,657
ARROW INTL INC                 COM         04276410    3,895,089     104,426      104,426
ART TECHNOLOGY GROUP           COM         04289L10      326,370     466,243      464,323        1,820        100
ARTISAN COMPONENTS I           COM         04292310      580,140      73,250       73,250
ARTESYN TECHNOLOGIES           COM         04312710    1,595,388     293,270      292,470          800
ARTHROCARE CORP                COM         04313610    3,443,249     175,676      175,676
ARVINMERITOR INC               COM         04335310   14,449,290   1,011,147    1,009,588        1,160        399
ASCENTIAL SOFTWARE C           COM         04362P10   12,216,824   3,702,068    3,662,796       26,972     12,300
ASHLAND INC                    COM         04420410   64,603,439   1,675,835    1,670,271        3,670      1,894
ASIAINFO HLDGS INC             COM         04518A10    5,164,338     434,343      433,843          500
ASPECT COMMUNICATION           COM         04523Q10      797,348     445,446      443,046        2,400
ASPECT MED SYS INC             COM         04523510    1,107,242     101,118      100,642          476
ASPEN TECHNOLOGY INC           COM         04532710    2,668,910     266,891      266,591          300
ASSOCIATED BANC CORP           COM         04548710   27,620,519     815,005      812,415        2,410        180
ASSOCIATED ESTATES R           COM         04560410    1,800,902     187,594      187,594
AT HOME CORP                   COM SER A   04591910      292,436   1,949,576    1,946,566        2,850        160
ASTEC INDS INC                 COM         04622410    1,803,732     138,642      138,482          100         60
ASTORIA FINL CORP              COM         04626510   37,417,771     631,417      628,317        2,800        300
ASTRAZENECA PLC                SPONSORED   04635310   15,377,609     329,285      102,315      226,970
ASTROPOWER INC                 COM         04644A10    3,754,791     108,803      108,491                     312
ASYST TECHNOLOGY COR           COM         04648X10    2,705,678     298,970      298,150          820
AT & T LATIN AMER CO           COM         04649A10      555,728     315,755      315,755
ATLANTIC COAST AIRLI           COM         04839610   10,451,339     785,815      785,815
ATLAS AIR WORLDWIDE            COM         04916410    4,975,806     505,158      503,163        1,995
ATMEL CORP                     COM         04951310   32,754,912   4,903,430    4,890,780       11,250      1,400
ATMOS ENERGY CORP              COM         04956010    7,327,065     339,216      338,916          300
ATRIX LABS INC                 COM         04962L10    3,228,406     137,379      137,379
ATWOOD OCEANICS INC            COM         05009510    3,140,046     120,771      120,771
AUDIOVOX CORP                  CL A        05075710    1,953,135     213,691      213,691
Page Total                                           346,073,422


       Name of                                        Voting Authority
       Issuer                                      Sole             Shared           None

---------------------------------------------------------------------------------------------
                                                                         
ARDEN RLTY INC                                    609,103            5,600          37,400
AREA BANCSHARES CORP                              128,088                            8,800
ARENA PHARMACEUTICAL                              136,203                            9,300
ARGONAUT GROUP INC                                178,069                           12,900
ARGOSY GAMING CO                                  522,715                           14,800
ARIAD PHARMACEUTICAL                              195,296                           15,200
ARIBA INC                                       1,390,801           19,220         206,154
ARKANSAS BEST CORP D                              148,722                           10,100
ARMOR HOLDINGS INC                                118,174                           14,400
ARMSTRONG HLDGS INC                               298,141                           25,008
ARNOLD INDS INC                                   169,261                           14,600
ARQULE INC                                        220,440                           11,900
ARRIS GROUP INC                                   449,804              200          17,200
ARRAY BIOPHARMA INC                               112,150
ARROW ELECTRS INC                                 933,976            6,750         102,700
ARROW FINL CORP                                    43,357                            1,300
ARROW INTL INC                                     96,035                            8,391
ART TECHNOLOGY GROUP                              433,443              100          32,700
ARTISAN COMPONENTS I                               73,250
ARTESYN TECHNOLOGIES                              272,770                           20,500
ARTHROCARE CORP                                   161,544                           14,132
ARVINMERITOR INC                                  965,848              399          44,900
ASCENTIAL SOFTWARE C                            3,517,068           12,300         172,700
ASHLAND INC                                     1,534,316           21,443         120,076
ASIAINFO HLDGS INC                                417,843                           16,500
ASPECT COMMUNICATION                              411,946                           33,500
ASPECT MED SYS INC                                 93,418                            7,700
ASPEN TECHNOLOGY INC                              248,091                           18,800
ASSOCIATED BANC CORP                              767,442            4,380          43,183
ASSOCIATED ESTATES R                              184,394                            3,200
AT HOME CORP                                    1,769,016           23,160         157,400
ASTEC INDS INC                                    132,582               60           6,000
ASTORIA FINL CORP                                 588,340           10,800          32,277
ASTRAZENECA PLC                                   324,988                            4,297
ASTROPOWER INC                                     96,791              312          11,700
ASYST TECHNOLOGY COR                              276,570                           22,400
AT & T LATIN AMER CO                              288,855                           26,900
ATLANTIC COAST AIRLI                              763,265                           22,550
ATLAS AIR WORLDWIDE                               494,658                           10,500
ATMEL CORP                                      4,451,591           28,500         423,339
ATMOS ENERGY CORP                                 316,416                           22,800
ATRIX LABS INC                                    127,979                            9,400
ATWOOD OCEANICS INC                               114,271                            6,500
AUDIOVOX CORP                                     203,791                            9,900
Page Total
---------------------------------------------------------------------------------------------


                                                                    Page 7 of 73




                                                                      Investment Discretion             Voting Authority
        Name of        Title of    Cusip    Fair Market    Shares      Sole     Shared as   Shared      Sole       Shared     None
         Issuer         Class     Number       Value      Prin Amt               Defined    Other

------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AUGUST TECHNOLOGY CO   COM        05106U10        346,261     42,227     42,227                         42,227
AURORA FOODS INC       COM        05164B10        876,491    219,672    219,672                        207,472                12,200
AUSPEX SYS INC         COM        05211610        863,883    367,610    367,610                        339,510                28,100
AUSTRALIA&NEW ZEALAN   SPONSORED  05252830        581,356     14,774     14,774                         14,774
AUTODESK INC           COM        05276910     35,808,455  1,116,920  1,115,210     1,510       200    985,519      17,870   113,531
AUTOLIV INC            COM        05280010      9,819,934    623,884    601,438    14,148     8,298    546,686      14,298    62,900
AUTOMATIC DATA PROCE   COM        05301510    803,365,254 17,078,343 13,986,631 2,062,215 1,029,497 13,936,557   1,465,202 1,676,584
AUTONATION INC         COM        05329W10     16,563,137  1,884,316  1,877,716     5,960       640  1,668,276      17,440   198,600
AUTOZONE INC           COM        05333210    150,099,538  2,894,322  2,891,787     2,335       200  2,629,321      40,582   224,419
AVANIR PHARMACEUTICA   CL A       05348P10      1,376,441    474,635    474,535       100              438,835                35,800
AVANEX CORP            COM        05348W10        810,859    273,939    269,201     4,738              255,626                18,313
AVALONBAY CMNTYS INC   COM        05348410     41,865,146    876,757    815,437    61,320              818,060       4,000    54,697
AVANT CORP             COM        05348710      1,240,479    419,081    418,481       600              393,081                26,000
AVANT IMMUNOTHERAPEU   COM        05349110      1,088,853    459,432    459,412        20              424,132                35,300
AVATAR HLDGS INC       COM        05349410        802,349     34,794     34,794                         33,694                 1,100
AVAYA INC              COM        05349910     57,052,066  5,762,835  5,713,256    41,926     7,653  4,920,741     204,744   637,350
AVENTIS                SPONSORED  05356110      2,997,142     39,914     39,914                         39,914
AVERY DENNISON CORP    COM        05361110    129,247,087  2,731,919  2,459,524   205,892    66,503  2,299,372     138,420   294,127
AVIALL INC NEW         COM        05366B10        925,667    150,515    150,515                        139,015                11,500
AVICI SYS INC          COM        05367L10        522,398    408,124    402,006     6,118              377,524                30,600
AVID TECHNOLOGY INC    COM        05367P10      1,448,078    198,639    198,539                 100    181,439         100    17,100
AVIGEN INC             COM        05369010      2,181,206    159,096    159,096                        149,296                 9,800
AVIRON                 COM        05376210      7,765,904    312,009    257,406    47,088     7,515    284,794      10,115    17,100
AVISTA CORP            COM        05379B10      6,746,116    496,038    495,998        40              465,938                30,100
AVNET INC              COM        05380710     21,473,586  1,180,516  1,176,624     2,820     1,072  1,049,534      10,372   120,610
AVOCENT CORP           COM        05389310      7,639,406    513,401    511,742     1,459       200    485,356         200    27,845
AVON PRODS INC         COM        05430310    236,725,583  5,118,391  5,088,787    24,924     4,680  4,310,245     171,087   637,059
AWARE INC MASS         COM        05453N10        753,938    191,355    190,815       540              179,755                11,600
AXA                    SPONSORED  05453610     16,537,166    843,733    191,801   651,932              831,961                11,772
AXCELIS TECHNOLOGIES   COM        05454010      7,275,280    769,871    699,976    69,795       100    634,820      72,566    62,485
AZTAR CORP             COM        05480210      6,614,425    505,690    505,670        20              480,690                25,000
BB&T CORP              COM        05493710    309,314,882  8,486,005  8,467,412    18,093       500  7,594,347     122,483   769,175
B A S F  A G           SPONSORED  05526250      1,788,864     50,820     50,820                         50,820
BCE INC                COM        05534B10        721,498     32,721     32,721                         30,621                 2,100
BEI TECHNOLOGIES INC   COM        05538P10      2,468,522    153,802    153,802                        147,102                 6,700
BG PLC                 ADR FIN IN 05543420        626,284     33,313     33,313                         33,313
BISYS GROUP INC        COM        05547210     32,337,110    609,904    609,094       610       200    571,093       3,800    35,011
BKF CAP GROUP INC      COM        05548G10      1,193,022     44,186     44,186                         40,586                 3,600
BJS WHOLESALE CLUB I   COM        05548J10     50,942,985  1,070,006  1,065,526     4,280       200  1,014,006       5,100    50,900
BJ SVCS CO             COM        05548210     36,974,789  2,078,403  2,075,743     2,260       400  1,914,124      11,400   152,879
BMC INDS INC MINN      COM        05560710        368,940    180,853    180,853                        175,953                 4,900
BOK FINL CORP          COM NEW    05561Q20      3,791,773    125,597    125,597                        118,696                 6,901
BOC GROUP PLC          SPONSORED  05561760        320,048     11,617     11,617                         11,617
BP PLC                 SPONSORED  05562210  3,597,847,572 73,171,600 72,967,835   203,765              670,460  72,497,040     4,100
Page Total                                  5,610,109,773


                                                                    Page 8 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                             Investment Discretion
        Name of        Title of      Cusip        Fair Market    Shares       Sole     Shared as      Shared
        Issuer          Class        Number          Value      Prin Amt                Defined        Other
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                
BP PRUDHOE BAY RTY T   UNIT BEN I  05563010          212,415      14,599       14,599

BRE PROPERTIES INC     CL A        05564E10       16,773,916     560,064      560,064

BSB BANCORP            COM         05565210        1,877,679      80,691       80,571        120

BMC SOFTWARE INC       COM         05592110       78,697,683   6,196,668    6,188,943      7,345        380

BAKER HUGHES INC       COM         05722410      219,487,291   7,581,599    6,991,234    535,420     54,945

BALDOR ELEC CO         COM         05774110        4,394,988     221,410      221,390         20

BALDWIN & LYONS INC    CL B        05775520        1,279,973      65,944       65,944

BALL CORP              COM         05849810       42,742,184     713,559      711,804      1,655        100

BALLY TOTAL FITNESS    COM         05873K10        4,665,816     229,730      229,670         60

BANCFIRST CORP         COM         05945F10        1,340,503      39,196       39,196

BANCFIRST CORP ZANES   COM         05945010        1,231,291      56,352       56,352

BANCO BILBAO VIZCAYA   SPONSORED   05946K10        1,567,437     149,994      149,994

BANCO SANTANDER CENT   ADR         05964H10       18,172,093   2,410,092      350,628  2,059,464

BANCO SANTANDER CHIL   SPON ADR S  05965F10          242,845      13,643       13,643

BANCO SANTIAGO         SP ADR REP  05965L10          286,058      14,411       14,411

BANCORPSOUTH INC       COM         05969210       11,236,841     729,665      729,435        230

BANCWEST CORP NEW      COM         05979010       12,887,318     368,947      366,787      2,160

BANDAG INC             COM         05981510        9,420,516     344,443      344,443

BANGOR HYDRO ELEC CO   COM         06007710        1,952,990      73,338       73,263                    75

BANK OF AMERICA CORP   COM         06050510    2,074,774,814  35,526,966   35,261,656    204,149     61,161

BANK OF GRANITE CORP   COM         06240110        2,235,836     100,668      100,668

BANK MONTREAL QUE      COM         06367110          647,069      26,039       26,039

BANK MUT CORP          COM         06374810        1,374,827      85,393       85,393

BANK NEW YORK INC      COM         06405710      537,989,340  15,371,124   15,162,502    104,081    104,541

BANK ONE CORP          COM         06423A10      775,817,101  24,652,593   24,551,570     67,588     33,435

BANKATLANTIC BANCORP   CL A        06590850        3,410,032     337,627      337,627

BANKNORTH GROUP INC    COM         06646R10       39,537,915   1,771,412    1,646,066     66,284     59,062

BANKUNITED FINL CORP   CL A        06652B10        2,356,295     160,620      160,620

BANNER CORP            COM         06652V10        1,656,921      85,762       85,762

BANTA CORP             COM         06682110       15,359,352     551,107      539,507      6,400      5,200

BARCLAYS PLC           ADR         06738E20       19,168,720     173,081       39,320    133,761

BARD C R INC           COM         06738310       49,384,394     960,599      947,998     12,601

BARNES & NOBLE INC     COM         06777410       19,151,916     530,524      527,804      2,520        200

BARNES GROUP INC       COM         06780610        3,097,786     145,436      142,836        500      2,100

BARRICK GOLD CORP      COM         06790110      103,406,364   5,960,021    5,958,721      1,300

BARR LABS INC          COM         06830610       61,876,388     782,651      781,901        650        100

BARRA INC              COM         06831310        6,299,218     149,910      149,560        350

BASSETT FURNITURE IN   COM         07020310        1,698,821     121,605      121,605

BAUSCH & LOMB INC      COM         07170710       38,698,580   1,367,441    1,366,191      1,150        100

BAXTER INTL INC        COM         07181310      941,465,540  17,102,008   12,497,224  4,598,408      6,376

BAY VIEW CAP CORP DE   COM         07262L10        3,638,089     519,727      516,727      3,000

BE AEROSPACE INC       COM         07330210        1,725,146     226,993      226,993

BEA SYS INC            COM         07332510       24,059,737   2,508,836    2,481,181     27,375        280

BEACON POWER CORP      COM         07367710          291,517     191,788      191,788

Page Total                                     5,157,591,555
-----------------------------------------------------------------------------------------------------------------------------------


-----------------------------------------------------------------------------------------------------------------------------------
                                            Voting Authority
           Name of
            Issuer                 Sole        Shared            None
-----------------------------------------------------------------------------------------------------------------------------------
                                                    
BP PRUDHOE BAY RTY T            14,599

BRE PROPERTIES INC             531,064                          29,000

BSB BANCORP                     74,791                           5,900

BMC SOFTWARE INC             5,477,910          87,288         631,470

BAKER HUGHES INC             6,666,714         160,299         754,586

BALDOR ELEC CO                 195,310                          26,100

BALDWIN & LYONS INC             59,344                           6,600

BALL CORP                      658,528           9,300          45,731

BALLY TOTAL FITNESS            213,530                          16,200

BANCFIRST CORP                  36,396                           2,800

BANCFIRST CORP ZANES            55,052                           1,300

BANCO BILBAO VIZCAYA           149,994

BANCO SANTANDER CENT         2,371,692                          38,400

BANCO SANTANDER CHIL             5,443           8,200

BANCO SANTIAGO                   4,531           9,880

BANCORPSOUTH INC               676,065                          53,600

BANCWEST CORP NEW              332,947           4,800          31,200

BANDAG INC                     333,843                          10,600

BANGOR HYDRO ELEC CO            68,663              75           4,600

BANK OF AMERICA CORP        31,124,396         584,322       3,818,248

BANK OF GRANITE CORP            92,168                           8,500

BANK MONTREAL QUE               26,039

BANK MUT CORP                   83,293                           2,100

BANK NEW YORK INC           13,056,398         596,242       1,718,484

BANK ONE CORP               20,985,729         567,394       3,099,470

BANKATLANTIC BANCORP           323,327                          14,300

BANKNORTH GROUP INC          1,613,660          68,062          89,690

BANKUNITED FINL CORP           151,820                           8,800

BANNER CORP                     79,162                           6,600

BANTA CORP                     521,630           5,200          24,277

BARCLAYS PLC                   169,781                           3,300

BARD C R INC                   870,585          11,516          78,498

BARNES & NOBLE INC             497,324           4,600          28,600

BARNES GROUP INC               131,136           2,100          12,200

BARRICK GOLD CORP            5,424,428         126,632         408,961

BARR LABS INC                  762,801           2,000          17,850

BARRA INC                      142,360                           7,550

BASSETT FURNITURE IN           116,205                           5,400

BAUSCH & LOMB INC            1,242,522          35,156          89,763

BAXTER INTL INC             10,556,493       4,967,859       1,577,656

BAY VIEW CAP CORP DE           484,527                          35,200

BE AEROSPACE INC               210,393                          16,600

BEA SYS INC                  2,062,344          20,980         425,512

BEACON POWER CORP              191,788

Page Total
-----------------------------------------------------------------------------------------------------------------------------------


                                                                   Page 9 of 73




--------------------------------------------------------------------------------------------------------------------------------
                                                                                    Investment Discretion
        Name of         Title of      Cusip       Fair Market      Shares      Sole       Shared as     Shared
        Issuer           Class       Number          Value        Prin Amt                 Defined       Other
--------------------------------------------------------------------------------------------------------------------------------
                                                                                
BEAR STEARNS COS INC     COM        07390210      110,811,757    2,215,792   2,212,229      3,358         205

BEASLEY BROADCAST GR     CL A       07401410          752,760       73,440      73,440

BEAZER HOMES USA INC     COM        07556Q10        3,503,233       72,083      72,083

BEBE STORES INC          COM        07557110          643,965       42,760      42,760

BECKMAN COULTER INC      COM        07581110       29,134,421      658,405     642,941        814      14,650

BECTON DICKINSON & C     COM        07588710      406,533,800   10,987,400  10,961,010     19,010       7,380

BED BATH & BEYOND IN     COM        07589610      146,396,731    5,750,068   5,619,534    125,569       4,965

BEDFORD PPTY INVS IN     COM PAR $0 07644630        5,627,732      278,050     278,050

BEL FUSE INC             CL B       07734730        1,354,676       69,685      69,665         20

BELDEN INC               COM        07745910        4,734,460      251,833     250,473      1,360

BELL MICROPRODUCTS I     COM        07813710          742,423       96,544      96,544

BELLSOUTH CORP           COM        07986010    7,352,283,386  176,950,262 176,124,842    410,088     415,332

BELO CORP                COM SER A  08055510       14,098,165      878,938     875,848      2,690         400

BEMIS INC                COM        08143710       43,160,658    1,083,078   1,067,402      5,700       9,976

BENCHMARK ELECTRS IN     COM        08160H10        2,818,807      170,630     170,430        200

BERKLEY W R CORP         COM        08442310        8,321,040      173,355     172,855        500

BERKSHIRE HATHAWAY I     CL B       08467020      406,925,180      174,646     170,303      1,973       2,370

BERRY PETE CO            CL A       08578910        2,393,374      154,911     154,911

BEST BUY INC             COM        08651610      211,400,130    4,651,268   4,610,353     35,455       5,460

BETHLEHEM STL CORP       COM        08750910        1,414,635    1,105,184   1,105,084        100

BEVERLY ENTERPRISES      COM NEW    08785130        8,603,394      843,470     843,470

BHP BILLITON LTD         SPONSORED  08860610          839,196       97,581      97,581

BIG LOTS INC             COM        08930210       18,358,685    2,214,558   2,212,023      2,435         100

BIO RAD LABS INC         CL A       09057220        3,377,608       71,864      71,864

BIO TECHNOLOGY GEN C     COM        09057810        3,671,393      490,828     488,045      2,783

BIOGEN INC               COM        09059710      168,547,739    3,032,525   3,015,563     12,562       4,400

BIOMARIN PHARMACEUTI     COM        09061G10        1,790,899      183,682     183,682

BIOMET INC               COM        09061310      156,878,192    5,363,357   5,346,198     16,979         180

BIOPURE CORP             CL A       09065H10        7,496,129      404,104     299,379     90,195      14,530

BIOVAIL CORP             COM        09067J10       24,306,732      523,852     231,960    291,892

BIOSITE INC              COM        09094510        5,410,257      223,472     223,172        300

BLACK & DECKER CORP      COM        09179710       58,974,583    1,890,211   1,880,596      9,115         500

BLACK BOX CORP DEL       COM        09182610        7,362,990      174,976     173,556      1,420

BLACK HILLS CORP         COM        09211310        8,947,823      293,179     288,814        840       3,525

BLACKROCK INC            CL A       09247X10        3,406,487       77,035      77,035

BLOCK H & R INC          COM        09367110      161,963,375    4,200,295   4,140,225     30,070      30,000

BLOCKBUSTER INC          CL A       09367910       28,250,452    1,289,975   1,289,855        120

BLYTH INC                COM        09643P10       10,648,708      535,380     535,300         80

BOB EVANS FARMS INC      COM        09676110       14,582,532      806,556     806,556

BOCA RESORTS INC         CL A       09688T10        2,571,040      258,396     258,356         40

BOEING CO                COM        09702310    3,031,268,940   90,485,640  89,185,604  1,242,887      57,149

BOISE CASCADE CORP       COM        09738310       67,859,853    2,300,334   1,269,801  1,030,533

BONE CARE INTL INC       COM        09807210        1,578,984       81,140      81,140

BORDERS GROUP INC        COM        09970910       18,756,716      979,463     978,023      1,140         300

Page Total                                     12,568,504,040
-----------------------------------------------------------------------------------------------------------------------------------



-----------------------------------------------------------------------------------------------------------------------------------
                                           Voting Authority
           Name of
            Issuer                   Sole       Shared      None
-----------------------------------------------------------------------------------------------------------------------------------
                                                
BEAR STEARNS COS INC              2,010,935      34,421    170,436

BEASLEY BROADCAST GR                 68,240                  5,200

BEAZER HOMES USA INC                 66,783                  5,300

BEBE STORES INC                      41,160                  1,600

BECKMAN COULTER INC                 603,906      18,150     36,349

BECTON DICKINSON & C              5,265,303   5,039,842    682,255

BED BATH & BEYOND IN              4,994,718     196,600    558,750

BEDFORD PPTY INVS IN                266,050                 12,000

BEL FUSE INC                         63,585                  6,100

BELDEN INC                          235,633                 16,200

BELL MICROPRODUCTS I                 87,944                  8,600

BELLSOUTH CORP                   34,782,393 137,156,280  5,011,589

BELO CORP                           825,438       5,000     48,500

BEMIS INC                           958,210      25,385     99,483

BENCHMARK ELECTRS IN                157,630                 13,000

BERKLEY W R CORP                    161,755                 11,600

BERKSHIRE HATHAWAY I                  2,217     172,377         52

BERRY PETE CO                       141,611                 13,300

BEST BUY INC                      4,084,204     147,267    419,797

BETHLEHEM STL CORP                1,008,758                 96,426

BEVERLY ENTERPRISES                 783,470                 60,000

BHP BILLITON LTD                     97,581

BIG LOTS INC                      2,004,343      27,970    182,245

BIO RAD LABS INC                     66,864                  5,000

BIO TECHNOLOGY GEN C                454,128                 36,700

BIOGEN INC                        2,602,777     121,306    308,442

BIOMARIN PHARMACEUTI                172,482                 11,200

BIOMET INC                        4,530,764     212,818    619,775

BIOPURE CORP                        379,474      14,530     10,100

BIOVAIL CORP                        518,552                  5,300

BIOSITE INC                         215,872                  7,600

BLACK & DECKER CORP               1,658,356      25,335    206,520

BLACK BOX CORP DEL                  163,176                 11,800

BLACK HILLS CORP                    271,854       6,025     15,300

BLACKROCK INC                        68,435                  8,600

BLOCK H & R INC                   3,570,397     153,526    476,372

BLOCKBUSTER INC                   1,226,275      14,900     48,800

BLYTH INC                           513,180                 22,200

BOB EVANS FARMS INC                 390,634     382,322     33,600

BOCA RESORTS INC                    239,496                 18,900

BOEING CO                        17,621,795  70,763,591  2,100,254

BOISE CASCADE CORP                1,130,889   1,040,953    128,492

BONE CARE INTL INC                   75,840                  5,300

BORDERS GROUP INC                   921,363       8,000     50,100
------------------------------------------------------------------------------------------------------------------------------------


                                                                   Page 10 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                  Investment Discretion           Voting Authority
       Name of        Title of        Cusip       Fair Market     Shares       Sole    Shared as     Shared      Sole       Shared
       Issuer           Class         Number         Value       Prin Amt               Defined       Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BORG WARNER INC         COM          09972410     17,735,868     440,096      439,496       400         200     419,496      3,400
BORLAND SOFTWARE COR    COM          09984910      3,679,846     454,302      454,302                           405,002
BORON LEPORE & ASSOC    COM          10001P10        478,819      50,402       50,402                            50,402
BOSTON BEER INC         CL A         10055710        853,681      72,592       72,592                            72,592
BOSTON COMMUNICATION    COM          10058210      2,134,854     190,612      190,612                           181,312
BOSTON PRIVATE FINL     COM          10111910      2,358,817     120,903      101,253       150      19,500      94,103     19,500
BOSTON PROPERTIES IN    COM          10112110     40,906,855   1,072,826      983,926    88,900               1,021,311      4,600
BOSTON SCIENTIFIC CO    COM          10113710    171,020,799   8,342,478    8,316,043    11,380      15,055   7,374,456    104,621
BOWATER INC             COM          10218310     21,832,555     495,969      494,769     1,100         100     459,169      3,100
BOWNE & CO INC          COM          10304310      3,203,614     315,627      315,467       160                 289,327
BOYD GAMING CORP        COM          10330410      1,396,280     313,771      313,771                           289,971
BOYDS COLLECTION LTD    COM          10335410      3,783,837     458,647      458,647                           425,847
BOYKIN LODGING CO       COM          10343010      1,774,584     221,823      221,723       100                 211,023
BRADY CORP              CL A         10467410      4,828,881     162,043      160,403     1,540         100     143,843        100
BRANDYWINE RLTY TR      SH BEN INT   10536820     14,363,323     673,386      561,926   111,460                 657,586
BRASCAN CORP            CL A LTD V   10549P60        221,149      13,403       13,403                            13,403
BRAUN CONSULTING INC    COM          10565110        252,284      70,079       70,079                            70,079
BRIGGS & STRATTON CO    COM          10904310      6,295,400     201,711      201,411       300                 187,584
BRIGHT HORIZON FAMIL    COM          10919510      3,503,007     129,741       98,866    30,875                 120,941
BRIGHTPOINT INC         COM          10947310      1,541,471     497,249      497,249                           459,949
BRINKER INTL INC        COM          10964110     48,145,708   2,038,345    2,010,341    16,004      12,000   1,939,395     18,450
BRIO TECHNOLOGY INC     COM          10970410        345,157     142,040      142,040                           142,040
BRISTOL MYERS SQUIBB    COM          11012210  2,430,955,294  43,753,695   41,200,526 1,337,690   1,215,479  36,528,925  2,595,895
BRITESMILE INC          COM          11041510        675,876     112,646      112,646                           112,646
BRITISH AMERN TOB PL    SPONSORED    11044810     21,600,307   1,218,979       37,337 1,181,642                  37,337  1,181,642
BRITISH SKY BROADCAS    SPONSORED    11101310        965,475      18,390       18,370        20                  18,390
BRITISH TELECOMMUNIC    ADR FINAL    11102140      6,241,067     122,015       46,314    75,701                 120,715
BROADCOM CORP           CL A         11132010     97,876,916   4,821,523    4,813,433     7,570         520   4,217,626     71,359
BROADVISION INC         COM          11141210      1,340,147   1,472,690    1,449,340    23,210         140   1,281,719     16,775
BROADWING INC           COM          11162010     37,491,838   2,331,582    2,321,056     8,190       2,336   2,158,246     17,036
BROCADE COMMUNICATIO    COM          11162110     30,218,361   2,153,839    2,025,579   111,630      16,630   1,890,996     31,330
BROOKLINE BANCORP IN    COM          11373910      1,787,655     119,177      115,597     3,580                 110,377
BROOKS AUTOMATION IN    COM          11434A10      5,636,548     211,980      186,100    25,880                 200,280
BROWN & BROWN INC       COM          11523610     11,958,356     229,527      229,527                           217,027
BROWN FORMAN CORP       CL B         11563720     74,042,979   1,171,937    1,170,797     1,140               1,063,012     13,215
BROWN TOM INC           COM NEW      11566020      6,199,441     296,624      296,164       360         100     277,324        100
BROWN SHOE INC NEW      COM          11573610      1,638,917     144,398      144,238        60         100     129,798        100
BRUKER DALTONICS INC    COM          11679510      6,847,367     412,492      412,492                           384,092
BRUNSWICK CORP          COM          11704310     33,738,086   2,048,457    2,046,457     2,000               1,821,240     30,236
BRUSH ENGINEERED MAT    COM          11742110      2,261,558     164,477      164,477                           152,677
BSQUARE CORP            COM          11776U10        347,775     131,236      131,036       200                 123,836
BUCA INC                COM          11776910      1,093,534      97,463       97,323       140                  92,613
BUCKEYE PARTNERS L P    UNIT LTD P   11823010      1,011,780      29,200       17,400    10,800       1,000      28,200      1,000
BUCKEYE TECHNOLOGIES    COM          11825510      2,300,175     232,341      231,841       500                 213,641
Page Total                                     3,126,886,241
------------------------------------------------------------------------------------------------------------------------------------


------------------------------------------------------------------------------------------------------------------------------------
            Name of                         None
            Issuer
------------------------------------------------------------------------------------------------------------------------------------
                                    
BORG WARNER INC                            17,200
BORLAND SOFTWARE COR                       49,300
BORON LEPORE & ASSOC
BOSTON BEER INC
BOSTON COMMUNICATION                        9,300
BOSTON PRIVATE FINL                         7,300
BOSTON PROPERTIES IN                       46,915
BOSTON SCIENTIFIC CO                      863,401
BOWATER INC                                33,700
BOWNE & CO INC                             26,300
BOYD GAMING CORP                           23,800
BOYDS COLLECTION LTD                       32,800
BOYKIN LODGING CO                          10,800
BRADY CORP                                 18,100
BRANDYWINE RLTY TR                         15,800
BRASCAN CORP
BRAUN CONSULTING INC
BRIGGS & STRATTON CO                       14,127
BRIGHT HORIZON FAMIL                        8,800
BRIGHTPOINT INC                            37,300
BRINKER INTL INC                           80,500
BRIO TECHNOLOGY INC
BRISTOL MYERS SQUIBB                    4,628,875
BRITESMILE INC
BRITISH AMERN TOB PL
BRITISH SKY BROADCAS
BRITISH TELECOMMUNIC                        1,300
BROADCOM CORP                             532,538
BROADVISION INC                           174,196
BROADWING INC                             156,300
BROCADE COMMUNICATIO                      231,513
BROOKLINE BANCORP IN                        8,800
BROOKS AUTOMATION IN                       11,700
BROWN & BROWN INC                          12,500
BROWN FORMAN CORP                          95,710
BROWN TOM INC                              19,200
BROWN SHOE INC NEW                         14,500
BRUKER DALTONICS INC                       28,400
BRUNSWICK CORP                            196,981
BRUSH ENGINEERED MAT                       11,800
BSQUARE CORP                                7,400
BUCA INC                                    4,850
BUCKEYE PARTNERS L P
BUCKEYE TECHNOLOGIES                       18,700
Page Total
-----------------------------------------------------------------------------------------------------------------------------------


                                                                   Page 11 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                          Investment Discretion           Voting Authority
       Name of        Title of       Cusip       Fair Market     Shares      Sole   Shared as   Shared    Sole    Shared     None
       Issuer          Class         Number         Value       Prin Amt             Defined     Other
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
BUCKLE INC               COM        11844010      3,168,247     192,015    192,015                      187,015              5,000
BUILDING MATLS HLDG      COM        12011310      1,411,160     100,510    100,510                       92,510              8,000
BURLINGTON COAT FACT     COM        12157910      2,433,462     172,586    172,586                      159,586             13,000
BURLINGTON NORTHN SA     COM        12189T10    251,355,251   9,396,458  9,175,690   179,281  41,487  8,282,619  172,332   941,507
BURLINGTON RES INC       COM        12201410    155,035,580   4,531,879  4,431,434    86,572  13,873  4,007,030   75,563   449,286
BURNHAM PAC PPTYS IN     COM        12232C10      1,295,014     259,522    259,522                      239,122             20,400
BUSH INDS INC            CL A       12316410        592,086      67,054     67,054                       61,854              5,200
BUTLER MFG CO DEL        COM        12365510        740,859      34,141     34,141                       33,141              1,000
C&D TECHNOLOGIES INC     COM        12466110      5,912,766     321,346    321,006       340            303,796             17,550
CBL & ASSOC PPTYS IN     COM        12483010     17,098,312     627,461    546,056    81,405            614,761             12,700
CCC INFORMATION SVCS     COM        12487Q10        921,951     126,122    126,122                      112,422             13,700
CBRL GROUP INC           COM        12489V10     14,574,282     663,372    659,412     3,760     200    626,872      200    36,300
CCBT FINL COS INC        COM        12500Q10      2,204,487      88,109     71,009     9,100   8,000     74,709    8,000     5,400
C COR NET CORP           COM        12501010      1,855,164     270,827    269,367     1,460            251,527             19,300
C D I CORP               COM        12507110      1,813,730     113,005    113,005                      106,005              7,000
CDW COMPUTER CTRS IN     COM        12512910     24,181,807     668,375    666,355     1,720     300    638,175    2,900    27,300
CEC ENTMT INC            COM        12513710      9,031,316     264,848    264,628       220            247,448             17,400
CFS BANCORP INC          COM        12525D10      1,880,668     126,474    126,474                      116,474             10,000
CH ENERGY GROUP INC      COM        12541M10      5,808,114     143,057    141,794     1,163     100    131,857      100    11,100
C H ROBINSON WORLDWI     COM        12541W10     22,681,645     783,206    781,466     1,440     300    738,116    4,300    40,790
CIGNA CORP               COM        12550910    304,917,729   3,675,922  3,625,679    27,780  22,463  3,191,063   57,835   427,024
CKE RESTAURANTS INC      COM        12561E10        277,595      42,707     42,707                       42,707
CLECO CORP NEW           COM        12561W10     12,286,589     596,147    591,307     3,440   1,400    552,547    1,400    42,200
CMGI INC                 COM        12575010      1,797,735   1,797,735  1,779,455    16,805   1,475  1,609,860   23,075   164,800
CMS ENERGY CORP          COM        12589610     50,830,940   2,541,547  2,538,457     3,090          2,273,639   41,439   226,469
CPI CORP                 COM        12590210        982,548      68,375     68,375                       62,175              6,200
CPB INC                  COM        12590310      2,078,262      65,747     65,747                       60,947              4,800
CSS INDS INC             COM        12590610      1,029,608      40,696     40,696                       37,696              3,000
CSK AUTO CORP            COM        12596510      1,148,412     183,746    183,666        80            171,846             11,900
CNA FINL CORP            COM        12611710      7,459,768     275,879    275,559       320            257,879    2,400    15,600
CNA SURETY CORP          COM        12612L10      2,186,658     161,377    161,377                      150,977             10,400
CNF INC                  COM        12612W10     19,132,361     838,036    837,236       700     100    790,554    4,700    42,782
CNET NETWORKS INC        COM        12613R10      3,744,857     870,897    868,383     2,414     100    791,997    8,100    70,800
CRH PLC                  ADR        12626K20      4,983,041     343,658     44,409   299,249            337,758              5,900
CSG SYS INTL INC         COM        12634910     21,718,848     529,728    528,818       710     200    497,428    3,200    29,100
CSX CORP                 COM        12640810    138,346,992   4,391,968  4,365,064    20,496   6,408  3,816,551   73,909   501,508
CTC COMMUNICATIONS G     COM        12641910        212,388      40,844     19,461     8,333  13,050     27,794   13,050
CT COMMUNICATIONS IN     COM NEW    12642640      2,104,458     144,141    144,101        40            132,341             11,800
CTS CORP                 COM        12650110      4,118,880     278,868    278,848        20            261,268             17,600
CUNO INC                 COM        12658310      3,956,872     142,590    142,550        40            129,890             12,700
CVB FINL CORP            COM        12660010      5,449,992     253,488    253,488                      239,298             14,190
CVS CORP                 COM        12665010    307,137,814   9,251,139  8,774,439   388,956  87,744  7,846,121  350,854 1,054,164
CV THERAPEUTICS INC      COM        12666710      6,934,450     178,447    178,447                      168,447             10,000
CABLE & WIRELESS PUB     SPONSORED  12683020      7,308,028     566,075     91,756   474,319            555,875             10,200
Page Total                                    1,434,140,726
------------------------------------------------------------------------------------------------------------------------------------


                                                                   Page 12 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion
           Name of            Title of         Cusip        Fair Market          Shares         Sole       Shared as      Shared
            Issuer              Class          Number          Value            Prin Amt                    Defined        Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
CABLEVISION SYS CORP        CL A NY CA       12686C10       25,793,182            630,024        624,405     3,092        2,527
CABLEVISION SYS CORP        CL A RAINB        2686C84        5,501,763            271,692        269,520       909        1,263
CABLE DESIGN TECHNOL        COM               2692410        6,292,113            530,980        529,880     1,100
CACHEFLOW INC               COM               2694610          265,141            176,761        175,536       175        1,050
CABOT CORP                  COM               2705510       98,723,971          2,474,285        650,017    71,429    1,752,839
CABOT INDUSTRIAL TRU        COM               2707210       14,982,199            730,839        730,839
CABOT MICROELECTRONI        COM               2709P10       34,208,600            708,106        250,468    31,526      426,112
CABOT OIL & GAS CORP        CL A              2709710        5,830,008            292,231        237,813    14,432       39,986
CACI INTL INC               CL A              2719030       12,279,806            224,658        224,658
CADBURY SCHWEPPES PL        ADR               2720930          616,483             24,271         24,271
CADENCE DESIGN SYSTE        COM               2738710       48,922,861          2,938,310      2,926,020     8,610        3,680
CADIZ INC                   COM               2753710        2,617,415            305,416        305,416
CADMUS COMMUNICATION        COM               2758710          215,989             25,115         25,115
CAL DIVE INTL INC           COM               2791410        4,677,428            280,758        279,358     1,400
CALGON CARBON CORP          COM               2960310        2,359,861            310,100        310,100
CALIFORNIA PIZZA KIT        COM               3054D10        1,952,945            123,292        123,292
CALIFORNIA WTR SVC G        COM               3078810        3,222,477            119,351        119,351
CALIPER TECHNOLOGIES        COM               3087610        1,635,918            176,856        176,499       357
CALLAWAY GOLF CO            COM               3119310       14,747,520          1,152,150      1,150,690     1,260          200
CALLON PETE CO DEL          COM               3123X10          539,906             79,398         79,398
CALPINE CORP                COM               3134710      133,080,656          5,834,312      5,824,822     9,090          400
CAMBREX CORP                COM               3201110        8,575,968            255,770        227,120    28,550          100
CAMDEN PPTY TR              SH BEN INT        3313110       23,809,592            641,768        600,758    41,010
CAMINUS CORP                COM               3376610        1,122,432             76,460         76,460
CAMPBELL SOUP CO            COM               3442910      217,775,768          7,777,706      7,745,427    21,027       11,252
CANADIAN PAC LTD NEW        COM               3592310          538,117             16,769         16,519       250
CDN IMPERIAL BK OF C        COM               3606910          640,495             19,605         19,605
CANADIAN NATL RY CO         COM               3637510          415,924             10,931         10,931
CANON INC                   ADR               3800630       15,458,707            570,432        107,558   462,874
CAPITAL CITY BK GROU        COM               3967410        1,353,092             57,652         57,652
CAPITAL AUTOMOTIVE R        COM SH BEN        3973310        5,917,377            335,833        335,733       100
CAPITAL ONE FINL COR        COM               4040H10      186,322,259          4,047,844      3,994,143    50,836        2,865
CAPITOL FED FINL            COM               4057C10        6,410,487            335,452        335,452
CAPITOL TRANSAMERICA        COM               4064010        1,108,668             67,767         67,767
CAPSTONE TURBINE COR        COM               4067D10        2,594,832            429,608        429,028       520           60
CAPSTEAD MTG CORP           COM NO PAR        4067E50        2,080,377             79,162         79,112                     50
CARBO CERAMICS INC          COM               4078110        1,670,503             60,307         59,907       400
CARAUSTAR INDS INC          COM               4090910        7,357,867            796,306        247,430   548,876
CARDINAL HEALTH INC         COM               4149Y10      761,594,115         10,298,771      9,990,715   270,088       37,968
CARDIODYNAMICS INTL         COM               4159710        1,211,337            252,362        252,362
CAREER EDUCATION COR        COM               4166510       13,248,730            240,886        240,346       540
CAREMARK RX INC             COM               4170510       33,853,477          2,029,585      1,434,003   595,120          462
CARLISLE COS INC            COM               4233910       10,158,324            362,409        362,209       200
CARLTON COMMUNICATIO        ADR               4287220          200,859             19,596         19,596
Page Total                                               1,721,885,549



---------------------------------------------------------------------------
                                         Voting Authority
           Name of                    Sole            Shared           None
            Issuer
---------------------------------------------------------------------------
                                                         
CABLEVISION SYS CORP                 562,997          8,427          58,600
CABLEVISION SYS CORP                 237,679          4,463          29,550
CABLE DESIGN TECHNOL                 502,980                         28,000
CACHEFLOW INC                        165,411          1,050          10,300
CABOT CORP                           651,441      1,757,039          65,805
CABOT INDUSTRIAL TRU                 704,339                         26,500
CABOT MICROELECTRONI                 264,594        428,412          15,100
CABOT OIL & GAS CORP                 234,245         39,986          18,000
CACI INTL INC                        218,658                          6,000
CADBURY SCHWEPPES PL                  24,271
CADENCE DESIGN SYSTE               2,662,111         20,280         255,919
CADIZ INC                            280,316                         25,100
CADMUS COMMUNICATION                  25,115
CAL DIVE INTL INC                    260,558                         20,200
CALGON CARBON CORP                   277,300                         32,800
CALIFORNIA PIZZA KIT                 114,092                          9,200
CALIFORNIA WTR SVC G                 109,551                          9,800
CALIPER TECHNOLOGIES                 163,656                         13,200
CALLAWAY GOLF CO                   1,080,223          7,500          64,427
CALLON PETE CO DEL                    72,198                          7,200
CALPINE CORP                       4,997,005        204,994         632,313
CAMBREX CORP                         241,670            100          14,000
CAMDEN PPTY TR                       617,468                         24,300
CAMINUS CORP                          70,760                          5,700
CAMPBELL SOUP CO                   6,554,941        283,059         939,706
CANADIAN PAC LTD NEW                  16,769
CDN IMPERIAL BK OF C                  19,605
CANADIAN NATL RY CO                    9,942                            989
CANON INC                            561,832                          8,600
CAPITAL CITY BK GROU                  53,452                          4,200
CAPITAL AUTOMOTIVE R                 326,233                          9,600
CAPITAL ONE FINL COR               3,469,539        140,401         437,904
CAPITOL FED FINL                     317,852                         17,600
CAPITOL TRANSAMERICA                  66,167                          1,600
CAPSTONE TURBINE COR                 383,948          6,160          39,500
CAPSTEAD MTG CORP                     73,862             50           5,250
CARBO CERAMICS INC                    57,107                          3,200
CARAUSTAR INDS INC                   769,106                         27,200
CARDINAL HEALTH INC                8,951,247        312,969       1,034,555
CARDIODYNAMICS INTL                  246,662                          5,700
CAREER EDUCATION COR                 225,986                         14,900
CAREMARK RX INC                    1,252,718        608,762         168,105
CARLISLE COS INC                     342,900                         19,509
CARLTON COMMUNICATIO                  19,596
Page Total


                                                                   Page 13 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion

           Name of            Title of         Cusip        Fair Market          Shares         Sole       Shared as      Shared
            Issuer              Class          Number          Value            Prin Amt                    Defined        Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
CARNIVAL CORP               COM              14365810       201,463,336        9,149,107       9,094,172      48,660       6,275
CARPENTER TECHNOLOGY        COM              14428510        39,793,479        1,788,471         246,900   1,541,571
CARRAMERICA RLTY COR        COM              14441810        19,196,360          640,733         640,243         490
CARREKER CORP               COM              14443310         1,551,274          204,384         204,384
CARRIER ACCESS CORP         COM              14446010           241,532           89,789          89,789
CARTER WALLACE INC          COM              14628510         6,540,664          320,150         320,150
CASCADE CORP                COM              14719510           345,625           37,164          37,164
CASCADE NAT GAS CORP        COM              14733910         2,129,824           98,603          98,603
CASELLA WASTE SYS IN        CL A             14744810         1,831,897          164,591         164,571                      20
CASEYS GEN STORES IN        COM              14752810         8,146,160          685,127         684,607         520
CASH AMER INTL INC          COM              14754D10         1,755,635          192,927         192,927
CASS INFORMATION SYS        COM              14808P10         1,124,443           53,494                                  53,494
CASTLE A M & CO             COM              14841110           345,404           41,615          41,615
CATALINA MARKETING C        COM              14886710        16,544,892          590,889         588,469         520       1,900
CATALYTICA ENERGY SY        COM              14888410           913,700          119,282         119,282
CATAPULT COMMUNICATI        COM              14901610           510,179           37,077          37,077
CATELLUS DEV CORP           COM              14911110        17,453,640          998,492         862,212     136,280
CATERPILLAR INC DEL         COM              14912310       406,016,307        9,062,864       8,957,358      70,201      35,305
CATHAY BANCORP INC          COM              14915010         4,003,811           74,296          67,296                   7,000
CATO CORP NEW               CL A             14920510         2,064,794          138,021         138,021
CEDAR FAIR L P              DEPOSITRY        15018510           659,812           33,750          26,750       7,000
CELL GENESYS INC            COM              15092110         4,850,480          303,155         302,855         200         100
CELERITEK INC               COM              15092610         1,253,080          105,924         105,824                     100
CELL THERAPEUTICS IN        COM              15093410         6,762,980          281,205         281,205
CELGENE CORP                COM              15102010        12,416,655          469,794         468,074       1,620         100
CELL PATHWAYS INC NE        COM              15114R10           742,286          225,619         225,619
CEMEX S A                   SPON ADR 5       15129088           273,223           13,302          13,302
CENDANT CORP                COM              15131310       232,714,598       18,180,828      18,103,933      41,725      35,170
CENTENNIAL BANCORP          COM              15133T10         1,230,897          163,249         163,249
CENTENNIAL COMMUNCTN        CL A NEW         15133V20         1,519,263          168,807         168,807
CENTER TR INC               COM              15184510           380,904           98,680          98,680
CENTERPOINT PPTYS TR        SH BEN INT       15189510        19,351,547          405,268         356,688      48,580
CENTEX CONSTRUCTION         COM              15231R10         3,978,552          134,638         119,438         200      15,000
CENTEX CORP                 COM              15231210        41,473,902        1,229,585       1,227,345       2,140         100
CENTILLIUM COMMUNICA        COM              15231910         1,337,684          220,740         220,740
CENTRA SOFTWARE INC         COM              15234X10         1,613,457          188,488         187,808         680
CENTRAL COAST BANCOR        COM              15314510           738,815           35,232          35,232
CENTRAL PKG CORP            COM              15478510         2,158,237          154,270         154,170         100
CENTRAL VT PUB SVC C        COM              15577110         2,026,583          115,871         115,871
CENTURY ALUM CO             COM              15643110           927,277          115,765         115,765
CENTURY BUSINESS SVC        COM              15649010         1,734,067          693,627         643,627      50,000
CENTURYTEL INC              COM              15670010       102,737,632        3,066,795       2,783,093     219,269      64,433
CEPHALON INC                COM              15670810        13,910,285          278,875         276,047       2,768          60
CERIDIAN CORP NEW           COM              15677910        23,178,235        1,598,499       1,579,339      18,860         300
Page Total                                                1,209,943,407



---------------------------------------------------------------------------
                                         Voting Authority
           Name of                    Sole            Shared          None
            Issuer
--------------------------------------------------------------------------
                                                         
CARNIVAL CORP                    8,125,125         141,075         882,907
CARPENTER TECHNOLOGY               234,500       1,541,571          12,400
CARRAMERICA RLTY COR               600,733           3,600          36,400
CARREKER CORP                      197,384                           7,000
CARRIER ACCESS CORP                 89,789
CARTER WALLACE INC                 306,550                          13,600
CASCADE CORP                        37,164
CASCADE NAT GAS CORP                88,403                          10,200
CASELLA WASTE SYS IN               152,671              20          11,900
CASEYS GEN STORES IN               655,527                          29,600
CASH AMER INTL INC                 176,927                          16,000
CASS INFORMATION SYS                                53,494
CASTLE A M & CO                     41,615
CATALINA MARKETING C               564,489           4,000          22,400
CATALYTICA ENERGY SY               111,282                           8,000
CATAPULT COMMUNICATI                36,077                           1,000
CATELLUS DEV CORP                  923,192           9,600          65,700
CATERPILLAR INC DEL              8,154,078         140,341         768,445
CATHAY BANCORP INC                  60,996           7,000           6,300
CATO CORP NEW                      129,421                           8,600
CEDAR FAIR L P                      33,750
CELL GENESYS INC                   280,955             100          22,100
CELERITEK INC                       97,524             100           8,300
CELL THERAPEUTICS IN               263,005                          18,200
CELGENE CORP                       415,594           7,000          47,200
CELL PATHWAYS INC NE               221,119                           4,500
CEMEX S A                           13,302
CENDANT CORP                    15,861,196         292,350       2,027,282
CENTENNIAL BANCORP                 159,364                           3,885
CENTENNIAL COMMUNCTN               164,207                           4,600
CENTER TR INC                       98,680
CENTERPOINT PPTYS TR               391,868                          13,400
CENTEX CONSTRUCTION                115,238          15,000           4,400
CENTEX CORP                      1,068,588          16,766         144,231
CENTILLIUM COMMUNICA               205,040                          15,700
CENTRA SOFTWARE INC                175,288                          13,200
CENTRAL COAST BANCOR                34,132                           1,100
CENTRAL PKG CORP                   146,670                           7,600
CENTRAL VT PUB SVC C               108,671                           7,200
CENTURY ALUM CO                    107,965                           7,800
CENTURY BUSINESS SVC               646,827                          46,800
CENTURYTEL INC                   2,734,646         100,575         231,574
CEPHALON INC                       248,015           2,960          27,900
CERIDIAN CORP NEW                1,372,948           8,430         217,121
Page Total


                                                                   Page 14 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion
           Name of         Title of         Cusip        Fair Market          Shares         Sole       Shared as      Shared
            Issuer          Class          Number          Value            Prin Amt                    Defined        Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CERNER CORP               COM             15678210       16,299,805          329,289        327,689       1,600
CERTEGY INC               COM             15688010       23,056,036          888,137        883,254       3,883           1,000
CERUS CORP                COM             15708510        4,664,189           98,713         98,713
CHAMPION ENTERPRISES      COM             15849610        2,881,977          414,673        414,573                         100
CHAMPIONSHIP AUTO RA      COM             15871110        1,434,466          103,199         96,859         240           6,100
CHARLES RIV LABS INT      COM             15986410       12,941,670          365,894        346,894      19,000
CHARTER ONE FINL INC      COM             16090310      123,749,384        4,385,166      4,369,276      15,480             409
CHARTER MUN MTG ACCE      SH BEN INT      16090810        3,933,299          246,293        246,273                          20
CHARLOTTE RUSSE HLDG      COM             16104810        2,219,861          170,890        170,890
CHARMING SHOPPES INC      COM             16113310        4,130,360          841,214        841,214
CHARTER COMMUNICATIO      CL A            16117M10       11,203,664          904,981        903,181       1,800
CHARTERED SEMICONDUC      ADR             16133R10        8,535,817          494,830         49,845     444,985
CHATEAU CMNTYS INC        COM             16172610        8,250,152          280,141        280,141
CHEAP TICKETS INC         COM             16267210        1,578,471           96,307         96,307
CHECKFREE CORP NEW        COM             16281310       10,680,391          629,369        628,519         650             200
CHECKPOINT SYS INC        COM             16282510        2,863,397          261,976        261,976
CHEESECAKE FACTORY I      COM             16307210       13,863,505          578,852        573,990       4,712             150
CHELSEA PPTY GROUP I      COM             16342110       17,628,964          387,876        337,336      50,540
CHEMED CORP               COM             16359610        3,514,233          122,022        122,022
CHEMFIRST INC             COM             16361A10        1,843,826           91,369         91,369
CHEMICAL FINL CORP        COM             16373110        5,008,251          184,466        184,466
CHESAPEAKE CORP           COM             16515910        3,678,765          142,312        142,132         100              80
CHESAPEAKE ENERGY CO      COM             16516710        6,672,870        1,181,039      1,177,239       3,800
CHEVRON CORPORATION       COM             16675110       22,010,168          259,707                    131,600         128,107
CHICOS FAS INC            COM             16861510        6,251,135          265,441        230,711      28,470           6,260
CHILES OFFSHORE INC       COM             16888M10        1,317,423           65,219         65,219
CHILDRENS PL RETAIL       COM             16890510        1,945,978          108,532        108,332         200
CHINA UNICOM LTD          SPONSORED       16945R10          625,276           57,896         57,896
CHIPPAC INC               CL A            16965710          658,892          286,475        286,475
CHOICE HOTELS INTL I      COM             16990510        4,970,889          301,266        299,316       1,800             150
CHIRON CORP               COM             17004010      162,040,304        3,652,024      3,643,427       7,497           1,100
CHITTENDEN CORP           COM             17022810        7,294,854          287,199        270,154       6,672          10,373
CHOICEPOINT INC           COM             17038810       28,966,657          695,645        693,669       1,726             250
CHORDIANT SOFTWARE I      COM             17040410          361,644          193,393        193,393
CHRISTOPHER & BANKS       COM             17104610        4,885,467          162,254        162,254
CHUBB CORP                COM             17123210      289,949,307        4,060,346      3,991,479      29,695          39,172
CHURCH & DWIGHT INC       COM             17134010       18,450,644          713,758        713,658         100
CHURCHILL DOWNS INC       COM             17148410          877,993           31,628         31,628
CIBER INC                 COM             17163B10        2,590,553          411,199        408,928       2,271
CIENA CORP                COM             17177910       64,534,496        6,271,574      6,264,124       6,030           1,420
CIMA LABS INC             COM             17179610        7,362,049          121,186        121,166                          20
CINCINNATI FINL CORP      COM             17206210      136,251,768        3,273,709      3,266,209       7,280             220
CINERGY CORP              COM             17247410      113,605,520        3,680,127      3,674,579       4,768             780
CIPHERGEN BIOSYSTEMS      COM             17252Y10          325,105          106,592        106,592
Page Total                                            1,165,909,475



---------------------------------------------------------------------------
                                         Voting Authority
           Name of                    Sole            Shared          None
            Issuer
--------------------------------------------------------------------------
                                                         
CERNER CORP                         307,689          2,400          19,200
CERTEGY INC                         794,923          5,520          87,694
CERUS CORP                           92,113                          6,600
CHAMPION ENTERPRISES                371,173            100          43,400
CHAMPIONSHIP AUTO RA                 88,599          6,100           8,500
CHARLES RIV LABS INT                342,094                         23,800
CHARTER ONE FINL INC              3,858,705         78,519         447,941
CHARTER MUN MTG ACCE                230,873             20          15,400
CHARLOTTE RUSSE HLDG                157,990                         12,900
CHARMING SHOPPES INC                748,614                         92,600
CHARTER COMMUNICATIO                826,631          8,600          69,750
CHARTERED SEMICONDUC                485,530                          9,300
CHATEAU CMNTYS INC                  265,841                         14,300
CHEAP TICKETS INC                    94,507                          1,800
CHECKFREE CORP NEW                  584,769          5,600          39,000
CHECKPOINT SYS INC                  243,876                         18,100
CHEESECAKE FACTORY I                553,352            150          25,350
CHELSEA PPTY GROUP I                379,476                          8,400
CHEMED CORP                         115,022                          7,000
CHEMFIRST INC                        84,669                          6,700
CHEMICAL FINL CORP                  170,966                         13,500
CHESAPEAKE CORP                     130,932             80          11,300
CHESAPEAKE ENERGY CO              1,101,239                         79,800
CHEVRON CORPORATION                 131,600        128,107
CHICOS FAS INC                      245,081          6,260          14,100
CHILES OFFSHORE INC                  63,119                          2,100
CHILDRENS PL RETAIL                 101,932                          6,600
CHINA UNICOM LTD                     57,896
CHIPPAC INC                         266,275                         20,200
CHOICE HOTELS INTL I                278,916            150          22,200
CHIRON CORP                       3,206,475        151,726         293,823
CHITTENDEN CORP                     248,500         10,373          28,326
CHOICEPOINT INC                     650,069          4,250          41,326
CHORDIANT SOFTWARE I                193,393
CHRISTOPHER & BANKS                 153,254                          9,000
CHUBB CORP                        3,516,556         88,455         455,335
CHURCH & DWIGHT INC                 677,058                         36,700
CHURCHILL DOWNS INC                  29,928                          1,700
CIBER INC                           378,299                         32,900
CIENA CORP                        5,533,635         86,720         651,219
CIMA LABS INC                       112,166             20           9,000
CINCINNATI FINL CORP              2,879,966         40,765         352,978
CINERGY CORP                      3,286,299         53,499         340,329
CIPHERGEN BIOSYSTEMS                106,592
PAGE TOTAL


                                                                   Page 15 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion
           Name of          Title of         Cusip        Fair Market          Shares         Sole       Shared as      Shared
            Issuer            Class          Number          Value            Prin Amt                    Defined        Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                
CIRCOR INTL INC             COM             17273K10          979,440            65,296         65,296
CIRCUIT CITY STORE I        CIRCT CITY      17273710       55,736,376         4,644,698      4,637,528       7,010         160
CIRCUIT CITY STORE I        CARMAX GRO      17273730        2,325,825           206,740        206,740
CISCO SYS INC               COM             17275R10    2,001,014,088       164,286,871    158,930,316   3,729,137   1,627,418
CIRRUS LOGIC INC            COM             17275510        7,116,010           959,031        958,321         510         200
CINTAS CORP                 COM             17290810      125,739,788         3,120,094      3,103,552       3,542      13,000
CITIGROUP INC               COM             17296710    9,051,190,816       223,486,193    221,021,568   1,896,537     568,088
CITIZENS BKG CORP MI        COM             17442010       13,111,609           408,716        407,716       1,000
CITIZENS COMMUNICATI        COM             17453B10       51,119,070         5,438,199      5,410,699      27,300         200
CITIZENS INC                CL A            17474010        1,432,557           142,543        142,543
CITRIX SYS INC              COM             17737610       85,276,026         4,306,870      4,299,280       7,370         220
CITY BK LYNNWOOD WAS        COM             17770A10        1,886,281            77,117         77,117
CITY HLDG CO                COM             17783510        1,411,140           141,114        140,914         200
CITY NATL CORP              COM             17856610       18,336,851           424,956        424,406         550
CLAIRES STORES INC          COM             17958410        6,900,739           545,513        545,033         280         200
CLARCOR INC                 COM             17989510        6,435,170           269,254        269,154         100
CLARENT CORP DEL            COM             18046110        1,762,467           330,050        330,050
CLARK / BARDES INC          COM             18066810        1,617,086            75,004         75,004
CLAYTON HOMES INC           COM             18419010       14,381,689         1,178,827      1,176,057       1,850         920
CLEAR CHANNEL COMMUN        COM             18450210      463,819,456        11,668,414     11,513,934     142,613      11,867
CLEVELAND CLIFFS INC        COM             18589610        1,364,630            94,766         94,666         100
CLICK COMMERCE INC          COM             18681D10          209,767           139,845        139,845
CLOROX CO DEL               COM             18905410      179,011,143         4,838,139      4,819,736       8,723       9,680
CLOSURE MED CORP            COM             18909310        1,028,161            53,411         53,411
COACH INC                   COM             18975410       37,662,571         1,420,693      1,413,958       6,351         384
COACHMEN INDS INC           COM             18987310        1,144,656           127,184        127,184
COASTAL BANCORP INC         COM             19041P10        1,231,687            34,892         34,892
COBALT CORP                 COM             19074W10          336,447            65,970         65,970
COBIZ INC                   COM             19089710          687,544            53,298         53,298
COCA COLA BOTTLING C        COM             19109810        1,031,443            27,323         27,323
COCA COLA CO                COM             19121610    2,579,972,249        55,068,778     52,329,008   1,382,485   1,357,285
COCA COLA ENTERPRISE        COM             19121910      113,180,452         7,378,126      7,370,061       7,435         630
COGNEX CORP                 COM             19242210        5,749,935           293,065        280,455         510      12,100
COGNIZANT TECHNOLOGY        CL A            19244610        4,656,041           207,859        207,859
COHERENT INC                COM             19247910        6,804,867           239,608        239,198         410
COHU INC                    COM             19257610        4,188,261           279,964        279,944          20
COINSTAR INC                COM             19259P30        3,700,083           187,631        187,591          40
COLDWATER CREEK INC         COM             19306810          605,949            33,112         33,112
COLE NATIONAL CORP N        CL A            19329010        1,122,376            84,580         84,580
COLE KENNETH PRODTNS        CL A            19329410        1,843,977           145,769        145,769
COLES MYER LTD              SPON ADR N      19387040          345,530            12,845         12,845
COLGATE PALMOLIVE CO        COM             19416210      693,727,326        11,909,482     11,502,631     344,462      62,389
COLLINS & AIKMAN COR        COM             19483010        4,443,590           722,535        722,535
COLONIAL BANCGROUP I        COM             19549330       24,647,603         1,925,594      1,905,644      19,950
Page Total                                             15,580,288,772




---------------------------------------------------------------------------
                                         Voting Authority
           Name of                    Sole            Shared          None
            Issuer
--------------------------------------------------------------------------
                                                         
CIRCOR INTL INC                     63,596                           1,700
CIRCUIT CITY STORE I             4,109,486          55,382         479,830
CIRCUIT CITY STORE I               190,740                          16,000
CISCO SYS INC                  138,110,583       6,579,697      19,596,591
CIRRUS LOGIC INC                   910,531           6,400          42,100
CINTAS CORP                      2,661,711         126,673         331,710
CITIGROUP INC                   99,036,483     112,278,349      12,171,361
CITIZENS BKG CORP MI               378,716                          30,000
CITIZENS COMMUNICATI             4,816,401          73,685         548,113
CITIZENS INC                       138,943                           3,600
CITRIX SYS INC                   3,772,408         128,021         406,441
CITY BK LYNNWOOD WAS                71,217                           5,900
CITY HLDG CO                       138,114                           3,000
CITY NATL CORP                     397,156           2,300          25,500
CLAIRES STORES INC                 506,313             200          39,000
CLARCOR INC                        245,204                          24,050
CLARENT CORP DEL                   315,550                          14,500
CLARK / BARDES INC                  69,804                           5,200
CLAYTON HOMES INC                1,074,493          10,320          94,014
CLEAR CHANNEL COMMUN            10,215,356         178,334       1,274,724
CLEVELAND CLIFFS INC                90,166                           4,600
CLICK COMMERCE INC                 129,145                          10,700
CLOROX CO DEL                    4,065,423         178,250         594,466
CLOSURE MED CORP                    50,111                           3,300
COACH INC                        1,372,375           4,484          43,834
COACHMEN INDS INC                  118,884                           8,300
COASTAL BANCORP INC                 33,992                             900
COBALT CORP                         65,970
COBIZ INC                           53,298
COCA COLA BOTTLING C                26,823                             500
COCA COLA CO                    45,955,972       3,045,075       6,067,731
COCA COLA ENTERPRISE             6,663,147         115,621         599,358
COGNEX CORP                        260,965          12,100          20,000
COGNIZANT TECHNOLOGY               204,059                           3,800
COHERENT INC                       222,208                          17,400
COHU INC                           265,164                          14,800
COINSTAR INC                       172,331                          15,300
COLDWATER CREEK INC                 33,112
COLE NATIONAL CORP N                82,180                           2,400
COLE KENNETH PRODTNS               140,469                           5,300
COLES MYER LTD                      12,845
COLGATE PALMOLIVE CO            10,259,431         465,463       1,184,588
COLLINS & AIKMAN COR               676,635                          45,900
COLONIAL BANCGROUP I             1,861,994                          63,600
Page Total


                                                                   Page 16 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                                Investment Discretion
     Name of                  Title of       Cusip            Fair Market       Shares          Sole       Shared as     Shared
     Issuer                   Class          Number              Value         Prin Amt                     Defined       Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                    
COLONIAL PPTYS TR              COM SH BEN    19587210          6,022,555        203,809         203,809
COLUMBIA BKG SYS INC           COM           19723610          1,495,889        109,189         109,189
COLUMBIA FINL KY INC           COM           19764R10            278,046         27,100          27,100
COLUMBIA LABS INC              COM           19777910            939,698        209,287         209,287
COLUMBIA SPORTSWEAR            COM           19851610          1,801,596         81,153          80,703          450
COMCAST CORP                   CL A          20030010          1,407,708         39,598          38,298          700         600
COMCAST CORP                   CL A SPL      20030020        704,622,998     19,643,797      19,166,805      428,559      48,433
COMDISCO INC                   COM           20033610            577,915        979,517         976,197        3,320
COMERICA INC                   COM           20034010        220,755,260      3,984,752       3,818,196      159,236       7,320
COMMERCE BANCORP INC           COM           20051910         14,939,736        219,702         217,381          721       1,600
COMMERCE BANCSHARES            COM           20052510         22,691,706        603,182         562,941       37,961       2,280
COMMERCE GROUP INC M           COM           20064110         12,500,746        328,967         291,667       37,300
COMMERCE ONE INC DEL           COM           20069310          5,985,271      2,433,037       2,317,438       74,850      40,749
COMMERCIAL BK NY               COM           20146210            504,201         15,419          15,419
COMMERCIAL FEDERAL C           COM           20164710         10,670,669        439,665         439,565                      100
COMMERCIAL METALS CO           COM           20172310          2,757,815         99,202          99,202
COMMERCIAL NET LEASE           COM           20221810          4,119,716        310,922         310,902           20
COMMONWEALTH BANCORP           COM           20268X10          1,244,561         60,357          60,357
COMMONWEALTH TEL ENT           COM           20334910          4,992,450        135,849         135,449          400
COMMSCOPE INC                  COM           20337210         10,638,833        595,346         593,796        1,250         300
COMMUNITY BK SYS INC           COM           20360710          2,113,237         76,845          76,845
COMMUNITY BKS INC MI           COM           20362810          1,218,243         49,928          49,928
COMMUNITY HEALTH SYS           COM           20366810         11,220,693        377,293         337,687       34,176       5,430
COMMUNITY FIRST BANK           COM           20390210          8,402,700        349,821         349,821
COMMUNITY TR BANCORP           COM           20414910          2,110,632         88,311          88,311
COMPANHIA DE BEBIDAS           SPON ADR P    20441W20            516,802         32,280          32,280
COMPANHIA VALE DO RI           SPON ADR P    20441210            361,025         18,142          18,142
COMPANIA ANONIMA NAC           SPON ADR D    20442110            478,494         20,759          20,759
COMPANIA CERVECERIAS           SPONSORED     20442910            307,414         17,988          17,988
COMPANIA DE TELECOMU           SPON ADR N    20444930            475,636         48,288          48,288
COMPASS BANCSHARES I           COM           20449H10         33,825,178      1,299,469       1,295,739        3,330         400
COMPAQ COMPUTER CORP           COM           20449310        287,587,128     34,607,356      34,424,871      140,605      41,880
COMPUCREDIT CORP               COM           20478N10            890,422        122,143         122,143
COMPUTER ASSOC INTL            COM           20491210        347,874,555     13,514,940      13,494,430       19,558         952
COMPUTER NETWORK TEC           COM           20492510          3,997,884        380,027         365,667       14,360
COMPUTER SCIENCES CO           COM           20536310        118,157,576      3,562,182       3,466,816       46,313      49,053
COMPUTERIZED THERMAL           COM           20557C10          1,082,500        483,259         483,259
COMPX INTERNATIONAL            CL A          20563P10            281,063         26,896          26,796          100
COMPUWARE CORP                 COM           20563810         62,809,824      7,540,195       7,526,760       12,795         640
COMSTOCK RES INC               COM NEW       20576820          2,387,369        401,914         401,814          100
COMVERSE TECHNOLOGY            COM PAR $0    20586240         71,841,484      3,507,885       3,501,245        6,420         220
CONAGRA FOODS INC              COM           20588710        838,083,621     37,331,119      32,388,778    4,918,201      24,140
CONCEPTUS INC                  COM           20601610            954,999         54,885          54,885
CONCORD CAMERA CORP            COM           20615610            893,984        204,106         204,106
Page Total                                                 2,826,819,832


-------------------------------------------------------------------------------
                                                 Voting Authority
   Name of                         Sole              Shares              None
   Issuer
------------------------------------------------------------------------------
                                                         
COLONIAL PPTYS TR                      194,709                           9,100
COLUMBIA BKG SYS INC                   106,879                           2,310
COLUMBIA FINL KY INC                    27,100
COLUMBIA LABS INC                      194,087                          15,200
COLUMBIA SPORTSWEAR                     73,953                           7,200
COMCAST CORP                            38,998            600
COMCAST CORP                        17,111,804        317,795        2,214,198
COMDISCO INC                           907,117                          72,400
COMERICA INC                         3,497,752         57,506          429,494
COMMERCE BANCORP INC                   198,002          4,300           17,400
COMMERCE BANCSHARES                    556,507          7,355           39,320
COMMERCE GROUP INC M                   312,367                          16,600
COMMERCE ONE INC DEL                 2,205,338         40,749          186,950
COMMERCIAL BK NY                        15,419
COMMERCIAL FEDERAL C                   404,265            100           35,300
COMMERCIAL METALS CO                    89,502                           9,700
COMMERCIAL NET LEASE                   288,622                          22,300
COMMONWEALTH BANCORP                    58,457                           1,900
COMMONWEALTH TEL ENT                   128,249                           7,600
COMMSCOPE INC                          564,046            300           31,000
COMMUNITY BK SYS INC                    72,445                           4,400
COMMUNITY BKS INC MI                    45,628                           4,300
COMMUNITY HEALTH SYS                   343,963          9,130           24,200
COMMUNITY FIRST BANK                   326,821                          23,000
COMMUNITY TR BANCORP                    81,911                           6,400
COMPANHIA DE BEBIDAS                     6,310         25,970
COMPANHIA VALE DO RI                                   18,142
COMPANIA ANONIMA NAC                     2,689         18,070
COMPANIA CERVECERIAS                     6,788         11,200
COMPANIA DE TELECOMU                    10,988         37,300
COMPASS BANCSHARES I                 1,209,619          8,800           81,050
COMPAQ COMPUTER CORP                30,606,369        552,371        3,448,616
COMPUCREDIT CORP                       113,343                           8,800
COMPUTER ASSOC INTL                 11,872,569        183,147        1,459,224
COMPUTER NETWORK TEC                   364,227                          15,800
COMPUTER SCIENCES CO                 3,093,502         87,639          381,041
COMPUTERIZED THERMAL                   443,759                          39,500
COMPX INTERNATIONAL                     26,796                             100
COMPUWARE CORP                       6,550,680        111,328          878,187
COMSTOCK RES INC                       387,914                          14,000
COMVERSE TECHNOLOGY                  3,043,746        119,119          345,020
CONAGRA FOODS INC                   10,384,360     25,678,463        1,268,296
CONCEPTUS INC                           54,885
CONCORD CAMERA CORP                    190,006                          14,100
Page Total


                                                                   Page 17 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                                Investment Discretion
     Name of                  Title of       Cusip            Fair Market       Shares          Sole       Shared as     Shared
     Issuer                   Class          Number              Value         Prin Amt                     Defined       Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                    
CONCORD EFS INC                COM             20619710        233,270,735       4,765,490      4,753,585      11,645          260
CONCURRENT COMPUTER            COM             20671020          4,674,020         514,760        512,460       2,300
CONECTIV INC                   COM             20682910         21,128,991         899,106        892,479       5,540        1,087
CONESTOGA ENTERPRISE           COM             20701510          1,430,129          62,315         62,315
CONEXANT SYSTEMS INC           COM             20714210         39,666,106       4,779,049      4,744,699      18,139       16,211
CONMED CORP                    COM             20741010          4,193,908         236,944        236,404         540
CONNECTICUT BANCSHAR           COM             20754010          2,227,127         100,775        100,775
CONNECTICUT WTR SVC            COM             20779710          1,731,774          62,725         62,725
CONNETICS CORP                 COM             20819210          1,524,388         233,087        233,087
CONOCO INC                     CL A            20825130          1,050,284          41,301         36,900       4,001          400
CONOCO INC                     CL B            20825140          2,354,288          92,908                     73,994       18,914
CONSECO INC                    COM             20846410         47,113,196       6,489,421      6,471,366      12,630        5,425
CONSOL ENERGY INC              COM             20854P10          7,594,299         354,377        354,377
CONSOLIDATED EDISON            COM             20911510        177,404,050       4,356,681      4,337,522      13,051        6,108
CONSOLIDATED FREIGHT           COM             20923210            367,078         121,148        121,148
CONSOLIDATED GRAPHIC           COM             20934110          1,363,838          79,850         79,850
CONSTELLATION BRANDS           CL A            21036P10         19,154,809         459,789        430,921      25,118        3,750
CONSTELLATION ENERGY           COM             21037110         81,593,276       3,371,623      3,352,089      12,514        7,020
CONTINENTAL AIRLS IN           CL B            21079530          6,033,045         402,203        401,783         420
CONVERA CORP                   CL A            21191910            335,515         136,945        136,945
CONVERGYS CORP                 COM             21248510        104,092,026       3,751,064      3,425,118     232,275       93,671
COOPER CAMERON CORP            COM             21664010         21,850,277         666,167        662,667       3,400          100
COOPER COS INC                 COM NEW         21664840         10,807,026         230,427        229,127       1,300
COOPER INDS INC                COM             21666910        115,325,706       2,780,943      2,760,631      11,412        8,900
COOPER TIRE & RUBR C           COM             21683110         22,067,215       1,549,664      1,545,059       3,605        1,000
COORS ADOLPH CO                CL B            21701610         31,176,360         692,808        692,278         530
COORSTEK INC                   COM             21702010          1,836,540          73,491         73,491
COPART INC                     COM             21720410          9,553,902         341,089        340,789         300
COPPER MTN NETWORKS            COM             21751010            341,196         426,496        421,071       5,425
COR THERAPEUTICS INC           COM             21775310         15,026,704         664,017        662,797       1,020          200
CORILLIAN CORP                 COM             21872510            238,087         120,246        120,246
CORINTHIAN COLLEGES            COM             21886810          6,188,448         183,579        183,579
CORIXA CORP                    COM             21887F10          3,597,566         342,658        342,238         320          100
CORN PRODS INTL INC            COM             21902310          8,965,426         312,058        305,702       1,414        4,942
CORNERSTONE RLTY INC           COM             21922V10          5,628,381         526,017        526,017
CORNING INC                    COM             21935010        175,620,558      19,911,628     19,328,701     481,646      101,281
CORPORATE EXECUTIVE            COM             21988R10         20,177,078         773,661        773,461         200
CORPORATE OFFICE PPT           SH BEN INT      22002T10          1,212,090         111,201        111,201
CORRECTIONS CORP AME           COM NEW         22025Y40          2,627,394         199,650        199,650
CORUS BANKSHARES INC           COM             22087310          6,914,119         153,818        150,518       3,300
CORUS ENTERTAINMENT            COM CL B N      22087410          3,828,190         233,000                    233,000
CORVAS INTL INC                COM             22100510          1,300,351         226,148        226,148
CORVEL CORP                    COM             22100610          1,564,981          59,505         59,505
CORVIS CORP                    COM             22100910          2,285,970       1,503,928      1,503,726          22          180
Page Total                                                   1,226,436,447


-------------------------------------------------------------------------------
                                          Voting Authority
   Name of                     Sole              Shares              None
   Issuer
------------------------------------------------------------------------------
                                                           
CONCORD EFS INC                 4,126,369         161,067            478,054
CONCURRENT COMPUTER               480,060                             34,700
CONECTIV INC                      834,019           9,587             55,500
CONESTOGA ENTERPRISE               57,415                              4,900
CONEXANT SYSTEMS INC            4,280,121          98,134            400,794
CONMED CORP                       223,294                             13,650
CONNECTICUT BANCSHAR               93,775                              7,000
CONNECTICUT WTR SVC                57,925                              4,800
CONNETICS CORP                    225,287                              7,800
CONOCO INC                         25,201             400             15,700
CONOCO INC                         73,994          18,914
CONSECO INC                     5,822,671          93,685            573,065
CONSOL ENERGY INC                 341,577                             12,800
CONSOLIDATED EDISON             3,783,452          73,239            499,990
CONSOLIDATED FREIGHT              111,848                              9,300
CONSOLIDATED GRAPHIC               77,750                              2,100
CONSTELLATION BRANDS              433,639           6,950             19,200
CONSTELLATION ENERGY            2,919,652          57,265            394,706
CONTINENTAL AIRLS IN              365,203           3,400             33,600
CONVERA CORP                      135,645                              1,300
CONVERGYS CORP                  3,217,743         214,367            318,954
COOPER CAMERON CORP               521,272         111,695             33,200
COOPER COS INC                    220,727                              9,700
COOPER INDS INC                 2,154,824         368,203            257,916
COOPER TIRE & RUBR C            1,399,627          12,900            137,137
COORS ADOLPH CO                   615,917           8,475             68,416
COORSTEK INC                       68,391                              5,100
COPART INC                        316,089                             25,000
COPPER MTN NETWORKS               396,096                             30,400
COR THERAPEUTICS INC              625,957           5,200             32,860
CORILLIAN CORP                    120,246
CORINTHIAN COLLEGES               177,179                              6,400
CORIXA CORP                       317,726             100             24,832
CORN PRODS INTL INC               284,416           4,942             22,700
CORNERSTONE RLTY INC              496,517                             29,500
CORNING INC                    17,385,810         379,275          2,146,543
CORPORATE EXECUTIVE               752,061                             21,600
CORPORATE OFFICE PPT              108,801                              2,400
CORRECTIONS CORP AME              184,150                             15,500
CORUS BANKSHARES INC              147,118                              6,700
CORUS ENTERTAINMENT               233,000
CORVAS INTL INC                   209,148                             17,000
CORVEL CORP                        54,255                              5,250
CORVIS CORP                     1,321,048             180            182,700
Page Total


                                                                   Page 18 of 73




-------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
   Name of                  Title of      Cusip        Fair Market       Shares            Sole         Shared as        Shared
   Issuer                    Class        Number          Value         Prin Amt                         Defined         Other

-------------------------------------------------------------------------------------------------------------------------------
                                                                                                    

COSINE COMMUNICATION          COM         22122210         228,322        617,089         617,089

COST PLUS INC CALIF           COM         22148510       3,351,140        182,524         182,484              40

COSTCO WHSL CORP NEW          COM         22160K10     336,790,893      9,471,060       9,436,363          30,681         4,016

COSTAR GROUP INC              COM         22160N10       2,050,538        114,109         114,109

COUNTRYWIDE CR INDS           COM         22237210     120,858,678      2,751,165       2,746,795           4,270           100

COUSINS PPTYS INC             COM         22279510      12,111,239        489,343         489,343

COVANTA ENERGY CORP           COM         22281N10       8,154,450        698,155         697,705             450

COVANSYS CORP                 COM         22281W10       1,603,230        183,436         183,436

COVANCE INC                   COM         22281610      16,151,685        901,825         852,910          48,915

COVENANT TRANS INC            CL A        22284P10         422,454         44,942          44,942

COVENTRY HEALTH CARE          COM         22286210      25,872,986      1,096,313       1,095,573             640           100

COX COMMUNICATIONS I          CL A        22404410      88,073,754      2,109,551       2,097,713           6,970         4,868

COX RADIO INC                 CL A        22405110       4,468,360        221,535         221,375             160

CRANE CO                      COM         22439910      40,473,285      1,846,409       1,836,196           4,980         5,233

CRAWFORD & CO                 CL B        22463310       3,804,508        305,583         305,583

CREDENCE SYS CORP             COM         22530210      10,575,260        877,615         876,365           1,050           200

CREDIT ACCEP CORP MI          COM         22531010       1,308,343        149,696         149,696

CREE INC                      COM         22544710       6,627,558        448,414         446,894           1,420           100

CRESCENT REAL ESTATE          COM         22575610      24,080,349      1,122,627       1,121,267           1,360

CRESTLINE CAP CORP            COM         22615310       3,359,292        118,913         118,873              40

CROMPTON CORP                 COM         22711610       9,284,488      1,339,753       1,333,477           3,790         2,486

CROSSMANN CMNTYS INC          COM         22764E10       2,438,197         92,813          92,813

CROSSROADS SYS INC            COM         22765D10         432,323        131,007         129,207           1,800

CROWN AMERN RLTY TR           SH BEN INT  22818610       2,124,355        299,205         299,205

CROWN CASTLE INTL CO          COM         22822710      11,190,600      1,243,400       1,240,940           2,260           200

CROWN CORK & SEAL IN          COM         22825510       2,457,522      1,073,154       1,070,374           2,780

CROWN MEDIA HLDGS IN          CL A        22841110       1,490,749        145,439         145,359                            80

CRYOLIFE INC                  COM         22890310       5,071,858        134,854         134,854

CUBIC CORP                    COM         22966910       1,733,694         50,252          50,252

CUBIST PHARMACEUTICA          COM         22967810       8,441,846        257,609         253,409           4,200

CULLEN FROST BANKERS          COM         22989910       9,930,589        368,482         367,482             900           100

CUMMINS INC                   COM         23102110      40,318,443      1,221,771       1,220,491           1,280

CUMULUS MEDIA INC             CL A        23108210       2,044,481        294,170         286,170           8,000

CURAGEN CORP                  COM         23126R10       4,818,631        249,670         248,870             500           300

CURIS INC                     COM         23126910       1,048,593        299,598         239,598                        60,000

CURTISS WRIGHT CORP           COM         23156110       2,215,736         47,548          47,548

CYBERONICS INC                COM         23251P10       2,631,778        166,991         163,431           3,560

CYBEROPTICS CORP              COM         23251710         451,800         51,341          51,341

CYGNUS INC                    COM         23256010       1,353,510        243,000         241,000                         2,000

CYMER INC                     COM         23257210       4,588,093        273,916         273,456             360           100

CYPRESS SEMICONDUCTO          COM         23280610      20,726,668      1,394,796       1,389,966           4,610           220

CYTEC INDS INC                COM         23282010      11,624,355        502,132         483,952             680        17,500

CYTOGEN CORP                  COM         23282410       1,847,988        684,440         683,440           1,000

CYTYC CORP                    COM         23294610      19,370,090        722,495         713,875           8,520           100

Page Total                                             878,002,711
-------------------------------------------------------------------------------------------------------------------------------


----------------------------------------
     Voting Authority
   Sole          Shared          None

----------------------------------------
                       
   562,789                        54,300

   167,624                        14,900

 8,163,490       138,517       1,169,053

   105,509                         8,600

 2,437,868        45,230         268,067

   467,243                        22,100

   665,455                        32,700

   169,236                        14,200

   862,925                        38,900

    43,542                         1,400

 1,058,513           100          37,700

 1,723,453        17,968         368,130

   196,135         4,400          21,000

 1,706,869        38,962         100,578

   279,083                        26,500

   843,015           200          34,400

   143,096                         6,600

   396,814         6,200          45,400

 1,012,751         5,600         104,276

   110,613                         8,300

 1,263,867         2,486          73,400

    88,313                         4,500

   129,907                         1,100

   295,205                         4,000

 1,112,300        12,400         118,700

   955,091                       118,063

   138,959            80           6,400

   124,054                        10,800

    46,852                         3,400

   240,409                        17,200

   327,856         5,100          35,526

 1,125,827        11,418          84,526

   271,970                        22,200

   220,170         4,200          25,300

   219,998        60,000          19,600

    44,848                         2,700

   154,491                        12,500

    51,341

   225,300         2,000          15,700

   254,716           100          19,100

 1,302,176         7,820          84,800

   459,132        17,500          25,500

   631,440                        53,000

   643,395         7,500          71,600
----------------------------------------


                                                                   Page 19 of 73




----------------------------------------------------------------------------------------------------------
                                                                            Investment Discretion
    Name of              Title of      Cusip      Fair Market     Shares       Sole     Shared as  Shared
    Issuer                Class        Number        Value       Prin Amt               Defined    Other

----------------------------------------------------------------------------------------------------------
                                                                              

DDI CORP                    COM        23316210      3,529,379     450,176     450,176

DMC STRATEX NETWORKS        COM        23322L10      3,533,898     684,864     681,114      3,650      100

DQE INC                     COM        23329J10     15,541,706     807,781     805,331      1,350    1,100

DPL INC                     COM        23329310     36,606,415   1,505,198   1,496,763      7,685      750

DRS TECHNOLOGIES INC        COM        23330X10      4,940,407     142,170     142,070                 100

D R HORTON INC              COM        23331A10      8,368,593     401,179     399,546      1,633

DSP GROUP INC               COM        23332B10      6,669,883     334,330     333,330        800      200

DST SYS INC DEL             COM        23332610     50,437,241   1,166,179   1,131,835      1,440   32,904

DTE ENERGY CO               COM        23333110    150,061,881   3,485,758   3,480,556      4,308      894

DVI INC                     COM        23334310      3,842,849     226,183     205,183     21,000

DAISYTEK INTL CORP          COM        23405310      1,602,455     141,310     141,270                  40

DAL-TILE INTL INC           COM        23426R10      7,580,082     492,533     491,363      1,170

DAKTRONICS INC              COM        23426410      1,051,397     119,477     119,477

DANA CORP                   COM        23581110     54,245,022   3,477,245   3,454,947     17,577    4,721

DANAHER CORP DEL            COM        23585110    131,112,229   2,778,979   2,757,724     20,805      450

DARDEN RESTAURANTS I        COM        23719410     68,809,833   2,621,327   2,613,062      4,965    3,300

DATASCOPE CORP              COM        23811310      5,912,011     152,450     151,950        500

DATASTREAM SYS INC          COM        23812410        450,708     150,236     150,236

DAVITA INC                  COM        23918K10     37,483,824   1,841,957   1,840,997        860      100

DEAN FOODS CO               COM        24236110     24,769,280     535,552     534,972        380      200

DEB SHOPS INC               COM        24272810        706,676      34,338      34,338

DECODE GENETICS INC         COM        24358610      1,462,709     237,068     237,068

DEERE & CO                  COM        24419910    182,195,627   4,844,340   4,830,880     11,105    2,355

DEL MONTE FOODS CO          COM        24522P10      1,835,834     238,420     236,080      2,340

DELIAS CORP                 CL A       24688Q10      1,192,635     223,340     222,483        857

DELL COMPUTER CORP          COM        24702510  1,049,070,372  56,614,699  55,766,788    714,286  133,625

DELPHI AUTOMOTIVE SY        COM        24712610    752,859,359  64,073,137  64,038,908     28,917    5,312

DELPHI FINL GROUP IN        CL A       24713110      4,429,929     131,063     116,727        300   14,036

DELTA & PINE LD CO          COM        24735710      6,356,140     374,331     374,051        280

DELTA AIR LINES INC         COM        24736110     67,701,144   2,571,255   2,566,935      4,120      200

DELTAGEN INC                COM        24783R10        596,036      84,305      84,305

DELTIC TIMBER CORP          COM        24785010      2,224,021      87,906      87,906

DENBURY RES INC             COM NEW    24791620      1,377,549     166,170     166,170

DELUXE CORP                 COM        24801910     71,293,012   2,064,071   2,044,831      7,650   11,590

DENDREON CORP               COM        24823Q10      1,063,528     125,121     125,021                 100

DENDRITE INTL INC           COM        24823910      3,088,461     388,975     388,915         60

DENTSPLY INTL INC NE        COM        24903010     31,585,403     687,536     675,696      1,640   10,200

DEUTSCHE TELEKOM AG         SPONSORED  25156610      4,510,624     291,008     285,790      5,218

DEVELOPERS DIVERSIFI        COM        25159110     15,257,141     849,980     849,980

DEVON ENERGY CORP NE        COM        25179M10     89,769,517   2,609,579   2,598,931      5,628    5,020

DEVRY INC DEL               COM        25189310     24,396,850     679,578     677,958      1,320      300

DIAGEO P L C                SPON ADR N 25243Q20     14,595,342     351,695      83,974    267,721

DIAGNOSTIC PRODS COR        COM        25245010     10,303,368     244,040     241,440               2,600

DIAL CORP NEW               COM        25247D10     21,690,413   1,310,599   1,295,824     14,475      300

Page Total                                       2,976,110,783
----------------------------------------------------------------------------------------------------------


----------------------------------------------
      Voting Authority
  Sole            Shared            None
----------------------------------------------
                       
     424,376                         25,800

     638,864               100       45,900

     610,691           152,390       44,700

   1,413,748             9,150       82,300

     134,670               100        7,400

     358,139             5,300       37,740

     316,630               200       17,500

   1,062,485            37,404       66,290

   3,028,917            67,806      389,035

     219,983                          6,200

     130,270                40       11,000

     456,233                         36,300

     111,077                          8,400

   3,039,373            43,031      394,841

   2,478,142            41,603      259,234

   2,271,526            44,707      305,094

     144,050                          8,400

     140,136                         10,100

   1,774,957             8,000       59,000

     512,752               200       22,600

      34,338

     218,068                         19,000

   4,178,020            57,208      609,112

     222,920                         15,500

     206,540                         16,800

  48,097,497         1,866,722    6,650,480

   9,859,838        52,758,842    1,454,457

     105,627            14,036       11,400

     353,831                         20,500

   2,245,810            42,858      282,587

      84,305

      81,506                          6,400

     155,870                         10,300

   1,852,661            59,016      152,394

     115,521               100        9,500

     368,675                         20,300

     644,071            13,100       30,365

     285,704                          5,304

     816,880                         33,100

   2,282,181            43,798      283,600

     614,978             3,900       60,700

     342,035                          9,660

     228,240             2,600       13,200

   1,255,499               300       54,800

----------------------------------------------


                                                                   Page 20 of 73




---------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
    Name of                Title of        Cusip         Fair Market       Shares         Sole        Shared as      Shared
    Issuer                   Class         Number           Value         Prin Amt                     Defined       Other

---------------------------------------------------------------------------------------------------------------------------
                                                                                              

DIAMOND OFFSHORE DRI         COM           25271C10       10,411,850       412,841       405,571         5,030        2,240

DIAMONDCLUSTER INTL          CL A          25278P10        2,167,453       220,046       216,046                      4,000

DIANON SYS INC               COM           25282610        2,342,030        46,654        46,654

DIEBOLD INC                  COM           25365110       35,015,728       919,048       905,979         2,645       10,424

DIGENE CORP                  COM           25375210        2,347,250        93,890        93,890

DIGEX INC DEL                CL A          25375610        3,483,813     1,043,058       806,458       205,890       30,710

DIGIMARC CORP                COM           25380710        1,166,842        84,738        84,738

DIGITAL INSIGHT CORP         COM           25385P10        2,521,639       219,273       219,253            20

DIGITAL LIGHTWAVE IN         COM           25385510        1,138,862       116,092       115,432           560          100

DIGITAL RIV INC              COM           25388B10          258,470        34,694        34,694

DIGITAS INC                  COM           25388K10          288,771       125,553        93,253        30,300        2,000

DIGITALTHINK INC             COM           25388M10        1,296,197       167,684       167,684

DIGITAL GENERATION S         COM           25392110          335,398       236,196       236,196

DIME CMNTY BANCSHARE         COM           25392210        5,614,507       221,742       221,742

DILLARDS INC                 CL A          25406710       27,963,492     2,123,272     2,121,232         1,940          100

DIME BANCORP INC NEW         COM           25429Q10       42,626,300     1,084,087     1,076,127         7,860          100

DIMON INC                    COM           25439410        1,825,285       317,441       317,441

DIONEX CORP                  COM           25454610        4,764,360       188,912       188,772            40          100

DISCOUNT AUTO PTS IN         COM           25464210          903,555        65,475        65,475

DISNEY WALT CO               COM DISNEY    25468710      932,332,112    50,071,542    47,071,221     1,971,809    1,028,512

DISTRIBUCION Y SERVI         SPONSORED     25475310          264,443        23,611        23,611

DIRECT FOCUS INC             COM           25493110       15,319,537       769,826       769,144           682

DITECH COMMUNICATION         COM           25500M10        1,304,780       310,662       218,726        91,936

DIVERSA CORP                 COM           25506410        2,010,829       213,918       213,911             7

DIVINE INC                   CL A          25540210          428,906       691,785       691,785

DOBSON COMMUNICATION         CL A          25606910        2,229,534       215,414       215,194           220

DOCENT INC                   COM           25608L10          612,494       295,891       295,891

DOCUMENTUM INC               COM           25615910        2,625,304       320,550       314,330            20        6,200

DOLE FOOD INC                COM           25660510       19,632,167       917,391       915,891           800          700

DOLLAR GEN CORP              COM           25666910       70,308,587     6,009,281     6,001,512         7,272          497

DOLLAR THRIFTY AUTOM         COM           25674310        2,800,696       281,477       281,237           240

DOLLAR TREE STORES I         COM           25674710       20,543,309     1,087,523     1,085,653         1,620          250

DOMINION RES INC VA          COM           25746U10      300,282,215     5,059,515     4,991,139        37,690       30,686

DONALDSON INC                COM           25765110       15,684,881       544,236       540,856         3,380

DONNA KARAN INTL INC         COM           25782610          217,614        21,546        21,546

DONNELLEY R R & SONS         COM           25786710       69,602,003     2,573,087     2,566,142         6,785          160

DORAL FINL CORP              COM           25811P10       13,416,225       345,779       345,779

DOUBLECLICK INC              COM           25860930        4,912,824       861,899       856,899         4,900          100

DOVER CORP                   COM           26000310      136,072,479     4,519,179     4,424,019        17,508       77,652

DOVER DOWNS ENTMT IN         COM           26008610        1,861,493       150,363       150,363

DOW CHEM CO                  COM           26054310    1,282,648,021    39,152,870    19,113,727    19,949,916       89,227

DOW JONES & CO INC           COM           26056110      226,957,967     4,995,773     1,692,227        52,296    3,251,250

DOWNEY FINL CORP             COM           26101810       16,470,948       373,237       373,237

DRESS BARN INC               COM           26157010        2,886,779       129,452       129,412            40

Page Total                                             3,287,897,949
---------------------------------------------------------------------------------------------------------------------------

---------------------------------------
     Voting Authority
   Sole            Shared        None

---------------------------------------
                       
   363,501          5,640        43,700

   202,646          4,000        13,400

    41,354                        5,300

   857,024         14,924        47,100

    86,190                        7,700

   997,448         30,710        14,900

    78,038                        6,700

   204,573                       14,700

   108,592            100         7,400

    34,394                          300

   123,553          2,000

   155,584                       12,100

   236,196

   213,042                        8,700

 1,917,686         16,600       188,986

   988,187          5,600        90,300

   317,441

   167,612            100        21,200

    65,475

42,810,817      1,697,678     5,563,047

     4,361         19,250

   750,251                       19,575

   293,662                       17,000

   196,918                       17,000

   631,885                       59,900

   197,114                       18,300

   273,191                       22,700

   297,150          6,200        17,200

   885,991            700        30,700

 5,161,527        219,554       628,200

   264,277                       17,200

 1,020,173          6,550        60,800

 4,380,979        105,763       572,773

   505,436                       38,800

    21,546

 2,206,418         45,218       321,451

   323,579                       22,200

   783,199         11,400        67,300

 3,822,336        145,459       551,384

   142,563                        7,800

16,910,555     20,208,413     2,033,902

 1,510,746      3,305,943       179,084

   355,537          2,600        15,100

   118,952                       10,500

Page Total
---------------------------------------


                                                                   Page 21 of 73




----------------------------------------------------------------------------------------------------------------------
                                                                                      Investment Discretion
   Name of                          Title of      Cusip     Fair Market     Shares       Sole     Shared as   Shared
   Issuer                            Class        Number       Value       Prin Amt                Defined    Other

----------------------------------------------------------------------------------------------------------------------
                                                                                         

DREXLER TECHNOLOGY C                COM          26187610        324,725      20,950       5,900         950   14,100

DREYERS GRAND ICE CR                COM          26187810     11,313,202     389,439     350,639      33,390    5,410

DRIL-QUIP INC                       COM          26203710      1,153,324      74,408      74,008         400

DU PONT E I DE NEMOU                COM          26353410  1,282,412,776  34,179,445  33,508,722     351,166  319,557

DUANE READE INC                     COM          26357810      2,758,560      91,952      91,532         320      100

DUKE ENERGY CORP                    COM          26439910  2,442,375,488  64,527,754  16,761,271  47,541,909  224,574

DUKE REALTY CORP                    COM NEW      26441150     32,140,104   1,356,695   1,354,665       2,030

DUN & BRADSTREET COR                COM          26483E10     26,362,728     941,526     929,600      10,101    1,825

DURA AUTOMOTIVE SYST                CL A         26590310        974,664     135,370     135,370

DUPONT PHOTOMASKS IN                COM          26613X10      1,520,454      54,732      54,732

DURAMED PHARMACEUTIC                COM          26635410      3,662,853     180,971     180,971

DURECT CORP                         COM          26660510      1,664,650     171,968     171,968

DUSA PHARMACEUTICALS                COM          26689810      1,115,990     108,771     108,771

DURASWITCH INDUSTRIE                COM NEW      26690520        276,602      27,550      27,550

DYAX CORP                           COM          26746E10      1,515,871     157,575     154,430       3,145

DYCOM INDS INC                      COM          26747510     15,083,770   1,300,325   1,299,325       1,000

DYNACQ INTL INC                     COM PAR $.   26791930        522,219      34,699      34,699

DYNEGY INC NEW                      CL A         26816Q10    210,630,177   6,078,793   6,069,723       7,010    2,060

EDP-ELECTRICIDADE DE                SPONSORED    26835310        876,947      33,664      33,664

EEX CORP                            COM NEW      26842V20        744,891     532,065     282,065     250,000

EGL INC                             COM          26848410      3,859,700     435,141     435,101          40

E M C CORP MASS                     COM          26864810    603,003,220  51,319,423  48,225,998   2,276,431  816,994

EMC INS GROUP INC                   COM          26866410        286,517      18,485      18,485

ENSCO INTL INC                      COM          26874Q10     24,563,690   1,680,143   1,677,223       2,620      300

ENI S P A                           SPONSORED    26874R10      3,587,303      58,712      58,712

EOG RES INC                         COM          26875P10     67,421,393   2,330,501   2,238,351      62,770   29,380

E ON AG                             SPONSORED    26878010      2,415,822      47,138      47,138

E PIPHANY INC                       COM          26881V10      2,507,198     589,929     587,739       2,090      100

EPIQ SYS INC                        COM          26882D10      1,977,372      77,544      77,544

ESS TECHNOLOGY INC                  COM          26915110      4,021,242     393,468     393,368         100

E TRADE GROUP INC                   COM          26924610     16,798,200   2,776,562   2,765,802       8,300    2,460

EARTHSHELL CORP                     COM          27032B10        825,624     375,284     372,784                2,500

EARTHLINK INC                       COM          27032110     11,892,254     780,844     774,514       3,000    3,330

EAST WEST BANCORP IN                COM          27579R10      6,248,685     267,152     267,152

EASTGROUP PPTY INC                  COM          27727610      3,745,119     171,010     171,010

EASTMAN CHEM CO                     COM          27743210     65,098,169   1,793,338   1,790,280       1,278    1,780

EASTMAN KODAK CO                    COM          27746110    272,704,877   8,383,181   8,333,963      17,499   31,719

EATON CORP                          COM          27805810     89,476,908   1,511,179   1,436,790      74,289      100

EATON VANCE CORP                    COM NON VT   27826510     20,677,111     659,557     659,117         400       40

EBAY INC                            COM          27864210     55,448,268   1,211,984   1,209,358       2,526      100

ECHELON CORP                        COM          27874N10      2,558,325     204,994     203,684       1,310

ECHOSTAR COMMUNICATI                CL A         27876210     31,148,616   1,338,574   1,335,914       2,560      100

ECLIPSYS CORP                       COM          27885610      5,008,553     376,583     374,783       1,760       40

ECOLAB INC                          COM          27886510    130,016,060   3,578,752   3,099,190     389,888   89,674

Page Total                                                 5,462,720,221
----------------------------------------------------------------------------------------------------------------------


----------------------------------------
     Voting Authority
   Sole          Shared          None

----------------------------------------
                       
     6,850         14,100

   372,729          5,410        11,300

    70,508                        3,900

31,113,784        647,585     2,418,076

    86,852            100         5,000

15,374,947     47,323,498     1,829,309

 1,267,395          8,400        80,900

   871,576          6,965        62,985

   132,970                        2,400

    50,532                        4,200

   167,771                       13,200

   160,168                       11,800

    98,971                        9,800

    27,550

   145,575                       12,000

 1,274,025                       26,300

    34,699

 5,398,643         98,369       581,781

    33,664

   526,665                        5,400

   416,941                       18,200

43,116,072      2,311,855     5,891,496

    18,485

 1,570,443          9,300       100,400

    58,712

 2,026,874         66,249       237,378

    47,138

   547,279            100        42,550

    76,344                        1,200

   373,968                       19,500

 2,593,002         24,560       159,000

   366,784          2,500         6,000

   725,414         10,830        44,600

   245,952                       21,200

   159,610                       11,400

 1,621,882         25,426       146,030

 7,566,838        135,435       680,908

 1,263,242         89,733       158,204

   616,443          5,640        37,474

   983,806          9,700       218,478

   191,894                       13,100

 1,169,417         14,500       154,657

   349,593             40        26,950

 3,127,633        182,548       268,571

----------------------------------------


                                                                   Page 22 of 73





------------------------------------------------------------------------------------------------------------------
                                                                                    Investment Discretion
     Name of                      Title of      Cusip     Fair Market     Shares       Sole     Shared as  Shared
     Issuer                         Class       Number       Value       Prin Amt                Defined    Other

------------------------------------------------------------------------------------------------------------------
                                                                                      

EDEN BIOSCIENCE CORP                COM        27944510      1,357,548     178,156     178,056        100

EDISON INTL                         COM        28102010    387,674,741  29,458,567  29,448,457      9,270      840

EDISON SCHOOLS INC                  CL A       28103310      6,496,473     430,230     357,860     62,220   10,150

EDO CORP                            COM        28134710      2,015,058      70,089      70,089

EDUCATION MGMT CORP                 COM        28139T10      5,479,494     180,484     180,484

J D EDWARDS & CO                    COM        28166710      6,029,992     846,909     845,909        900      100

EDWARDS LIFESCIENCES                COM        28176E10     51,167,401   2,284,259   1,090,644  1,193,075      540

EDWARDS AG INC                      COM        28176010     33,607,923     957,218     937,500     18,525    1,193

EFUNDS CORP                         COM        28224R10      6,906,053     414,778     405,497      2,891    6,390

EL PASO CORP                        COM        28336L10    445,330,074  10,717,932  10,595,858     77,335   44,739

EL PASO ELEC CO                     COM NEW    28367785     10,455,486     795,094     794,574        520

ELAN PLC                            ADR        28413120     26,680,252     550,676     255,086    295,590

ELANTEC SEMICONDUCTO                COM        28415510      6,146,560     267,824     267,624        200

ELCOR CORP                          COM        28444310      4,040,212     187,655     187,555        100

ELECTRO RENT CORP                   COM        28521810      1,649,198     130,785     130,785

ELECTRO SCIENTIFIC I                COM        28522910      8,449,652     384,950     384,490        460

ELECTROGLAS INC                     COM        28532410      2,314,766     185,925     185,925

ELECTRONIC ARTS INC                 COM        28551210     74,348,887   1,627,959   1,624,984      2,440      535

ELECTRONIC DATA SYS                 COM        28566110    795,711,493  13,819,234  13,787,487     26,895    4,852

ELECTRONICS BOUTIQUE                COM        28604510      2,267,007      84,119      84,119

ELECTRONICS FOR IMAG                COM        28608210     28,172,947   1,730,525   1,728,975      1,450      100

ELIZABETH ARDEN INC                 COM        28660G10      1,017,909      79,711      79,711

ELSEVIER N V                        SPON ADR N 29025910      1,054,973      45,473      45,473

EMBARCADERO TECHNOLO                COM        29078710        635,203      80,712      80,712

EMBOTELLADORA ANDINA                SPON ADR A 29081P20        268,095      26,054      26,054

EMCOR GROUP INC                     COM        29084Q10      2,808,890      88,053      88,053

EMCORE CORP                         COM        29084610      1,759,747     205,578     205,338        240

EMERSON ELEC CO                     COM        29101110    471,193,708  10,012,616   8,962,529    682,721  367,366

EMEX CORP                           COM        29120610        506,714      77,361      77,361

EMISPHERE TECHNOLOGI                COM        29134510      2,519,939     131,934     131,634        300

EMMIS COMMUNICATIONS                CL A       29152510      5,344,311     370,618     370,198        320      100

EMPIRE DIST ELEC CO                 COM        29164110      3,795,215     184,682     183,782        800      100

EMPRESA NACIONAL DE                 SPONSORED  29244T10        416,138      48,053      48,053

EMULEX CORP                         COM NEW    29247520      7,225,393     759,768     671,950     74,748   13,070

ENCOMPASS SVCS CORP                 COM        29255U10      2,018,236     533,925     533,765        160

ENCORE ACQUISITION C                COM        29255W10        848,700      56,580      56,580

ENCORE WIRE CORP                    COM        29256210      1,383,940     106,868     106,868

ENDESA S A                          SPONSORED  29258N10      8,012,312     522,315     158,833    363,482

ENDO PHARMACEUTICALS                COM        29264F20      2,099,312     193,485     193,485

ENDOCARE INC                        COM        29264P10      1,696,927      96,691      96,591                 100

ENERGEN CORP                        COM        29265N10      7,316,482     325,177     324,977        200

ENEL SOCIETA PER AZI                ADR        29265W10      1,683,029      57,638      57,638

ENERGY CONVERSION DE                COM        29265910      2,195,775     133,563     133,563

ENERGY EAST CORP                    COM        29266M10     29,019,252   1,443,026   1,438,323      4,703

Page Total                                               2,461,121,417
------------------------------------------------------------------------------------------------------------------


---------------------------------------------
       Voting Authority
    Sole           Shared            None

---------------------------------------------
                       
    165,756                          12,400

  5,910,506        22,799,520       748,541

    404,580            10,150        15,500

     64,889                           5,200

    166,884                          13,600

    785,409               100        61,400

  1,053,882         1,192,237        38,140

    869,438             6,393        81,387

    379,468             6,390        28,920

  9,165,371           201,414     1,351,147

    758,894                          36,200

    541,276                           9,400

    254,724                          13,100

    173,255                          14,400

    121,785                           9,000

    367,650                          17,300

    170,225                          15,700

  1,459,817             9,135       159,007

  8,619,681         3,911,080     1,288,473

     80,619                           3,500

  1,682,325               100        48,100

     73,911                           5,800

     24,858            20,615

     75,112                           5,600

      3,134            22,920

     82,453                           5,600

    189,878                          15,700

  8,391,578           503,114     1,117,924

     77,361

    121,534                          10,400

    336,018             3,600        31,000

    172,582               100        12,000

     12,993            35,060

    688,198            20,470        51,100

    486,925                          47,000

     53,680                           2,900

     98,668                           8,200

    516,115                           6,200

    189,985                           3,500

     89,391               100         7,200

    298,277                          26,900

     57,638

    125,663                           7,900

  1,360,926             7,500        74,600

Page Total
---------------------------------------------


                                                                   Page 23 of 73




----------------------------------------------------------------------------------------------------------------
                                                                                 Investment Discretion
   Name of              Title of        Cusip      Fair Market      Shares        Sole       Shared as    Shared
   Issuer                Class          Number        Value        Prin Amt                   Defined     Other

----------------------------------------------------------------------------------------------------------------
                                                                                    
ENERGIZER HLDGS INC      COM          29266R10     19,418,359    1,168,373     1,166,223       1,285       865

ENERGY PARTNERS LTD      COM          29270U10      1,292,347      185,150       185,150

ENERSIS S A              SPONSORED    29274F10        464,789       37,973        37,973

ENGELHARD CORP           COM          29284510     61,109,248    2,645,422     2,642,297       3,125

ENGINEERED SUPPORT S     COM          29286610      7,717,429      163,852       163,852

ENESCO GROUP INC         COM          29297310        237,313       57,184        57,184

ENRON CORP               COM          29356110    439,563,270   16,142,610    15,865,957     184,021    92,632

ENTEGRIS INC             COM          29362U10      4,937,681      625,023       625,023

ENTERASYS NETWORKS I     COM          29363710     13,200,628    2,046,609     2,039,394       6,995       220

ENTERCOM COMMUNICATI     CL A         29363910     11,934,340      351,010       350,490         320       200

ENTERGY CORP NEW         COM          29364G10    181,272,149    5,097,642     5,090,426       3,973     3,243

ENTERPRISE PRODS PAR     COM          29379210      1,517,019       32,765        32,765

ENTERTAINMENT PPTYS      COM SH BEN   29380T10      2,644,292      156,467       156,467

ENTREMED INC             COM          29382F10      1,223,943      142,319       134,019       5,500     2,800

ENTRAVISION COMMUNIC     CL A         29382R10      2,198,205      257,100       254,100       3,000

ENTRUST INC              COM          29384810      1,174,171      411,990       411,700         190       100

ENZON INC                COM          29390410     17,960,823      352,173       313,108      33,345     5,720

ENZO BIOCHEM INC         COM          29410010      3,499,170      206,319       195,399       9,720     1,200

EOTT ENERGY PARTNERS     UNIT LTD P   29410310        306,900       15,500                    15,500

EQUIFAX INC              COM          29442910     65,513,871    2,991,501     2,977,234       8,267     6,000

EQUITABLE RES INC        COM          29454910     22,411,648      746,806       740,962       1,020     4,824

EQUITY INNS INC          COM          29470310      3,431,283      477,230       477,230

EQUITY OFFICE PROPER     COM          29474110    172,616,832    5,394,276     5,226,776     167,500

EQUITY ONE               COM          29475210        218,579       18,682        18,682

EQUITY RESIDENTIAL P     SH BEN INT   29476L10     97,859,303    1,675,673     1,604,768      70,905

ERICSSON L M TEL CO      ADR CL B S   29482140     16,474,398    4,720,458     1,207,077   3,513,381

ERIE INDTY CO            CL A         29530P10      8,583,378      217,026       216,386         640

ESCO TECHNOLOGIES IN     COM          29631510      3,442,624      138,258       138,258

ESPERION THERAPEUTIC     COM          29664R10      1,270,940      170,596       170,596

ESPEED INC               CL A         29664310      1,048,433      123,636       123,336                   300

ESSEX PPTY TR INC        COM          29717810     15,119,804      307,939       280,664      27,275

ESTERLINE TECHNOLOGI     COM          29742510      5,687,582      358,838       358,798          40

ETHAN ALLEN INTERIOR     COM          29760210      7,693,372      279,759       279,179         480       100

EVERGREEN RES INC        COM NO PAR   29990030      4,805,894      141,558       141,558

EXACT SCIENCES CORP      COM          30063P10        352,833       38,103        37,903         200

EXAR CORP                COM          30064510      5,758,270      332,848       332,108         740

EXCEL TECHNOLOGY INC     COM          30067T10      1,175,062       74,702        74,592         110

EXE TECHNOLOGIES INC     COM          30150410        454,950      223,015       223,015

EXELON CORP              COM          30161N10    316,300,747    7,091,945     7,049,518      39,847     2,580

EXELIXIS INC             COM          30161Q10      3,386,945      295,545       295,445                   100

EXFO ELECTRO OPTICAL     SUB VTG SH   30204310      1,442,565      160,285       100,700      59,585

EXIDE TECHNOLOGIES       COM          30205110        837,205      222,661       222,661

EXODUS COMMUNICATION     COM          30208810        602,161    3,542,126     3,524,884      15,822     1,420

EXPEDIA INC              COM          30212510      2,781,982      114,532       114,332         100       100

Page Total                                      1,530,942,737
----------------------------------------------------------------------------------------------------------------


-------------------------------------------
       Voting Authority
     Sole          Shared           None

-------------------------------------------
                       
  1,104,175         6,665           57,533

    171,550                         13,600

      6,465        31,508

  2,348,914        39,581          256,927

    159,752                          4,100

     53,284                          3,900

 13,835,609       311,846        1,995,155

    600,523                         24,500

  1,897,202        13,710          135,697

    331,610         1,800           17,600

  4,493,917        79,098          524,627

     32,765

    147,167                          9,300

    129,419         2,800           10,100

    232,900                         24,200

    384,790           100           27,100

    317,392         8,420           26,361

    189,789         1,200           15,330

     15,500

  2,565,710       104,821          320,970

    674,280         8,924           63,602

    454,030                         23,200

  4,846,876        28,425          518,975

     18,682

  1,506,145         9,100          160,428

  4,639,358                         81,100

    202,626         1,900           12,500

    130,263                          7,995

    157,996                         12,600

    117,236           300            6,100

    299,039                          8,900

    346,538                         12,300

    258,059         2,300           19,400

    130,358                         11,200

     38,103

    309,448                         23,400

     67,802                          6,900

    203,815                         19,200

  6,181,047       115,809          795,089

    274,345           100           21,100

    160,285

    208,261                         14,400

  2,951,059        44,120          546,947

    109,232           100            5,200
-------------------------------------------


                                                                   Page 24 of 73




------------------------------------------------------------------------------------------------------------
                                                                            Investment Discretion
    Name of          Title of    Cusip     Fair Market      Shares        Sole      Shared as   Shared
    Issuer            Class      Number       Value        Prin Amt                  Defined    Other

------------------------------------------------------------------------------------------------------------
                                                                              

EXPEDITORS INTL WASH     COM        30213010      24,549,412      518,467      516,197      2,090        180

EXPRESS SCRIPTS INC      COM        30218210      49,223,514      889,796      888,896        700        200

EXTENDED STAY AMER I     COM        30224P10      10,450,885      722,245      719,125      3,040         80

EXTENSITY INC            COM        30225510         278,866       99,595       99,495        100

EXTREME NETWORKS INC     COM        30226D10       4,857,287      702,936      678,291     12,645     12,000

EXULT INC DEL            COM        30228410       5,500,741      470,551      470,451                   100

EXXON MOBIL CORP         COM        30231G10   6,138,818,218  155,807,569  148,009,263  4,095,427  3,702,879

F&M BANCORP MD           COM        30236710       2,564,063       97,865       97,865

FBL FINL GROUP INC       CL A       30239F10       1,913,854      114,465      114,465

FEI CO                   COM        30241L10       6,589,989      302,988      302,888                   100

FLIR SYS INC             COM        30244510       8,331,880      203,068      203,068

F M C CORP               COM NEW    30249130      38,548,222      786,859      785,949        860         50

FNB CORP PA              COM        30252010       6,002,340      229,535      226,053      3,482

FPL GROUP INC            COM        30257110     197,581,721    3,689,668    3,584,511     59,397     45,760

FSI INTL INC             COM        30263310       2,908,140      291,982      291,782        200

F Y I INC                COM        30271210       7,266,498      193,670      193,570                   100

FTI CONSULTING INC       COM        30294110       2,078,903       70,711       70,711

FACTORY 2-U INC          COM        30307210       1,574,482      112,463      112,143        320

FACTSET RESH SYS INC     COM        30307510       4,887,055      201,445      186,445                15,000

FAIR ISAAC & CO INC      COM        30325010       7,448,076      157,698      157,098        600

FAIRCHILD CORP           CL A       30369810         311,800       91,706       91,706

FAIRCHILD SEMICONDUC     CL A       30372610      10,971,426      683,578      681,178      2,400

FALCONSTOR SOFTWARE      COM        30613710         958,069      110,504      109,404      1,100

FAMILY DLR STORES IN     COM        30700010      84,313,079    3,063,702    3,054,482      5,620      3,600

FARMERS CAP BK CORP      COM        30956210       2,110,637       56,404       56,404

FASTENAL CO              COM        31190010      21,706,531      380,950      380,430        420        100

FEDDERS CORP             COM        31313510         947,688      242,997      242,997

FEDERAL AGRIC MTG CO     CL C       31314830       2,029,337       60,795       60,695                   100

FEDERAL HOME LN MTG      COM        31340030   1,022,435,505   15,729,777   15,208,777    419,984    101,016

FEDERAL MOGUL CORP       COM        31354910       8,059,038   12,398,521   12,398,521

FEDERAL NATL MTG ASS     COM        31358610   1,833,667,900   22,903,671   22,663,251    184,519     55,901

FEDERAL REALTY INVT      SH BEN INT 31374720       9,869,178      448,599      448,599

FEDERAL SIGNAL CORP      COM        31385510      11,437,405      648,379      636,059     12,120        200

FEDERATED DEPT STORE     COM        31410H10     130,825,891    4,639,216    4,627,081     11,295        840

FEDERATED INVS INC P     CL B       31421110      17,804,192      601,493      601,293        200

FEDEX CORP               COM        31428X10     235,737,799    6,414,634    6,326,543     15,571     72,520

FELCOR LODGING TR IN     COM        31430F10       7,398,414      550,068      549,668        400

FERRO CORP               COM        31540510       8,349,343      360,196      359,616        580

F5 NETWORKS INC          COM        31561610       1,780,729      191,889      191,889

FIAT S P A               SP ADR ORD 31562188         307,417       17,457       17,457

FIBERCORE INC            COM        31563B10         547,826      228,261      227,261      1,000

FIDELITY BANKSHARES      COM        31604Q10       1,699,895      127,333      127,333

FIDELITY NATL FINL I     COM        31632610      29,990,847    1,115,316    1,113,949      1,257        110

FIFTH THIRD BANCORP      COM        31677310     764,501,463   12,434,962   11,173,701    895,429    365,832

Page Total                                    10,729,135,555
------------------------------------------------------------------------------------------------------------


------------------------------------------------------
          Voting Authority
      Sole             Shared               None

------------------------------------------------------
                             
    484,307              3,180               30,980

    831,477              5,400               52,919

    678,965              4,380               38,900

     99,395                                     200

    608,630             21,600               72,706

    418,551              7,000               45,000

134,275,089          5,828,649           15,703,831

     90,865                                   7,000

    107,965                                   6,500

    292,788                100               10,100

    196,368                                   6,700

    730,251              7,702               48,906

    213,575                                  15,960

  3,173,742            103,547              412,379

    275,982                                  16,000

    184,220                100                9,350

     68,811                                   1,900

    103,563                                   8,900

    173,145             15,000               13,300

    145,848                                  11,850

     91,706

    615,478              5,600               62,500

    102,404                                   8,100

  2,691,289            109,700              262,713

     52,604                                   3,800

    348,950              3,100               28,900

    227,897                                  15,100

     55,695                100                5,000

 13,733,430            310,532            1,685,815

    526,688         11,827,233               44,600

 19,442,796            762,575            2,698,300

    426,399                                  22,200

    618,014                200               30,165

  4,166,391             64,396              408,429

    546,611              5,100               49,782

  5,457,958            161,415              795,261

    531,368                                  18,700

    342,496                                  17,700

    180,389                                  11,500

     17,457

    208,661                                  19,600

    117,533                                   9,800

  1,047,886              8,360               59,070

 10,395,624            747,095            1,292,243
----------------------------------------------------


                                                                   Page 25 of 73





------------------------------------------------------------------------------------------------------------------
                                                                                     Investment Discretion
   Name of                           Title of    Cusip     Fair Market     Shares       Sole     Shared as  Shared
   Issuer                             Class      Number       Value       Prin Amt                Defined   Other

------------------------------------------------------------------------------------------------------------------
                                                                                       

FILENET CORP                        COM         31686910      3,038,199     301,708     301,668         40

FINANCIAL FED CORP                  COM         31749210      4,824,270     196,909     196,909

FINANCIAL INSTNS INC                COM         31758540      1,440,270      61,445      61,445

FINISAR                             COM         31787A10      2,890,483     729,920     727,820      2,000     100

FINISH LINE INC                     CL A        31792310      1,441,997     132,903     132,903

FINOVA GROUP INC                    COM         31792810        486,353     434,244     434,244

FIRST AMERN CORP CAL                COM         31852230     16,684,886     823,945     823,445        500

FIRST BANCORP P R                   COM         31867210      4,879,316     188,682     188,582        100

FIRST BANCORP N C                   COM         31891010      1,244,040      51,835      50,935        900

FIRST BUSEY CORP                    COM         31938310      1,511,511      76,571      76,571

FIRST CHARTER CORP                  COM         31943910      4,396,874     268,922     268,922

FIRST CTZNS BANCSHAR                CLA         31946M10      4,683,929      56,304      56,304

FIRST COMWLTH FINL C                COM         31982910      6,218,687     499,493     499,493

FIRST CMNTY BANCSHAR                COM         31983A10      1,930,633      61,096      61,096

FIRST CMNTY BANCORP                 COM         31983B10        430,419      19,835      19,835

FIRST CONSULTING GRO                COM         31986R10      1,379,857     153,488     153,358        130

FIRST FED CAP CORP                  COM         31996010      2,044,518     137,216     137,216

FIRST DATA CORP                     COM         31996310    541,959,163   9,302,423   9,197,795     76,493  28,135

FIRST ESSEX BANCORP                 COM         32010310      1,241,021      47,277      46,277      1,000

FIRST FINL BANKSHARE                COM         32020R10      2,822,093      95,567      95,567

FIRST FINL BANCORP O                COM         32020910      5,081,882     327,652     324,947      2,705

FIRST FINL CORP IND                 COM         32021810      2,300,030      57,616      57,616

FIRST FINL HLDGS INC                COM         32023910      2,594,956     113,070     113,070

FIRST HORIZON PHARMA                COM         32051K10      2,420,685      92,996      91,496      1,500

FIRST INDUSTRIAL REA                COM         32054K10     15,154,890     505,163     505,163

FIRST IND CORP                      COM         32054R10      1,694,679      82,266      82,266

FIRST MERCHANTS CORP                COM         32081710      2,406,076     104,612     104,612

FIRST MIDWEST BANCOR                COM         32086710     12,086,720     357,807     357,787         20

FIRST HEALTH GROUP C                COM         32096010     28,015,210     953,547     951,347      2,000     200

FIRST NIAGARA FINL G                COM         33582U10      1,493,097      94,083      94,083

FIRST PL FINL CORP                  COM         33610T10      1,793,125     125,569     125,569

FIRST REP BK SAN FRA                COM         33615810      2,170,129      94,559      94,559

FIRST SENTINEL BANCO                COM         33640T10      2,718,870     231,000     231,000

1ST SOURCE CORP                     COM         33690110      2,647,768     123,152     123,152

FIRST TENN NATL CORP                COM         33716210     54,499,631   1,472,963   1,463,023      8,440   1,500

FIRST UN REAL EST EQ                SH BEN INT  33740010        298,226     117,412     117,412

FIRST VA BANKS INC                  COM         33747710     25,572,842     558,359     554,609      3,450     300

FISERV INC                          COM         33773810    174,989,601   5,116,655   5,109,800      6,555     300

FISHER COMMUNICATION                COM         33775620      1,592,656      30,628      30,628

FIRSTFED FINL CORP                  COM         33790710      9,292,452     357,402     357,302        100

FIRSTMERIT CORP                     COM         33791510     22,192,809     945,582     909,502     35,680     400

FLAGSTAR BANCORP INC                COM         33793010      4,595,768     198,951     197,301      1,650

FIRSTENERGY CORP                    COM         33793210    648,240,046  18,031,712  18,005,600     23,645   2,467

FISHER SCIENTIFIC IN                COM NEW     33803220     19,444,258     765,522     764,822        600     100

Page Total                                                1,648,844,925
------------------------------------------------------------------------------------------------------------------


-----------------------------------------------------
      Voting Authority
  Sole                Shared                   None

-----------------------------------------------------
                           
  279,608                                      22,100

  190,409                                       6,500

   59,845                                       1,600

  647,020              9,300                   73,600

  122,103                                      10,800

  434,144                                         100

  781,945                                      42,000

  174,182                                      14,500

   50,635                                       1,200

   70,771                                       5,800

  247,522                                      21,400

   52,204                                       4,100

  460,493                                      39,000

   56,096                                       5,000

   19,835

  142,188                                      11,300

  127,816                                       9,400

8,021,697              303,067                977,659

   45,977                                       1,300

   88,817                                       6,750

  302,767                                      24,885

   53,416                                       4,200

  104,670                                       8,400

   91,646                                       1,350

  480,763                                      24,400

   76,466                                       5,800

   94,742                                       9,870

  331,607                                      26,200

  893,300                5,700                 54,547

   86,583                                       7,500

  115,969                                       9,600

   87,959                                       6,600

  214,300                                      16,700

  115,487                                       7,665

1,330,163               10,100                132,700

  117,412

  521,459                3,200                 33,700

4,545,703              153,731                417,221

   28,128                                       2,500

  337,102                                      20,300

  888,085                5,300                 52,197

  198,951

4,341,560           13,162,373                527,779

  718,922               10,500                 36,100

-----------------------------------------------------


                                                                   Page 26 of 73






--------------------------------------------------------------------------------------------------------------------
                                                                                      Investment Discretion
             Name of                Title of      Cusip     Fair Market     Shares       Sole     Shared as  Shared
              Issuer                  Class       Number       Value       Prin Amt                Defined    Other
--------------------------------------------------------------------------------------------------------------------
                                                                                        

FLEETBOSTON FINL COR                COM          33903010    942,464,334  25,645,288  24,830,039    543,639  271,610

FLEETWOOD ENTERPRISE                COM          33909910      3,316,669     296,661     296,661

FLEMING COS INC                     COM          33913010     11,381,601     385,817     383,117      1,200    1,500

FLORIDA EAST COAST I                CL A         34063210      4,709,430     214,065     209,745        320    4,000

FLORIDA ROCK INDS IN                COM          34114010      5,214,981     165,345     164,565        630      150

FLUOR CORP NEW                      COM          34341210     62,826,071   1,631,846   1,629,821      2,025

FLOW INTL CORP                      COM          34346810        948,001      97,934      97,934

FLOWERS FOODS INC                   COM          34349810     11,794,336     325,361     149,932    175,369       60

FLOWSERVE CORP                      COM          34354P10     15,416,909     780,603     780,288        315

FLUSHING FINL CORP                  COM          34387310      1,334,029      82,859      82,859

FOAMEX INTL INC                     COM          34412310        678,941     110,397     110,397

FOOTSTAR INC                        COM          34491210      6,059,152     175,120     175,100         20

FORD MTR CO DEL                     COM PAR $0   34537086    699,499,568  40,316,978  39,817,245    442,989   56,744

FOREST CITY ENTERPRI                CL A         34555010      7,251,312     151,069     151,069

FOREST LABS INC                     COM          34583810    279,042,425   3,868,068   3,838,943      6,505   22,620

FOREST OIL CORP                     COM PAR $0   34609170      8,250,786     332,693     332,393        200      100

FORRESTER RESH INC                  COM          34656310      3,457,703     208,170     208,170

FORTUNE BRANDS INC                  COM          34963110    122,214,432   3,648,192   3,205,050    395,215   47,927

FORWARD AIR CORP                    COM          34985310      5,484,137     232,971     195,096     37,875

FOSSIL INC                          COM          34988210      2,056,187     130,884     130,884

FOUNDRY NETWORKS INC                COM          35063R10      4,635,873     766,260     760,380      5,780      100

4 KIDS ENTMT INC                    COM          35086510      1,401,756      70,440      70,420         20

FOX ENTMT GROUP INC                 CL A         35138T10     16,881,133     883,829     879,989      2,090    1,750

FRANCE TELECOM                      SPONSORED    35177Q10      1,856,219      58,025      58,025

FRANKLIN ELEC INC                   COM          35351410      2,783,592      38,661      38,661

FRANKLIN RES INC                    COM          35461310    173,479,665   5,003,740   4,751,760    193,018   58,962

FREDS INC                           CL A         35610810      2,724,931     104,005     102,905      1,000      100

FREEMARKETS INC                     COM          35660210      6,850,571     647,502     269,423    352,971   25,108

FREEPORT-MCMORAN COP                CL B         35671D85     30,192,200   2,747,243   2,730,456      3,470   13,317

FREMONT GEN CORP                    COM          35728810      2,830,922     518,484     518,484

FRESENIUS MED CARE A                SPONSORED    35802910        685,440      26,880      26,880

FRIEDMAN BILLINGS RA                CL A         35843310      1,024,013     200,787     200,787

FRIEDMANS INC                       CL A         35843810        675,917      95,739      95,739

FRONTIER AIRLINES IN                COM          35906510      3,953,923     477,527     477,527

FRONTIER FINL CORP W                COM          35907K10      4,097,005     148,982     148,982

FRONTIER OIL CORP                   COM          35914P10      9,899,511     577,231     577,231

FUELCELL ENERGY INC                 COM          35952H10      3,466,517     234,066     227,266               6,800

FUJI PHOTO FILM LTD                 ADR          35958630      1,292,762      39,704      39,704

FULLER H B CO                       COM          35969410      7,960,360     173,807     173,407        300      100

FULTON FINL CORP PA                 COM          36027110     15,056,591     673,673     672,661      1,012

FURNITURE BRANDS INT                COM          36092110     11,436,084     587,068     586,068      1,000

G & K SVCS INC                      CL A         36126810      5,183,675     195,242     195,047         75      120

GATX CORP                           COM          36144810     15,408,936     458,054     449,734      8,095      225

GBC BANCORP CALIF                   COM          36147510      3,120,501      99,952      93,452               6,500

Page Total                                                 2,520,299,101
--------------------------------------------------------------------------------------------------------------------


-------------------------------------
     Voting Authority
   Sole          Shared        None

-------------------------------------
                   
22,453,012     614,833     2,577,443

   264,361                    32,300

   344,617       1,500        39,700

   195,965       4,000        14,100

   153,405         150        11,790

 1,415,694      52,432       163,720

    95,534                     2,400

   137,492     175,309        12,560

   754,323                    26,280

    80,609                     2,250

   110,397

   163,020                    12,100

35,184,290     668,228     4,464,460

   140,469                    10,600

 3,351,366     159,539       357,163

   315,033       1,300        16,360

   199,270                     8,900

 2,873,393     457,530       317,269

   223,671                     9,300

   122,484                     8,400

   676,813       6,500        82,947

    66,940                     3,500

   784,879       9,950        89,000

    58,025

    35,461                     3,200

 4,382,025     134,127       487,588

    96,905         100         7,000

   604,294      25,108        18,100

 2,423,139      56,386       267,718

   483,684                    34,800

    26,880

   185,787                    15,000

    87,139                     8,600

   458,777                    18,750

   137,982                    11,000

   560,431                    16,800

   212,666       6,800        14,600

    39,704

   160,027         100        13,680

   618,073       7,300        48,300

   554,868                    32,200

   181,322         120        13,800

   415,329       2,725        40,000

    88,552       6,500         4,900

-------------------------------------


                                                                   Page 27 of 73




----------------------------------------------------------------------------------------------------------------
                                                                                        Investment Discretion
    Name of              Title of     Cusip       Fair Market      Shares        Sole      Shared as    Shared
    Issuer                 Class      Number         Value        Prin Amt                  Defined     Other

----------------------------------------------------------------------------------------------------------------
                                                                                

GPU INC                   COM         36225X10     120,348,071    2,981,865    2,971,456     10,085        324

GABELLI ASSET MGMT I      CL A        36239Y10       1,722,527       46,757       46,757

GABLES RESIDENTIAL T      SH BEN INT  36241810       9,047,551      295,093      294,993        100

GALILEO INTERNATIONA      COM         36354710      19,850,628      956,196      954,656      1,340        200

GALLAGHER ARTHUR J &      COM         36357610      39,437,687    1,165,072    1,085,262     54,390     25,420

GALLAHER GROUP PLC        SPONSORED   36359510         595,116       22,289       21,229      1,060

GANNETT INC               COM         36473010     347,757,268    5,785,348    5,645,058     59,742     80,548

GAP INC DEL               COM         36476010     191,530,572   16,027,663   15,985,939     39,879      1,845

GARAN INC                 COM         36480210         933,108       26,775       26,075        700

GARDNER DENVER INC        COM         36555810       2,669,705      120,257      120,182         75

GARTNER INC               COM         36665110       5,510,445      608,889      607,969        920

GARTNER INC               CL B        36665120       3,580,006      411,495      410,543        327        625

GATEWAY INC               COM         36762610      30,987,026    5,685,693    5,681,015      3,000      1,678

GAYLORD ENTMT CO NEW      COM         36790510       3,802,477      189,178      188,928        150        100

GEMSTAR-TV GUIDE INT      COM         36866W10      34,704,717    1,760,767    1,748,327     12,440

GENAISSANCE PHARMACE      COM         36867W10         605,369      155,622      155,522                   100

GENCORP INC               COM         36868210       3,154,277      278,155      278,055        100

GENE LOGIC INC            COM         36868910       3,390,674      257,650      257,350        300

GENELABS TECHNOLOGIE      COM         36870610         481,834      260,451      260,451

GENENCOR INTL INC         COM         36870910       1,194,706      121,167      121,167

GENENTECH INC             COM NEW     36871040      73,744,704    1,676,016    1,650,349     22,787      2,880

GENERAL CABLE CORP D      COM         36930010       6,537,888      663,745      663,693         52

GENERAL COMMUNICATIO      CL A        36938510       4,064,208      335,885      335,885

GENERAL DYNAMICS COR      COM         36955010     372,879,356    4,221,913    4,212,538      9,055        320

GENERAL ELEC CO           COM         36960410   8,454,059,724  227,259,670  214,979,907  6,425,073  5,854,690

GENERAL GROWTH PPTYS      COM         37002110      19,081,949      548,805      546,995      1,810

GENERAL MLS INC           COM         37033410     299,998,016    6,593,363    6,135,463    186,468    271,432

GENERAL MTRS CORP         COM         37044210   3,560,934,491   83,005,466   82,916,683     59,675     29,108

GENERAL MTRS CORP         CL H NEW    37044283     674,152,233   50,574,061   50,490,472     61,713     21,876

GENERAL SEMICONDUCTO      COM         37078710       6,086,601      634,021      632,621      1,400

GENESCO INC               COM         37153210       3,026,660      186,256      186,256

GENESISINTERMEDIA IN      COM         37184Y10         599,068      101,537      101,537

GENTEX CORP               COM         37190110      46,969,460    1,966,072    1,486,534    374,563    104,975

GENLYTE GROUP INC         COM         37230210       2,969,310      102,390      102,090        300

GENOME THERAPEUTICS       COM         37243010       1,169,251      201,595      200,995        600

GENRAD INC                COM         37244710         763,737      233,559      233,559

GENTA INC                 COM NEW     37245M20       1,948,428      188,254      188,254

GENZYME TRANSGENICS       COM         37246E10         682,062      177,159      177,159

GENUINE PARTS CO          COM         37246010     116,040,141    3,642,189    3,625,459      8,705      8,025

GENTIVA HEALTH SERVI      COM         37247A10       2,878,142      159,808      159,808

GENUITY INC               CL A        37248E10       2,156,373    1,373,486    1,343,086                30,400

GENZYME CORP              COM GENL D  37291710     130,131,025    2,865,060    2,841,672     18,588      4,800

GENZYME CORP              COM-MOLECU  37291750         810,216      104,544      102,635      1,801        108

GENZYME CORP              COM BIOSUR  37291770       1,051,022      269,493      268,606        440        447

Page Total                                      14,604,037,829
----------------------------------------------------------------------------------------------------------------


---------------------------------------
     Voting Authority
   Sole           Shared         None

---------------------------------------
                       
  2,215,314       488,308       278,243

     43,357                       3,400

    279,293                      15,800

    884,893         5,900        65,403

  1,080,439        33,220        51,413

     22,289

  5,015,527       158,072       611,749

 13,610,300       557,595     1,859,768

     26,775

    111,957                       8,300

    561,089                      47,800

    410,870           625

  5,129,462        92,588       463,643

    176,778           100        12,300

  1,445,791        13,400       301,576

    144,222           100        11,300

    258,755                      19,400

    240,350                      17,300

    235,251                      25,200

    119,767                       1,400

  1,434,205        17,980       223,831

    646,045                      17,700

    312,585                      23,300

  3,699,399        51,560       470,954

184,373,850    19,517,407    23,368,413

    509,905         5,300        33,600

  5,348,299       465,002       780,062

 11,964,225    69,820,214     1,221,027

  5,666,066    43,835,184     1,072,811

    609,221                      24,800

    170,856                      15,400

     94,137                       7,400

  1,809,597       109,675        46,800

     93,690                       8,700

    185,495                      16,100

    222,459                      11,100

    175,954                      12,300

    163,859                      13,300

  3,139,525        55,874       446,790

    149,308                      10,500

  1,248,986        30,400        94,100

  2,657,154        17,300       190,606

    101,836           108         2,600

    245,310           447        23,736

Page Total
---------------------------------------


                                                                   Page 28 of 73




---------------------------------------------------------------------------------------------------------------------------------
                                                                                             Investment Discretion
   Name of                    Title of        Cusip         Fair Market        Shares          Sole        Shared as      Shared
   Issuer                      Class          Number           Value          Prin Amt                      Defined       Other

---------------------------------------------------------------------------------------------------------------------------------
                                                                                                     

GEORGIA GULF CORP            COM PAR $0      37320020          3,552,482        221,063        220,963            100

GEORGIA PAC CORP             COM GA PAC      37329810        145,315,509      5,047,430      5,030,480         13,502       3,448

GEORGIA PAC CORP             COM-TIMBER      37329870         31,859,546        879,612        874,728          2,940       1,944

GERBER SCIENTIFIC IN         COM             37373010          1,722,703        164,067        159,341          2,726       2,000

GERMAN AMERN BANCORP         COM             37386510          1,017,481         61,853         61,853

GERON CORP                   COM             37416310          1,730,227        180,232        180,232

GETTY IMAGES INC             COM             37427610          4,098,935        371,617        371,167            450

GETTY RLTY CORP NEW          COM             37429710          1,503,432         83,524         83,524

GIBRALTAR STL CORP           COM             37476F10            962,504         63,742         63,742

GILEAD SCIENCES INC          COM             37555810         60,547,777      1,077,938      1,046,903         25,935       5,100

GILLETTE CO                  COM             37576610        975,417,742     32,732,139     21,754,425     10,683,054     294,660

GLACIER BANCORP INC          COM             37637Q10          2,137,063        112,477        112,477

GLATFELTER P H CO            COM             37731610          4,655,449        304,079        303,779            300

GLAXOSMITHKLINE PLC          SPONSORED       37733W10      1,075,068,335     19,156,599     18,965,840        190,759

GLENBOROUGH RLTY TR          COM             37803P10          5,763,214        310,853        310,853

GLIMCHER RLTY TR             SH BEN INT      37930210          6,159,127        380,663        380,643             20

GLOBAL INDS LTD              COM             37933610          2,595,611        476,259        468,929          7,330

GLOBAL IMAGING SYSTE         COM             37934A10            933,679         54,095         54,095

GLOBAL MARINE INC            COM             37935240         29,447,810      2,103,415      2,064,248          6,170      32,997

GLOBAL SPORTS INC            COM             37937A10          1,214,931        104,286        104,286

GLOBAL PMTS INC              COM             37940X10         11,307,681        384,615        383,395          1,220

GLOBAL POWER EQUIPME         COM             37941P10            509,823         33,541         33,541

GLOBESPAN INC                COM             37957110          4,249,297        470,055        468,755          1,300

GOLD BANC CORP INC           COM             37990710          1,887,797        242,336        239,036          3,300

GOLDEN ST BANCORP IN         COM             38119710         51,759,830      1,702,626      1,697,136          5,290         200

GOLDEN TELECOM INC           COM             38122G10            433,524         55,580         55,580

GOLDEN WEST FINL COR         COM             38131710        190,693,786      3,282,165      3,277,335          4,730         100

GOLDMAN SACHS GROUP          COM             38141G10        153,114,745      2,145,967      1,780,076        321,069      44,822

GOODRICH CORP                COM             38238810         53,849,908      2,764,369      2,757,526          6,283         560

GOODYEAR TIRE & RUBR         COM             38255010         58,873,860      3,194,458      3,184,558          9,800         100

GORMAN RUPP CO               COM             38308210          1,234,616         63,640         63,640

GRACO INC                    COM             38410910          9,252,585        306,377        304,997          1,380

GRAINGER W W INC             COM             38480210         78,567,714      2,022,335      2,013,021          8,390         924

GRANITE CONSTR INC           COM             38732810         10,337,817        403,191        403,191

GRANITE ST BANKSHARE         COM             38747210            303,256         13,722                        11,847       1,875

GRANT PRIDECO INC            COM             38821G10          7,427,668      1,219,650      1,216,110          1,815       1,725

GRAY COMMUNICATIONS          COM             38919010          1,356,372         89,235         89,235

GREAT AMERN FINL RES         COM             38991510          1,785,560         98,378         98,378

GREAT ATLANTIC & PAC         COM             39006410          2,738,304        191,356        191,356

GREAT LAKES CHEM COR         COM             39056810         21,396,844        968,183        967,908            275

GREAT LAKES REIT INC         COM             39075210          2,456,589        150,711        150,711

GREAT SOUTHN BANCORP         COM             39090510          1,146,000         43,229         43,229

GREATER BAY BANCORP          COM             39164810         15,853,199        681,272        680,752            520

GREEN MTN COFFEE INC         COM             39312210            807,856         35,048         35,048

Page Total                                                 3,037,048,188
---------------------------------------------------------------------------------------------------------------------------------


----------------------------------------
      Voting Authority
   Sole            Shared          None

----------------------------------------
                     
   206,063                        15,000

 4,399,568         65,370        582,492

   820,068          7,144         52,400

   143,967          2,000         18,100

    60,053                         1,800

   165,532                        14,700

   348,217                        23,400

    82,224                         1,300

    58,942                         4,800

 1,006,459         11,500         59,979

18,907,818     11,068,340      2,755,981

   104,077                         8,400

   296,279                         7,800

19,152,651                         3,948

   298,753                        12,100

   363,163                        17,500

   425,559          6,700         44,000

    54,095

 1,851,863         43,797        207,755

   104,286

   361,775                        22,840

    28,841                         4,700

   436,355                        33,700

   224,436                        17,900

 1,618,288         18,700         65,638

    55,580

 2,863,438         55,465        363,262

 1,740,468        200,742        204,757

 2,284,924        303,330        176,115

 2,817,371         40,886        336,201

    59,040                         4,600

   277,215                        29,162

 1,778,478         26,428        217,429

   371,066                        32,125

    11,847          1,875

 1,143,950          7,925         67,775

    83,535                         5,700

    94,778                         3,600

   168,856                        22,500

   871,333         13,593         83,257

   143,111                         7,600

    42,229                         1,000

   653,572                        27,700

    33,148                         1,900
----------------------------------------


                                                                   Page 29 of 73




--------------------------------------------------------------------------------------------------------------------------
                                                                                          Investment Discretion
   Name of                     Title of        Cusip       Fair Market       Shares         Sole      Shared as     Shared
   Issuer                       Class          Number         Value         Prin Amt                   Defined      Other

--------------------------------------------------------------------------------------------------------------------------
                                                                                               

GREEN MOUNTAIN PWR C          COM             39315410          450,862        27,325        27,325

GREENPOINT FINL CORP          COM             39538410       53,555,860     1,525,808     1,522,818       2,690        300

GREIF BROS CORP               CL A            39762410        2,765,183       120,645       120,645

GREY WOLF INC                 COM             39788810        2,935,938     1,631,077     1,438,404     192,673

GRIFFON CORP                  COM             39843310        2,964,221       242,969       242,969

GROUP 1 AUTOMOTIVE I          COM             39890510        9,511,962       358,266       358,186          80

GROUPE DANONE                 SPONSORED       39944910        1,733,416        66,979        66,979

GRUPO TELEVISA SA DE          SP ADR REP      40049J20          596,730        20,792        20,792

GTECH HLDGS CORP              COM             40051810       13,798,177       399,484       399,284          80        120

GUESS INC                     COM             40161710          468,715        72,669        72,669

GUIDANT CORP                  COM             40169810      249,777,528     6,487,728     6,469,224      17,084      1,420

GUILFORD PHARMACEUTI          COM             40182910        1,799,713       209,026       209,026

GUITAR CTR MGMT INC           COM             40204010        1,889,517       158,783       158,683         100

GULF ISLAND FABRICAT          COM             40230710          656,943        77,106        77,106

GULFMARK OFFSHORE IN          COM             40262910          950,424        39,601        39,601

GYMBOREE CORP                 COM             40377710        1,489,897       229,215       229,215

HCA INC                       COM             40411910      531,784,648    12,001,459    11,722,000     243,059     36,400

HCC INS HLDGS INC             COM             40413210       14,136,828       537,522       531,736       5,786

HNC SOFTWARE INC              COM             40425P10        6,741,406       360,503       360,153         350

HRPT PPTYS TR                 COM SH BEN      40426W10       12,139,230     1,491,306     1,491,306

H POWER CORP                  COM             40427A10          692,399       221,923       221,335         588

HSBC HLDGS PLC                SPON ADRN       40428040       35,098,212       653,598       268,869     384,729

HAEMONETICS CORP              COM             40502410        7,540,999       217,885       217,725         160

HAIN CELESTIAL GROUP          COM             40521710        3,949,184       214,513       207,928       2,085      4,500

HALLIBURTON CO                COM             40621610      320,815,422    14,226,848     9,020,489   5,120,922     85,437

HANCOCK FABRICS INC           COM             40990010        3,015,172       367,704       367,704

HANCOCK HLDG CO               COM             41012010        2,950,815        72,716        72,716

HANCOCK JOHN FINL SV          COM             41014S10      262,188,813     6,562,924     6,550,408      10,918      1,598

HANDLEMAN CO DEL              COM             41025210        4,473,588       319,542       319,542

HANDSPRING INC                COM             41029310          259,576       192,279       190,099       2,180

HANMI FINL CORP               COM             41049510          275,848        20,283                               20,283

HANOVER COMPRESSOR C          COM             41076810       13,414,830       619,909       618,309       1,400        200

HANSON PLC                    SPON ADRN       41135240          440,052        12,555        12,555

HARBOR FLA BANCSHARE          COM             41190110        3,566,780       199,596       199,516          80

HARDINGE INC                  COM             41232430        6,586,030       580,267       580,267

HARLAND JOHN H CO             COM             41269310        9,364,002       427,580       427,460         120

HARLEY DAVIDSON INC           COM             41282210      286,550,541     7,075,322     6,900,375     162,631     12,316

HARLEYSVILLE GROUP I          COM             41282410        5,841,924       243,515       243,115                    400

HARLEYSVILLE NATL CO          COM             41285010        3,388,830       157,620       157,620

HARMAN INTL INDS INC          COM             41308610        9,481,270       283,023       282,563         360        100

HARMONIC INC                  COM             41316010        4,209,877       519,738       517,788       1,950

HARRAHS ENTMT INC             COM             41361910      168,041,229     6,221,445     6,218,465       2,780        200

HARRIS CORP DEL               COM             41387510       20,616,337       647,905       646,795         810        300

HARSCO CORP                   COM             41586410       12,922,280       465,500       465,300                    200

Page Total                                                2,095,831,208
--------------------------------------------------------------------------------------------------------------------------


----------------------------------------
      Voting Authority
   Sole            Shared        None

----------------------------------------
                     
    27,325

 1,401,308         17,400       107,100

   111,445                        9,200

 1,542,377                       88,700

   225,039                       17,930

   351,266                        7,000

    66,979

     7,342         13,450

   381,864            120        17,500

    72,669

 5,530,475        232,784       724,469

   193,326                       15,700

   148,383                       10,400

    72,206                        4,900

    38,801                          800

   211,715                       17,500

10,400,902        364,130     1,236,427

   501,422          4,800        31,300

   339,203                       21,300

 1,405,806                       85,500

   206,623                       15,300

   646,598                        7,000

   205,885                       12,000

   195,613          4,500        14,400

 7,946,695      5,278,029     1,002,124

   365,004                        2,700

    67,916                        4,800

 5,854,244        102,461       606,219

   291,642                       27,900

   189,579                        2,700

                   20,283

   566,109          6,800        47,000

    12,555

   182,696                       16,900

       800        579,467

   398,780                       28,800

 6,094,431        221,458       759,433

   224,915            400        18,200

   144,020                       13,600

   252,063            100        30,860

   486,438                       33,300

 2,195,746      3,732,035       293,664

   596,605          4,400        46,900

   439,300            200        26,000
----------------------------------------


                                                                   Page 30 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
HARTE-HANKS INC                COM         41619610       13,466,052      622,276      621,956          120          200
HARTFORD FINL SVCS G           COM         41651510      300,938,471    5,123,229    5,037,226       34,398       51,605
HARVARD BIOSCIENCE I           COM         41690610          525,060       52,506       52,506
HASBRO INC                     COM         41805610       45,966,424    3,283,316    3,278,759        4,557
HAVERTY FURNITURE IN           COM         41959610        1,341,215      136,164      136,164
HAWAIIAN ELEC INDUST           COM         41987010       14,862,471      381,089      380,756          333
HEALTH CARE PPTY INV           COM         42191510       13,761,908      357,917      357,917
HEALTHSOUTH CORP               COM         42192410      130,195,738    8,007,118    7,985,683       21,105          330
HEALTH MGMT ASSOC IN           CL A        42193310       60,782,166    2,927,850    2,917,555        9,615          680
HEALTHCARE RLTY TR             COM         42194610       10,019,740      392,931      392,931
HEADWATERS INC                 COM         42210P10        2,076,822      188,802      188,802
HEALTH CARE REIT INC           COM         42217K10        6,873,829      272,771      272,771
HEALTHEXTRAS INC               COM         42221110          434,694       84,571       84,571
HEALTH NET INC                 COM         42222G10       24,819,747    1,291,350    1,289,835        1,250          265
HEARST-ARGYLE TELEVI           COM         42231710        3,453,380      197,336      196,716          620
HEARTLAND EXPRESS IN           COM         42234710        3,423,808      148,926      148,926
HEICO CORP NEW                 COM         42280610        1,112,250       74,150       74,150
HEIDRICK & STRUGGLES           COM         42281910        2,358,616      165,285      164,245        1,040
HEINZ H J CO                   COM         42307410      328,574,466    7,795,361    7,715,273       38,993       41,095
HELIX TECHNOLOGY COR           COM         42331910        3,311,677      203,921      195,881          440        7,600
HELLENIC TELECOM ORG           SPONSORED   42332530          380,900       47,912       47,912
HELLER FINANCIAL INC           CL A        42332810       16,014,745      303,482      303,432           50
HELMERICH & PAYNE IN           COM         42345210       17,198,046      658,929      656,629        1,600          700
HEMISPHERX BIOPHARMA           COM         42366C10          533,011      132,261      132,261
HENRY JACK & ASSOC I           COM         42628110       17,629,653      776,979      775,899          680          400
HERBALIFE INTL INC             CL A        42690820        1,159,910      114,854      114,521          333
HERCULES INC                   COM         42705610       17,092,127    2,071,773    2,070,083        1,690
HERSHEY FOODS CORP             COM         42786610      163,429,249    2,500,065    2,446,753       24,578       28,734
HEWLETT PACKARD CO             COM         42823610      725,620,002   45,209,969   42,025,557    1,650,140    1,534,272
HEXCEL CORP NEW                COM         42829110          815,980      203,995      203,995
HI / FN INC                    COM         42835810          848,991       86,192       86,192
HIBBETT SPORTING GOO           COM         42856510          639,716       27,280       27,280
HIBERNIA CORP                  CL A        42865610       32,244,145    1,972,119    1,930,179        5,240       36,700
HICKORY TECH CORP              COM         42906010        1,823,399      111,865      111,865
HIGHLANDS INS GROUP            COM         43103210          749,031      305,727      305,727
HIGHWOODS PPTYS INC            COM         43128410       16,358,586      660,953      660,953
HILB ROGAL & HAMILTO           COM         43129410        9,005,694      197,450      197,450
HILLENBRAND INDS INC           COM         43157310       36,301,571      672,625      668,525        3,600          500
HILTON HOTELS CORP             COM         43284810       70,349,690    8,961,744    8,946,641       14,863          240
HISPANIC BROADCASTIN           CL A        43357B10       15,233,900      946,205      942,935        2,970          300
HITACHI LIMITED                ADR 10 COM  43357850        1,750,040       26,120       26,120
HOLLINGER INTL INC             CL A        43556910        3,217,021      306,383      305,983          400
HOLLY CORP                     COM PAR $0  43575830        1,116,204       61,737       61,537          200
HOLLYWOOD CASINO COR           CL A        43613220          440,984       65,331       65,331
Page Total                                             2,118,251,129


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
HARTE-HANKS INC                   592,160           2,500          27,616
HARTFORD FINL SVCS G            4,349,277         134,271         639,681
HARVARD BIOSCIENCE I               52,506
HASBRO INC                      2,924,754          54,801         303,761
HAVERTY FURNITURE IN              125,864                          10,300
HAWAIIAN ELEC INDUST              360,289                          20,800
HEALTH CARE PPTY INV              322,617           5,000          30,300
HEALTHSOUTH CORP                7,021,300          90,541         895,277
HEALTH MGMT ASSOC IN            2,674,546          17,180         236,124
HEALTHCARE RLTY TR                366,831                          26,100
HEADWATERS INC                    174,502                          14,300
HEALTH CARE REIT INC              253,271                          19,500
HEALTHEXTRAS INC                   84,571
HEALTH NET INC                  1,225,785           8,965          56,600
HEARST-ARGYLE TELEVI              186,736             200          10,400
HEARTLAND EXPRESS IN              137,926                          11,000
HEICO CORP NEW                     69,050                           5,100
HEIDRICK & STRUGGLES              153,085                          12,200
HEINZ H J CO                    6,578,996         280,543         935,822
HELIX TECHNOLOGY COR              181,321           7,600          15,000
HELLENIC TELECOM ORG               47,912
HELLER FINANCIAL INC              269,482           4,100          29,900
HELMERICH & PAYNE IN              605,429           6,000          47,500
HEMISPHERX BIOPHARMA              127,661                           4,600
HENRY JACK & ASSOC I              728,479           6,900          41,600
HERBALIFE INTL INC                112,354                           2,500
HERCULES INC                    1,871,400          27,309         173,064
HERSHEY FOODS CORP              2,132,739         120,097         247,229
HEWLETT PACKARD CO             38,305,902       2,095,463       4,808,604
HEXCEL CORP NEW                   192,095                          11,900
HI / FN INC                        81,392                           4,800
HIBBETT SPORTING GOO               25,830                           1,450
HIBERNIA CORP                   1,826,119          46,900          99,100
HICKORY TECH CORP                 101,765                          10,100
HIGHLANDS INS GROUP                 9,785         295,942
HIGHWOODS PPTYS INC               627,453                          33,500
HILB ROGAL & HAMILTO              188,550                           8,900
HILLENBRAND INDS INC              617,252           3,400          51,973
HILTON HOTELS CORP              6,664,294       1,504,748         792,702
HISPANIC BROADCASTIN              877,605           9,200          59,400
HITACHI LIMITED                    26,120
HOLLINGER INTL INC                278,883                          27,500
HOLLY CORP                         56,537                           5,200
HOLLYWOOD CASINO COR               63,231                           2,100
Page Total
----------------------------------------------------------------------------


                                                                   Page 31 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
HOLLYWOOD ENTMT CORP           COM         43614110       13,205,554    1,123,877    1,123,877
HOME DEPOT INC                 COM         43707610    2,084,314,727   54,321,468   51,433,386    2,195,133      692,949
HOME PPTYS N Y INC             COM         43730610        9,108,333      287,874      287,874
HOMESTAKE MNG CO               COM         43761410       47,564,412    5,114,453    5,096,238       18,215
HOMESTORE COM INC              COM         43785210        3,380,986      441,959      441,309          550          100
HON INDS INC                   COM         43809210       17,455,498      794,877      792,857        1,820          200
HONDA MOTOR LTD                AMERN SHS   43812830       18,827,241      293,031       51,960      241,071
HONEYWELL INTL INC             COM         43851610    2,378,107,089   90,079,814   18,189,377   71,831,841       58,596
HOOPER HOLMES INC              COM         43910410        3,137,759      502,846      502,706          140
HORACE MANN EDUCATOR           COM         44032710        8,333,729      472,166      471,990          176
HORIZON OFFSHORE INC           COM         44043J10          744,810      122,100      122,100
HORMEL FOODS CORP              COM         44045210       28,350,164    1,200,261    1,197,386        2,750          125
HOSPITALITY PPTYS TR           COM SH BEN  44106M10       16,355,978      679,235      679,235
HOST MARRIOTT CORP N           COM         44107P10       19,066,605    2,704,483    2,697,293        7,190
HOT TOPIC INC                  COM         44133910        3,938,842      156,926      156,886           40
HOTEL RESERVATIONS N           CL A        44145110        7,344,224      322,965      322,965
HOTJOBS COM INC                COM         44147410        1,213,474      203,262      203,262
HOUSEHOLD INTL INC             COM         44181510      584,092,233   10,359,919   10,330,685       23,378        5,856
HOUSTON EXPL CO                COM         44212010        2,467,922       99,513       99,513
HOVNANIAN ENTERPRISE           CL A        44248720        1,368,218      118,666      118,666
HUBBELL INC                    CL B        44351020       16,127,404      553,066      531,668       13,470        7,928
HUDSON CITY BANCORP            COM         44368310        8,278,027      346,361      346,241          120
HUDSON RIV BANCORP I           COM         44412810        2,572,445      128,558      126,458        2,100
HUDSON UNITED BANCOR           COM         44416510       11,782,981      424,765      423,140        1,625
HUGHES SUPPLY INC              COM         44448210        8,252,784      370,080      370,059           21
HUGOTON RTY TR TEX             UNIT BEN I  44471710          253,953       25,523       25,523
HUMANA INC                     COM         44485910       40,426,579    3,352,121    3,348,111        3,790          220
HUMAN GENOME SCIENCE           COM         44490310       26,643,029      861,955      857,918        2,937        1,100
HUNT J B TRANS SVCS            COM         44565810        3,487,313      267,432      267,412           20
HUNTINGTON BANCSHARE           COM         44615010       87,748,059    5,069,212    5,060,570        7,322        1,320
HUTCHINSON TECHNOLOG           COM         44840710        4,716,323      264,962      263,842        1,120
HYDRIL CO                      COM         44877410        1,505,234      108,057      108,057
ICN PHARMACEUTICALS            COM         44892410       25,706,954      975,596      973,554        1,842          200
IDT CORP                       COM         44894710        3,279,271      285,154      284,814          340
HYPERION SOLUTIONS C           COM         44914M10        3,776,538      282,675      282,675
HYSEQ INC                      COM         44916330          589,553       96,490       96,090          400
IBP INC                        COM         44922310       15,196,709      642,567      640,533        1,838          196
ICOS CORP                      COM         44929510       13,828,551      281,011      278,871        2,040          100
ICU MED INC                    COM         44930G10        1,981,640       49,541       49,541
IDEC PHARMACEUTICALS           COM         44937010       89,935,148    1,814,306    1,789,311       10,300       14,695
IDX SYS CORP                   COM         44949110        1,525,743      148,853      148,853
IGEN INC                       COM         44953610        2,987,433      108,555      106,455        2,100
IHOP CORP                      COM         44962310        4,397,250      167,834      167,834
IMC GLOBAL INC                 COM         44966910       11,114,604    1,234,956    1,233,786          870          300
Page Total                                             5,634,491,323


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
HOLLYWOOD ENTMT CORP            1,097,077                          26,800
HOME DEPOT INC                 45,850,615       2,290,291       6,180,562
HOME PPTYS N Y INC                276,874                          11,000
HOMESTAKE MNG CO                4,528,650          91,843         493,960
HOMESTORE COM INC                 393,259           4,900          43,800
HON INDS INC                      737,377           5,900          51,600
HONDA MOTOR LTD                   288,631                           4,400
HONEYWELL INTL INC             16,686,487      71,952,288       1,441,039
HOOPER HOLMES INC                 467,246                          35,600
HORACE MANN EDUCATOR              444,581                          27,585
HORIZON OFFSHORE INC              115,300                           6,800
HORMEL FOODS CORP               1,147,036           4,725          48,500
HOSPITALITY PPTYS TR              638,635           5,400          35,200
HOST MARRIOTT CORP N            2,434,046          13,100         257,337
HOT TOPIC INC                     144,126                          12,800
HOTEL RESERVATIONS N              319,565                           3,400
HOTJOBS COM INC                   189,662                          13,600
HOUSEHOLD INTL INC              8,933,353         161,857       1,264,709
HOUSTON EXPL CO                    94,113                           5,400
HOVNANIAN ENTERPRISE              110,366                           8,300
HUBBELL INC                       497,278          10,828          44,960
HUDSON CITY BANCORP               316,961           2,400          27,000
HUDSON RIV BANCORP I              119,058                           9,500
HUDSON UNITED BANCOR              395,525                          29,240
HUGHES SUPPLY INC                 353,680                          16,400
HUGOTON RTY TR TEX                 25,523
HUMANA INC                      2,983,173          41,820         327,128
HUMAN GENOME SCIENCE              735,515           9,600         116,840
HUNT J B TRANS SVCS               257,032                          10,400
HUNTINGTON BANCSHARE            4,497,879          64,356         506,977
HUTCHINSON TECHNOLOG              240,962                          24,000
HYDRIL CO                         100,057                           8,000
ICN PHARMACEUTICALS               919,796           5,300          50,500
IDT CORP                          267,154                          18,000
HYPERION SOLUTIONS C              260,075                          22,600
HYSEQ INC                          89,190                           7,300
IBP INC                           608,172           4,517          29,878
ICOS CORP                         250,511           2,900          27,600
ICU MED INC                        45,941                           3,600
IDEC PHARMACEUTICALS            1,677,268          22,095         114,943
IDX SYS CORP                      138,353                          10,500
IGEN INC                          102,155                           6,400
IHOP CORP                         156,734                          11,100
IMC GLOBAL INC                  1,172,556             300          62,100
Page Total
----------------------------------------------------------------------------


                                                                   Page 32 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
I-MANY INC                     COM         44973Q10          826,302      356,165      268,665       87,500
IMS HEALTH INC                 COM         44993410      152,534,610    6,089,206    6,062,940       15,246      11,020
IRT PPTY CO                    COM         45005810        3,991,021      369,539      369,539
ITC DELTACOM INC               COM         45031T10          475,304      396,087      390,797        5,290
ISTAR FINL INC                 COM         45031U10       14,697,932      595,058      594,458          600
I-STAT CORP                    COM         45031210        1,064,864      174,568      164,568       10,000
ITT EDUCATIONAL SERV           COM         45068B10       10,789,600      337,175      337,175
ITXC CORP                      COM         45069F10          420,303      164,825      164,725          100
IXIA                           COM         45071R10        2,291,264      360,829      360,829
IBERIABANK CORP                COM         45082810        1,323,951       46,292       46,292
ITT INDS INC IND               COM         45091110       83,239,072    1,858,015    1,842,886        2,360      12,769
IDACORP INC                    COM         45110710       15,279,318      427,274      422,609        1,330       3,335
IDEX CORP                      COM         45167R10        7,348,761      265,778      262,618        3,160
IDEXX LABS INC                 COM         45168D10       13,300,287      569,118      553,064          800      15,254
IKON OFFICE SOLUTION           COM         45171310       14,005,284    1,814,156    1,810,636        3,520
IDENTIX INC                    COM         45190610        2,063,880      253,548      251,448        2,100
ILEX ONCOLOGY INC              COM         45192310        6,564,527      249,982      249,982
ILLINOIS TOOL WKS IN           COM         45230810      377,603,713    6,978,446    6,053,033      634,723     290,690
ILLUMINA INC                   COM         45232710        1,044,446      160,684      160,684
ILLUMINET HLDGS INC            COM         45233410       10,224,159      266,810      266,670           40         100
IMATION CORP                   COM         45245A10       13,591,855      650,328      640,028        9,400         900
IMCLONE SYS INC                COM         45245W10       26,778,800      473,542      417,322       42,900      13,320
IMMUNE RESPONSE CORP           COM         45252T10          320,721      225,860      225,860
IMMUNEX CORP NEW               COM         45252810      173,992,861    9,314,393    9,237,602       50,766      26,025
IMMUNOGEN INC                  COM         45253H10        2,988,816      330,256      327,756                    2,500
IMPATH INC                     COM         45255G10        4,869,878      141,115      140,705          410
IMPCO TECHNOLOGIES I           COM         45255W10          789,273       67,807       67,807
IMPAX LABORATORIES I           COM         45256B10        2,060,352      157,399      157,399
IMPERIAL CHEM INDS P           ADR NEW     45270450          365,843       21,332       21,332
IMATRON INC                    COM         45290610        1,410,722      792,541      792,541
IMMUNOMEDICS INC               COM         45290710        6,397,390      534,452      534,452
IMPERIAL OIL LTD               COM NEW     45303840          566,076       20,804       20,804
IMPERIAL TOBACCO GRO           SPONSORED   45314210          308,435       12,382       12,382
INAMED CORP                    COM         45323510        3,396,923      199,819      199,599          220
INCO LTD                       COM         45325840       35,137,413    2,831,379    2,830,679          700
INCYTE GENOMICS INC            COM         45337C10       10,370,234      759,168      757,978        1,090         100
INDEPENDENCE CMNTY B           COM         45341410       17,036,059      783,988      783,938           50
INDEPENDENT BANK COR           COM         45383610        1,726,447      105,917      102,496        3,421
INDEPENDENT BANK COR           COM         45383810        3,807,676      145,888      145,888
INDUS INTL INC                 COM         45578L10        1,544,498      259,144      259,144
INDYMAC BANCORP INC            COM         45660710       19,440,093      717,082      717,022           60
INFINEON TECHNOLOGIE           SPONSORED   45662N10          363,163       29,311       29,311
INET TECHNOLOGIES IN           COM         45662V10          622,884      105,395      105,395
INFOCUS CORP                   COM         45665B10        5,926,109      454,108      453,908                      200
Page Total                                             1,052,901,119


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
I-MANY INC                        335,465                          20,700
IMS HEALTH INC                  5,063,478         213,229         812,499
IRT PPTY CO                       345,539                          24,000
ITC DELTACOM INC                  360,087                          36,000
ISTAR FINL INC                    535,957           5,600          53,501
I-STAT CORP                       162,668                          11,900
ITT EDUCATIONAL SERV              322,475                          14,700
ITXC CORP                         164,825
IXIA                              334,729                          26,100
IBERIABANK CORP                    45,092                           1,200
ITT INDS INC IND                1,606,351          52,921         198,743
IDACORP INC                       385,739           6,935          34,600
IDEX CORP                         246,478                          19,300
IDEXX LABS INC                    531,364          15,254          22,500
IKON OFFICE SOLUTION            1,682,856                         131,300
IDENTIX INC                       234,748                          18,800
ILEX ONCOLOGY INC                 232,482                          17,500
ILLINOIS TOOL WKS IN            5,849,806         377,909         750,731
ILLUMINA INC                      149,184                          11,500
ILLUMINET HLDGS INC               251,710             100          15,000
IMATION CORP                      615,428             900          34,000
IMCLONE SYS INC                   418,622          16,920          38,000
IMMUNE RESPONSE CORP              225,860
IMMUNEX CORP NEW                8,075,917         393,025         845,451
IMMUNOGEN INC                     305,956           2,500          21,800
IMPATH INC                        131,015                          10,100
IMPCO TECHNOLOGIES I               62,907                           4,900
IMPAX LABORATORIES I              147,299                          10,100
IMPERIAL CHEM INDS P               21,332
IMATRON INC                       733,241                          59,300
IMMUNOMEDICS INC                  513,452                          21,000
IMPERIAL OIL LTD                   20,804
IMPERIAL TOBACCO GRO               12,382
INAMED CORP                       190,619                           9,200
INCO LTD                        2,578,812          46,500         206,067
INCYTE GENOMICS INC               717,968             100          41,100
INDEPENDENCE CMNTY B              743,088                          40,900
INDEPENDENT BANK COR               97,826                           8,091
INDEPENDENT BANK COR              138,788                           7,100
INDUS INTL INC                    240,044                          19,100
INDYMAC BANCORP INC               678,482                          38,600
INFINEON TECHNOLOGIE               29,311
INET TECHNOLOGIES IN               99,595                           5,800
INFOCUS CORP                      429,208             200          24,700
Page Total
----------------------------------------------------------------------------


                                                                   Page 33 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
INFOGRAMES INC                 COM         45665T10          504,111      148,268      148,268
INFORMATICA CORP               COM         45666Q10        1,491,709      377,648      376,928          620         100
INFONET SVCS CORP              CL B        45666T10          918,204      427,072      425,732        1,340
INFORMATION HLDGS IN           COM         45672710        3,557,903      181,156      168,006          400      12,750
INFOSPACE INC                  COM         45678T10        3,142,821    2,182,515    2,181,794          250         471
INFOSYS TECHNOLOGIES           SPONSORED   45678810          425,059       12,572       12,572
INFOUSA INC NEW                COM         45681830          992,495      244,457      244,457
ING GROUP N V                  SPONSORED   45683710       23,246,568      870,658      167,444      703,214
INGERSOLL-RAND CO              COM         45686610      122,815,680    3,633,600    3,600,779       18,236      14,585
INFORMATION RES INC            COM         45690510        1,467,637      231,124      231,124
INGLES MKTS INC                CL A        45703010        1,039,560       86,630       81,130        5,000         500
INGRAM MICRO INC               CL A        45715310        7,288,074      564,967      562,407        2,560
INHALE THERAPEUTIC S           COM         45719110        3,914,961      294,358      292,358        1,800         200
INKTOMI CORP                   COM         45727710        2,880,019    1,051,102    1,042,952        8,050         100
INNKEEPERS USA TR              COM         4576J010        3,115,620      346,180      346,180
INSIGHT ENTERPRISES            COM         45765U10        4,763,398      336,874      336,464          410
INPUT/OUTPUT INC               COM         45765210        3,189,561      389,922      389,922
INSITUFORM TECHNOLOG           CL A        45766710        3,405,567      199,740      199,740
INSMED INC                     COM NEW     45766920          683,922      255,195      255,195
INSIGNIA FINL GROUP            COM         45767A10        1,747,011      166,382      166,382
INSIGHT COMMUNICATIO           CL A        45768V10        6,329,011      343,968      343,228          740
INNOGY HLDGS PLC               SPONSORED   45769A10        1,939,556       63,592       63,592
INNOVATIVE SOLUTIONS           COM         45769N10          439,653       60,475       60,375                      100
INRANGE TECHNOLOGIES           CL B        45769V20          643,593      108,349      108,349
INSPIRE PHARMACEUTIC           COM         45773310        1,184,999      136,836      136,836
INSTINET GROUP INC             COM         45775010        1,946,095      198,784      198,784
INSURANCE AUTO AUCTI           COM         45787510        1,240,326       91,876       91,776          100
INTEGRA LIFESCIENCES           COM NEW     45798520        2,963,184      107,284      107,284
INTEGRAL SYS INC MD            COM         45810H10        1,506,610       83,515       83,515
INTEGRATED ELECTRICA           COM         45811E10        1,456,650      269,750      269,610          140
INTEGRATED CIRCUIT S           COM         45811K20        5,043,358      394,629      394,429          200
INTEGRATED DEVICE TE           COM         45811810       27,460,963    1,364,859    1,362,079        2,480         300
INTEGRATED SILICON S           COM         45812P10        3,525,696      410,442      332,207       78,235
INTEGRA BK CORP                COM         45814P10        3,533,720      153,640      153,640
INTELIDATA TECHNOLOG           COM         45814T10        1,207,909      368,265      368,265
INTEL CORP                     COM         45814010    3,178,421,757  155,500,086  148,197,751    4,670,856   2,631,479
INTER TEL INC                  COM         45837210        2,269,481      198,035      197,935          100
INTERACTIVE INTELLIG           COM         45839M10          243,265       48,653       48,653
INTERACTIVE DATA COR           COM         45840J10        4,600,982      351,220      351,220
INTERCEPT GROUP INC            COM         45845L10        3,400,961      101,673      101,573                      100
INTERDIGITAL COMMUNI           COM         45866A10        3,438,642      469,119      468,719          300         100
INTERFACE INC                  CL A        45866510        1,863,921      433,470      433,470
INTERGRAPH CORP                COM         45868310        3,777,302      422,045      422,045
INTERLAND INC                  COM         45872710          416,606      396,768      396,448          320
Page Total                                             3,449,444,120


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
INFOGRAMES INC                    148,268
INFORMATICA CORP                  337,348             100          40,200
INFONET SVCS CORP                 388,972             500          37,600
INFORMATION HLDGS IN              153,906          12,750          14,500
INFOSPACE INC                   1,962,488             471         219,556
INFOSYS TECHNOLOGIES               12,572
INFOUSA INC NEW                   226,857                          17,600
ING GROUP N V                     857,558                          13,100
INGERSOLL-RAND CO               3,167,887          71,128         394,585
INFORMATION RES INC               214,224                          16,900
INGLES MKTS INC                    79,930             500           6,200
INGRAM MICRO INC                  515,967           7,000          42,000
INHALE THERAPEUTIC S              265,058           4,300          25,000
INKTOMI CORP                      971,152             100          79,850
INNKEEPERS USA TR                 331,780                          14,400
INSIGHT ENTERPRISES               315,274                          21,600
INPUT/OUTPUT INC                  361,822                          28,100
INSITUFORM TECHNOLOG              182,840                          16,900
INSMED INC                        234,795                          20,400
INSIGNIA FINL GROUP               154,682                          11,700
INSIGHT COMMUNICATIO              314,868           2,700          26,400
INNOGY HLDGS PLC                   63,592
INNOVATIVE SOLUTIONS               55,075             100           5,300
INRANGE TECHNOLOGIES              106,649                           1,700
INSPIRE PHARMACEUTIC              126,736                          10,100
INSTINET GROUP INC                178,884                          19,900
INSURANCE AUTO AUCTI               86,476                           5,400
INTEGRA LIFESCIENCES              102,184                           5,100
INTEGRAL SYS INC MD                77,615                           5,900
INTEGRATED ELECTRICA              248,950                          20,800
INTEGRATED CIRCUIT S              377,529                          17,100
INTEGRATED DEVICE TE            1,277,859           7,200          79,800
INTEGRATED SILICON S              391,842                          18,600
INTEGRA BK CORP                   141,640                          12,000
INTELIDATA TECHNOLOG              339,165                          29,100
INTEL CORP                    130,219,794       7,175,000      18,105,292
INTER TEL INC                     187,435                          10,600
INTERACTIVE INTELLIG               48,653
INTERACTIVE DATA COR              328,420                          22,800
INTERCEPT GROUP INC                94,773             100           6,800
INTERDIGITAL COMMUNI              433,519             100          35,500
INTERFACE INC                     388,770                          44,700
INTERGRAPH CORP                   388,945                          33,100
INTERLAND INC                     364,368                          32,400
Page Total
----------------------------------------------------------------------------


                                                                   Page 34 of 73




----------------------------------------------------------------------------------------------------------------
                                                                                 Investment Discretion
   Name of            Title of        Cusip       Fair Market       Shares        Sole        Shared as   Shared
   Issuer              Class          Number         Value         Prin Amt                    Defined    Other

----------------------------------------------------------------------------------------------------------------
                                                                                     

INTERLOGIX INC          COM          45876310        4,046,603       167,215      167,215

INTERMAGNETICS GEN C    COM          45877110        4,982,361       214,203      214,203

INTERMUNE INC           COM          45884X10        9,652,961       252,365      251,565          800

INTERNAP NETWORK SVC    COM          45885A10        1,166,526     1,166,526    1,164,892        1,634

INTERNATIONAL BANCSH    COM          45904410        6,365,744       165,344      165,063          281

INTERNATIONAL BUSINE    COM          45920010    6,560,113,590    71,523,262   70,433,368      818,397   271,497

INTERNATIONAL FLAVOR    COM          45950610       64,067,737     2,313,750    2,308,070        3,080     2,600

INTERNATIONAL GAME T    COM          45990210       85,947,282     2,022,289    2,020,615        1,374       300

INTERNATIONAL MULTIF    COM          46004310        2,798,493       146,518      146,418          100

INTL PAPER CO           COM          46014610    1,402,725,118    40,261,915   12,142,974   28,103,390    15,551

INTERNATIONAL RECTIF    COM          46025410       27,990,479     1,027,928    1,026,673          805       450

INTERNATIONAL SPEEDW    CL A         46033520       12,736,599       365,679      359,233          620     5,826

INTL SPECIALTY PRODS    COM          46033710        1,266,522       143,434      143,334          100

INTERNEURON PHARMACE    COM          46057310        1,507,311       302,673      302,573                    100

INTERNET CAP GROUP I    COM          46059C10          656,513     1,641,284    1,636,794        3,350     1,140

INTERNET SEC SYS INC    COM          46060X10        3,118,945       342,365      288,025       54,340

INTERPOOL INC           COM          46062R10        3,119,640       213,674      213,674

INTERSIL CORP           CL A         46069S10       16,460,403       589,556      586,706        2,750       100

INTERPUBLIC GROUP CO    COM          46069010      163,666,711     8,022,878    7,518,224      355,315   149,339

INTERSTATE BAKERIES     COM          46072H10       16,127,220       632,440      632,440

INTERTAN INC            COM          46112010        1,876,911       239,097      239,097

INTERTRUST TECHNOLOG    COM          46113Q10          640,582       604,323      604,323

INTERWOVEN INC          COM          46114T10        2,214,547       573,717      569,867        3,750       100

INTERVOICE-BRITE INC    COM          46114210        2,670,078       257,233      257,233

INTIMATE BRANDS INC     CL A         46115610        8,187,552       909,728      905,578        4,150

INTRADO INC             COM          46117A10        2,571,132       100,200      100,200

INTUITIVE SURGICAL I    COM          46120E10        1,559,039       249,846      249,846

INTUIT                  COM          46120210      145,809,641     4,072,895    4,062,365        8,610     1,920

INVACARE CORP           COM          46120310        9,556,947       235,974      235,714          260

INVERNESS MED TECHNO    COM          46126810        8,795,984       238,051      238,051

INVESTMENT TECHNOLOG    COM          46145F10       21,865,335       394,041      393,441          400       200

INVESTORS REAL ESTAT    SH BEN INT   46173010        1,673,662       179,385      179,385

INVITROGEN CORP         COM          46185R10       38,850,481       590,792      544,283       40,109     6,400

INVESTORS FINL SERVI    COM          46191510       20,558,516       356,671      355,111        1,560

IOMEGA CORP             COM          46203010        2,684,739     2,200,606    2,198,606        1,800       200

IONICS INC              COM          46221810        3,502,666       158,420      156,570          450     1,400

IRELAND BK              SPONSORED    46267Q10          388,145        12,326       12,326

IRON MTN INC PA         COM          46284610       10,052,122       242,512      242,178          234       100

IRWIN FINL CORP         COM          46411910        1,958,350        93,701       93,701

ISHARES TR              RUSSELL100   46428759        8,632,908       165,858      165,858

ISIS PHARMACEUTICALS    COM          46433010        5,242,482       307,477      307,477

ISLE OF CAPRI CASINO    COM          46459210        1,345,452       189,527      189,447           80

ITO YOKADO LTD          ADR NEW      46571430        1,307,501        30,023       30,023

ITRON INC               COM          46574110        2,622,507       113,923      113,923

Page Total                                       8,693,084,037
----------------------------------------------------------------------------------------------------------------


--------------------------------------------
      Voting Authority
    Sole          Shared             None


--------------------------------------------
                         
    154,915                          12,300

    205,737                           8,466

    237,465                          14,900

  1,117,126                          49,400

    154,944                          10,400

 35,087,400      32,263,893       4,171,969

  2,024,493          71,911         217,346

  1,825,130          45,800         151,359

    133,918                          12,600

 16,826,497      22,318,642       1,116,776

    980,678           4,350          42,900

    340,553           7,326          17,800

    134,634                           8,800

    280,373             100          22,200

  1,531,994           1,140         108,150

    317,765           2,600          22,000

    205,874                           7,800

    518,569           6,800          64,187

  6,827,450         408,772         786,656

    612,340                          20,100

    218,397                          20,700

    558,123                          46,200

    510,617           8,600          54,500

    233,333                          23,900

    849,928           8,400          51,400

     92,900                           7,300

    230,846                          19,000

  3,560,676          61,083         451,136

    222,053                          13,921

    221,751                          16,300

    370,141           3,200          20,700

    166,385                          13,000

    546,699           9,800          34,293

    333,466           3,000          20,205

  2,029,906             200         170,500

    140,120           1,400          16,900

     12,326

    215,212           3,800          23,500

     87,001                           6,700

    165,858

    284,977                          22,500

    170,427                          19,100

     30,023

    105,223                           8,700
--------------------------------------------


                                                                   Page 35 of 73




------------------------------------------------------------------------------------------------------------------
                                                                                 Investment Discretion
   Name of            Title of        Cusip       Fair Market       Shares        Sole        Shared as     Shared
   Issuer              Class          Number         Value         Prin Amt                    Defined      Other

------------------------------------------------------------------------------------------------------------------
                                                                                       
I2 TECHNOLOGIES INC     COM         46575410       6,783,164     1,971,850      1,963,709       8,001         140

IVAX CORP               COM         46582310      51,067,553     2,303,453      2,297,779       5,174         500

IVEX PACKAGING CORP     COM         46585510       2,666,756       156,408        156,348          60

JDN RLTY CORP           COM         46591710       4,828,840       455,551        455,551

IXYS CORP               COM         46600W10         466,979        78,484         78,284         200

J & J SNACK FOODS CO    COM         46603210         788,231        42,039         42,039

JDS UNIPHASE CORP       COM         46612J10     164,973,544    26,103,409     26,042,651      54,932       5,826

JDA SOFTWARE GROUP I    COM         46612K10       3,633,801       276,545        276,545

J JILL GROUP INC        COM         46618910       1,126,062        90,085         89,985                     100

JLG INDS INC            COM         46621010       3,307,547       361,086        361,066          20

JNI CORP                COM         46622G10       1,218,187       194,910        194,910

JP REALTY INC           COM         46624A10       6,315,260       282,562        282,562
                                               1,588,970,540
J P MORGAN CHASE & C    COM         46625H10                    46,529,152     45,292,179     719,020     517,953

JABIL CIRCUIT INC       COM         46631310      66,789,536     3,731,259      3,624,235      84,229      22,795

JACK IN THE BOX INC     COM         46636710       9,044,028       323,001        322,221         780

JACOBS ENGR GROUP IN    COM         46981410      18,781,339       300,983        300,483         400         100

JAKKS PAC INC           COM         47012E10       2,116,071       156,746        156,746

JAPAN AIR LINES LTD     ADR NEW     47103430         210,787        45,724         45,724

JEFFERIES GROUP INC     COM         47231910       6,616,335       200,495        199,095       1,400

JEFFERSON PILOT CORP    COM         47507010     140,552,529     3,159,904      3,134,335      11,556      14,013

JEFFERSON SMURFIT GR    SPONSORED   47508W10         396,860        22,171         22,071         100

JOHN NUVEEN CO          CL A        47803510       3,979,682        89,977         89,977
                                               6,090,408,030
JOHNSON & JOHNSON       COM         47816010                   109,935,163    105,137,433   2,772,611   2,025,119

JOHNSON CTLS INC        COM         47836610     119,411,512     1,830,342      1,818,698       8,244       3,400

JONES APPAREL GROUP     COM         48007410      34,862,774     1,367,704      1,364,532       2,772         400

JONES LANG LASALLE I    COM         48020Q10       3,574,535       260,915        260,915

JOURNAL REGISTER CO     COM         48113810       3,837,058       232,549        232,449         100

JOY GLOBAL INC          COM         48116510         298,485        20,100         20,100

JUNIPER NETWORKS INC    COM         48203R10      17,538,288     1,808,071      1,801,229       6,462         380

KCS ENERGY INC          COM         48243420         614,241       174,006        174,006

KLA-TENCOR CORP         COM         48248010     131,653,862     4,168,900      4,160,605       7,955         340

K MART CORP             COM         48258410      67,724,656     9,688,792      9,661,437      26,145       1,210

KPMG CONSULTING INC     COM         48265R10       7,682,742       710,707        710,607                     100

K-SWISS INC             CL A        48268610       1,363,875        55,555         55,555

K2 INC                  COM         48273210         872,846       145,961        145,961

K V PHARMACEUTICAL C    CLB CONV    48274010       5,292,617       180,021        180,021

K V PHARMACEUTICAL C    CLA         48274020         639,468        23,649         23,649

 KADANT INC             COM         48282T10       1,561,467       121,044        120,374         656          14

 KAISER ALUMINUM CORP   COM         48300710         679,500       264,397        264,397

 KAMAN CORP             CLA         48354810       2,631,132       198,726        198,706          20

KANA SOFTWARE INC       COM         48360010         424,714     1,179,762      1,164,342      15,420

KANSAS CITY LIFE INS    COM         48483610       1,985,970        56,742         56,742

KANSAS CITY SOUTHN I    COM NEW     48517030       7,295,688       607,974        564,997       2,800      40,177

KAYDON CORP             COM         48658710       7,106,509       339,537        338,597         940
                                               8,592,093,600
Page Total
------------------------------------------------------------------------------------------------------------------



--------------------------------------------
      Voting Authority
    Sole          Shared             None


--------------------------------------------
                           
 1,701,108          18,240         252,502

 2,173,616          11,100         118,737

   144,108                          12,300

   432,251                          23,300

    78,484

    40,839                           1,200

22,796,069         387,515       2,919,825

   261,045                          15,500

    83,385             100           6,600

   333,586                          27,500

   180,810                          14,100

   274,762                           7,800

40,089,199       1,126,415       5,313,538

 3,327,766          77,201         326,292

   298,401                          24,600

   285,083           2,200          13,700

   145,546                          11,200

    45,724

   184,395                          16,100

 2,722,716          55,020         382,168

    22,171

    82,627                           7,350

60,105,373      41,731,287       8,098,503

 1,581,847          28,147         220,348

 1,225,747           7,800         134,157

   239,115                          21,800

   215,949                          16,600

    20,100

 1,538,771          17,380         251,920

   158,406                          15,600

 3,630,006         123,858         415,036

 8,569,540         130,301         988,951

   629,807          10,900          70,000

    54,055                           1,500

   134,761                          11,200

   168,021                          12,000

    23,649

   110,731              14          10,299

   258,897                           5,500

   182,326                          16,400

 1,131,062                          48,700

    53,642                           3,100

   510,497          40,177          57,300

   319,737                          19,800
--------------------------------------------


                                                                   Page 36 of 73




--------------------------------------------------------------------------------------------------------------------------------
                                                                                               Investment Discretion
        Name of           Title of          Cusip       Fair Market       Shares         Sole            Shared as      Shared
        Issuer             Class            Number          Value        Prin Amt                         Defined        Other

================================================================================================================================
                                                                                                  
KB HOME                     COM           48666K10       31,815,535     1,119,871      1,118,921             950
KEANE INC                   COM           48666510       10,334,660       757,118        750,588           1,080         5,450
KEITHLEY INSTRS INC         COM           48758410        2,632,120       183,423        183,423
KELLOGG CO                  COM           48783610      214,717,590     7,157,253      7,121,220          33,273         2,760
KELLWOOD CO                 COM           48804410        3,831,498       207,108        207,048              60
KELLY SVCS INC              CL A          48815220        6,538,699       323,698        319,775           3,923
KEMET CORP                  COM           48836010       18,505,006     1,124,241      1,122,271           1,670           300
KENDLE INTERNATIONAL        COM           48880L10        1,622,193        82,178         82,178
KENNAMETAL INC              COM           48917010       19,111,078       598,718        598,658              60
KERR MCGEE CORP             COM           49238610      249,423,397     4,804,920      4,798,843           4,102         1,975
KERYX BIOPHARMACEUTI        COM           49251510          471,875        75,020         75,020
KEY ENERGY SVCS INC         COM           49291410        8,977,438     1,411,547      1,410,597             950
KEY PRODTN INC              COM           49313810        1,291,855       111,849        111,849
KEY3MEDIA GROUP INC         COM           49326R10          966,885       244,163        243,713             450
KEYCORP NEW                 COM           49326710      937,003,128    38,815,374     38,749,789          41,411        24,174
KEYNOTE SYS INC             COM           49330810        1,419,490       186,775        186,755              20
KEYSPAN CORP                COM           49337W10       97,537,129     2,934,330      2,918,032          12,873         3,425
KEYSTONE PPTY TR COR        COM           49359610          680,453        53,579         53,579
KFORCE INC                  COM           49373210        1,220,459       242,636        242,636
KILROY RLTY CORP            COM           49427F10        8,983,596       360,064        360,064
KIMBALL INTL INC            CL B          49427410        3,876,896       294,597        294,597
KIMBERLY CLARK CORP         COM           49436810      759,862,142    12,255,841     11,643,390         408,471       203,980
KIMCO REALTY CORP           COM           49446R10       29,249,675       602,465        602,465
KINDER MORGAN INC KA        COM           49455P10      106,203,988     2,158,179      2,149,548           5,056         3,575
KINDER MORGAN MANAGE        SHS           49455U10          594,262        17,250         17,250
KING PHARMACEUTICALS        COM           49558210      209,699,366     4,998,793      4,993,779           4,748           266
KIRBY CORP                  COM           49726610        7,332,547       325,891        325,871              20
KNIGHT RIDDER INC           COM           49904010       97,765,983     1,750,510      1,740,585           9,745           180
KNIGHT TRADING GROUP        COM           49906310        4,524,235       586,801        586,101             600           100
KNIGHT TRANSN INC           COM           49906410        1,988,018       103,813        103,813
KOGER EQUITY INC            COM           50022810        5,807,212       335,677        335,677
KOHLS CORP                  COM           50025510      313,674,624     6,534,888      6,511,483          21,705         1,700
KONINKLIJKE AHOLD N         SPON ADR N    50046730        9,812,115       351,941         74,926         277,015
KONINKLIJKE PHILIPS         SP ADR NEW    50047230       17,829,803       923,824        186,535         737,289
KOPIN CORP                  COM           50060010        7,673,152       735,681        606,951          14,330       114,400
KOREA TELECOM               SPONSORED     50063P10          804,174        43,968         43,968
KOREA ELECTRIC PWR          SPONSORED     50063110        1,551,511       175,312        175,312
KOSAN BIOSCIENCES IN        COM           50064W10          549,551       103,689        103,689
KORN FERRY INTL             COM NEW       50064320        4,311,120       522,560        521,560           1,000
KOS PHARMACEUTICALS         COM           50064810        1,513,898        54,359         54,359
KRAFT FOODS INC             CL A          50075N10        6,360,374       185,056        178,070           3,486         3,500
KRAMONT RLTY TR             COM SH BEN    50075Q10        1,859,761       148,900        148,900
KRISPY KREME DOUGHNU        COM           50101410        7,729,951       261,147        260,217             130           800
KROGER CO                   COM           50104410      423,273,114    17,178,292     17,120,036          55,160         3,096
Page Total                                            3,640,931,556


---------------------------------------------------------------------------
                                      Voting Authority
        Name of                     Sole          Shared           None
        Issuer

===========================================================================
                                                        
KB HOME                          1,030,979           7,500          81,392
KEANE INC                          714,168           5,450          37,500
KEITHLEY INSTRS INC                177,523                           5,900
KELLOGG CO                       6,139,501         270,596         747,156
KELLWOOD CO                        190,608                          16,500
KELLY SVCS INC                     301,823                          21,875
KEMET CORP                       1,057,141           9,600          57,500
KENDLE INTERNATIONAL                76,178                           6,000
KENNAMETAL INC                     578,818                          19,900
KERR MCGEE CORP                  2,277,869       2,319,948         207,103
KERYX BIOPHARMACEUTI                75,020
KEY ENERGY SVCS INC              1,348,847                          62,700
KEY PRODTN INC                     104,649                           7,200
KEY3MEDIA GROUP INC                231,663                          12,500
KEYCORP NEW                      9,393,775      28,308,676       1,112,923
KEYNOTE SYS INC                    174,775                          12,000
KEYSPAN CORP                     2,578,671          45,016         310,643
KEYSTONE PPTY TR COR                53,579
KFORCE INC                         219,436                          23,200
KILROY RLTY CORP                   342,664                          17,400
KIMBALL INTL INC                   273,497                          21,100
KIMBERLY CLARK CORP             10,309,152         526,935       1,419,754
KIMCO REALTY CORP                  562,829           4,900          34,736
KINDER MORGAN INC KA             1,888,398          37,413         232,368
KINDER MORGAN MANAGE                17,250
KING PHARMACEUTICALS             4,498,907         133,848         366,038
KIRBY CORP                         314,291                          11,600
KNIGHT RIDDER INC                1,585,312          21,560         143,638
KNIGHT TRADING GROUP               523,501           9,000          54,300
KNIGHT TRANSN INC                   97,213                           6,600
KOGER EQUITY INC                   317,077                          18,600
KOHLS CORP                       5,665,290         222,283         647,315
KONINKLIJKE AHOLD N                346,841                           5,100
KONINKLIJKE PHILIPS                908,724                          15,100
KOPIN CORP                         580,481         114,400          40,800
KOREA TELECOM                       27,368          16,600
KOREA ELECTRIC PWR                  59,712         115,600
KOSAN BIOSCIENCES IN               101,389                           2,300
KORN FERRY INTL                    498,760                          23,800
KOS PHARMACEUTICALS                 51,359                           3,000
KRAFT FOODS INC                    181,556           3,500
KRAMONT RLTY TR                    137,200                          11,700
KRISPY KREME DOUGHNU               230,847           4,800          25,500
KROGER CO                       14,468,686         560,939       2,148,667
Page Total


                                                                   Page 37 of 73




--------------------------------------------------------------------------------------------------------------------------------
                                                                                              Investment Discretion
        Name of           Title of          Cusip       Fair Market       Shares         Sole            Shared as      Shared
        Issuer             Class            Number          Value        Prin Amt                         Defined        Other

================================================================================================================================
                                                                                                  
KROLL INC                   COM           50104910        1,142,610       100,317        100,317
KRONOS INC                  COM           50105210        9,235,182       224,974        224,414             560
KUBOTA CORP                 ADR           50117320          673,805        12,251         12,251
KULICKE & SOFFA INDS        COM           50124210        4,618,177       423,686        423,286             400
KYOCERA CORP                ADR           50155620          869,782        13,485         13,485
LNR PPTY CORP               COM           50194010        6,137,264       204,917        204,837              80
LSI INDS INC                COM           50216C10        1,984,225        79,369         79,369
LSI LOGIC CORP              COM           50216110       81,950,621     6,974,521      6,959,972          14,009           540
LTX CORP                    COM           50239210        8,375,784       615,414        565,819             800        48,795
L-3 COMMUNICATIONS H        COM           50242410       50,351,348       575,773        575,053             620           100
LVMH MOET HENNESSY L        SPONSORED     50244120        1,155,480       177,821        177,821
LA JOLLA PHARMACEUTI        COM           50345910        1,050,617       258,137        258,137
LA QUINTA PPTYS INC         PAIRED CTF    50419Q40        5,063,388     1,150,770      1,150,750              20
LA Z BOY INC                COM           50533610        6,741,114       426,923        426,883              40
LABORATORY CORP AMER        COM NEW       50540R40       24,648,254       304,864        303,784           1,040            40
LABOR READY INC             COM NEW       50540120        1,027,294       322,036        322,036
LABRANCHE & CO INC          COM           50544710        9,763,049       439,777        439,277             300           200
LACLEDE GAS CO              COM           50558810        3,694,656       153,944        153,344             600
LADISH INC                  COM NEW       50575420          570,309        71,737         71,737
LAFARGE COPPEE S A          SPON ADR N    50586140          397,150        19,516         19,516
LAFARGE NORTH AMERIC        COM           50586210        9,643,147       288,717        287,237           1,480
LAKELAND BANCORP INC        COM           51163710        1,119,627        80,260         80,260
LAM RESEARCH CORP           COM           51280710       24,006,386     1,416,306      1,412,786           3,020           500
LAMAR ADVERTISING CO        CL A          51281510       12,415,827       409,493        408,973             420           100
LANCASTER COLONY COR        COM           51384710       20,655,610       737,437        737,337             100
LANCE INC                   COM           51460610        3,716,369       280,058        279,338                           720
LANDAUER INC                COM           51476K10        2,234,113        65,806         65,806
LANDAMERICA FINL GRO        COM           51493610        9,819,057       295,310        295,310
LANDRYS RESTAURANTS         COM           51508L10        2,274,937       153,712        153,592              20           100
LANDS END INC               COM           51508610        9,388,540       324,863        324,463             300           100
LANDSTAR SYS INC            COM           51509810        7,951,360       124,240        124,240
LANTRONIX INC               COM           51654810        1,055,525       173,037        173,037
LARGE SCALE BIOLOGY         COM           51705310          293,828        79,413         79,413
LASALLE HOTEL PPTYS         COM SH BEN    51794210        2,561,494       277,218        277,138              80
LATTICE SEMICONDUCTO        COM           51841510       16,970,412     1,080,918      1,075,808           1,810         3,300
LAUDER ESTEE COS INC        CL A          51843910       21,455,210       647,216        634,681          12,255           280
LAWSON PRODS INC            COM           52077610        1,354,932        55,530         55,530
LEAP WIRELESS INTL I        COM           52186310        5,173,982       329,553        327,257           2,181           115
LEAR CORP                   COM           52186510       73,520,744     2,720,975      2,686,446          17,469        17,060
LEARNING TREE INTL I        COM           52201510        3,242,113       159,710        159,690              20
LECROY CORP                 COM           52324W10        1,073,252        55,408         55,408
LEE ENTERPRISES INC         COM           52376810       22,219,925       701,608        700,108           1,500
LEGATO SYS INC              COM           52465110        6,326,177     1,154,412      1,153,012           1,100           300
LEGGETT & PLATT INC         COM           52466010       78,404,878     4,020,763      3,851,738         161,095         7,930
Page Total                                              556,327,554


---------------------------------------------------------------------------
                                      Voting Authority
        Name of                     Sole          Shared           None
        Issuer

===========================================================================
                                                        
KROLL INC                          100,317
KRONOS INC                         216,474                           8,500
KUBOTA CORP                         12,251
KULICKE & SOFFA INDS               391,386                          32,300
KYOCERA CORP                        13,485
LNR PPTY CORP                      189,317                          15,600
LSI INDS INC                        73,469                           5,900
LSI LOGIC CORP                   6,156,052          99,311         719,158
LTX CORP                           535,019          48,795          31,600
L-3 COMMUNICATIONS H               553,773           4,000          18,000
LVMH MOET HENNESSY L               177,821
LA JOLLA PHARMACEUTI               238,337                          19,800
LA QUINTA PPTYS INC              1,070,770                          80,000
LA Z BOY INC                       396,823                          30,100
LABORATORY CORP AMER               269,941           3,140          31,783
LABOR READY INC                    296,836                          25,200
LABRANCHE & CO INC                 408,077           4,200          27,500
LACLEDE GAS CO                     140,844                          13,100
LADISH INC                          66,037                           5,700
LAFARGE COPPEE S A                  19,516
LAFARGE NORTH AMERIC               266,417           1,700          20,600
LAKELAND BANCORP INC                73,360                           6,900
LAM RESEARCH CORP                1,328,656           8,600          79,050
LAMAR ADVERTISING CO               367,641           5,300          36,552
LANCASTER COLONY COR               710,400                          27,037
LANCE INC                          268,238             720          11,100
LANDAUER INC                        60,806                           5,000
LANDAMERICA FINL GRO               284,110                          11,200
LANDRYS RESTAURANTS                140,012             100          13,600
LANDS END INC                      308,867             100          15,896
LANDSTAR SYS INC                   118,340                           5,900
LANTRONIX INC                      163,337                           9,700
LARGE SCALE BIOLOGY                 79,413
LASALLE HOTEL PPTYS                269,918                           7,300
LATTICE SEMICONDUCTO             1,010,018          11,800          59,100
LAUDER ESTEE COS INC               572,336           7,180          67,700
LAWSON PRODS INC                    49,330                           6,200
LEAP WIRELESS INTL I               312,538             115          16,900
LEAR CORP                        2,639,221          33,360          48,394
LEARNING TREE INTL I               152,210                           7,500
LECROY CORP                         51,008                           4,400
LEE ENTERPRISES INC                663,808                          37,800
LEGATO SYS INC                   1,096,712             300          57,400
LEGGETT & PLATT INC              3,572,915          61,068         386,780
Page Total


                                                                   Page 38 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                                  Investment Discretion
     Name of                           Title of       Cusip        Fair Market      Shares         Sole       Shared as    Shared
     Issuer                             Class        Number           Value        Prin Amt                    Defined      Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
LEGG MASON INC                        COM            52490110       31,061,426       781,223       765,588        9,695     5,940
LEHMAN BROS HLDGS IN                  COM            52490810      305,124,410     5,367,184     5,259,578       96,221    11,385
LENNAR CORP                           COM            52605710       42,442,650     1,177,654     1,177,014          540       100
LENNOX INTL INC                       COM            52610710        3,380,708       363,517       363,317          200
LEUCADIA NATL CORP                    COM            52728810       13,532,188       433,724       433,724
LEVEL 3 COMMUNICATIO                  COM            52729N10        9,055,810     2,395,717     2,391,918          979     2,820
LEXAR MEDIA INC                       COM            52886P10          220,477       220,477       220,477
LEXENT INC                            COM            52886Q10          986,485       136,067       136,067
LEXICON GENETICS INC                  COM            52887210        2,091,147       275,151       273,451        1,700
LEXINGTON CORP PPTYS                  COM            52904310        1,967,626       134,309       134,309
LEXMARK INTL NEW                      CL A           52977110      112,414,129     2,514,295     2,494,155       20,040       100
LIBBEY INC                            COM            52989810        4,412,187       136,812       136,512          300
LIBERATE TECHNOLOGIE                  COM            53012910        8,870,146       890,577       890,137          340       100
LIBERTY CORP S C                      COM            53037010        7,879,841       198,235       197,135        1,100
LIBERTY DIGITAL INC                   CL A           53043610          691,424       172,425       172,325          100
LIBERTY FINL COS INC                  COM            53051210        3,736,816       117,695       117,695
LIBERTY LIVEWIRE COR                  CL A           53070910          301,739        44,835        44,835
LIBERTY MEDIA CORP N                  COM SER A      53071810      459,215,413    36,158,694    21,260,351   14,820,487    77,856
LIBERTY PPTY TR                       SH BEN INT     53117210       26,251,981       915,022       852,842       62,180
LIFEPOINT HOSPITALS                   COM            53219L10       21,550,496       489,784       489,172          597        15
LIGAND PHARMACEUTICA                  CL B           53220K20        3,083,231       335,864       335,214          650
LIGHTBRIDGE INC                       COM            53222610        2,813,532       274,491       274,491
LIGHTPATH TECHNOLOGI                  CL A           53225710          269,502       151,406       150,196        1,210
LILLY ELI & CO                        COM            53245710    1,821,444,837    22,570,568    22,407,087      130,092    33,389
LIMITED INC                           COM            53271610       79,890,250     8,409,500     8,394,580       13,780     1,140
LINCARE HLDGS INC                     COM            53279110       29,809,706     1,121,931     1,120,171        1,360       400
LINCOLN ELEC HLDGS I                  COM            53390010        7,349,945       333,785       333,705           80
LINCOLN NATL CORP IN                  COM            53418710      207,545,373     4,450,898     4,431,014       14,944     4,940
LINDSAY MFG CO                        COM            53555510        1,957,186       110,264        90,264        3,000    17,000
LINEAR TECHNOLOGY CO                  COM            53567810      260,297,388     7,935,896     6,944,587      796,966   194,343
LINENS N THINGS INC                   COM            53567910       11,269,215       606,524       538,794       55,680    12,050
LIQUI BOX CORP                        COM            53631410        1,019,535        24,716        24,716
LITHIA MTRS INC                       CL A           53679710          662,501        47,662        47,662
LITTELFUSE INC                        COM            53700810        4,902,281       221,522       211,682          440     9,400
LIZ CLAIBORNE INC                     COM            53932010       59,953,367     1,590,275     1,587,155        2,120     1,000
LOCAL FINL CORP                       COM            53955310        2,103,729       157,347       157,347
LOCKHEED MARTIN CORP                  COM            53983010    3,626,153,168    82,883,501    82,862,974       18,411     2,116
LODGENET ENTMT CORP                   COM            54021110        1,003,815        91,339        91,339
LOEWS CORP                            COM            54042410      153,159,726     3,309,415     3,301,465        6,750     1,200
LONE STAR STEAKHOUSE                  COM            54230710        2,338,902       216,565       216,565
LONE STAR TECHNOLOGI                  COM            54231210        2,711,842       218,697       218,397          200       100
LONGS DRUG STORES CO                  COM            54316210       12,781,334       469,902       466,442        3,460
LONGVIEW FIBRE CO                     COM            54321310        6,489,866       642,561       626,211        1,350    15,000
LOUDCLOUD INC                         COM            54573510          224,939       200,839       200,839
Page Total                                                       7,354,422,269


-------------------------------------------------------------------------
                                         Voting Authority
    Name of                            Sole          Shared        None
    Issuer
-------------------------------------------------------------------------
                                                         
LEGG MASON INC                          731,583      10,040        39,600
LEHMAN BROS HLDGS IN                  4,769,754      83,703       513,727
LENNAR CORP                           1,116,674      14,900        46,080
LENNOX INTL INC                         334,517                    29,000
LEUCADIA NATL CORP                      405,824       3,500        24,400
LEVEL 3 COMMUNICATIO                  1,969,825      31,920       393,972
LEXAR MEDIA INC                         218,077                     2,400
LEXENT INC                              136,067
LEXICON GENETICS INC                    255,251                    19,900
LEXINGTON CORP PPTYS                    123,509                    10,800
LEXMARK INTL NEW                      2,167,160      86,293       260,842
LIBBEY INC                              126,112                    10,700
LIBERATE TECHNOLOGIE                    825,277         100        65,200
LIBERTY CORP S C                        187,535                    10,700
LIBERTY DIGITAL INC                     172,325                       100
LIBERTY FINL COS INC                    107,395                    10,300
LIBERTY LIVEWIRE COR                     44,835
LIBERTY MEDIA CORP N                 32,667,954     258,956     3,231,784
LIBERTY PPTY TR                         865,423       4,400        45,199
LIFEPOINT HOSPITALS                     464,569          15        25,200
LIGAND PHARMACEUTICA                    311,064                    24,800
LIGHTBRIDGE INC                         257,791                    16,700
LIGHTPATH TECHNOLOGI                    140,806                    10,600
LILLY ELI & CO                       19,217,867     817,917     2,534,784
LIMITED INC                           7,220,324     113,310     1,075,866
LINCARE HLDGS INC                     1,057,190       6,400        58,341
LINCOLN ELEC HLDGS I                    314,185                    19,600
LINCOLN NATL CORP IN                  3,872,712      74,304       503,882
LINDSAY MFG CO                           85,864      17,000         7,400
LINEAR TECHNOLOGY CO                  6,827,330     405,667       702,899
LINENS N THINGS INC                     570,474      12,050        24,000
LIQUI BOX CORP                           22,816                     1,900
LITHIA MTRS INC                          46,362                     1,300
LITTELFUSE INC                          198,517       9,400        13,605
LIZ CLAIBORNE INC                     1,418,295      15,982       155,998
LOCAL FINL CORP                         145,547                    11,800
LOCKHEED MARTIN CORP                  7,483,453     154,139    75,245,909
LODGENET ENTMT CORP                      83,639                     7,700
LOEWS CORP                            3,154,313      69,402        85,700
LONE STAR STEAKHOUSE                    201,365                    15,200
LONE STAR TECHNOLOGI                    203,497         100        15,100
LONGS DRUG STORES CO                    439,155                    30,747
LONGVIEW FIBRE CO                       591,674      15,000        35,887
LOUDCLOUD INC                           193,939                     6,900
Page Total
-------------------------------------------------------------------------


                                                                   Page 39 of 73




---------------------------------------------------------------------------------------------------------------------------------
                                                                                              Investment Discretion
        Name of                  Title        Cusip         Fair Market       Shares          Sole        Shared as      Shared
        Issuer                   Class        Number          Value          Prin Amt                      Defined        Other

---------------------------------------------------------------------------------------------------------------------------------
                                                                                                    
LOUIS DREYFUS NAT GA           COM           54601110         6,828,972        175,552        175,552
LOUISIANA PAC CORP             COM           54634710        15,322,404      2,357,293      2,348,856          4,235       4,202
LOWES COS INC                  COM           54866110     2,244,150,782     70,905,238     15,416,812     55,383,656     104,770
LUBRIZOL CORP                  COM           54927110        23,899,680        756,319        753,859          1,060       1,400
LUBYS INC                      COM           54928210         1,444,707        202,057        199,457          2,600
LUCENT TECHNOLOGIES            COM           54946310       427,163,512     74,548,606     73,829,063        513,636     205,907
LUFKIN INDS INC                COM           54976410         1,038,803         45,323         45,323
LUMINEX CORP DEL               COM           55027E10         1,868,248        136,868        136,868
LUMINENT INC                   COM           55027R10           296,724        148,362        148,362
LUXOTTICA GROUP S P            SPONSORED     55068R20           329,548         23,556         22,224          1,332
LYDALL INC DEL                 COM           55081910           764,431        115,823        115,823
LYNCH INTERACTIVE CO           COM           55114610           702,355         14,189         14,189
LYONDELL CHEMICAL CO           COM           55207810        12,729,686      1,111,763      1,109,023          2,440         300
M & T BK CORP                  COM           55261F10        69,547,198        939,827        904,288          5,328      30,211
MAF BANCORP INC                COM           55261R10         8,851,497        308,845        308,305            100         440
MBIA INC                       COM           55262C10       155,093,350      3,101,867      3,081,333         11,984       8,550
MBNA CORP                      COM           55262L10       510,857,872     16,865,562     16,747,621         94,337      23,604
MB FINL INC                    COM           55263D10         1,098,125         43,925         43,925
M D C HLDGS INC                COM           55267610         4,128,062        148,920        148,910             10
MDU RES GROUP INC              COM           55269010        17,560,101        751,395        661,010         68,260      22,125
MCSI INC                       COM           55270M10         1,364,065         84,672         84,672
MEMC ELECTR MATLS IN           COM           55271510           374,896        357,044        354,544          2,500
MGIC INVT CORP WIS             COM           55284810       159,216,787      2,436,743      2,426,680          6,063       4,000
MGI PHARMA INC                 COM           55288010         2,281,537        170,646        170,546                        100
MGM MIRAGE                     COM           55295310        36,264,084      1,613,171      1,612,451            620         100
M/I SCHOTTENSTEIN HO           COM           55305B10         2,077,888         61,476         61,476
MKS INSTRUMENT INC             COM           55306N10         3,253,184        183,278        182,678            600
MRO SOFTWARE INC               COM           55347W10         1,394,727        136,738        136,638            100
MRV COMMUNICATIONS I           COM           55347710         1,954,341        651,447        651,347                        100
MSC INDL DIRECT INC            CL A          55353010         5,430,250        340,882        340,762            120
MSC SOFTWARE CORP              COM           55353110         2,300,529        142,890        142,890
MTR GAMING GROUP INC           COM           55376910         1,417,559        152,919        152,919
MTS SYS CORP                   COM           55377710         2,882,509        250,653        250,653
MACDERMID INC                  COM           55427310         3,158,883        247,950        244,150            200       3,600
MACERICH CO                    COM           55438210         8,550,401        386,896        386,796            100
MACK CALI RLTY CORP            COM           55448910        15,681,257        505,847        503,457          2,390
MACROCHEM CORP DEL             COM           55590310           426,473        174,071        149,071                     25,000
MACROVISION CORP               COM           55590410        14,765,216        519,719        517,179          2,400         140
MACROMEDIA INC                 COM           55610010        10,104,293        834,376        833,246            870         260
MADDEN STEVEN LTD              COM           55626910           721,817         71,115         71,115
MADISON GAS & ELEC C           COM           55749710         4,288,955        170,535        167,284          2,801         450
MAGELLAN HEALTH SVCS           COM           55907910         2,318,568        202,142        202,142
MAGNA ENTMT CORP               CL A          55921110           940,796        155,247        155,247
MAGNETEK INC                   COM           55942410         1,613,926        175,809        175,809
Page Total                                                3,786,458,998
---------------------------------------------------------------------------------------------------------------------------------


------------------------------------------------------------------------------------
                                                 Voting Authority
          Name of                              Sole          Shared           None
          Issuer

------------------------------------------------------------------------------------
                                                                  
LOUIS DREYFUS NAT GA                           160,052           1,700        13,800
LOUISIANA PAC CORP                           2,135,735          23,302       198,256
LOWES COS INC                               13,290,115      55,787,368     1,827,755
LUBRIZOL CORP                                  689,419          14,000        52,900
LUBYS INC                                      181,457                        20,600
LUCENT TECHNOLOGIES                         64,273,734       1,227,734     9,047,138
LUFKIN INDS INC                                 44,223                         1,100
LUMINEX CORP DEL                               126,968                         9,900
LUMINENT INC                                   148,362
LUXOTTICA GROUP S P                             23,556
LYDALL INC DEL                                 105,013                        10,810
LYNCH INTERACTIVE CO                            14,189
LYONDELL CHEMICAL CO                         1,037,363           8,300        66,100
M & T BK CORP                                  847,362          35,911        56,554
MAF BANCORP INC                                296,905             440        11,500
MBIA INC                                     2,658,023          49,076       394,768
MBNA CORP                                   14,453,563         266,469     2,145,530
MB FINL INC                                     42,825                         1,100
M D C HLDGS INC                                138,600                        10,320
MDU RES GROUP INC                              680,936          28,625        41,834
MCSI INC                                        76,972                         7,700
MEMC ELECTR MATLS IN                           332,544                        24,500
MGIC INVT CORP WIS                           2,141,991          39,900       254,852
MGI PHARMA INC                                 159,246             100        11,300
MGM MIRAGE                                   1,518,871          25,800        68,500
M/I SCHOTTENSTEIN HO                            57,776                         3,700
MKS INSTRUMENT INC                             170,478                        12,800
MRO SOFTWARE INC                               127,138                         9,600
MRV COMMUNICATIONS I                           603,847             100        47,500
MSC INDL DIRECT INC                            316,682                        24,200
MSC SOFTWARE CORP                              133,990                         8,900
MTR GAMING GROUP INC                           142,419                        10,500
MTS SYS CORP                                   237,853                        12,800
MACDERMID INC                                  231,750           3,600        12,600
MACERICH CO                                    365,996                        20,900
MACK CALI RLTY CORP                            469,647           5,100        31,100
MACROCHEM CORP DEL                             144,971          25,000         4,100
MACROVISION CORP                               491,133           3,040        25,546
MACROMEDIA INC                                 796,796             260        37,320
MADDEN STEVEN LTD                               65,415                         5,700
MADISON GAS & ELEC C                           158,285             450        11,800
MAGELLAN HEALTH SVCS                           187,742                        14,400
MAGNA ENTMT CORP                               141,547                        13,700
MAGNETEK INC                                   163,109                        12,700
Page Total
------------------------------------------------------------------------------------


                                                                   Page 40 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
MAGNUM HUNTER RES IN           COM PAR $0  55972F20        2,230,349      235,021      235,021
MAIL-WELL INC                  COM         56032120        1,218,854      329,420      329,420
MAIN STR BKS INC NEW           COM         56034R10        1,500,851       83,427       83,427
MANAGEMENT NETWORK G           COM         56169310          449,823       74,351       74,351
MANDALAY RESORT GROU           COM         56256710       12,029,448      741,186      740,066          920          200
MANHATTAN ASSOCS INC           COM         56275010        4,906,595      289,304      288,904          400
MANITOWOC INC                  COM         56357110        5,269,436      217,386      217,026          260          100
MANOR CARE INC NEW             COM         56405510       58,147,695    2,069,313    2,066,168        1,895        1,250
MANPOWER INC                   COM         56418H10       28,930,403    1,098,762    1,097,162        1,400          200
MANUFACTURED HOME CM           COM         56468210        6,113,324      200,964      200,964
MANUFACTURERS SVCS L           COM         56500510          520,591      128,541      126,641        1,900
MANUGISTICS GROUP IN           COM         56501110        1,902,441      326,880      325,474        1,346           60
MAPINFO CORP                   COM         56510510          844,055      115,624      115,624
MARCUS CORP                    COM         56633010        2,146,608      178,884      178,884
MARKEL CORP                    COM         57053510        9,277,905       47,579       47,179          400
MARSH & MCLENNAN COS           COM         57174810      646,588,418    6,686,540    6,072,116      481,168      133,256
MARSHALL & ILSLEY CO           COM         57183410       59,632,040    1,051,897    1,049,867        1,730          300
MARRIOTT INTL INC NE           CL A        57190320      157,394,661    4,712,415    4,673,222       38,933          260
MARTEK BIOSCIENCES C           COM         57290110        2,516,350      138,261      138,261
MARTHA STEWART LIVIN           CL A        57308310        1,232,796       82,738       82,538          100          100
MARTIN MARIETTA MATL           COM         57328410       48,612,282    1,242,963    1,240,543        2,320          100
MASCO CORP                     COM         57459910      192,360,778    9,410,997    9,357,078       32,635       21,284
MASSEY ENERGY CORP             COM         57620610        7,656,251      522,611      521,656          955
MASTEC INC                     COM         57632310        1,807,164      354,346      354,246                       100
MATRIXONE INC                  COM         57685P30        3,553,614      653,238      341,545      311,575          118
MATSUSHITA ELEC INDL           ADR         57687920       15,764,327    1,304,994      239,616    1,065,378
MATTEL INC                     COM         57708110      147,584,350    9,424,288    9,390,916       28,950        4,422
MATTHEWS INTL CORP             CL A        57712810        5,473,262      248,108      248,108
MATTSON TECHNOLOGY I           COM         57722310        1,032,908      258,227      258,227
MAUI LD & PINEAPPLE            COM         57734510          255,460       12,773       12,773
MAXIM INTEGRATED PRO           COM         57772K10      230,600,121    6,599,889    6,565,554       27,404        6,931
MAXIM PHARMACEUTICAL           COM         57772M10          817,337      206,921      206,921
MAXTOR CORP                    COM NEW     57772920        5,073,751    1,421,219    1,411,089        9,788          342
MAXWELL TECHNOLOGIES           COM         57776710          547,859       84,286       84,286
MAXYGEN INC                    COM         57777610        3,938,058      248,505      248,167          307           31
MAY DEPT STORES CO             COM         57777810      211,035,123    7,272,058    6,965,793      201,426      104,839
MAVERICK TUBE CORP             COM         57791410        4,642,307      512,396      512,096          200          100
MAXIMUS INC                    COM         57793310        4,355,758      109,634      109,634
MAYTAG CORP                    COM         57859210      113,110,166    4,590,510    1,788,627    2,796,783        5,100
MCAFEE COM CORP                CL A        57906210          475,224       41,145       41,145
MCCLATCHY CO                   CL A        57948910        7,116,690      169,445      169,005          340          100
MCCORMICK & CO INC             COM NON VT  57978020       34,055,780      743,576      735,436        7,840          300
MCDATA CORP                    CL A        58003120        2,128,232      253,663      233,868       13,921        5,874
MCDERMOTT INTL INC             COM         58003710        9,480,966    1,149,208    1,149,008          200
Page Total                                             2,054,330,411


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
MAGNUM HUNTER RES IN              217,021                          18,000
MAIL-WELL INC                     300,120                          29,300
MAIN STR BKS INC NEW               77,527                           5,900
MANAGEMENT NETWORK G               74,351
MANDALAY RESORT GROU              689,786           6,600          44,800
MANHATTAN ASSOCS INC              280,404                           8,900
MANITOWOC INC                     200,986             100          16,300
MANOR CARE INC NEW              1,829,916          26,602         212,795
MANPOWER INC                    1,004,778           5,000          88,984
MANUFACTURED HOME CM              191,864                           9,100
MANUFACTURERS SVCS L              128,541
MANUGISTICS GROUP IN              290,620           4,860          31,400
MAPINFO CORP                      106,024                           9,600
MARCUS CORP                       165,999                          12,885
MARKEL CORP                        42,679             700           4,200
MARSH & MCLENNAN COS            5,636,725         325,046         724,769
MARSHALL & ILSLEY CO              967,830           7,300          76,767
MARRIOTT INTL INC NE            4,124,315          72,458         515,642
MARTEK BIOSCIENCES C              128,861                           9,400
MARTHA STEWART LIVIN               76,738             100           5,900
MARTIN MARIETTA MATL              527,111         685,052          30,800
MASCO CORP                      8,200,707         151,527       1,058,763
MASSEY ENERGY CORP                451,606           5,750          65,255
MASTEC INC                        340,546             100          13,700
MATRIXONE INC                     634,420             118          18,700
MATSUSHITA ELEC INDL            1,286,894                          18,100
MATTEL INC                      7,952,840         307,835       1,163,613
MATTHEWS INTL CORP                228,308                          19,800
MATTSON TECHNOLOGY I              238,827                          19,400
MAUI LD & PINEAPPLE                12,773
MAXIM INTEGRATED PRO            5,699,600         223,727         676,562
MAXIM PHARMACEUTICAL              192,321                          14,600
MAXTOR CORP                     1,288,265          18,142         114,812
MAXWELL TECHNOLOGIES               78,086                           6,200
MAXYGEN INC                       230,474              31          18,000
MAY DEPT STORES CO              6,281,153         191,962         798,943
MAVERICK TUBE CORP                490,996             100          21,300
MAXIMUS INC                       101,134                           8,500
MAYTAG CORP                     1,551,187       2,846,975         192,348
MCAFEE COM CORP                    41,145
MCCLATCHY CO                      154,745           1,700          13,000
MCCORMICK & CO INC                694,076           4,800          44,700
MCDATA CORP                       222,228           7,718          23,717
MCDERMOTT INTL INC              1,068,097          20,700          60,411
Page Total
----------------------------------------------------------------------------


                                                                   Page 41 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
MCDONALDS CORP                 COM         58013510      809,553,442   29,828,793   28,735,946      781,339      311,508
MCGRATH RENTCORP               COM         58058910        1,556,571       72,365       72,365
MCGRAW HILL COS INC            COM         58064510      261,478,341    4,492,755    4,343,010       54,370       95,375
MCKESSON CORP                  COM         58155Q10      224,185,018    5,932,390    5,921,575       10,415          400
MCLEODUSA INC                  CL A        58226610        2,837,441    3,684,989    3,662,804       20,263        1,922
MCMORAN EXPLORATION            COM         58241110          655,624      120,298      120,236           62
MEAD CORP                      COM         58283410       59,361,171    2,144,551    2,140,211        4,240          100
MEASUREMENT SPECIALT           COM         58342110          530,964       53,687       53,687
MECHANICAL TECHNOLOG           COM         58353810          650,464      185,847      185,847
MEDAREX INC                    COM         58391610        6,755,392      447,377      445,937        1,340          100
MED-DESIGN CORP                COM         58392610          919,123       63,828       63,828
MEDALLION FINL CORP            COM         58392810          806,586       97,768       97,168          600
MEDFORD BANCORP INC            COM         58413110          950,814       49,265       45,665        3,600
MEDIA GEN INC                  CL A        58440410        8,317,488      191,824      191,724                       100
MEDIACOM COMMUNICATI           CL A        58446K10        2,844,214      218,282      218,282
MEDICINES CO                   COM         58468810        1,058,598      174,975      174,975
MEDICIS PHARMACEUTIC           CL A NEW    58469030       19,239,351      384,941      384,391          550
MEDIMMUNE INC                  COM         58469910      152,052,093    4,267,530    4,233,070       19,450       15,010
MEDQUIST INC                   COM         58494910       17,936,426      713,178      713,043          135
MEDIS TECHNOLOGIES L           COM         58500P10          360,130       57,073       57,073
MEDTRONIC INC                  COM         58505510    1,125,965,701   25,884,269   24,867,272      833,219      183,778
MEEMIC HLDGS INC               COM         58513510          263,790       11,121       11,121
MELLON FINL CORP               COM         58551A10      353,056,855   10,920,410   10,564,038      276,650       79,722
MEMBERWORKS INC                COM         58600210        1,796,727       87,347       87,347
MENS WEARHOUSE INC             COM         58711810        5,385,815      297,888      297,788                       100
MENTOR CORP MINN               COM         58718810        5,739,836      226,871      226,831           40
MENTOR GRAPHICS CORP           COM         58720010       17,471,841    1,267,913    1,267,023          490          400
MERCANTILE BANKSHARE           COM         58740510       27,370,212      689,426      676,576        8,950        3,900
MERCK & CO INC                 COM         58933110    3,629,552,281   54,497,782   50,948,740    1,891,534    1,657,508
MERCURY COMPUTER SYS           COM         58937810        7,768,757      206,891      206,451          440
MERCURY GENL CORP NE           COM         58940010       10,433,358      262,805      253,605          600        8,600
MERCURY INTERACTIVE            COM         58940510       32,338,430    1,698,447    1,652,842       39,805        5,800
MEREDITH CORP                  COM         58943310       30,174,632      939,142      935,978          960        2,204
MERIDIAN MED TECHNOL           COM         58965810          582,806       31,083        9,882       21,201
MERIDIAN RESOURCE CO           COM         58977Q10          859,865      264,574      264,574
MERISTAR HOSPITALITY           COM         58984Y10        5,896,141      558,876      558,876
MERIDIAN GOLD INC              COM         58997510          733,588       67,240       67,240
MERITAGE CORP                  COM         59001A10          911,717       24,641       24,641
MERIX CORP                     COM         59004910        1,580,456      112,488      111,988          500
MERRILL LYNCH & CO I           COM         59018810    4,086,293,534  100,647,624   17,631,996   83,001,433       14,195
MESA AIR GROUP INC             COM         59047910          817,914      250,894      250,894
MESABA HLDGS INC               COM         59066B10          613,824      104,038      104,038
MESTEK INC                     COM         59082910          680,992       29,290       20,290                     9,000
METASOLV INC                   COM         59139P10        4,231,626      705,271      705,071                       200
Page Total                                            10,922,569,949


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
MCDONALDS CORP                 25,677,600         734,573       3,416,620
MCGRATH RENTCORP                   66,965                           5,400
MCGRAW HILL COS INC             3,715,435         233,937         543,383
MCKESSON CORP                   5,066,074         127,486         738,830
MCLEODUSA INC                   3,305,882          41,922         337,185
MCMORAN EXPLORATION               110,298                          10,000
MEAD CORP                       1,872,523          25,623         246,405
MEASUREMENT SPECIALT               52,387                           1,300
MECHANICAL TECHNOLOG              181,447                           4,400
MEDAREX INC                       395,777           7,600          44,000
MED-DESIGN CORP                    59,328                           4,500
MEDALLION FINL CORP                95,568                           2,200
MEDFORD BANCORP INC                49,265
MEDIA GEN INC                     177,424             100          14,300
MEDIACOM COMMUNICATI              203,882                          14,400
MEDICINES CO                      162,775                          12,200
MEDICIS PHARMACEUTIC              363,041           3,000          18,900
MEDIMMUNE INC                   3,595,287         178,214         494,029
MEDQUIST INC                      704,378                           8,800
MEDIS TECHNOLOGIES L               55,473                           1,600
MEDTRONIC INC                  21,595,691       1,049,579       3,238,999
MEEMIC HLDGS INC                   11,121
MELLON FINL CORP                9,372,807         400,702       1,146,901
MEMBERWORKS INC                    80,447                           6,900
MENS WEARHOUSE INC                264,888             100          32,900
MENTOR CORP MINN                  211,871                          15,000
MENTOR GRAPHICS CORP            1,210,413           6,600          50,900
MERCANTILE BANKSHARE              634,356           8,500          46,570
MERCK & CO INC                 45,138,015       3,256,008       6,103,759
MERCURY COMPUTER SYS              194,881                          12,010
MERCURY GENL CORP NE              235,305          10,400          17,100
MERCURY INTERACTIVE             1,464,529          62,835         171,083
MEREDITH CORP                     838,380          14,003          86,759
MERIDIAN MED TECHNOL               31,083
MERIDIAN RESOURCE CO              253,374                          11,200
MERISTAR HOSPITALITY              535,576                          23,300
MERIDIAN GOLD INC                  67,240
MERITAGE CORP                      24,041                             600
MERIX CORP                        100,538                          11,950
MERRILL LYNCH & CO I           15,238,732      83,176,398       2,232,494
MESA AIR GROUP INC                230,794                          20,100
MESABA HLDGS INC                   96,638                           7,400
MESTEK INC                         20,290           9,000
METASOLV INC                      688,771             200          16,300
Page Total
----------------------------------------------------------------------------


                                                                   Page 42 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market      Shares      Sole        Shared as    Shared
            Issuer               Class      Number           Value        Prin Amt                  Defined     Other
------------------------------------------------------------------------------------------------------------------------
                                                                                          
METAWAVE COMMUNICATI         COM            59140910          668,989        247,774       247,774
METHODE ELECTRS INC          CL A           59152020        2,371,530        314,110       312,310     1,800
METLIFE INC                  COM            59156R10      379,694,363     12,784,322    12,763,698    18,699     1,925
METRIS COS INC               COM            59159810       19,873,210        802,958       802,378       480       100
METRO GOLDWYN MAYER          COM            59161010        6,282,737        370,663       360,323       240    10,100
METRO ONE TELECOMMUN         COM            59163F10        5,299,274        228,417       227,817       600
METROMEDIA FIBER NET         CL A           59168910        1,224,319      3,600,939     3,471,529   129,150       260
METROMEDIA INTL GROU         COM            59169510          776,374        646,979       646,979
METROWEST BK MASS            COM            59266810          357,604         31,507         7,700    23,807
METTLER TOLEDO INTER         COM            59268810       12,814,057        304,083       303,023       960       100
MICHAELS STORES INC          COM            59408710        9,935,701        271,913       271,653       260
MICREL INC                   COM            59479310       15,844,942        794,631       792,521     1,810       300
MICRO GENERAL CORP           COM NEW        59483830          647,635         75,482        75,482
MICROS SYS INC               COM            59490110        2,705,411        152,246       152,206        40
MICROSOFT CORP               COM            59491810    5,982,396,813    116,912,191   114,141,121 1,945,396   625,674
MICROVISION INC WASH         COM            59496010        1,187,827         92,799        92,799
MICROSTRATEGY INC            CL A           59497210          278,355        246,332       245,632       700
MICROCHIP TECHNOLOGY         COM            59501710       41,141,510      1,535,131     1,530,874     3,857       400
MICROFINANCIAL INC           COM            59507210          593,477         43,162        43,162
MICROMUSE INC                COM            59509410        3,475,995        611,971       599,361     6,150     6,460
MICRON TECHNOLOGY IN         COM            59511210      230,590,692     12,245,921    12,220,036    23,905     1,980
MICROSEMI CORP               COM            59513710        9,797,769        376,114       376,114
MICROTUNE INC DEL            COM            59514P10        2,314,234        203,003       203,003
MID-AMER APT CMNTYS          COM            59522J10        4,811,924        185,074       185,074
MID ATLANTIC MED SVC         COM            59523C10       16,671,774        793,894       793,374       520
MID-ATLANTIC RLTY TR         SH BEN INT     59523210        1,737,358        124,097       124,097
MID-STATE BANCSHARES         COM            59544010        4,507,743        264,074       264,074
MIDAS GROUP INC              COM            59562610        1,307,344        132,055       132,015        40
MID AMER BANCORP             COM            59591510        1,950,646         77,715        77,715
MIDDLESEX WATER CO           COM            59668010        1,301,652         39,444        39,444
MIDLAND CO                   COM            59748610        1,500,088         36,948        36,948
MIDWEST EXPRESS HLDG         COM            59791110        1,615,524        152,408       152,108       300
MIDWAY GAMES INC             COM            59814810        4,191,186        346,093       298,013    48,080
MIDWEST BANC HOLDING         COM            59825110          878,055         41,069        41,069
MILACRON INC                 COM            59870910        2,027,435        169,518       169,246       260        12
MILLENNIUM PHARMACEU         COM            59990210       45,152,437      2,542,367     2,534,547     7,060       760
MILLENNIUM CHEMICALS         COM            59990310        5,911,796        563,565       563,465       100
MILLBROOK PRESS INC          COM            60017910          204,782         63,400                            63,400
MILLENNIUM CELL INC          COM            60038B10          403,445        107,873       107,873
MILLER HERMAN INC            COM            60054410       15,958,351        819,638       818,228     1,110       300
MILLIPORE CORP               COM            60107310       51,789,984        978,277       973,941     3,736       600
MILLS CORP                   COM            60114810        9,360,634        437,822       437,722       100
MINE SAFETY APPLIANC         COM            60272010        3,707,460         82,388        82,388
MINERALS TECHNOLOGIE         COM            60315810       33,931,958        899,098       899,098
Page Total                                              6,939,194,394


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                     
METAWAVE COMMUNICATI              247,774
METHODE ELECTRS INC               291,610                          22,500
METLIFE INC                    11,451,672         221,866       1,110,784
METRIS COS INC                    782,058             100          20,800
METRO GOLDWYN MAYER               337,863          10,300          22,500
METRO ONE TELECOMMUN              217,167                          11,250
METROMEDIA FIBER NET            2,989,554          35,260         576,125
METROMEDIA INTL GROU              593,479                          53,500
METROWEST BK MASS                  31,507
METTLER TOLEDO INTER              281,683           3,100          19,300
MICHAELS STORES INC               250,513                          21,400
MICREL INC                        751,831           6,400          36,400
MICRO GENERAL CORP                 75,482
MICROS SYS INC                    139,646                          12,600
MICROSOFT CORP                 99,048,665       4,402,382        13,46144
MICROVISION INC WASH               84,499                           8,300
MICROSTRATEGY INC                 228,232                          18,100
MICROCHIP TECHNOLOGY            1,442,781           9,100          83,250
MICROFINANCIAL INC                 43,162
MICROMUSE INC                     555,311          13,660          43,000
MICRON TECHNOLOGY IN           10,541,314         173,715       1,530,892
MICROSEMI CORP                    361,114                          15,000
MICROTUNE INC DEL                 188,903                          14,100
MID-AMER APT CMNTYS               176,274                           8,800
MID ATLANTIC MED SVC              765,494                          28,400
MID-ATLANTIC RLTY TR              121,697                           2,400
MID-STATE BANCSHARES              247,874                          16,200
MIDAS GROUP INC                   122,455                           9,600
MID AMER BANCORP                   72,215                           5,500
MIDDLESEX WATER CO                 38,444                           1,000
MIDLAND CO                         34,648                           2,300
MIDWEST EXPRESS HLDG              141,808                          10,600
MIDWAY GAMES INC                  326,893                          19,200
MIDWEST BANC HOLDING               39,869                           1,200
MILACRON INC                      149,906              12          19,600
MILLENNIUM PHARMACEU            2,305,019          15,560         221,788
MILLENNIUM CHEMICALS              522,565                          41,000
MILLBROOK PRESS INC                                63,400
MILLENNIUM CELL INC               105,173                           2,700
MILLER HERMAN INC                 740,438           7,900          71,300
MILLIPORE CORP                    853,489          31,806          92,982
MILLS CORP                        426,122                          11,700
MINE SAFETY APPLIANC               77,188                           5,200
MINERALS TECHNOLOGIE              277,525         602,073          19,500
Page Total


                                                                   Page 43 of 73




---------------------------------------------------------------------------------------------------------------------------
                                                                                        Investment Discretion
           Name of            Title of      Cusip         Fair Market      Shares       Sole         Shared as     Shared
            Issuer             Class        Number           Value        Prin Amt                    Defined      Other
---------------------------------------------------------------------------------------------------------------------------
                                                                                              
MINNESOTA MNG & MFG          COM            60405910       2,899,103,013     29,462,429   28,830,805     333,679    297,945
MIPS TECHNOLOGIES IN         CL A           60456710           2,184,287        333,479      332,359       1,020        100
MIPS TECHNOLOGIES IN         CL B           60456720             984,936        164,156      163,981          62        113
MIRANT CORP                  COM            60467510         168,684,618      7,702,494    7,499,669     163,910     38,915
MIRAVANT MED TECHNOL         COM            60469010             899,219        117,545      117,545
MISSION WEST PPTYS I         COM            60520310           1,509,492        125,791      125,791
MISSISSIPPI VY BANCS         COM            60572010           2,037,332         53,614       53,614
MITCHELL ENERGY & DE         CL A           60659220           8,550,572        170,602      170,562          40
MITSUBISHI TOKYO FIN         SPONSORED      60681610          14,352,333      1,851,914      527,539   1,324,375
MOBILE MINI INC              COM            60740F10           2,802,849        107,968      107,968
MOBILE TELESYSTEMS O         SPONSORED      60740910             261,768         10,667       10,667
MOCON INC                    COM            60749410             594,500         82,000                              82,000
MODINE MFG CO                COM            60782810           8,778,304        357,132      356,812         220        100
MODIS PROFESSIONAL S         COM            60783010           4,443,488      1,110,872    1,102,072       8,500        300
MOHAWK INDS INC              COM            60819010          21,971,061        597,852      597,052         600        200
MOLDFLOW CORP                COM            60850710             272,141         32,130       32,130
MOLECULAR DEVICES CO         COM            60851C10           2,562,850        137,492      137,342         150
MOLEX INC                    COM            60855410         100,195,031      3,564,391    3,557,226       5,989      1,176
MOLEX INC                    CL A           60855420             379,177         15,604       11,547       2,307      1,750
MONACO COACH CORP            COM            60886R10           3,145,516        220,738      220,588         150
MONDAVI ROBERT CORP          CL A           60920010           2,700,616         75,860       75,860
MONSANTO CO NEW              COM            61166W10           8,487,884        251,642      251,642
MONTANA POWER CO             COM            61208510           6,507,579      1,239,539    1,234,741       4,798
MONY GROUP INC               COM            61533710          15,696,594        473,931      472,198       1,733
MOODYS CORP                  COM            61536910         119,681,014      3,234,622    3,221,855       9,197      3,570
MOOG INC                     CL A           61539420           3,886,373        172,192      172,192
MORGAN STANLEY DEAN          COM NEW        61744644       5,626,027,426    121,381,390   23,089,382  98,216,483     75,525
MOTOROLA INC                 COM            62007610         762,738,241     48,893,477   46,510,954   1,694,267    688,256
MOVADO GROUP INC             COM            62458010           1,380,724         89,079       89,079
MOVIE GALLERY INC            COM            62458110           3,045,319        146,904      146,904
MUELLER INDS INC             COM            62475610          12,110,309        421,962      421,562         300        100
MULTEX COM INC               COM            62536710             443,048        214,033      213,833         200
MURPHY OIL CORP              COM            62671710          34,451,536        476,113      455,763       2,500     17,850
MYERS INDS INC               COM            62846410           3,238,782        273,315      273,315
MYKROLIS CORP                COM            62852P10             211,692         23,600       23,600
MYLAN LABS INC               COM            62853010          58,528,761      1,794,260    1,788,020       5,390        850
MYRIAD GENETICS INC          COM            62855J10           4,463,849        145,687      145,287         400
NABI INC                     COM            62871610           1,978,594        320,161      320,161
NBC CAP CORP                 COM            62872910           1,294,214         39,518       39,518
NBT BANCORP INC              COM            62877810           3,193,004        223,287      223,287
NBTY INC                     COM            62878210          12,130,256        921,752      921,752
NCH CORP                     COM            62885010             938,482         23,947       23,907          40
NCI BUILDING SYS INC         COM            62885210           3,576,189        310,973      310,373         600
NCO GROUP INC                COM            62885810           3,311,681        242,082      241,862         220
Page Total                                                 9,933,734,654


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None
----------------------------------------------------------------------------
                                                     
MINNESOTA MNG & MFG             9,238,646      19,156,202       1,067,581
MIPS TECHNOLOGIES IN              309,179             100          24,200
MIPS TECHNOLOGIES IN              164,043             113
MIRANT CORP                     6,645,122         157,696         899,676
MIRAVANT MED TECHNOL              114,845                           2,700
MISSION WEST PPTYS I              116,291                           9,500
MISSISSIPPI VY BANCS               49,614                           4,000
MITCHELL ENERGY & DE              140,502           2,100          28,000
MITSUBISHI TOKYO FIN            1,828,214                          23,700
MOBILE MINI INC                   101,168                           6,800
MOBILE TELESYSTEMS O                4,702           5,965
MOCON INC                                          82,000
MODINE MFG CO                     332,586             100          24,446
MODIS PROFESSIONAL S            1,045,972             300          64,600
MOHAWK INDS INC                   560,952           4,000          32,900
MOLDFLOW CORP                      32,130
MOLECULAR DEVICES CO              127,292                          10,200
MOLEX INC                       3,191,055          57,172         316,164
MOLEX INC                           5,182           1,750           8,672
MONACO COACH CORP                 203,038                          17,700
MONDAVI ROBERT CORP                70,160                           5,700
MONSANTO CO NEW                   224,442           3,600          23,600
MONTANA POWER CO                1,174,339                          65,200
MONY GROUP INC                    439,331           3,100          31,500
MOODYS CORP                     2,701,689         117,430         415,503
MOOG INC                          165,742                           6,450
MORGAN STANLEY DEAN            22,621,103      96,424,391       2,335,896
MOTOROLA INC                   42,330,659       1,347,384       5,215,434
MOVADO GROUP INC                   86,679                           2,400
MOVIE GALLERY INC                 146,004                             900
MUELLER INDS INC                  403,662             100          18,200
MULTEX COM INC                    197,333                          16,700
MURPHY OIL CORP                   433,063          20,150          22,900
MYERS INDS INC                    261,498                          11,817
MYKROLIS CORP                      23,600
MYLAN LABS INC                  1,657,310           9,550         127,400
MYRIAD GENETICS INC               128,987           2,200          14,500
NABI INC                          297,661                          22,500
NBC CAP CORP                       36,218                           3,300
NBT BANCORP INC                   205,487                          17,800
NBTY INC                          895,152                          26,600
NCH CORP                           22,347                           1,600
NCI BUILDING SYS INC              297,673                          13,300
NCO GROUP INC                     228,532                          13,550
Page Total


                                                                   Page 44 of 73




                                                                                   Investment Discretion
           Name of              Title of    Cusip     Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number       Value      Prin Amt                    Defined     Other

--------------------------------------------------------------------------------------------------------------------
                                                                                     
NCR CORP NEW                   COM         62886E10   54,684,414    1,844,331    1,838,205        5,538         588
NS GROUP INC                   COM         62891610    1,027,119      151,047      151,047
NEC CORP                       ADR         62905020      972,974      121,470      121,470
NL INDS INC                    COM NEW     62915640    2,633,713      175,698      175,598          100
NMS COMMUNICATIONS C           COM         62924810      537,423      344,502      324,277       20,225
NN INC                         COM         62933710      615,265       70,558       70,558
NPS PHARMACEUTICALS            COM         62936P10    7,971,724      255,504      255,204          300
NRG ENERGY INC                 COM         62937710   27,848,844    1,718,004    1,495,096      191,908      31,000
NTL INC                        COM         62940710    3,754,918    1,211,264    1,209,160        1,591         513
NUI CORP                       COM         62943110    2,451,947      120,017      120,017
NVR INC                        COM         62944T10   29,741,330      211,667      210,947          720
NYMAGIC INC                    COM         62948410      399,051       24,863       24,863
NABORS INDS INC                COM         62956810   60,853,073    2,901,911    2,856,956       42,105       2,850
NACCO INDS INC                 CL A        62957910    5,094,212       91,376       71,704       19,672
NANOGEN INC                    COM         63007510      541,518      110,967      110,867          100
NANOMETRICS INC                COM         63007710    2,892,963      163,352      113,337       50,015
NANOPHASE TCHNOLOGIE           COM         63007910      373,626       83,961       83,961
NAPRO BIOTHERAPUTICS           COM         63079510    1,614,072      204,313      204,313
NASH FINCH CO                  COM         63115810    7,871,268      230,829      230,829
NATCO GROUP INC                CL A        63227W20      574,986       74,868       74,868
NATIONAL AUSTRALIA B           SPONSORED   63252540    1,753,754       27,484       27,484
NATIONAL BK GREECE S           SPONSORED   63364340      223,797       52,046       52,046
NATIONAL BEVERAGE CO           COM         63501710      219,390       21,939       21,939
NATIONAL CITY CORP             COM         63540510  392,663,069   13,110,620   12,747,598       39,918     323,104
NATIONAL COMMERCE FI           COM         63545P10   62,909,952    2,410,343    2,407,453        2,100         790
NATIONAL DATA CORP             COM         63562110   17,019,576      472,766      471,366        1,400
NATIONAL HEALTHCARE            COM         63590610      934,280       60,707       60,707
NATIONAL FUEL GAS CO           COM         63618010   22,518,549      977,792      971,052        6,740
NATIONAL GOLF PPTYS            COM         63623G10    3,239,548      201,841      201,841
NATIONAL GRID GROUP            SPONSORED   63627410      432,360       13,665       13,665
NATIONAL HEALTH INVS           COM         63633D10    3,860,405      287,019      287,019
NATIONAL INSTRS CORP           COM         63651810   10,803,420      412,817      412,297          320         200
NATIONAL-OILWELL INC           COM         63707110   12,757,593      879,834      833,744       38,540       7,550
NATIONAL PENN BANCSH           COM         63713810    3,786,884      161,144      161,144
NATIONAL PRESTO INDS           COM         63721510    1,484,584       55,189       55,089          100
NATIONAL PROCESSING            COM         63722910    2,515,856       89,852       89,852
NATIONAL SEMICONDUCT           COM         63764010   78,626,108    3,573,914    3,566,339        6,455       1,120
NATIONAL SVC INDS IN           COM         63765710   41,769,994    2,022,760    2,022,210          550
NATIONAL WESTN LIFE            CL A        63852210    2,453,090       24,264       24,264
NATIONWIDE FINL SVCS           CL A        63861210    7,577,023      203,793      203,333          360         100
NATIONWIDE HEALTH PP           COM         63862010    8,977,672      456,879      456,879
NATURES SUNSHINE PRO           COM         63902710    1,170,854      102,258      102,258
NAUTICA ENTERPRISES            COM         63908910    3,526,413      297,839      297,739          100
NAVISTAR INTL CORP N           COM         63934E10   37,313,249    1,320,823    1,319,848          875         100
Page Total                                           930,991,860


       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
NCR CORP NEW                    1,666,926          32,529         144,876
NS GROUP INC                      140,847                          10,200
NEC CORP                          121,470
NL INDS INC                       169,698                           6,000
NMS COMMUNICATIONS C              321,302                          23,200
NN INC                             70,558
NPS PHARMACEUTICALS               238,504                          17,000
NRG ENERGY INC                  1,652,804          33,600          31,600
NTL INC                         1,087,783          16,813         106,668
NUI CORP                          110,917                           9,100
NVR INC                           207,567                           4,100
NYMAGIC INC                        24,863
NABORS INDS INC                 2,580,814          50,781         270,316
NACCO INDS INC                     87,476                           3,900
NANOGEN INC                       108,167                           2,800
NANOMETRICS INC                   158,852                           4,500
NANOPHASE TCHNOLOGIE               83,961
NAPRO BIOTHERAPUTICS              189,713                          14,600
NASH FINCH CO                     224,129                           6,700
NATCO GROUP INC                    74,868
NATIONAL AUSTRALIA B               27,484
NATIONAL BK GREECE S               52,046
NATIONAL BEVERAGE CO               21,939
NATIONAL CITY CORP             11,016,857         506,101       1,587,662
NATIONAL COMMERCE FI            2,196,478          14,690         199,175
NATIONAL DATA CORP                451,966                          20,800
NATIONAL HEALTHCARE                60,707
NATIONAL FUEL GAS CO              898,140           5,000          74,652
NATIONAL GOLF PPTYS               195,641                           6,200
NATIONAL GRID GROUP                13,665
NATIONAL HEALTH INVS              271,619                          15,400
NATIONAL INSTRS CORP              392,217           3,200          17,400
NATIONAL-OILWELL INC              815,978          12,650          51,206
NATIONAL PENN BANCSH              148,019                          13,125
NATIONAL PRESTO INDS               52,489                           2,700
NATIONAL PROCESSING                85,952                           3,900
NATIONAL SEMICONDUCT            3,148,971          55,528         369,415
NATIONAL SVC INDS IN            1,929,448          13,500          79,812
NATIONAL WESTN LIFE                23,464                             800
NATIONWIDE FINL SVCS              185,993           2,700          15,100
NATIONWIDE HEALTH PP              426,379                          30,500
NATURES SUNSHINE PRO               90,158                          12,100
NAUTICA ENTERPRISES               282,439                          15,400
NAVISTAR INTL CORP N            1,153,074          15,562         152,187
Page Total
----------------------------------------------------------------------------


                                                                   Page 45 of 73




                                                                                      Investment Discretion
           Name of              Title of    Cusip        Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number          Value      Prin Amt                    Defined     Other

-----------------------------------------------------------------------------------------------------------------------
                                                                                        
NAVIGANT CONSULTING            COM         63935N10       1,251,668      337,377      336,077        1,300
NAVIGANT INTL INC              COM         63935R10         802,995       99,875       99,875
NEIMAN MARCUS GROUP            CL A        64020420      11,843,604      484,401      481,839        2,262         300
NEOSE TECHNOLOGIES I           COM         64052210       3,801,752       98,491       98,391                      100
NEOPHARM INC                   COM         64091910       1,246,024       88,685       88,685
NETBANK INC                    COM         64093310       1,814,741      216,815      216,815
NETWORKS ASSOCS INC            COM         64093810      19,518,759    1,514,256    1,509,466        4,290         500
NET2PHONE                      COM         64108N10         428,687      141,481      141,481
NETEGRITY INC                  COM         64110P10       1,805,159      210,637      210,417          200          20
NETRO CORP                     COM         64114R10         797,844      295,498      292,978        2,520
NETIQ CORP                     COM         64115P10       7,843,764      344,478      344,328           50         100
NETSCOUT SYS INC               COM         64115T10         709,031      166,831      166,831
NETRATINGS INC                 COM         64116M10         745,433       72,302       72,302
NETWORK APPLIANCE IN           COM         64120L10      43,056,430    6,331,828    6,314,420       16,568         840
NETWORK PLUS CORP              COM         64122D50       1,692,645    1,675,887    1,107,987      499,870      68,030
NEUBERGER BERMAN INC           COM         64123410      23,288,643      667,679      666,419        1,110         150
NEUROGEN CORP                  COM         64124E10       1,901,114      115,851      115,851
NEUROCRINE BIOSCIENC           COM         64125C10       6,307,972      197,001      196,981           20
NEW CENTURY FINANCIA           COM         64352D10         578,621       59,043       59,043
NEW ENGLAND BUSINESS           COM         64387210       1,841,511      106,139      106,139
NEW FOCUS INC                  COM         64438310       1,428,816      442,358      441,008        1,350
NEW HORIZONS WORLDWI           COM         64552610         530,023       45,993       45,993
NEW JERSEY RES                 COM         64602510       6,846,670      154,867      153,667          200       1,000
NEW PLAN EXCEL RLTY            COM         64805310      16,029,830      937,417      936,427          990
NEW YORK CMNTY BANCO           COM         64944510      17,133,227      738,183      738,183
NEW YORK TIMES CO              CL A        65011110     151,720,148    3,887,270    3,849,292       37,758         220
NEWELL RUBBERMAID IN           COM         65122910     135,512,023    5,967,064    5,929,549       35,237       2,278
NEWFIELD EXPL CO               COM         65129010       8,131,528      278,477      278,117          360
NEWHALL LAND & FARMI           DEPOSITARY  65142610         402,570       14,200       14,200
NEWMONT MINING CORP            COM         65163910      93,831,948    3,975,930    3,968,518        6,916         496
NEWPARK RES INC                COM PAR $.  65171850       3,875,829      574,197      573,247          950
NEWPORT CORP                   COM         65182410       5,658,513      401,313      401,193                      120
NEWPORT NEWS SHIPBUI           COM         65222810      27,905,270      415,257      413,007        2,250
NEWPOWER HLDGS INC             COM         65246310       1,182,877      384,051      383,951                      100
NEWS CORP LTD                  ADR NEW     65248770       1,265,298       52,502       52,502
NEWS CORP LTD                  SP ADR PFD  65248780       1,215,403       57,088       56,206          882
NEXTCARD INC                   COM         65332K10       1,800,486      282,651      281,651        1,000
NEXTEL COMMUNICATION           CL A        65332V10     124,776,849   14,441,765   14,313,760       81,490      46,515
NEXTEL PARTNERS INC            CL A        65333F10       3,289,704      488,812      487,312        1,500
NEXT LEVEL COMM INC            COM         65333U10         593,199      193,856      192,156        1,700
NIAGARA MOHAWK HLDGS           COM         65352010      52,090,976    3,069,592    3,058,432       10,840         320
NICOR INC                      COM         65408610      36,131,468      932,425      929,655        2,770
NIKE INC                       CL B        65410610     213,134,730    4,553,188    4,542,398        3,690       7,100
99 CENTS ONLY STORES           COM         65440K10      20,586,472      636,367      636,367
Page Total                                            1,056,350,254


       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
NAVIGANT CONSULTING               314,477                          22,900
NAVIGANT INTL INC                  92,575                           7,300
NEIMAN MARCUS GROUP               457,701           3,700          23,000
NEOSE TECHNOLOGIES I               90,591             100           7,800
NEOPHARM INC                       82,285                           6,400
NETBANK INC                       202,015                          14,800
NETWORKS ASSOCS INC             1,418,056          10,100          86,100
NET2PHONE                         130,581                          10,900
NETEGRITY INC                     194,517              20          16,100
NETRO CORP                        271,998                          23,500
NETIQ CORP                        319,510             100          24,868
NETSCOUT SYS INC                  155,431                          11,400
NETRATINGS INC                     72,302
NETWORK APPLIANCE IN            5,491,525         218,030         622,273
NETWORK PLUS CORP               1,607,857          68,030
NEUBERGER BERMAN INC              629,693           3,750          34,236
NEUROGEN CORP                     105,751                          10,100
NEUROCRINE BIOSCIENC              183,701                          13,300
NEW CENTURY FINANCIA               59,043
NEW ENGLAND BUSINESS               94,739                          11,400
NEW FOCUS INC                     409,758                          32,600
NEW HORIZONS WORLDWI               45,993
NEW JERSEY RES                    142,267           1,000          11,600
NEW PLAN EXCEL RLTY               871,617           8,400          57,400
NEW YORK CMNTY BANCO              686,208                          51,975
NEW YORK TIMES CO               3,327,577         111,248         448,445
NEWELL RUBBERMAID IN            5,172,669          99,212         695,183
NEWFIELD EXPL CO                  248,177           4,400          25,900
NEWHALL LAND & FARMI               14,200
NEWMONT MINING CORP             3,477,630          59,767         438,533
NEWPARK RES INC                   527,997                          46,200
NEWPORT CORP                      382,693             120          18,500
NEWPORT NEWS SHIPBUI              395,131                          20,126
NEWPOWER HLDGS INC                355,651             100          28,300
NEWS CORP LTD                      52,502
NEWS CORP LTD                      56,913                             175
NEXTCARD INC                      262,351                          20,300
NEXTEL COMMUNICATION           12,326,270         526,247       1,589,248
NEXTEL PARTNERS INC               465,012             300          23,500
NEXT LEVEL COMM INC               182,856                          11,000
NIAGARA MOHAWK HLDGS            2,743,132          46,726         279,734
NICOR INC                         836,838          12,121          83,466
NIKE INC                        4,006,430          74,249         472,509
99 CENTS ONLY STORES              611,817                          24,550
Page Total
----------------------------------------------------------------------------


                                                                   Page 46 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
NIPPON TELEG & TEL C           SPONSORED   65462410       20,807,034      898,792      230,466      668,326
NISOURCE INC                   COM         65473P10       99,759,317    4,279,679    4,267,785        9,112       2,782
NISSAN MOTORS                  SPONSORED   65474440          512,328       59,712       59,712
NOBLE AFFILIATES INC           COM         65489410       20,684,988      667,473      644,947        4,145      18,381
NOKIA CORP                     SPONSORED   65490220        4,356,036      278,341      276,296        2,045
NOBLE DRILLING CORP            COM         65504210       72,994,680    3,041,445    2,962,680       63,175      15,590
NORANDA INC                    COM         65542210        1,262,135      134,556      134,556
NORDSON CORP                   COM         65566310        7,991,987      365,766      365,406          360
NORDSTROM INC                  COM         65566410       35,151,026    2,432,597    2,425,702        2,815       4,080
NORFOLK SOUTHERN COR           COM         65584410      131,236,240    8,141,206    8,042,023       55,698      43,485
NORSK HYDRO A S                SPONSORED   65653160        1,098,770       30,186       30,186
NORTEK INC                     COM         65655910        2,624,229      121,774      121,774
NORTEL NETWORKS CORP           COM         65656810      269,662,534   48,068,188   48,056,943       11,245
NORTH AMERN SCIENTIF           COM         65715D10          549,342       50,865       50,865
NORTH FORK BANCORPOR           COM         65942410       68,427,576    2,300,860    2,279,275        9,685      11,900
NORTH PITTSBURGH SYS           COM         66156210        2,482,348      168,409      168,349           60
NORTHEAST UTILS                COM         66439710       26,851,983    1,433,635    1,426,349        4,550       2,736
NORTHERN TR CORP               COM         66585910      345,826,458    6,589,681    4,869,926    1,358,595     361,160
NORTHFIELD LABS INC            COM         66613510        1,064,985       81,859       81,859
NORTHROP GRUMMAN COR           COM         66680710      604,951,822    5,989,622    5,985,581        3,749         292
NORTHWEST AIRLS CORP           CL A        66728010       20,907,900    1,832,419      414,183    1,418,236
NORTHWEST BANCORP IN           COM         66732810        1,287,866      128,658      128,658
NORTHWEST NAT GAS CO           COM         66765510        5,383,956      230,182      230,182
NORTHWESTERN CORP              COM         66807410        5,882,162      267,371      266,665          240         466
NOVARTIS A G                   SPONSORED   66987V10        6,082,223      156,275      156,275
NU HORIZONS ELECTRS            COM         66990810          847,170      112,208      112,208
NOVADIGM INC                   COM         66993710          846,359      115,151      115,151
NUANCE COMMUNICATION           COM         66996710        2,507,414      385,756      283,878      101,778         100
NOVAVAX INC                    COM         67000210        1,577,832      111,903      111,903
NOVELL INC                     COM         67000610       28,096,615    7,676,671    7,612,781       62,750       1,140
NOVELLUS SYS INC               COM         67000810       79,207,847    2,773,384    2,768,589        4,495         300
NOVEN PHARMACEUTICAL           COM         67000910        6,341,099      350,337      350,337
NOVOSTE CORP                   COM         67010C10          781,354      131,763      131,463          300
NOVO-NORDISK A S               ADR         67010020          813,834       19,377       19,377
NU SKIN ENTERPRISES            CL A        67018T10        2,877,115      368,861      368,861
NSTAR                          COM         67019E10       22,677,076      541,219      529,754        6,080       5,385
NTELOS INC                     COM         67019U10        1,117,630      133,848      133,848
NUCOR CORP                     COM         67034610       72,953,990    1,837,632    1,785,144       25,601      26,887
NUEVO ENERGY CO                COM         67050910        1,922,672      137,826      137,826
NUMERICAL TECHNOLOGI           COM         67053T10        2,732,990      164,638      164,638
NVIDIA CORP                    COM         67066G10       33,976,214    1,236,848    1,231,768        4,000       1,080
NYFIX INC                      COM         67071210        2,978,761      208,305      208,165           40         100
O CHARLEYS INC                 COM         67082310        2,384,930      139,063      139,063
OGE ENERGY CORP                COM         67083710       18,419,045      842,206      830,550        9,556       2,100
Page Total                                             2,040,899,872


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
NIPPON TELEG & TEL C              885,592                          13,200
NISOURCE INC                    3,676,385          65,959         537,335
NISSAN MOTORS                      59,712
NOBLE AFFILIATES INC              591,122          21,881          54,470
NOKIA CORP                        278,341
NOBLE DRILLING CORP             2,732,426          59,204         249,815
NORANDA INC                        83,217                          51,339
NORDSON CORP                      340,966                          24,800
NORDSTROM INC                   2,158,330          37,253         237,014
NORFOLK SOUTHERN COR            6,957,254         162,715       1,021,237
NORSK HYDRO A S                    30,186
NORTEK INC                        116,274                           5,500
NORTEL NETWORKS CORP           43,946,349         729,394       3,392,445
NORTH AMERN SCIENTIF               50,865
NORTH FORK BANCORPOR            2,116,750          22,800         161,310
NORTH PITTSBURGH SYS              157,309                          11,100
NORTHEAST UTILS                 1,318,099          11,936         103,600
NORTHERN TR CORP                5,568,248         507,166         514,267
NORTHFIELD LABS INC                79,859                           2,000
NORTHROP GRUMMAN COR            1,666,214       4,173,867         149,541
NORTHWEST AIRLS CORP              381,161       1,415,958          35,300
NORTHWEST BANCORP IN              119,558                           9,100
NORTHWEST NAT GAS CO              205,982                          24,200
NORTHWESTERN CORP                 244,005             466          22,900
NOVARTIS A G                      156,275
NU HORIZONS ELECTRS               109,708                           2,500
NOVADIGM INC                      112,551                           2,600
NUANCE COMMUNICATION              369,156             100          16,500
NOVAVAX INC                       103,103                           8,800
NOVELL INC                      6,850,105          63,640         762,926
NOVELLUS SYS INC                2,438,731          43,193         291,460
NOVEN PHARMACEUTICAL              336,437                          13,900
NOVOSTE CORP                      120,563                          11,200
NOVO-NORDISK A S                   19,377
NU SKIN ENTERPRISES               340,661                          28,200
NSTAR                             498,434           8,785          34,000
NTELOS INC                        123,848                          10,000
NUCOR CORP                      1,588,163          52,613         196,856
NUEVO ENERGY CO                   126,326                          11,500
NUMERICAL TECHNOLOGI              153,138                          11,500
NVIDIA CORP                     1,167,888           7,880          61,080
NYFIX INC                         194,305             100          13,900
O CHARLEYS INC                    130,463                           8,600
OGE ENERGY CORP                   760,606           9,600          72,000
Page Total
----------------------------------------------------------------------------


                                                                   Page 47 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
OM GROUP INC                   COM         67087210      10,600,095       192,729      185,503        4,046       3,180
OSI PHARMACEUTICALS            COM         67104010       6,835,660       210,328      209,808          520
OTG SOFTWARE INC               COM         67105910         604,777       108,969      108,969
OAK TECHNOLOGY INC             COM         67180210       3,188,406       408,770      408,670          100
OAKLEY INC                     COM         67366210       2,577,820       205,404      205,404
OCCIDENTAL PETE CORP           COM         67459910     211,865,022     8,704,397    8,683,682       19,130       1,585
OCEAN ENERGY INC DEL           COM         67481E10      25,683,861     1,575,697    1,569,887        5,410         400
OCEANEERING INTL INC           COM         67523210       3,949,862       244,271      244,271
OCEANFIRST FINL CORP           COM         67523410       1,779,815        70,909       70,909
OCTEL CORP                     COM         67572710       1,287,464        70,546       70,546
OCULAR SCIENCES INC            COM         67574410       3,853,575       190,300      190,260           40
OCWEN FINL CORP                COM         67574610       4,349,713       603,289      558,089        2,600      42,600
ODYSSEY RE HLDGS COR           COM         67612W10         518,504        37,600       37,600
OFFICEMAX INC                  COM         67622M10       2,851,112       934,791      934,791
OFFICE DEPOT INC               COM         67622010     119,397,228     8,779,208    8,741,505       37,083         620
OFFSHORE LOGISTICS I           COM         67625510       6,223,835       324,327      323,007        1,320
OGLEBAY NORTON CO              COM         67700710         248,253        16,888       16,888
OHIO CAS CORP                  COM         67724010       9,087,791       699,599      695,149        4,450
OIL STS INTL INC               COM         67802610         655,096        99,257       99,257
OLD NATL BANCORP IND           COM         68003310      10,982,036       422,386      417,551        4,835
OLD REP INTL CORP              COM         68022310      76,563,446     2,921,154    2,915,793        4,661         700
OLD SECOND BANCORP I           COM         68027710       1,787,484        52,635       52,635
OLIN CORP                      COM PAR $1  68066520       6,874,602       467,660      467,560          100
OMNICARE INC                   COM         68190410      19,261,373       882,335      880,035        1,900         400
OMNICOM GROUP INC              COM         68191910     249,494,810     3,844,296    3,825,501       15,855       2,940
1-800 CONTACTS INC             COM         68197710         666,856        54,216       54,216
OMEGA FINL CORP                COM         68209210       2,198,542        70,875       70,875
OMNOVA SOLUTIONS INC           COM         68212910       2,048,668       327,787      327,687          100
ON ASSIGNMENT INC              COM         68215910       3,147,981       195,770      195,730           40
ON SEMICONDUCTOR COR           COM         68218910         637,382       344,531      344,311          220
1 800 FLOWERS COM              CL A        68243Q10         937,761        77,758       77,758
ONEIDA LTD                     COM         68250510       1,880,223       131,026      131,026
ONEOK INC NEW                  COM         68268010      14,421,988       870,893      867,837          560       2,496
ONI SYSTEMS CORP               COM         68273F10       4,856,484     1,205,083    1,068,388      118,995      17,700
ONYX PHARMACEUTICALS           COM         68339910         464,495       132,335      132,335
ONYX SOFTWARE CORP             COM         68340210         524,379       275,989      275,969           20
OPENWAVE SYS INC               COM         68371810      15,583,024     1,222,198    1,216,318        5,720         160
OPLINK COMMUNICATION           COM         68375Q10         647,302       980,761      980,761
OPNET TECHNOLOGIES I           COM         68375710       1,027,357       175,317      146,848       28,469
ORACLE CORP                    COM         68389X10   1,418,986,725   112,797,037  112,170,925      466,992     159,120
OPTION CARE INC                COM         68394810         680,418        43,785       43,785
ORASURE TECHNOLOGIES           COM         68554V10       2,175,490       212,243      212,243
ORBITAL SCIENCES COR           COM         68556410         594,370       326,577      326,577
ORCHID BIOSCIENCES I           COM         68571P10         718,081       327,891      327,891
Page Total                                            2,252,719,166


----------------------------------------------------------------------------
       Name of                        Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
OM GROUP INC                      172,049           5,480          15,200
OSI PHARMACEUTICALS               185,228           3,400          21,700
OTG SOFTWARE INC                  108,969
OAK TECHNOLOGY INC                380,970                          27,800
OAKLEY INC                        189,904                          15,500
OCCIDENTAL PETE CORP            7,652,111         182,066         870,220
OCEAN ENERGY INC DEL            1,455,197          11,500         109,000
OCEANEERING INTL INC              228,971                          15,300
OCEANFIRST FINL CORP               64,109                           6,800
OCTEL CORP                         64,346                           6,200
OCULAR SCIENCES INC               180,600                           9,700
OCWEN FINL CORP                   538,089          42,600          22,600
ODYSSEY RE HLDGS COR               37,600
OFFICEMAX INC                     852,591                          82,200
OFFICE DEPOT INC                6,133,590       2,030,269         615,349
OFFSHORE LOGISTICS I              313,327                          11,000
OGLEBAY NORTON CO                  16,088                             800
OHIO CAS CORP                     658,699                          40,900
OIL STS INTL INC                   94,757                           4,500
OLD NATL BANCORP IND              380,071           3,570          38,745
OLD REP INTL CORP               2,801,554           8,500         111,100
OLD SECOND BANCORP I               49,035                           3,600
OLIN CORP                         443,560                          24,100
OMNICARE INC                      822,735           8,300          51,300
OMNICOM GROUP INC               3,249,842         130,102         464,352
1-800 CONTACTS INC                 50,016                           4,200
OMEGA FINL CORP                    65,575                           5,300
OMNOVA SOLUTIONS INC              306,187                          21,600
ON ASSIGNMENT INC                 181,170                          14,600
ON SEMICONDUCTOR COR              321,731                          22,800
1 800 FLOWERS COM                  77,758
ONEIDA LTD                        117,526                          13,500
ONEOK INC NEW                     835,387           2,496          33,010
ONI SYSTEMS CORP                1,103,673          27,200          74,210
ONYX PHARMACEUTICALS              120,835                          11,500
ONYX SOFTWARE CORP                255,589                          20,400
OPENWAVE SYS INC                1,053,447          11,340         157,411
OPLINK COMMUNICATION              908,861                          71,900
OPNET TECHNOLOGIES I              170,217                           5,100
ORACLE CORP                    96,831,794       3,853,804      12,111,439
OPTION CARE INC                    43,785
ORASURE TECHNOLOGIES              196,343                          15,900
ORBITAL SCIENCES COR              298,877                          27,700
ORCHID BIOSCIENCES I              307,091                          20,800
Page Total
----------------------------------------------------------------------------


                                                                   Page 48 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
ORGANOGENESIS INC          COM           68590610          1,675,802         286,462        284,562           200           1,700
OREGON STL MLS INC         COM           68607910          1,118,353         209,038        209,038
O REILLY AUTOMOTIVE        COM           68609110          9,592,048         334,801        334,781            20
ORIENTAL FINL GROUP        COM           68618W10          1,906,230          94,602         94,602
ORION PWR HLDGS INC        COM           68628610          5,375,247         210,794        210,294           500
ORTHODONTIC CTRS AME       COM           68750P10          5,937,716         240,881        240,861            20
OSCA INC                   CL A          68783610            967,711          62,433         62,433
OSHKOSH B GOSH INC         CL A          68822220          2,360,176          90,776         90,776
OSHKOSH TRUCK CORP         COM           68823920         10,009,722         276,359        229,554        43,185           3,620
OSMONICS INC               COM           68835010          1,038,787          83,103         83,103
OTTER TAIL CORP            COM           68964810          5,955,796         210,081        207,481           100           2,500
OUTBACK STEAKHOUSE I       COM           68989910         22,841,354         891,892        888,652         3,040             200
OVERSEAS SHIPHOLDING       COM           69036810          8,040,670         365,485        365,465            20
OWENS & MINOR INC NE       COM           69073210          5,864,345         288,884        288,804            80
OWENS ILL INC              COM NEW       69076840         80,841,473      20,059,919     12,328,417     7,731,502
OXFORD HEALTH PLANS        COM           69147110         73,814,695       2,599,109      2,596,549         2,020             540
OXFORD INDS INC            COM           69149730          1,076,187          49,141         48,981                           160
P C CONNECTION             COM           69318J10            512,922          66,269         65,969           300
PC-TEL INC                 COM           69325Q10          1,627,695         217,026        217,026
PG&E CORP                  COM           69331C10        465,246,996      30,608,355     30,599,460         8,315             580
PFF BANCORP INC            COM           69331W10          5,005,660         182,024        182,024
P F CHANGS CHINA BIS       COM           69333Y10          7,035,255         195,859        157,509        32,985           5,365
PICO HLDGS INC             COM NEW       69336620          1,304,237         118,567        118,527            40
PLX TECHNOLOGY INC         COM           69341710            733,012         141,782        141,682           100
PMA CAP CORP               CL A          69341920          2,610,306         145,017        145,017
PMC-SIERRA INC             COM           69344F10         32,641,079       3,178,294      3,174,654         3,420             220
PMI GROUP INC              COM           69344M10         36,573,080         586,201        583,001         3,100             100
PNC FINL SVCS GROUP        COM           69347510        361,006,935       6,305,798      6,206,235        67,433          32,130
PPG INDS INC               COM           69350610        169,030,420       3,694,654      3,665,778         8,044          20,832
PPL CORP                   COM           69351T10        133,547,595       4,096,552      4,086,330         7,460           2,762
PRI AUTOMATION INC         COM           69357H10          1,981,966         197,801        197,781            20
PS BUSINESS PKS INC        COM           69360J10          6,089,678         219,844        219,764            80
PSS WORLD MED INC          COM           69366A10          9,545,819       1,000,610      1,000,450           160
PTEK HLDGS INC             COM           69366M10            307,357         119,131         24,131        95,000
PACCAR INC                 COM           69371810         69,521,002       1,416,772      1,411,192         3,230           2,350
PACIFIC CAP BANCORP        COM           69404P10          6,556,171         226,309        226,269            40
PACIFIC CENTY FINL C       COM           69405810         18,986,278         812,421        810,161         2,260
PACIFIC NORTHWEST BA       COM           69466M10          2,516,501         123,661        123,661
PACIFIC SUNWEAR CALI       COM           69487310          3,632,392         264,174        261,514         2,560             100
PACIFICARE HEALTH SY       COM           69511210          4,498,155         357,280        357,180           100
PACKAGING CORP AMER        COM           69515610         20,364,814       1,318,111      1,318,111
PACKARD BIOSCIENCE I       COM           69517220          4,446,914         562,189        562,189
PACKETEER INC              COM           69521010            998,792         313,101        201,807        92,954          18,340
PACTIV CORP                COM           69525710         47,420,568       3,272,641      3,268,621         4,020
Page Total                                             1,652,157,911


----------------------------------------------------------------------------
                                         Voting Authority
      Name of                        Sole            Shared          None
       Issuer
----------------------------------------------------------------------------
                                                          
ORGANOGENESIS INC                  260,962           1,700          23,800
OREGON STL MLS INC                 193,038                          16,000
O REILLY AUTOMOTIVE                311,001                          23,800
ORIENTAL FINL GROUP                 87,402                           7,200
ORION PWR HLDGS INC                191,094           2,200          17,500
ORTHODONTIC CTRS AME               211,481           3,600          25,800
OSCA INC                            61,033                           1,400
OSHKOSH B GOSH INC                  82,376                           8,400
OSHKOSH TRUCK CORP                 263,039           3,620           9,700
OSMONICS INC                        72,403                          10,700
OTTER TAIL CORP                    191,381           2,500          16,200
OUTBACK STEAKHOUSE I               841,442           4,600          45,850
OVERSEAS SHIPHOLDING               348,585                          16,900
OWENS & MINOR INC NE               266,384                          22,500
OWENS ILL INC                    1,549,738      18,386,001         124,180
OXFORD HEALTH PLANS              2,471,885           9,440         117,784
OXFORD INDS INC                     47,881             160           1,100
P C CONNECTION                      66,269
PC-TEL INC                         213,126                           3,900
PG&E CORP                        6,981,034      22,714,130         913,191
PFF BANCORP INC                    174,524                           7,500
P F CHANGS CHINA BIS               185,694           5,365           4,800
PICO HLDGS INC                     110,167                           8,400
PLX TECHNOLOGY INC                 130,782                          11,000
PMA CAP CORP                       132,417                          12,600
PMC-SIERRA INC                   2,746,714         101,820         329,760
PMI GROUP INC                      551,851           2,800          31,550
PNC FINL SVCS GROUP              5,418,540         117,690         769,568
PPG INDS INC                     3,235,209          70,689         388,756
PPL CORP                         3,683,212          57,927         355,413
PRI AUTOMATION INC                 183,401                          14,400
PS BUSINESS PKS INC                212,844                           7,000
PSS WORLD MED INC                  955,810                          44,800
PTEK HLDGS INC                     119,131
PACCAR INC                       1,269,941          22,831         124,000
PACIFIC CAP BANCORP                210,009                          16,300
PACIFIC CENTY FINL C               756,099           5,000          51,322
PACIFIC NORTHWEST BA               114,961                           8,700
PACIFIC SUNWEAR CALI               242,974             100          21,100
PACIFICARE HEALTH SY               329,863                          27,417
PACKAGING CORP AMER              1,258,211          18,800          41,100
PACKARD BIOSCIENCE I               522,489                          39,700
PACKETEER INC                      283,261          18,340          11,500
PACTIV CORP                      2,936,229          64,263         272,149
Page Total


                                                                   Page 49 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
PAIN THERAPEUTICS IN       COM           69562K10            766,479         109,497        109,497
PALL CORP                  COM           69642930         54,429,969       2,798,456      2,792,386         6,070
PALM HARBOR HOMES          COM           69663910          2,667,368         142,640        142,640
PALM INC                   COM           69664210         17,240,830      11,808,788     11,619,052       183,531           6,205
PANAMSAT CORP NEW          COM           69793310          7,997,267         342,936        342,416           520
PAN PACIFIC RETAIL P       COM           69806L10          9,778,722         371,109        370,203           906
PANERA BREAD CO            CL A          69840W10          2,874,568          82,154         82,154
PAPA JOHNS INTL INC        COM           69881310         14,910,082         572,364        572,264           100
PARADIGM GENETICS IN       COM           69900R10            826,575         132,252        131,373           879
PARAMETRIC TECHNOLOG       COM           69917310         30,266,035       5,831,606      5,823,536         6,905           1,165
PAREXEL INTL CORP          COM           69946210          2,457,956         216,751        216,451           300
PARK ELECTROCHEMICAL       COM           70041620          3,053,787         140,404        140,114           290
PARK NATL CORP             COM           70065810          9,853,794         101,848        101,848
PARK PL ENTMT CORP         COM           70069010         23,920,318       3,263,345      3,251,585        11,160             600
PARKER DRILLING CO         COM           70108110          2,595,078         842,558        706,258         1,300         135,000
PARKER HANNIFIN CORP       COM           70109410         90,357,484       2,634,329      2,574,541        30,291          29,497
PARKERVISION INC           COM           70135410          1,294,839          71,776         71,776
PARKWAY PPTYS INC          COM           70159Q10          3,214,087          98,895         98,895
PATHMARK STORES INC        COM           70322A10          6,114,220         256,900        248,900         8,000
PATINA OIL & GAS COR       COM           70322410          8,878,414         386,018        386,018
PATTERSON DENTAL CO        COM           70341210         21,651,453         587,397        586,157         1,140             100
PATTERSON UTI ENERGY       COM           70348110          5,318,297         430,283        430,283
PAXAR CORP                 COM           70422710          4,113,507         322,628        322,588            40
PAXSON COMMUNICATION       COM           70423110          2,109,391         292,971        291,271         1,700
PAYCHEX INC                COM           70432610        241,055,092       7,650,114      7,472,598       108,242          69,274
PAYLESS SHOESOURCE I       COM           70437910         13,794,365         251,722        250,705           917             100
PEABODY ENERGY CORP        COM           70454910          2,697,513         111,930        111,930
PEARSON PLC                SPONSORED     70501510            420,725          37,835         37,835
PEC SOLUTIONS INC          COM           70510710            473,524          27,789         27,789
PECHINEY                   SPONSORED     70515120            356,359          18,855         18,855
PECO II INC                COM           70522110            436,569          90,952         90,952
PEDIATRIX MED GROUP        COM           70532410          7,285,624         178,613        178,613
PEGASUS COMMUNICATIO       CL A          70590410          2,495,878         356,554        356,434            20             100
PEGASUS SOLUTIONS IN       COM           70590610          1,729,858         206,427        206,387            40
PEMSTAR INC                COM           70655210          1,968,650         171,187        171,187
PENN ENGR & MFG CORP       COM NON VT    70738930          1,534,054         108,032        108,032
PENN NATL GAMING INC       COM           70756910          3,326,986         202,865        202,865
PENN VA CORP               COM           70788210          1,921,293          68,252         68,252
PENNEY J C INC             COM           70816010        941,712,504      43,000,571     42,989,025        10,946             600
PENNFED FINL SVCS IN       COM           70816710            935,730          41,625         41,625
PENNSYLVANIA RL ESTA       SH BEN INT    70910210          2,978,145         140,148        140,048           100
PENNZOIL-QUAKER STAT       COM           70932310         10,568,096         945,268        943,518         1,450             300
PENTAIR INC                COM           70963110         16,057,909         521,869        521,069           800
PENTON MEDIA INC           COM           70966810            699,325         196,993        196,773           220
Page Total                                             1,579,138,719


----------------------------------------------------------------------------
      Name of                            Voting Authority
       Issuer                        Sole            Shared          None

----------------------------------------------------------------------------
                                                          
PAIN THERAPEUTICS IN                106,597                           2,900
PALL CORP                         2,567,622          31,215         199,619
PALM HARBOR HOMES                   132,440                          10,200
PALM INC                         10,017,022         343,851       1,447,915
PANAMSAT CORP NEW                   321,636           2,900          18,400
PAN PACIFIC RETAIL P                359,309                          11,800
PANERA BREAD CO                      76,254                           5,900
PAPA JOHNS INTL INC                 563,264                           9,100
PARADIGM GENETICS IN                121,452                          10,800
PARAMETRIC TECHNOLOG              5,046,645         187,252         597,709
PAREXEL INTL CORP                   201,951                          14,800
PARK ELECTROCHEMICAL                132,604                           7,800
PARK NATL CORP                       94,548                           7,300
PARK PL ENTMT CORP                2,931,814          18,000         313,531
PARKER DRILLING CO                  655,258         135,000          52,300
PARKER HANNIFIN CORP              2,286,649          75,451         272,229
PARKERVISION INC                     66,276                           5,500
PARKWAY PPTYS INC                    91,595                           7,300
PATHMARK STORES INC                 238,200                          18,700
PATINA OIL & GAS COR                377,618                           8,400
PATTERSON DENTAL CO                 551,897           5,100          30,400
PATTERSON UTI ENERGY                384,783           6,400          39,100
PAXAR CORP                          296,128                          26,500
PAXSON COMMUNICATION                269,471                          23,500
PAYCHEX INC                       6,350,363         326,395         973,356
PAYLESS SHOESOURCE I                235,522           2,200          14,000
PEABODY ENERGY CORP                 102,630                           9,300
PEARSON PLC                          37,835
PEC SOLUTIONS INC                    27,789
PECHINEY                             18,855
PECO II INC                          88,752                           2,200
PEDIATRIX MED GROUP                 166,213                          12,400
PEGASUS COMMUNICATIO                329,554             100          26,900
PEGASUS SOLUTIONS IN                189,427                          17,000
PEMSTAR INC                         160,887                          10,300
PENN ENGR & MFG CORP                 97,432                          10,600
PENN NATL GAMING INC                197,565                           5,300
PENN VA CORP                         63,752                           4,500
PENNEY J C INC                    4,899,451      37,471,532         629,588
PENNFED FINL SVCS IN                 40,425                           1,200
PENNSYLVANIA RL ESTA                132,648                           7,500
PENNZOIL-QUAKER STAT                894,368             300          50,600
PENTAIR INC                         481,069           9,900          30,900
PENTON MEDIA INC                    182,893                          14,100
Page Total


                                                                   Page 50 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
PENWEST PHARMACEUTIC       COM           70975410          1,727,049         100,235        100,235
PEOPLES BK BRIDGEPOR       COM           71019810          4,371,335         196,907        188,457         1,600           6,850
PEOPLES ENERGY CORP        COM           71103010         38,719,401         973,828        972,988           640             200
PEOPLES HLDG CO            COM           71114810            927,438          27,693         27,693
PEOPLESOFT INC             COM           71271310        108,110,833       5,992,840      5,984,725         7,755             360
PEP BOYS MANNY MOE &       COM           71327810          5,682,274         514,233        514,233
PEPSI BOTTLING GROUP       COM           71340910        258,239,810       5,605,379      5,603,829         1,450             100
PEPSIAMERICAS INC          COM           71343P20         19,938,471       1,333,677      1,330,057         3,220             400
PEPSICO INC                COM           71344810      2,444,844,114      50,409,157     47,749,849     1,661,393         997,915
PER-SE TECHNOLOGIES        COM NEW       71356930          1,985,619         250,078        250,078
PEREGRINE SYSTEMS IN       COM           71366Q10         14,860,748       1,176,623      1,169,802         6,721             100
PEREGRINE PHARMACEUT       COM           71366110            787,233         795,185        795,185
PERFORMANCE FOOD GRO       COM           71375510          9,218,528         323,117        323,117
PERFORMANCE TECHNOLO       COM           71376K10            689,649          83,899         83,899
PERICOM SEMICONDUCTO       COM           71383110          4,739,496         340,971        340,951            20
PERINI CORP                COM           71383910            446,556          68,701         68,701
PERKINELMER INC            COM           71404610         52,554,469       2,002,838      1,997,978         4,740             120
PEROT SYS CORP             CL A          71426510          9,035,747         559,489        559,439            50
PERRIGO CO                 COM           71429010         21,650,243       1,429,059      1,429,059
PETRO-CDA                  COM           71644E10            316,842          12,906         12,906
PETROLEO BRASILEIRO        SPONSORED     71654V10          6,789,120         353,600        353,600
PETROLEO BRASILEIRO        SPONSORED     71654V40            595,265          30,140         30,140
PETROQUEST ENERGY IN       COM           71674810            760,490         151,191        151,191
PETSMART INC               COM           71676810          6,838,606         971,393        971,393
PHARMACYCLICS INC          COM           71693310          2,852,521         160,254        159,254         1,000
PFIZER INC                 COM           71708110      5,700,676,390     142,161,506     35,032,951     4,194,857       2,933,698
PHARMACEUTICAL PROD        COM           71712410         30,254,783       1,032,939      1,032,259           680
PHARMACEUTICAL RES I       COM           71712510          5,488,232         153,517        153,417                           100
PHARMACOPEIA INC           COM           71713B10          2,440,134         188,282        188,282
PHARMACIA CORP             COM           71713U10      1,292,254,498      31,860,318     26,273,102     5,531,885          55,331
PHARMOS CORP               COM NEW       71713920            970,327         397,675        397,675
PHELPS DODGE CORP          COM           71726510         44,759,302       1,627,611      1,625,686         1,725             200
PHILADELPHIA CONS HL       COM           71752810          2,934,453          84,469         84,469
PHILADELPHIA SUBN CO       COM PAR $0    71800960         10,512,849         400,337        400,337
PHILIP MORRIS COS IN       COM           71815410      2,230,673,056      46,193,271     45,411,047       470,290         311,934
PHILLIPS PETE CO           COM           71850710        441,631,862       8,187,465      8,104,586        45,940          36,939
PHILLIPS VAN HEUSEN        COM           71859210         14,613,053       1,476,066        227,238     1,248,828
PHOENIX COS INC NEW        COM           71902E10            894,122          61,877         57,000         4,877
PHOENIX TECHNOLOGY L       COM           71915310          2,929,612         292,085        291,185           900
PHOTON DYNAMICS INC        COM           71936410          2,618,033         113,090        111,605         1,485
PHOTRONICS INC             COM           71940510          4,236,156         229,602        229,382           220
PICTURETEL CORP            COM NEW       72003530          1,497,176         250,364        250,364
PIEDMONT NAT GAS INC       COM           72018610          8,473,443         272,108        271,558           550
PIER 1 IMPORTS INC         COM           72027910          7,110,053         856,633        856,073           560
Page Total                                            12,821,649,391


----------------------------------------------------------------------------
      Name of                            Voting Authority
       Issuer                        Sole            Shared          None

----------------------------------------------------------------------------
                                                          
PENWEST PHARMACEUTIC                  96,635                           3,600
PEOPLES BK BRIDGEPOR                 174,057           7,450          15,400
PEOPLES ENERGY CORP                  885,361          20,850          67,617
PEOPLES HLDG CO                       27,693
PEOPLESOFT INC                     5,041,243         194,699         756,898
PEP BOYS MANNY MOE &                 469,233                          45,000
PEPSI BOTTLING GROUP               2,753,583       2,640,279         211,517
PEPSIAMERICAS INC                  1,228,877           5,100          99,700
PEPSICO INC                       33,274,266      12,782,585       4,352,306
PER-SE TECHNOLOGIES                  231,178                          18,900
PEREGRINE SYSTEMS IN               1,012,925           9,600         154,098
PEREGRINE PHARMACEUT                 735,085                          60,100
PERFORMANCE FOOD GRO                 298,847                          24,270
PERFORMANCE TECHNOLO                  81,899                           2,000
PERICOM SEMICONDUCTO                 326,671                          14,300
PERINI CORP                           68,701
PERKINELMER INC                    1,777,494          30,101         195,243
PEROT SYS CORP                       520,389                          39,100
PERRIGO CO                         1,390,759                          38,300
PETRO-CDA                             12,906
PETROLEO BRASILEIRO                  299,200          54,400
PETROLEO BRASILEIRO                   30,140
PETROQUEST ENERGY IN                 137,291                          13,900
PETSMART INC                         895,493                          75,900
PHARMACYCLICS INC                    149,854                          10,400
PFIZER INC                       117,748,662       9,527,140      14,885,704
PHARMACEUTICAL PROD                  994,403           3,600          34,936
PHARMACEUTICAL RES I                 142,617             100          10,800
PHARMACOPEIA INC                     173,882                          14,400
PHARMACIA CORP                    22,552,856       6,260,371       3,047,091
PHARMOS CORP                         363,875                          33,800
PHELPS DODGE CORP                  1,424,936          26,065         176,610
PHILADELPHIA CONS HL                  80,569                           3,900
PHILADELPHIA SUBN CO                 372,540                          27,797
PHILIP MORRIS COS IN              42,297,036       1,636,325       2,259,910
PHILLIPS PETE CO                   7,350,422         151,261         685,782
PHILLIPS VAN HEUSEN                  206,738       1,248,828          20,500
PHOENIX COS INC NEW                   61,877
PHOENIX TECHNOLOGY L                 275,185                          16,900
PHOTON DYNAMICS INC                  104,890                           8,200
PHOTRONICS INC                       212,702                          16,900
PICTURETEL CORP                      226,664                          23,700
PIEDMONT NAT GAS INC                 251,808                          20,300
PIER 1 IMPORTS INC                   795,833                          60,800
Page Total


                                                                   Page 51 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
PILGRIMS PRIDE CORP        CL B          72146710          1,707,322         123,719        123,719
PINNACLE ENTMT INC         COM           72345610            986,682         165,829        165,569            40             220
PINNACLE SYS INC           COM           72348110          1,300,886         447,040        446,940           100
PINNACLE WEST CAP CO       COM           72348410         69,581,038       1,752,671      1,750,971         1,700
PIONEER NAT RES CO         COM           72378710         14,343,256       1,007,959      1,006,599         1,160             200
PIONEER STD ELECTRS        COM           72387710          2,370,086         262,759        262,739            20
PITNEY BOWES INC           COM           72447910        200,128,997       5,238,979      5,217,404        16,045           5,530
PITT DESMOINES INC         COM           72450810          1,218,810          39,961         36,961         3,000
PITTSTON CO                COM BRINKS    72570110         12,046,798         665,569        664,349         1,020             200
PIXELWORKS INC             COM           72581M10          3,762,372         298,601        296,315         2,286
PIXAR                      COM           72581110          4,829,012         119,530        119,018           452              60
PLACER DOME INC            COM           72590610         61,874,541       4,837,728      4,835,628         2,100
PLAINS ALL AMERN PIP       UNIT LTD P    72650310            695,526          27,169         27,169
PLAINS RES INC             COM PAR $0    72654050          5,143,866         197,841        197,841
PLANAR SYS INC             COM           72690010          1,711,602          85,112         85,112
PLANTRONICS INC NEW        COM           72749310         13,366,518         783,960        783,260           300             400
PLATO LEARNING INC         COM           72764Y10          2,023,511          83,824         83,824
PLAYBOY ENTERPRISES        CL B          72811730          1,580,256         127,956        127,956
PLAYTEX PRODS INC          COM           72813P10          2,655,087         261,585        259,285         2,200             100
PLEXUS CORP                COM           72913210         11,683,654         495,490        494,830           460             200
PLUG POWER INC             COM           72919P10            789,599          82,079         82,079
PLUM CREEK TIMBER CO       COM           72925110          9,460,495         354,193        353,423           770
POGO PRODUCING CO          COM           73044810          8,356,200         355,583        354,753           830
POHANG IRON & STL LT       SPONSORED     73045010            534,114          34,020         34,020
POLARIS INDS INC           COM           73106810          9,326,340         243,000        242,460           460              80
POLAROID CORP              COM           73109510          5,739,766      11,038,012     11,026,920        11,092
POLO RALPH LAUREN CO       CL A          73157210         11,119,725         593,052        592,532           420             100
POLYCOM INC                COM           73172K10         20,865,886         856,212        854,772         1,140             300
POLYMEDICA CORP            COM           73173810          1,479,204          96,870         96,870
POLYONE CORP               COM           73179P10         55,191,973       7,075,894        688,816     6,387,078
POMEROY COMPUTER RES       COM           73182210            951,383          78,953         78,953
POPE & TALBOT INC          COM           73282710          1,714,944         133,980        133,980
POPULAR INC                COM           73317410         29,846,824         956,629        955,859           770
PORT FINL CORP             COM           73411910          1,306,379          54,706         54,706
PORTAL SOFTWARE INC        COM           73612610          1,392,622         934,646        931,696         2,850             100
PORTUGAL TELECOM SGP       SPONSORED     73727310            356,609          49,667         49,667
POSSIS MEDICAL INC         COM           73740710          1,689,994         144,444        144,444
POST PPTYS INC             COM           73746410         17,802,182         480,102        479,882           220
POTLATCH CORP              COM           73762810          8,888,130         329,312        327,450           510           1,352
POTOMAC ELEC PWR CO        COM           73767910         23,809,559       1,084,224      1,078,300         4,010           1,914
POWELL INDS INC            COM           73912810          1,028,513          45,409         45,409
POWER INTEGRATIONS I       COM           73927610          4,119,869         226,118        225,818           300
POWER-ONE INC              COM           73930810          9,154,311       1,488,506      1,486,586         1,620             300
POWERWAVE TECHNOLOGI       COM           73936310          8,410,990         705,620        705,370            50             200
Page Total                                               646,345,431


----------------------------------------------------------------------------
      Name of                            Voting Authority
       Issuer                        Sole            Shared          None

----------------------------------------------------------------------------
                                                          
PILGRIMS PRIDE CORP                 116,619                           7,100
PINNACLE ENTMT INC                  152,409             220          13,200
PINNACLE SYS INC                    416,240                          30,800
PINNACLE WEST CAP CO              1,579,441          26,606         146,624
PIONEER NAT RES CO                  935,374           9,700          62,885
PIONEER STD ELECTRS                 240,859                          21,900
PITNEY BOWES INC                  4,456,007         181,120         601,852
PITT DESMOINES INC                   39,061                             900
PITTSTON CO                         631,769             200          33,600
PIXELWORKS INC                      285,101                          13,500
PIXAR                               108,570             160          10,800
PLACER DOME INC                   4,424,197          91,250         322,281
PLAINS ALL AMERN PIP                 27,169
PLAINS RES INC                      186,041                          11,800
PLANAR SYS INC                       78,712                           6,400
PLANTRONICS INC NEW                 761,760             400          21,800
PLATO LEARNING INC                   77,724                           6,100
PLAYBOY ENTERPRISES                 119,956                           8,000
PLAYTEX PRODS INC                   240,185             100          21,300
PLEXUS CORP                         469,390             200          25,900
PLUG POWER INC                       76,779                           5,300
PLUM CREEK TIMBER CO                316,693           5,500          32,000
POGO PRODUCING CO                   317,083           5,200          33,300
POHANG IRON & STL LT                 17,720          16,300
POLARIS INDS INC                    227,420              80          15,500
POLAROID CORP                       326,530      10,667,157          44,325
POLO RALPH LAUREN CO                553,752           5,100          34,200
POLYCOM INC                         799,112           4,700          52,400
POLYMEDICA CORP                      89,970                           6,900
POLYONE CORP                        640,776       6,386,918          48,200
POMEROY COMPUTER RES                 77,153                           1,800
POPE & TALBOT INC                   125,280                           8,700
POPULAR INC                         861,007           9,100          86,522
PORT FINL CORP                       50,506                           4,200
PORTAL SOFTWARE INC                 839,219             100          95,327
PORTUGAL TELECOM SGP                 49,667
POSSIS MEDICAL INC                  134,044                          10,400
POST PPTYS INC                      455,202                          24,900
POTLATCH CORP                       309,690           1,352          18,270
POTOMAC ELEC PWR CO                 970,510           8,314         105,400
POWELL INDS INC                      44,409                           1,000
POWER INTEGRATIONS I                206,518                          19,600
POWER-ONE INC                     1,350,087          26,490         111,929
POWERWAVE TECHNOLOGI                668,220             200          37,200
Page Total


                                                                   Page 52 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
POZEN INC                  COM           73941U10            734,967         168,958        168,958
PRAECIS PHARMACEUTIC       COM           73942110          1,794,469         481,091        480,491                           600
PRAXAIR INC                COM           74005P10        149,413,824       3,557,472      3,550,297         6,805             370
PRE PAID LEGAL SVCS        COM           74006510          2,517,160         146,007        146,007
PRECISION CASTPARTS        COM           74018910         19,832,347         893,349        889,639         3,410             300
PRENTISS PPTYS TR          SH BEN INT    74070610         12,475,870         453,668        453,668
PRESIDENTIAL LIFE CO       COM           74088410          5,005,699         275,341        274,901                           440
PRESSTEK INC               COM           74111310          1,601,584         258,320        257,733           560              27
PRICE COMMUNICATIONS       COM NEW       74143730         11,076,147         653,460        652,760           600             100
PRICE T ROWE GROUP I       COM           74144T10         75,626,142       2,581,097      2,316,564       218,883          45,650
PRICELINE COM INC          COM           74150310          9,085,808       2,397,311      2,387,671         9,540             100
PRICESMART INC             COM           74151110          1,162,665          33,219         33,219
PRIMEDIA INC               COM           74157K10          2,979,778       1,267,991      1,262,121         5,750             120
PRIME GROUP REALTY T       SH BEN INT    74158J10          2,349,967         196,650        196,610            40
PRIMA ENERGY CORP          COM PAR $0    74190120          1,879,538          84,855         84,855
PRIME HOSPITALITY CO       COM           74191710          4,508,416         512,320        512,220           100
PRIORITY HEALTHCARE        CL B          74264T10          4,864,512         202,688        202,668            20
PRIVATE MEDIA GROUP        COM           74266R10            657,820          84,880         84,880
PROASSURANCE CORP          COM           74267C10          3,013,525         202,250        202,250
PRIZE ENERGY CORP          COM           74267L10            587,855          33,688         33,688
PROBUSINESS SERVICES       COM           74267410          2,185,059         147,739        147,439           300
PROCTER & GAMBLE CO        COM           74271810      2,357,504,249      32,387,749     30,205,993     1,229,092         952,664
PRODIGY COMMUNICATIO       CL A          74283P20            904,229         164,107        162,807         1,300
PROFIT RECOVERY GROU       COM           74316810          3,283,713         335,758        335,758
PROGENICS PHARMACEUT       COM           74318710            848,914          61,073         61,073
PROGRESS ENERGY INC        COM           74326310      1,016,421,683      23,643,212     23,628,787         9,115           5,310
PROGRESS SOFTWARE CO       COM           74331210          4,735,055         338,460        338,380            80
PROGRESSIVE CORP OHI       COM           74331510        232,834,023       1,738,865      1,731,629         4,136           3,100
PROLOGIS TR                SH BEN INT    74341010         34,807,678       1,649,653      1,600,993        48,660
PROMISTAR FINL CORP        COM           74342Y10          3,178,509         138,076        138,076
PROQUEST COMPANY           COM           74346P10          4,122,435         125,302        125,302
PROSPERITY BANCSHARE       COM           74360610          1,095,770          42,637         42,637
PROTECTIVE LIFE CORP       COM           74367410         47,302,712       1,631,128      1,625,208         4,720           1,200
PROTEIN DESIGN LABS        COM           74369L10         22,626,334         479,067        478,437           530             100
PROTON ENERGY SYS IN       COM           74371K10          1,291,585         274,222        274,222
PROVIDENT BANCORP IN       COM           74383510            352,436          16,400         16,400
PROVIDENT BANKSHARES       COM           74385910         10,518,684         508,149        508,149
PROVIDENT FINL GROUP       COM           74386610         10,279,552         407,111        407,111
PROVINCE HEALTHCARE        COM           74397710         11,375,549         309,623        286,743        22,880
PROVIDIAN FINL CORP        COM           74406A10        115,769,930       5,745,406      5,732,700         6,790           5,916
PROXIM INC                 COM           74428410          2,341,023         240,105        239,005         1,100
PRUDENTIAL PLC             ADR           74435K20            970,253          47,054         47,054
PUBLIC SVC CO N MEX        COM           74449910         22,489,261         892,077        892,077
PUBLIC SVC ENTERPRIS       COM           74457310        213,184,010       5,010,200      4,993,032        10,587           6,581
Page Total                                             4,431,590,739


----------------------------------------------------------------------------
                                         Voting Authority
      Name of                        Sole            Shared          None
       Issuer
----------------------------------------------------------------------------
                                                          
POZEN INC                           156,858                          12,100
PRAECIS PHARMACEUTIC                448,891             600          31,600
PRAXAIR INC                       3,090,463          57,023         409,986
PRE PAID LEGAL SVCS                 133,607                          12,400
PRECISION CASTPARTS                 856,049           5,200          32,100
PRENTISS PPTYS TR                   434,468                          19,200
PRESIDENTIAL LIFE CO                259,901             440          15,000
PRESSTEK INC                        238,993              27          19,300
PRICE COMMUNICATIONS                624,460             100          28,900
PRICE T ROWE GROUP I              2,310,238          82,618         188,241
PRICELINE COM INC                 2,335,711             100          61,500
PRICESMART INC                       30,919                           2,300
PRIMEDIA INC                      1,121,326          17,020         129,645
PRIME GROUP REALTY T                190,750                           5,900
PRIMA ENERGY CORP                    78,105                           6,750
PRIME HOSPITALITY CO                480,920                          31,400
PRIORITY HEALTHCARE                 188,488                          14,200
PRIVATE MEDIA GROUP                  84,880
PROASSURANCE CORP                   186,526                          15,724
PRIZE ENERGY CORP                    33,688
PROBUSINESS SERVICES                137,539                          10,200
PROCTER & GAMBLE CO              27,096,256       1,862,614       3,428,879
PRODIGY COMMUNICATIO                163,207                             900
PROFIT RECOVERY GROU                310,758                          25,000
PROGENICS PHARMACEUT                 59,373                           1,700
PROGRESS ENERGY INC               3,831,895      19,310,978         500,339
PROGRESS SOFTWARE CO                320,025                          18,435
PROGRESSIVE CORP OHI              1,530,085          26,760         182,020
PROLOGIS TR                       1,562,534           9,200          77,919
PROMISTAR FINL CORP                 125,976                          12,100
PROQUEST COMPANY                    117,002                           8,300
PROSPERITY BANCSHARE                 42,637
PROTECTIVE LIFE CORP              1,543,628          23,500          64,000
PROTEIN DESIGN LABS                 448,767           2,900          27,400
PROTON ENERGY SYS IN                253,622                          20,600
PROVIDENT BANCORP IN                 16,400
PROVIDENT BANKSHARES                492,914                          15,235
PROVIDENT FINL GROUP                388,711                          18,400
PROVINCE HEALTHCARE                 290,123                          19,500
PROVIDIAN FINL CORP               4,885,267         194,546         665,593
PROXIM INC                          224,305                          15,800
PRUDENTIAL PLC                       47,054
PUBLIC SVC CO N MEX                 869,677                          22,400
PUBLIC SVC ENTERPRIS              4,423,460          82,163         504,577
Page Total


                                                                   Page 53 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
PUBLIC STORAGE INC         COM           74460D10         35,377,313       1,059,201      1,058,681           520
PUGET ENERGY INC NEW       COM           74531010         23,863,785       1,110,460      1,109,545           340             575
PULITZER INC               COM           74576910          3,393,087          76,628         76,028           500             100
PULTE HOMES INC            COM           74586710         38,986,095       1,271,977      1,271,483           305             189
PUMATECH INC               COM           74588710            430,173         318,647        318,647
PURE RES INC               COM           74622E10          2,215,423         138,898        138,548           350
PURINA MLS INC NEW         COM           74627610            886,201          39,919         39,919
QRS CORP                   COM           74726X10            981,262         116,817        115,867           950
QLOGIC CORP                COM           74727710         37,707,609       1,984,611      1,978,116         6,195             300
QUAKER CITY BANCORP        COM           74731K10            709,203          23,648         23,648
QUAKER CHEM CORP           COM           74731610          1,091,740          60,151         60,151
QUAKER FABRIC CORP N       COM           74739910            593,307          81,275         81,275
QUALCOMM INC               COM           74752510        764,018,382      16,071,064     16,003,458        49,961          17,645
QUANTA SVCS INC            COM           74762E10          5,194,353         364,516        363,476           840             200
QUANEX CORP                COM           74762010          4,794,174         207,540        207,540
QUANTUM CORP               COM DSSG      74790620         13,790,424       1,690,003      1,680,175         9,428             400
QUEST DIAGNOSTICS IN       COM           74834L10         73,652,832       1,193,725      1,189,745         3,780             200
QUEST SOFTWARE INC         COM           74834T10          2,608,244         225,237        224,917           320
QUESTAR CORP               COM           74835610         16,482,923         816,795        810,355         2,540           3,900
QUICKSILVER RESOURCE       COM           74837R10            857,289          63,036         63,036
QUIKSILVER INC             COM           74838C10          2,381,660         192,847        192,847
QUINTILES TRANSNATIO       COM           74876710         36,306,097       2,486,719      2,392,564        83,415          10,740
QUIXOTE CORP               COM           74905610          1,039,721          49,487         49,487
QWEST COMMUNICATIONS       COM           74912110        555,714,544      33,276,320     32,862,576       297,030         116,714
R & G FINANCIAL CORP       CL B          74913610          1,753,574         101,952        101,952
RCN CORP                   COM           74936110          1,099,603         343,626        342,306           320           1,000
RFS HOTEL INVS INC         COM           74955J10          3,426,584         331,071        319,151        11,920
R H DONNELLEY CORP         COM NEW       74955W30          7,953,304         304,491        303,866           625
R G S ENERGY GROUP I       COM           74956K10         12,301,104         317,858        314,922         2,936
RLI CORP                   COM           74960710          2,738,718          66,798         66,298           500
RPC INC                    COM           74966010          1,311,464         105,508        105,508
RPM INC OHIO               COM           74968510         11,535,671       1,220,706      1,215,374         2,120           3,212
RSA SEC INC                COM           74971910          8,244,667         612,531        611,131         1,400
RTI INTL METALS INC        COM           74973W10          1,557,600         186,539        185,479         1,060
RF MICRODEVICES INC        COM           74994110         26,101,541       1,572,382      1,568,682         3,300             400
RADIAN GROUP INC           COM           75023610         35,425,197         920,135        918,935         1,200
RADIANT SYSTEMS INC        COM           75025N10          1,400,521         137,306        137,286            20
RADIO ONE INC              CL A          75040P10          4,254,543         367,722        289,937        64,365          13,420
RADIO ONE INC              CL D NON V    75040P40          3,685,806         319,394        315,794         3,600
RADIOSHACK CORP            COM           75043810         92,174,516       3,801,011      3,788,006         6,465           6,540
RADISYS CORP               COM           75045910          2,462,808         205,234        204,494           740
RAILAMERICA INC            COM           75075310          1,952,812         156,225        156,225
RAINBOW TECHNOLOGIES       COM           75086210            691,264         197,504        197,504
RAMBUS INC DEL             COM           75091710          5,721,148         777,330        775,290         1,960              80
Page Total                                             1,848,868,286


----------------------------------------------------------------------------
                                 Voting Authority
      Name of                Sole            Shared          None
       Issuer
----------------------------------------------------------------------------
                                                          
PUBLIC STORAGE INC                  998,801           5,800          54,600
PUGET ENERGY INC NEW              1,037,985           6,075          66,400
PULITZER INC                         70,328             100           6,200
PULTE HOMES INC                   1,158,177          10,496         103,304
PUMATECH INC                        292,047                          26,600
PURE RES INC                        130,598                           8,300
PURINA MLS INC NEW                   39,919
QRS CORP                            104,217                          12,600
QLOGIC CORP                       1,741,628          63,002         179,981
QUAKER CITY BANCORP                  22,748                             900
QUAKER CHEM CORP                     58,651                           1,500
QUAKER FABRIC CORP N                 81,275
QUALCOMM INC                     13,518,610         529,549       2,022,905
QUANTA SVCS INC                     345,216           4,200          15,100
QUANEX CORP                         196,640                          10,900
QUANTUM CORP                      1,556,803          14,700         118,500
QUEST DIAGNOSTICS IN              1,122,848           4,800          66,077
QUEST SOFTWARE INC                  204,737             100          20,400
QUESTAR CORP                        734,495           8,600          73,700
QUICKSILVER RESOURCE                 61,536                           1,500
QUIKSILVER INC                      177,247                          15,600
QUINTILES TRANSNATIO              2,220,937          54,498         211,284
QUIXOTE CORP                         45,687                           3,800
QWEST COMMUNICATIONS             29,048,704         587,363       3,640,253
R & G FINANCIAL CORP                 95,552                           6,400
RCN CORP                            312,226           1,000          30,400
RFS HOTEL INVS INC                  313,171                          17,900
R H DONNELLEY CORP                  283,591                          20,900
R G S ENERGY GROUP I                295,458                          22,400
RLI CORP                             60,998                           5,800
RPC INC                              97,108                           8,400
RPM INC OHIO                      1,150,994           3,212          66,500
RSA SEC INC                         570,806           6,000          35,725
RTI INTL METALS INC                 172,439                          14,100
RF MICRODEVICES INC               1,480,382           9,600          82,400
RADIAN GROUP INC                    862,370           7,200          50,565
RADIANT SYSTEMS INC                 125,206                          12,100
RADIO ONE INC                       307,047          13,420          47,255
RADIO ONE INC                       313,194           6,200
RADIOSHACK CORP                   3,182,075         129,030         489,906
RADISYS CORP                        194,884                          10,350
RAILAMERICA INC                     145,825                          10,400
RAINBOW TECHNOLOGIES                183,304                          14,200
RAMBUS INC DEL                      729,050              80          48,200
Page Total


                                                                   Page 54 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
RALCORP HLDGS INC NE       COM           75102810          5,091,027         261,615        261,515           100
RALSTON PURINA CO          COM           75127730        204,996,720       6,249,900      6,232,760        12,670           4,470
RANGE RES CORP             COM           75281A10          1,821,055         383,380        383,380
RANK GROUP PLC             SPONSORED     75303710            305,923          57,182         57,182
RARE HOSPITALITY INT       COM           75382010          3,729,537         239,996        239,996
RATIONAL SOFTWARE CO       COM NEW       75409P20         24,100,476       2,782,965      2,738,208        30,017          14,740
RAYMOND JAMES FINANC       COM           75473010          9,256,521         340,940        339,395         1,445             100
RAYONIER INC               COM           75490710         17,637,068         435,806        435,306           400             100
RAYOVAC CORP               COM           75508110          2,696,947         176,849        176,789            60
RAYTHEON CO                COM NEW       75511150        363,475,270      10,459,720     10,289,823       153,178          16,719
READ-RITE CORP             COM           75524610          2,963,803       1,004,679      1,004,679
READERS DIGEST ASSN        CL A NON V    75526710         26,779,462       1,456,197      1,281,122       159,675          15,400
READERS DIGEST ASSN        CL B          75526720         28,137,292       1,584,307                    1,584,307
REALNETWORKS INC           COM           75605L10          3,568,941         734,350        729,910         4,340             100
REALTY INCOME CORP         COM           75610910          7,070,200         243,800        243,700           100
RECKSON ASSOCS RLTY        COM           75621K10         12,849,031         532,051        532,051
RECOTON CORP               COM           75626810            920,420          74,528         74,528
RED HAT INC                COM           75657710          1,213,929         346,837        341,997         3,140           1,700
REDBACK NETWORKS INC       COM           75720910          1,120,880         773,021        769,201         3,720             100
REDWOOD TR INC             COM           75807540          1,154,438          47,902         47,902
REEBOK INTL LTD            COM           75811010         39,561,922       1,911,204      1,907,764         1,540           1,900
REED INTL PLC              SPON ADR N    75821287          1,779,659          54,093         54,093
REGAL BELOIT CORP          COM           75875010          3,308,177         181,270        180,970           300
REGENCY CTRS CORP          COM           75884910         11,744,034         456,079        456,079
REGENERON PHARMACEUT       COM           75886F10          5,546,344         249,386        249,386
REGENERATION TECH IN       COM           75886N10          1,074,363          92,220         92,220
REGENT COMMUNICATION       COM           75886510            885,210         147,045        147,045
REGIS CORP MINN            COM           75893210          6,657,105         317,610        317,590            20
REGIONS FINL CORP          COM           75894010        128,104,864       4,438,838      4,399,698        27,120          12,020
REGISTER COM INC           COM           75914G10          4,376,307         441,160        441,060           100
REHABCARE GROUP INC        COM           75914810          5,902,479         135,658        135,058           600
REINSURANCE GROUP AM       COM           75935110          7,333,615         214,999        214,999
RELIANCE STEEL & ALU       COM           75950910          4,555,124         191,714        191,714
RELIANT RES INC            COM           75952B10          5,522,499         340,895        340,895
RELIANT ENERGY INC         COM           75952J10        157,348,645       5,978,292      5,951,237        22,571           4,484
REMEC INC                  COM           75954310          2,880,318         363,218        363,218
REMINGTON OIL & GAS        COM           75959430          1,823,423         139,299        139,299
RENAISSANCE LEARNING       COM           75968L10          5,305,322         161,207        161,207
REPUBLIC BANCSHARES        COM           75992910            531,822          31,339         31,339
RENAL CARE GROUP INC       COM           75993010         14,607,103         474,719        474,219           500
RENT A CTR INC NEW         COM           76009N10          5,930,261         255,065        254,925            40             100
RENT WAY INC               COM           76009U10          1,097,580         209,063        209,063
REPSOL YPF S A             SPONSORED     76026T20            830,327          57,028         57,028
REPUBLIC BANCORP KY        CL A          76028120            485,930          36,674         36,674
Page Total                                             1,136,081,373


----------------------------------------------------------------------------
      Name of                            Voting Authority
       Issuer                        Sole            Shared          None

----------------------------------------------------------------------------
                                                          
RALCORP HLDGS INC NE                241,915                          19,700
RALSTON PURINA CO                 5,239,006         214,886         796,008
RANGE RES CORP                      353,780                          29,600
RANK GROUP PLC                       57,182
RARE HOSPITALITY INT                226,696                          13,300
RATIONAL SOFTWARE CO              2,504,592          28,240         250,133
RAYMOND JAMES FINANC                316,040             100          24,800
RAYONIER INC                        415,706           2,600          17,500
RAYOVAC CORP                        165,749                          11,100
RAYTHEON CO                       6,372,091       3,316,857         770,772
READ-RITE CORP                      930,579                          74,100
READERS DIGEST ASSN               1,165,619         168,195         122,383
READERS DIGEST ASSN                               1,584,307
REALNETWORKS INC                    672,050           7,000          55,300
REALTY INCOME CORP                  226,000                          17,800
RECKSON ASSOCS RLTY                 511,151                          20,900
RECOTON CORP                         72,928                           1,600
RED HAT INC                         327,037           1,700          18,100
REDBACK NETWORKS INC                668,351          11,000          93,670
REDWOOD TR INC                       46,902                           1,000
REEBOK INTL LTD                   1,746,067          20,974         144,163
REED INTL PLC                        15,601          38,492
REGAL BELOIT CORP                   166,170                          15,100
REGENCY CTRS CORP                   441,679                          14,400
REGENERON PHARMACEUT                233,186                          16,200
REGENERATION TECH IN                 89,820                           2,400
REGENT COMMUNICATION                144,045                           3,000
REGIS CORP MINN                     294,310                          23,300
REGIONS FINL CORP                 3,961,660          76,357         400,821
REGISTER COM INC                    426,760                          14,400
REHABCARE GROUP INC                 125,958                           9,700
REINSURANCE GROUP AM                203,099             100          11,800
RELIANCE STEEL & ALU                180,914                          10,800
RELIANT RES INC                     303,595           5,000          32,300
RELIANT ENERGY INC                5,212,817          97,162         668,313
REMEC INC                           339,318                          23,900
REMINGTON OIL & GAS                 129,399                           9,900
RENAISSANCE LEARNING                155,657                           5,550
REPUBLIC BANCSHARES                  31,339
RENAL CARE GROUP INC                445,419                          29,300
RENT A CTR INC NEW                  250,565             100           4,400
RENT WAY INC                        193,663                          15,400
REPSOL YPF S A                       57,028
REPUBLIC BANCORP KY                  36,674
Page Total


                                                                   Page 55 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
REPUBLIC BANCORP INC       COM           76028210          7,858,307         549,148        548,757           391
REPUBLIC SVCS INC          COM           76075910         18,972,063       1,171,115      1,166,495         4,520             100
RESEARCH FRONTIERS I       COM           76091110          1,402,797          86,326         86,326
RESMED INC                 COM           76115210          9,648,139         189,924        189,464           460
RESORTQUEST INTL INC       COM           76118310            365,190         121,730        121,730
RESOURCE AMERICA INC       CL A          76119520          1,131,240         126,537        126,537
RESOURCES CONNECTION       COM           76122Q10          1,070,802          58,900         58,900
RESPIRONICS INC            COM           76123010          9,471,832         266,362        265,783           579
RETEK INC                  COM           76128Q10          6,257,652         495,852        494,924           728             200
REUTERS GROUP PLC          SPONSORED     76132M10            630,448          12,066         12,066
REVLON INC                 CL A          76152550            343,796          65,485         65,285           200
REYNOLDS & REYNOLDS        CL A          76169510         21,760,615         933,932        921,472        12,260             200
REYNOLDS R J TOB HLD       COM           76182K10         55,194,383         965,950        960,640         4,864             446
RIBOZYME PHARMACEUTI       COM           76256710            635,726          90,948         90,948
RICHARDSON ELECTRS L       COM           76316510            296,641          35,913         35,913
RIGEL PHARMACEUTICAL       COM           76655910          1,010,625         202,125        202,125
RIGHTCHOICE MANAGED        COM           76657T10          2,062,360          41,206         41,106           100
RIGGS NATL CORP WASH       COM           76657010          2,241,269         144,598        144,398           200
RIGHT MGMT CONSULTAN       COM           76657310          1,299,753          41,860         41,860
RIO TINTO PLC              SPONSORED     76720410          1,366,218          21,686         21,686
RITE AID CORP              COM           76775410         28,461,779       3,686,759      3,681,199         5,340             220
RIVERSTONE NETWORKS        COM           76932010          3,843,829         732,158        728,522         3,524             112
RIVIANA FOODS INC          COM           76953610          1,045,466          60,327         60,327
ROADWAY CORP               COM           76974210          4,458,866         185,092        184,592                           500
ROANOKE ELEC STL COR       COM           76984110          1,102,677          92,662         92,662
ROBBINS & MYERS INC        COM           77019610          2,084,157          84,550         84,550
ROBERT HALF INTL INC       COM           77032310         69,510,397       3,473,783      3,468,913         4,630             240
ROCK-TENN CO               CL A          77273920          2,260,445         205,495        111,495        94,000
ROCKWELL INTL CORP N       COM           77390310         54,183,513       3,690,975      3,653,648        13,744          23,583
ROCKWELL COLLINS INC       COM           77434110         52,139,886       3,671,823      3,623,886        26,354          21,583
ROGERS CORP                COM           77513310          3,739,979         133,048        133,008            40
ROHM & HAAS CO             COM           77537110        145,286,373       4,434,871      4,409,049        14,696          11,126
ROHN INDS INC              COM           77538110            220,568          89,299         89,299
ROLLINS INC                COM           77571110          4,124,870         265,265        265,225            40
ROPER INDS INC NEW         COM           77669610         12,943,263         359,635        358,975           560             100
ROSLYN BANCORP INC         COM           77816210         17,475,476         944,110        915,139        28,971
ROSS STORES INC            COM           77829610         31,082,015       1,062,633      1,060,043         2,190             400
ROUSE CO                   COM           77927310         15,768,097         652,383        648,823         3,560
ROWAN COS INC              COM           77938210         24,192,599       1,954,168      1,949,353         4,455             360
ROXIO INC                  COM           78000810          2,246,560         147,800        146,706         1,094
ROYAL & SUN ALLIANCE       SPON ADR N    78004V20            346,214          13,524         13,524
ROYAL BANCSHARES PA        CL A          78008110            480,723          27,083         27,083
ROYAL BK CDA MONTREA       COM           78008710            426,634          13,988         13,854           134
ROYAL DUTCH PETE CO        NY REG GLD    78025780      1,614,771,790      32,134,762     31,975,644       159,118
Page Total                                             2,235,216,032


----------------------------------------------------------------------------
      Name of                            Voting Authority
       Issuer                        Sole            Shared          None

----------------------------------------------------------------------------
                                                          
REPUBLIC BANCORP INC                517,748                          31,400
REPUBLIC SVCS INC                 1,050,949          11,400         108,766
RESEARCH FRONTIERS I                 79,926                           6,400
RESMED INC                          166,824           3,000          20,100
RESORTQUEST INTL INC                111,730                          10,000
RESOURCE AMERICA INC                116,937                           9,600
RESOURCES CONNECTION                 56,900                           2,000
RESPIRONICS INC                     244,362                          22,000
RETEK INC                           461,652           4,600          29,600
REUTERS GROUP PLC                    12,066
REVLON INC                           65,485
REYNOLDS & REYNOLDS                 886,832           3,400          43,700
REYNOLDS R J TOB HLD                957,504           7,246           1,200
RIBOZYME PHARMACEUTI                 90,948
RICHARDSON ELECTRS L                 31,913                           4,000
RIGEL PHARMACEUTICAL                186,025                          16,100
RIGHTCHOICE MANAGED                  38,806                           2,400
RIGGS NATL CORP WASH                133,098                          11,500
RIGHT MGMT CONSULTAN                 40,560                           1,300
RIO TINTO PLC                        21,686
RITE AID CORP                     3,330,511          19,320         336,928
RIVERSTONE NETWORKS                 656,427           7,033          68,698
RIVIANA FOODS INC                    55,927                           4,400
ROADWAY CORP                        169,492             500          15,100
ROANOKE ELEC STL COR                 85,862                           6,800
ROBBINS & MYERS INC                  78,662                           5,888
ROBERT HALF INTL INC              2,936,486         119,671         417,626
ROCK-TENN CO                        203,295                           2,200
ROCKWELL INTL CORP N              3,173,168          91,529         426,278
ROCKWELL COLLINS INC              3,193,219          64,728         413,876
ROGERS CORP                         121,182                          11,866
ROHM & HAAS CO                    3,880,615          85,582         468,674
ROHN INDS INC                        89,299
ROLLINS INC                         252,765                          12,500
ROPER INDS INC NEW                  339,678             100          19,857
ROSLYN BANCORP INC                  874,360           8,850          60,900
ROSS STORES INC                     996,933           5,300          60,400
ROUSE CO                            592,483           3,500          56,400
ROWAN COS INC                     1,736,602          35,853         181,713
ROXIO INC                           137,246                          10,554
ROYAL & SUN ALLIANCE                 13,524
ROYAL BANCSHARES PA                  27,083
ROYAL BK CDA MONTREA                 12,779                           1,209
ROYAL DUTCH PETE CO              29,359,417         486,450       2,288,895
Page Total


                                                                   Page 56 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
RUBY TUESDAY INC           COM           78118210         13,344,795         849,987        754,908        82,129          12,950
RUDDICK CORP               COM           78125810          6,309,153         412,363        412,163           100             100
RUDOLPH TECHNOLOGIES       COM           78127010          2,003,230          81,234         81,234
RURAL CELLULAR CORP        CL A          78190410          1,754,727          72,211         71,281           930
RUSS BERRIE & CO           COM           78223310          3,948,105         148,425        148,425
RUSSELL CORP               COM           78235210          3,136,879         228,469        228,201           268
RYANS FAMILY STEAK H       COM           78351910          4,992,774         291,634        287,954         2,720             960
RYDER SYS INC              COM           78354910         36,626,577       1,832,245      1,831,045         1,200
RYERSON TULL INC NEW       COM           78375P10          2,661,478         212,070        212,070
RYLAND GROUP INC           COM           78376410         14,254,207         298,893        298,893
S & T BANCORP INC          COM           78385910          7,063,173         301,845        301,845
SBC COMMUNICATIONS I       COM           78387G10      3,621,515,033      76,857,280     75,366,726       981,622         508,932
SBS TECHNOLOGIES INC       COM           78387P10          1,288,388         115,447        115,447
SBA COMMUNICATIONS C       COM           78388J10          4,264,657         319,450        318,910           540
SCI SYS INC                COM           78389010         25,848,288       1,436,016      1,431,816         3,900             300
SCM MICROSYSTEMS INC       COM           78401810            787,030         126,736        126,736
SCPIE HLDGS INC            COM           78402P10          1,247,331          77,474         77,474
SCP POOL CORP              COM           78402810          3,923,276         183,760        181,525         2,085             150
SEI INVESTMENTS CO         COM           78411710         33,399,936       1,043,748      1,016,735        26,753             260
SEMCO ENERGY INC           COM           78412D10          2,552,362         177,865        177,865
SJNB FINL CORP             COM           78427310            988,793          23,678         23,478           200
SJW CORP                   COM           78430510          1,432,512          17,491         17,491
SKF AB                     SPONSORED     78437540            284,823          20,790         20,790
SK TELECOM LTD             SPONSORED     78440P10          1,597,125          86,612         86,612
SL GREEN RLTY CORP         COM           78440X10         25,745,693         816,805        731,295        85,510
SLI INC                    COM           78442T10            539,709         208,382        208,322            60
SPDR TR                    UNIT SER 1    78462F10         54,736,690         524,097        524,097
SPSS INC                   COM           78462K10          1,552,101          90,186         90,186
SPS TECHNOLOGIES INC       COM           78462610          2,655,525          87,815         87,395           420
S1 CORPORATION             COM           78463B10          4,424,537         522,995        521,595         1,300             100
SPX CORP                   COM           78463510         49,291,842         594,594        522,750        55,588          16,256
SRI/SURGICAL EXPRESS       COM           78464W10            435,510          14,639         14,639
SABA SOFTWARE INC          COM           78493210            418,734         211,482        211,270           112             100
S Y BANCORP INC            COM           78506010          1,309,536          40,923         40,923
SABRE HLDGS CORP           CL A          78590510         71,368,525       2,668,980      2,662,279         5,377           1,324
SAFECO CORP                COM           78642910        113,606,990       3,745,697      3,733,528         5,770           6,399
SAFEGUARD SCIENTIFIC       COM           78644910          1,842,000       1,040,678      1,036,228         4,050             400
SAFEWAY INC                COM NEW       78651420        383,052,252       9,643,813      9,587,853        50,925           5,035
SAGA COMMUNICATIONS        CL A          78659810          1,460,150          84,353         84,353
SAGE INC                   COM           78663210          1,522,590          99,842         99,842
ST FRANCIS CAP CORP        COM           78937410          1,330,211          62,305         62,305
ST JOE CO                  COM           79014810          6,173,600         238,824        237,704         1,120
ST JUDE MED INC            COM           79084910        163,492,619       2,388,497      2,384,972         3,325             200
ST MARY LD & EXPL CO       COM           79222810          3,955,434         248,301        245,096         3,205
Page Total                                             4,684,138,900


----------------------------------------------------------------------------
      Name of                            Voting Authority
       Issuer                        Sole            Shared          None

----------------------------------------------------------------------------
                                                          
RUBY TUESDAY INC                    777,837          12,950          59,200
RUDDICK CORP                        390,150             100          22,113
RUDOLPH TECHNOLOGIES                 75,334                           5,900
RURAL CELLULAR CORP                  67,911                           4,300
RUSS BERRIE & CO                    142,025                           6,400
RUSSELL CORP                        200,193                          28,276
RYANS FAMILY STEAK H                256,974             960          33,700
RYDER SYS INC                     1,706,599          14,300         111,346
RYERSON TULL INC NEW                197,670                          14,400
RYLAND GROUP INC                    289,793                           9,100
S & T BANCORP INC                   287,145                          14,700
SBC COMMUNICATIONS I             65,005,314       2,795,580       9,056,386
SBS TECHNOLOGIES INC                106,747                           8,700
SBA COMMUNICATIONS C                295,350                          24,100
SCI SYS INC                       1,336,166           9,500          90,350
SCM MICROSYSTEMS INC                116,636                          10,100
SCPIE HLDGS INC                      71,574                           5,900
SCP POOL CORP                       169,023             150          14,587
SEI INVESTMENTS CO                  995,563           4,760          43,425
SEMCO ENERGY INC                    164,365                          13,500
SJNB FINL CORP                       23,578                             100
SJW CORP                             16,191                           1,300
SKF AB                               20,790
SK TELECOM LTD                       28,312          58,300
SL GREEN RLTY CORP                  802,205                          14,600
SLI INC                             197,182                          11,200
SPDR TR                             481,697                          42,400
SPSS INC                             82,586                           7,600
SPS TECHNOLOGIES INC                 81,815                           6,000
S1 CORPORATION                      485,695             100          37,200
SPX CORP                            537,512          18,856          38,226
SRI/SURGICAL EXPRESS                 14,639
SABA SOFTWARE INC                   196,282             100          15,100
S Y BANCORP INC                      39,823                           1,100
SABRE HLDGS CORP                  2,311,312          93,328         264,340
SAFECO CORP                       3,385,920          38,071         321,706
SAFEGUARD SCIENTIFIC                964,378             400          75,900
SAFEWAY INC                       8,456,803         159,702       1,027,308
SAGA COMMUNICATIONS                  78,253                           6,100
SAGE INC                             92,742                           7,100
ST FRANCIS CAP CORP                  60,905                           1,400
ST JOE CO                           215,224                          23,600
ST JUDE MED INC                   2,093,869          78,802         215,826
ST MARY LD & EXPL CO                229,801                          18,500
Page Total


                                                                   Page 57 of 73




-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Investment Discretion
      Name of               Title of       Cusip          Fair Market       Shares           Sole      Shared as         Shared
       Issuer                Class        Number             Value         Prin Amt                     Defined           Other

-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
ST PAUL COS INC            COM           79286010        214,647,585       5,207,365      5,186,835        14,026           6,504
SAKS INC                   COM           79377W10          6,788,730       1,357,746      1,351,816         5,830             100
SALEM COMMUNICATIONS       CL A          79409310          1,656,817          84,965         84,965
SALTON INC                 COM           79575710            519,343          60,671         60,671
SAN PAOLO-IMI S P A        SPONSORED     79917510            691,410          33,321         33,321
SANCHEZ COMPUTER ASS       COM           79970210            934,818         124,311        124,191           120
SANDERSON FARMS INC        COM           80001310            427,342          30,010         30,010
SANDISK CORP               COM           80004C10          6,847,592         694,482        691,202         3,080             200
SANDY SPRING BANCORP       COM           80036310          3,088,199          77,808         77,808
SANGAMO BIOSCIENCES        COM           80067710            586,257          78,272         78,272
SANMINA CORP               COM           80090710         86,453,742       6,366,255      6,350,815        15,020             420
SANGSTAT MED CORP          COM           80100310          4,246,327         230,403        230,403
SANTANDER BANCORP          COM           80280910          1,613,031          82,847         82,847
SANYO ELEC LTD             ADR 5 COM     80303830            321,836          17,781         17,781
SAP AKTIENGESELLSCHA       SPONSORED     80305420            370,111          14,279         13,959           320
SAPIENT CORP               COM           80306210          9,721,573       2,525,084      2,513,970        10,714             400
SARA LEE CORP              COM           80311110        451,002,344      21,173,819     17,602,514     3,470,965         100,340
SASOL LTD                  SPONSORED     80386630            234,687          28,796         28,796
SATCON TECHNOLOGY CO       COM           80389310            372,761          69,158         69,158
SAUER-DANFOSS INC          COM           80413710          1,006,801         128,747        128,687            60
SAUL CTRS INC              COM           80439510          2,827,466         148,814        148,814
SCANA CORP NEW             COM           80589M10         25,704,610       1,012,790      1,004,499         7,638             653
SCANSOURCE INC             COM           80603710          2,133,661          47,637         47,637
SCHAWK INC                 CL A          80637310            702,777          71,348         71,348
SCHEIN HENRY INC           COM           80640710         38,628,872       1,000,748        994,048           200           6,500
SCHERING PLOUGH CORP       COM           80660510      1,085,833,636      29,267,753     28,674,539       303,526         289,688
SCHLUMBERGER LTD           COM           80685710        434,758,724       9,513,320      9,340,290       173,030
SCHOLASTIC CORP            COM           80706610         25,543,374         587,204        586,604           400             200
SCHOOL SPECIALTY INC       COM           80786310          6,537,853         213,935        213,695           240
SCHULER HOMES INC          CL A          80818810          2,897,155         238,449        238,449
SCHULMAN A INC             COM           80819410          3,541,662         345,528        345,228           300
SCHWAB CHARLES CORP        COM           80851310        321,656,265      27,970,110     27,792,054       165,058          12,998
SCHWEITZER-MAUDUIT I       COM           80854110          3,130,826         131,991        131,991
SCICLONE PHARMACEUTI       COM           80862K10            939,155         280,345        280,345
SCIENTIFIC ATLANTA I       COM           80865510         61,163,812       3,495,075      3,487,680         7,075             320
SCIENTIFIC GAMES COR       CL A          80874P10            699,505         177,090        117,090                        60,000
SCIOS INC                  COM           80890510          6,233,249         372,802        372,802
SCOTTISH PWR PLC           SPON ADR F    81013T70            596,292          25,160         25,149            11
SCOTTS CO                  CL A          81018610          6,116,005         179,355        175,055         4,200             100
SCRIPPS E W CO OHIO        CL A          81105420         18,864,923         309,718        309,538           180
SEACHANGE INTL INC         COM           81169910          2,618,840         149,905        149,905
SEACOAST FINL SVCS C       COM           81170Q10          3,338,865         224,537        222,061         1,876             600
SEACOAST BKG CORP FL       CL A          81170710          1,296,540          30,731         30,731
SEACOR SMIT INC            COM           81190410          5,984,462         167,632        167,242           390
Page Total                                             2,853,279,835


----------------------------------------------------------------------------
      Name of                            Voting Authority
       Issuer                        Sole            Shared          None

----------------------------------------------------------------------------
                                                          
ST PAUL COS INC                   4,584,721          73,995         548,649
SAKS INC                          1,274,846           7,100          75,800
SALEM COMMUNICATIONS                 79,465                           5,500
SALTON INC                           57,171                           3,500
SAN PAOLO-IMI S P A                  33,321
SANCHEZ COMPUTER ASS                121,811                           2,500
SANDERSON FARMS INC                  30,010
SANDISK CORP                        646,582           5,400          42,500
SANDY SPRING BANCORP                 72,108                           5,700
SANGAMO BIOSCIENCES                  76,572                           1,700
SANMINA CORP                      5,430,440          97,217         838,598
SANGSTAT MED CORP                   219,603                          10,800
SANTANDER BANCORP                    77,747                           5,100
SANYO ELEC LTD                       17,781
SAP AKTIENGESELLSCHA                 14,279
SAPIENT CORP                      2,271,151          31,000         222,933
SARA LEE CORP                    15,129,817       4,129,075       1,914,927
SASOL LTD                            28,796
SATCON TECHNOLOGY CO                 69,158
SAUER-DANFOSS INC                   116,347                          12,400
SAUL CTRS INC                       141,814                           7,000
SCANA CORP NEW                      939,637           7,453          65,700
SCANSOURCE INC                       44,037                           3,600
SCHAWK INC                           71,348
SCHEIN HENRY INC                    947,748          18,000          35,000
SCHERING PLOUGH CORP             24,851,355       1,332,634       3,083,764
SCHLUMBERGER LTD                  8,431,448         133,494         948,378
SCHOLASTIC CORP                     552,904             200          34,100
SCHOOL SPECIALTY INC                204,335                           9,600
SCHULER HOMES INC                   219,749                          18,700
SCHULMAN A INC                      326,528                          19,000
SCHWAB CHARLES CORP              23,606,644         930,214       3,433,252
SCHWEITZER-MAUDUIT I                131,991
SCICLONE PHARMACEUTI                260,045                          20,300
SCIENTIFIC ATLANTA I              2,993,278         107,547         394,250
SCIENTIFIC GAMES COR                117,090          60,000
SCIOS INC                           348,202                          24,600
SCOTTISH PWR PLC                     25,160
SCOTTS CO                           168,855             100          10,400
SCRIPPS E W CO OHIO                 281,395           2,800          25,523
SEACHANGE INTL INC                  137,805                          12,100
SEACOAST FINL SVCS C                204,037             600          19,900
SEACOAST BKG CORP FL                 28,431                           2,300
SEACOR SMIT INC                     156,432                          11,200
Page Total


                                                                   Page 58 of 73




-------------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

-------------------------------------------------------------------------------------------------------------------------------
                                                                                         
SEALED AIR CORP NEW            COM           81211K10       69,922,356     1,916,206    1,893,776      12,180          10,250
SEARS ROEBUCK & CO             COM           81238710    1,145,072,587    33,056,368   33,039,637      13,280           3,451
SEATTLE GENETICS INC           COM           81257810          273,710        54,742       51,887                       2,855
SECOND BANCORP INC             COM           81311410        1,337,625        65,250       65,250                      63,650
SECTOR SPDR TR                 SBI CONS S    81369Y30          501,200        20,000       20,000
SECTOR SPDR TR                 SBI INT-FI    81369Y60        2,959,132       119,900      119,900
SECTOR SPDR TR                 SBI INT-IN    81369Y70          568,080        24,000       24,000
SECTOR SPDR TR                 SBI INT-TE    81369Y80        2,482,961       128,985       92,000      26,658          10,327
SECURE COMPUTING COR           COM           81370510        2,351,041       241,380      240,580         800
SECURITY CAP GROUP I           CL B          81413P20        9,536,674       509,710      508,410       1,200             100
SEEBEYOND TECHNOLOGI           COM           81570410          471,119       261,733      261,733
SEITEL INC                     COM NEW       81607430        2,822,532       280,849      280,849
SELECT MEDICAL CORP            COM           81619610        1,594,498       101,238      101,238
SELECTICA INC                  COM           81628810          295,872       123,280      123,280
SELECTIVE INS GROUP            COM           81630010        5,306,828       227,468      227,268         100             100
SEMTECH CORP                   COM           81685010       21,558,526       759,638      758,818         620             200
SEMPRA ENERGY                  COM           81685110      111,760,803     4,515,588    4,507,210       7,478             900
SEMITOOL INC                   COM           81690910        1,354,145       141,647      141,647
SENIOR HSG PPTYS TR            SH BEN INT    81721M10        1,677,120       124,693      124,633          60
SENSIENT TECHNOLOGIE           COM           81725T10       10,579,809       567,891      567,591         300
SENSORMATIC ELECTRS            COM           81726510       22,018,838       933,793      932,953         440             400
SEPRACOR INC                   COM           81731510       30,631,854       853,255      786,881       4,874          61,500
SEQUA CORPORATION              CL A          81732010        3,288,812        72,697       72,697
SEQUENOM INC                   COM           81733710        1,034,362       147,766      147,766
SERENA SOFTWARE INC            COM           81749210        1,709,334       146,724      146,714          10
SERONO S A                     SPONSORED     81752M10          420,634        22,162       22,162
SEROLOGICALS CORP              COM           81752310        3,446,640       190,317      189,917         400
SERVICE CORP INTL              COM           81756510       13,882,493     2,306,062    2,283,458      22,384             220
SERVICEMASTER CO               COM           81760N10       27,851,958     2,511,448    2,502,633       7,920             895
7-ELEVEN INC                   COM NEW       81782620        2,584,617       267,836      267,836
SHAW GROUP INC                 COM           82028010        7,460,486       264,838      263,598       1,240
SHERWIN WILLIAMS CO            COM           82434810       83,977,134     3,779,349    3,767,649       5,600           6,100
SHOPKO STORES INC              COM           82491110        2,063,256       248,885      248,885
SHUFFLE MASTER INC             COM           82554910        1,780,544       141,201      141,201
SHURGARD STORAGE CTR           COM           82567D10       10,679,295       354,323      354,223         100
SICOR INC                      COM           82584610       11,777,216       623,463      623,003         460
SIEBEL SYS INC                 COM           82617010      117,345,438     9,019,634    9,004,303      14,971             360
SIEMENS A G                    SPONSORED     82619750        1,721,625        44,834       44,834
SIERRA HEALTH SVCS I           COM           82632210        1,603,020       193,135      193,135
SIERRA PAC RES NEW             COM           82642810       17,929,211     1,187,365    1,186,034       1,031             300
SIGMA ALDRICH CORP             COM           82655210       71,007,572     1,570,964    1,563,152       6,572           1,240
SIGNALSOFT CORP                COM           82668M10          525,122       133,619      133,619
SILICON LABORATORIES           COM           82691910        1,339,670        97,148       97,098          50
SILGAN HOLDINGS INC            COM           82704810        1,593,747        87,090       87,090
Page Total                                               1,830,099,496


----------------------------------------------------------------------------
                                       Voting Authority
Name of                            Sole            Shared           None
Issuer
----------------------------------------------------------------------------
                                                       
SEALED AIR CORP NEW              1,659,684          35,957         220,565
SEARS ROEBUCK & CO               6,933,691      25,268,977         853,700
SEATTLE GENETICS INC                49,087           2,855           2,800
SECOND BANCORP INC                  63,650                           1,600
SECTOR SPDR TR                                                      20,000
SECTOR SPDR TR                                                     119,900
SECTOR SPDR TR                                                      24,000
SECTOR SPDR TR                      26,658          10,327          92,000
SECURE COMPUTING COR               224,480                          16,900
SECURITY CAP GROUP I               458,510           6,900          44,300
SEEBEYOND TECHNOLOGI               244,433                          17,300
SEITEL INC                         266,949                          13,900
SELECT MEDICAL CORP                 95,438                           5,800
SELECTICA INC                      120,180                           3,100
SELECTIVE INS GROUP                209,368             100          18,000
SEMTECH CORP                       714,438           4,000          41,200
SEMPRA ENERGY                    3,963,580          63,634         488,374
SEMITOOL INC                       132,047                           9,600
SENIOR HSG PPTYS TR                116,493                           8,200
SENSIENT TECHNOLOGIE               536,976                          30,915
SENSORMATIC ELECTRS                888,693             400          44,700
SEPRACOR INC                       736,255          68,400          48,600
SEQUA CORPORATION                   69,097                           3,600
SEQUENOM INC                       136,066                          11,700
SERENA SOFTWARE INC                136,724                          10,000
SERONO S A                          22,162
SEROLOGICALS CORP                  179,217                          11,100
SERVICE CORP INTL                1,949,952          27,520         328,590
SERVICEMASTER CO                 2,112,496          20,695         378,257
7-ELEVEN INC                       253,036                          14,800
SHAW GROUP INC                     233,738           4,000          27,100
SHERWIN WILLIAMS CO              3,284,581          50,992         443,776
SHOPKO STORES INC                  236,585                          12,300
SHUFFLE MASTER INC                 130,751                          10,450
SHURGARD STORAGE CTR               334,723                          19,600
SICOR INC                          590,363           3,500          29,600
SIEBEL SYS INC                   7,736,386         302,479         980,769
SIEMENS A G                         44,834
SIERRA HEALTH SVCS I               188,835                           4,300
SIERRA PAC RES NEW               1,125,265             300          61,800
SIGMA ALDRICH CORP               1,366,186          35,305         169,473
SIGNALSOFT CORP                    121,119                          12,500
SILICON LABORATORIES                91,348                           5,800
SILGAN HOLDINGS INC                 81,090                           6,000
Page Total


                                                           Page 59 of 73




------------------------------------------------------------------------------------------------------------------------------------
                                                                                                    Investment Discretion
         Name of                   Title of         Cusip    Fair Market       Shares             Sole           Shared as   Shared
         Issuer                     Class           Number       Value         Prin Amt                           Defined     Other

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                       
SILICON IMAGE INC              COM               82705T10         831,991         398,082          398,062           20
SILICON GRAPHICS INC           COM               82705610         774,255       1,683,164        1,682,294          770        100
SILICON STORAGE TECH           COM               82705710       3,259,742         704,048          702,778        1,270
SILICON VY BANCSHARE           COM               82706410      14,562,887         720,935          711,906        8,029      1,000
SILICONIX INC                  COM NEW           82707920       1,519,637          73,165           73,165
SIMMONS 1ST NATL COR           CL A $5 PA        82873020       2,307,547          64,601           64,601
SIMON PPTY GROUP INC           COM               82880610      48,459,231       1,800,789        1,763,894       36,895
SIMPLEX SOLUTIONS IN           COM               82885410         521,640          34,500           34,500
SIMPSON MANUFACTURIN           COM               82907310       3,618,469          68,273           68,273
SINCLAIR BROADCAST G           CL A              82922610       2,349,175         291,461          238,501       52,960
SIRIUS SATELLITE RAD           COM               82966U10       1,384,016         385,520          385,320          100        100
SITEL CORP                     COM               82980K10         445,262         500,295          500,295
SIPEX CORP                     COM               82990910       1,495,748         231,540          231,540
SIX FLAGS INC                  COM               83001P10      10,627,906         869,003          867,433        1,270        300
SIX CONTINENTS PLC             SPONSORED         83001810       1,378,169         159,326          159,326
SKECHERS U S A INC             CL A              83056610       1,516,566         129,843          129,843
SKILLSOFT CORP                 COM               83066P10         743,085          46,501           46,501
SKY FINL GROUP INC             COM               83080P10      11,859,484         595,954          594,404        1,550
SKYLINE CORP                   COM               83083010       1,685,544          63,129           63,129
SKYWEST INC                    COM               83087910       5,560,971         332,594          331,974          520        100
SMART & FINAL INC              COM               83168310       1,188,800         116,778          116,778
SMITH A O                      COM               83186520       1,942,783         110,763          110,743           20
SMITH INTL INC                 COM               83211010      22,102,262         607,205          594,390        9,375      3,440
SMITH CHARLES E RESD           COM               83219710      24,525,793         476,229          448,044       28,185
SMITHFIELD FOODS INC           COM               83224810      43,317,237       2,057,826        2,056,326        1,300        200
SMUCKER J M CO                 COM               83269630       6,451,257         251,511          251,511
SMURFIT-STONE CONTAI           COM               83272710      17,543,747       1,326,058        1,308,561       15,147      2,350
SNAP ON INC                    COM               83303410      26,333,902       1,179,306        1,177,996        1,310
SOLA INTL INC                  COM               83409210       2,796,428         184,461          184,461
SOLECTRON CORP                 COM               83418210     166,471,172      14,289,371       13,802,015      360,036    127,320
SOLUTIA INC                    COM               83437610      13,584,200       1,095,500        1,093,570        1,530        400
SOMERA COMMUNICATION           COM               83445810       1,123,379         261,251          258,991        2,260
SONIC AUTOMOTIVE INC           CL A              83545G10       8,120,451         597,092          597,032           60
SONIC CORP                     COM               83545110       6,242,008         205,871          205,871
SONICBLUE INC                  COM               83546Q10         843,777         774,108          773,608          500
SONICWALL INC                  COM               83547010       7,606,585         640,285          639,665          620
SONOCO PRODS CO                COM               83549510     130,470,731       5,551,946        1,617,318    3,930,913      3,715
SONOSITE INC                   COM               83568G10       1,657,153          81,233           81,133                     100
SONY CORP                      ADR NEW           83569930      16,992,822         511,832          173,564      338,268
SOTHEBYS HLDGS INC             CL A              83589810       5,546,250         462,573          462,073          300        200
SONUS NETWORKS INC             COM               83591610       3,018,711       1,006,237        1,000,197        5,820        220
SOUNDVIEW TECHNOLOGY           COM               83611Q10       1,225,541         609,722          609,722
SOUTH FINL GROUP INC           COM               83784110       6,033,392         380,896          380,679          217
SOUTH JERSEY INDS IN           COM               83851810       3,155,754         102,961          102,961
Page Total                                                    633,195,460


----------------------------------------------------------------------------
                                       Voting Authority
Name of                            Sole           Shared            None
Issuer
----------------------------------------------------------------------------
                                                          
SILICON IMAGE INC                    373,382                          24,700
SILICON GRAPHICS INC               1,555,064             100         128,000
SILICON STORAGE TECH                 657,048                          47,000
SILICON VY BANCSHARE                 693,835           1,000          26,100
SILICONIX INC                         69,265                           3,900
SIMMONS 1ST NATL COR                  60,101                           4,500
SIMON PPTY GROUP INC               1,609,798          10,700         180,291
SIMPLEX SOLUTIONS IN                  34,500
SIMPSON MANUFACTURIN                  62,373                           5,900
SINCLAIR BROADCAST G                 275,661                          15,800
SIRIUS SATELLITE RAD                 364,120             100          21,300
SITEL CORP                           470,795                          29,500
SIPEX CORP                           217,340                          14,200
SIX FLAGS INC                        806,203           8,700          54,100
SIX CONTINENTS PLC                   159,326
SKECHERS U S A INC                   121,343                           8,500
SKILLSOFT CORP                        45,701                             800
SKY FINL GROUP INC                   534,554           7,900          53,500
SKYLINE CORP                          56,629                           6,500
SKYWEST INC                          294,294           4,800          33,500
SMART & FINAL INC                    109,278                           7,500
SMITH A O                            100,363                          10,400
SMITH INTL INC                       555,677           6,740          44,788
SMITH CHARLES E RESD                 462,429                          13,800
SMITHFIELD FOODS INC               1,940,530          25,000          92,296
SMUCKER J M CO                       229,911                          21,600
SMURFIT-STONE CONTAI               1,186,708          15,550         123,800
SNAP ON INC                        1,035,665          15,284         128,357
SOLA INTL INC                        170,461                          14,000
SOLECTRON CORP                    12,387,472         328,461       1,573,438
SOLUTIA INC                        1,019,800          10,400          65,300
SOMERA COMMUNICATION                 240,051                          21,200
SONIC AUTOMOTIVE INC                 584,592                          12,500
SONIC CORP                           192,861                          13,010
SONICBLUE INC                        718,508                          55,600
SONICWALL INC                        615,585                          24,700
SONOCO PRODS CO                    1,522,140       3,930,261          99,545
SONOSITE INC                          79,333             100           1,800
SONY CORP                            505,332                           6,500
SOTHEBYS HLDGS INC                   447,873             200          14,500
SONUS NETWORKS INC                   870,094          10,120         126,023
SOUNDVIEW TECHNOLOGY                 560,622                          49,100
SOUTH FINL GROUP INC                 350,996                          29,900
SOUTH JERSEY INDS IN                  94,661                           8,300
Page Total


                                                                   Page 60 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
SOUTHERN CO                    COM         84258710      335,908,482   14,007,860   13,970,978       24,953       11,929
SOUTHERN PERU COPPER           COM         84361110        1,154,043      122,121      122,121
SOUTHERN UN CO NEW             COM         84403010        7,358,339      351,569      344,967          635        5,967
SOUTHTRUST CORP                COM         84473010      180,942,089    7,104,126    7,090,806       12,880          440
SOUTHWEST AIRLS CO             COM         84474110    1,364,583,262   91,953,050   91,890,909       49,359       12,782
SOUTHWEST BANCORPORA           COM         84476R10        6,866,984      230,823      230,703           20          100
SOUTHWEST GAS CORP             COM         84489510        5,544,542      261,535      259,635        1,900
SOUTHWEST SECS GROUP           COM         84522410        2,233,331      129,996      129,875          121
SOUTHWESTERN ENERGY            COM         84546710        2,491,367      210,242      210,242
SOVEREIGN BANCORP IN           COM         84590510       27,915,778    2,938,503    2,930,583        6,520        1,400
SOVRAN SELF STORAGE            COM         84610H10        4,638,318      168,055      168,055
SPANISH BROADCASTING           CL A        84642588        2,093,315      295,249      295,049          200
SPARTAN STORES INC             COM         84682210        1,956,916      160,403      160,403
SPARTECH CORP                  COM NEW     84722020        2,461,147      119,011      119,011
SPECIALTY LABORATORI           COM         84749R10        2,731,657       99,333       99,138          195
SPECTRA-PHYSICS INC            COM         84756810          683,126       38,486       38,486
SPECTRALINK CORP               COM         84758010        3,187,279      203,660      203,510          150
SPECTRASITE HLDGS IN           COM         84760T10        1,430,233      593,458      587,268        6,190
SPECTRIAN CORP                 COM         84760810          952,610       95,261       95,261
SPEECHWORKS INTL INC           COM         84764M10        1,033,761      209,688      209,653           35
SPEEDWAY MOTORSPORTS           COM         84778810        2,775,625      139,619      134,619                     5,000
SPHERION CORP                  COM         84842010        3,379,003      469,306      468,406          900
SPIEGEL INC                    CL A        84845710        1,397,077      198,167      198,167
SPINNAKER EXPL CO              COM         84855W10        5,843,396      165,161      164,961          200
SPORTS RESORTS INTL            COM         84918U10        1,498,626      208,432      208,432
SPRINT CORP                    COM FON GR  85206110      423,274,835   17,629,106   17,522,551       85,891       20,664
SPRINT CORP                    PCS COM SE  85206150      473,066,466   17,994,160   17,791,953      177,178       25,029
STAMPS COM INC                 COM         85285710          680,106      273,135      273,135
STANCORP FINL GROUP            COM         85289110       18,471,569      381,644      381,644
STANDARD COML CORP             COM         85325810        1,294,203       78,675       78,675
STANDARD MICROSYSTEM           COM         85362610        1,187,911      126,643      126,643
STANDARD MTR PRODS I           COM         85366610          535,310       45,753       45,753
STANDARD PAC CORP NE           COM         85375C10        5,152,727      264,107      263,747          360
STANDARD REGISTER CO           COM         85388710        1,968,520      135,760      135,660          100
STANDEX INTL CORP              COM         85423110        1,991,125      105,630      103,110                     2,520
STANLEY FURNITURE IN           COM NEW     85430520          825,024       34,205       34,205
STANLEY WKS                    COM         85461610       66,018,839    1,806,261    1,765,430       28,471       12,360
STARBASE CORP                  COM NEW     85491020          363,706      551,071      551,071
STAPLES INC                    COM         85503010      127,529,532    9,552,774    9,119,236      299,602      133,936
STAR SCIENTIFIC INC            COM         85517P10          285,687      103,510      103,510
STARBUCKS CORP                 COM         85524410      112,507,208    7,530,603    7,429,123       90,710       10,770
STARTEK INC                    COM         85569C10        1,181,676       67,563       67,563
STATE AUTO FINL CORP           COM         85570710        1,688,844      126,695      126,695
STARWOOD HOTELS&RESO           PAIRED CTF  85590A20      121,331,870    5,515,085    4,079,644    1,435,441
Page Total                                             3,330,415,464


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
SOUTHERN CO                    12,218,374         216,982       1,572,504
SOUTHERN PERU COPPER              113,321                           8,800
SOUTHERN UN CO NEW                306,967           5,967          38,635
SOUTHTRUST CORP                 6,310,259          96,191         697,676
SOUTHWEST AIRLS CO             13,532,197      76,568,912       1,851,941
SOUTHWEST BANCORPORA              211,723             100          19,000
SOUTHWEST GAS CORP                240,735                          20,800
SOUTHWEST SECS GROUP              117,897                          12,099
SOUTHWESTERN ENERGY               194,442                          15,800
SOVEREIGN BANCORP IN            2,757,603          17,500         163,400
SOVRAN SELF STORAGE               160,855                           7,200
SPANISH BROADCASTING              272,249                          23,000
SPARTAN STORES INC                148,303                          12,100
SPARTECH CORP                     109,711                           9,300
SPECIALTY LABORATORI               97,433                           1,900
SPECTRA-PHYSICS INC                38,486
SPECTRALINK CORP                  194,260                           9,400
SPECTRASITE HLDGS IN              557,058                          36,400
SPECTRIAN CORP                     93,961                           1,300
SPEECHWORKS INTL INC              194,688                          15,000
SPEEDWAY MOTORSPORTS              126,119           5,000           8,500
SPHERION CORP                     430,806                          38,500
SPIEGEL INC                       198,167
SPINNAKER EXPL CO                 153,261                          11,900
SPORTS RESORTS INTL               193,232                          15,200
SPRINT CORP                    15,570,571         301,793       1,756,742
SPRINT CORP                    15,703,484         621,163       1,669,513
STAMPS COM INC                    273,035                             100
STANCORP FINL GROUP               344,344          12,000          25,300
STANDARD COML CORP                 76,575                           2,100
STANDARD MICROSYSTEM              116,343                          10,300
STANDARD MTR PRODS I               45,753
STANDARD PAC CORP NE              247,707                          16,400
STANDARD REGISTER CO              120,760                          15,000
STANDEX INTL CORP                  96,210           2,520           6,900
STANLEY FURNITURE IN               33,105                           1,100
STANLEY WKS                     1,551,993          36,347         217,921
STARBASE CORP                     505,171                          45,900
STAPLES INC                     8,097,824         266,890       1,188,060
STAR SCIENTIFIC INC               103,510
STARBUCKS CORP                  6,408,537         276,820         845,246
STARTEK INC                        66,163                           1,400
STATE AUTO FINL CORP              121,895                           4,800
STARWOOD HOTELS&RESO            3,571,149       1,486,713         457,223
Page Total
----------------------------------------------------------------------------


                                                                   Page 61 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
STATE STR CORP                 COM         85747710      700,634,798   15,398,567    6,975,723    7,940,574      482,270
STATEN IS BANCORP IN           COM         85755010        6,141,128      249,133      249,133
STATION CASINOS INC            COM         85768910        2,730,453      325,054      324,904          150
STEAK N SHAKE CO               COM         85787310        1,937,984      195,756      195,756
STEEL DYNAMICS INC             COM         85811910        2,306,535      233,219      230,149        3,070
STEELCASE INC                  CL A        85815520        6,455,084      513,531      509,651        3,880
STEIN MART INC                 COM         85837510        1,988,106      242,452      242,452
STEINWAY MUSICAL INS           COM ORD     85849510          637,386       43,988       43,988
STELLENT INC                   COM         85856W10        2,351,347      163,288      162,858          330          100
STEPAN CO                      COM         85858610        1,027,730       56,938       56,938
STERLING BANCSHARES            COM         85890710        6,777,642      512,681      512,681
STERICYCLE INC                 COM         85891210        5,075,081      121,763      121,763
STERIS CORP                    COM         85915210       15,020,436      764,010      763,110          900
STERLING BANCORP               COM         85915810        1,900,950       66,120       66,120
STERLING FINL CORP             COM         85931710        2,005,405       93,930       93,930
STEWART & STEVENSON            COM         86034210        7,556,978      313,828      312,418        1,410
STEWART ENTERPRISES            CL A        86037010        4,819,759      830,993      830,993
STEWART INFORMATION            COM         86037210        2,084,277      106,886      106,886
STILLWATER MNG CO              COM         86074Q10        7,902,089      392,748      390,808        1,840          100
STILWELL FINL INC              COM         86083110       87,823,047    4,503,746    4,479,111       16,635        8,000
STMICROELECTRONICS N           NY REGISTR  86101210        2,239,816      104,226      104,226
STONE ENERGY CORP              COM         86164210        6,841,147      212,458      212,058          300          100
STONERIDGE INC                 COM         86183P10          718,732      102,676      102,576          100
STORAGE USA INC                COM         86190710       14,320,152      361,620      304,160       57,460
STORA ENSO CORP                SPON ADR R  86210M10          474,824       41,325       40,991          334
STORAGENETWORKS INC            COM         86211E10        1,954,945      493,673      389,990        3,683      100,000
STORAGE TECHNOLOGY C           COM PAR $0  86211120       19,886,416    1,584,575    1,582,175        2,000          400
STRATOS LIGHTWAVE IN           COM         86310010        1,874,036      543,199      541,746        1,453
STRAYER ED INC                 COM         86323610        2,884,237       64,669       64,669
STRIDE RITE CORP               COM         86331410        2,444,375      391,100      391,100
STRYKER CORP                   COM         86366710      243,335,556    4,599,916    3,997,417      488,409      114,090
STUDENT LN CORP                COM         86390210        3,202,744       45,429       45,429
STURM RUGER & CO INC           COM         86415910        2,835,234      273,144      273,124           20
SUFFOLK BANCORP                COM         86473910        2,082,131       47,375       47,375
SUIZA FOODS CORP               COM         86507710       26,447,199      418,866      418,466          300          100
SUMMIT PPTYS INC               COM         86623910        8,165,036      311,049      311,049
SUN COMMUNITIES INC            COM         86667410        8,542,125      233,073      216,713       16,360
SUN LIFE FINL SVCS C           COM         86679610          400,980       20,049       20,049
SUN MICROSYSTEMS INC           COM         86681010      581,733,789   70,342,659   68,857,196    1,190,221      295,242
SUNCOR ENERGY INC              COM         86722910          411,843       14,772       14,772
SUNGARD DATA SYS INC           COM         86736310       86,515,389    3,701,985    3,509,334      166,401       26,250
SUNOCO INC                     COM         86764P10       83,125,181    2,334,977    2,320,575       14,302          100
SUNRISE ASSISTED LIV           COM         86768K10        4,354,524      168,584      168,484          100
SUNRISE TELECOM INC            COM         86769Y10          727,871      145,866      145,866
Page Total                                             1,972,694,497


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
STATE STR CORP                  6,132,747       8,420,540         845,280
STATEN IS BANCORP IN              230,233                          18,900
STATION CASINOS INC               302,054                          23,000
STEAK N SHAKE CO                  181,067                          14,689
STEEL DYNAMICS INC                217,619                          15,600
STEELCASE INC                     445,331           8,400          59,800
STEIN MART INC                    223,752                          18,700
STEINWAY MUSICAL INS               40,188                           3,800
STELLENT INC                      152,388             100          10,800
STEPAN CO                          53,438                           3,500
STERLING BANCSHARES               492,131                          20,550
STERICYCLE INC                    109,363                          12,400
STERIS CORP                       719,610                          44,400
STERLING BANCORP                   61,220                           4,900
STERLING FINL CORP                 86,930                           7,000
STEWART & STEVENSON               296,888                          16,940
STEWART ENTERPRISES               772,693                          58,300
STEWART INFORMATION               100,286                           6,600
STILLWATER MNG CO                 356,448             100          36,200
STILWELL FINL INC               3,903,209         158,102         442,435
STMICROELECTRONICS N              104,226
STONE ENERGY CORP                 196,851             100          15,507
STONERIDGE INC                    100,276                           2,400
STORAGE USA INC                   352,020                           9,600
STORA ENSO CORP                    41,325
STORAGENETWORKS INC               357,373         100,000          36,300
STORAGE TECHNOLOGY C            1,482,275          24,200          78,100
STRATOS LIGHTWAVE IN              509,195                          34,004
STRAYER ED INC                     60,069                           4,600
STRIDE RITE CORP                  352,700                          38,400
STRYKER CORP                    3,993,633         227,728         378,555
STUDENT LN CORP                    42,929                           2,500
STURM RUGER & CO INC              266,444                           6,700
SUFFOLK BANCORP                    43,675                           3,700
SUIZA FOODS CORP                  392,166           5,400          21,300
SUMMIT PPTYS INC                  294,449                          16,600
SUN COMMUNITIES INC               223,773                           9,300
SUN LIFE FINL SVCS C               20,049
SUN MICROSYSTEMS INC           59,915,703       2,507,869       7,919,087
SUNCOR ENERGY INC                  14,772
SUNGARD DATA SYS INC            3,396,446          44,650         260,889
SUNOCO INC                      2,113,428          39,933         181,616
SUNRISE ASSISTED LIV              155,684                          12,900
SUNRISE TELECOM INC               142,666                           3,200
Page Total
----------------------------------------------------------------------------


                                                                   Page 62 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
SUNTRUST BKS INC               COM         86791410      396,858,943    5,958,843    5,929,716       26,775        2,352
SUPERGEN INC                   COM         86805910        1,149,996      163,120      163,120
SUPERIOR ENERGY SVCS           COM         86815710        2,352,129      398,666      397,746          400          520
SUPERIOR INDS INTL I           COM         86816810       11,433,273      344,272      344,272
SUPERTEX INC                   COM         86853210          984,945       64,629       64,629
SUPERVALU INC                  COM         86853610       75,783,077    3,746,074    3,741,744        4,330
SUPPORT COM INC                COM         86858710          389,131      162,138      162,138
SUREBEAM CORP                  CL A        86866R10          325,360       39,200       39,200
SURMODICS INC                  COM         86887310        4,631,123      115,923      115,623          300
SUSQUEHANNA BANCSHAR           COM         86909910        7,685,483      345,415      344,755                       660
SWIFT ENERGY CO                COM         87073810        4,515,800      219,001      218,801          200
SWIFT TRANSN CO                COM         87075610       13,529,756      764,393      764,093          100          200
SWISSCOM AG                    SPONSORED   87101310        1,658,477       58,853       58,853
SYBASE INC                     COM         87113010       21,466,976    2,308,277    2,305,603        2,374          300
SYBRON DENTAL SPECIA           COM         87114210        6,035,718      324,501      313,402       10,566          533
SYCAMORE NETWORKS IN           COM         87120610        5,820,126    1,672,450    1,484,645      187,055          750
SYKES ENTERPRISES IN           COM         87123710        1,792,887      321,306      321,306
SYLVAN LEARNING SYS            COM         87139910        8,770,104      382,974      382,874          100
SYMANTEC CORP                  COM         87150310       46,985,928    1,355,233    1,353,953          980          300
SYMBOL TECHNOLOGIES            COM         87150810       45,088,999    4,298,284    4,293,572        4,412          300
SYMMETRICOM INC                COM         87154310        1,104,793      203,087      203,087
SYMYX TECHNOLOGIES             COM         87155S10        3,087,337      209,311      208,971          340
SYNCOR INTL CORP DEL           COM         87157J10        5,513,528      173,218      173,218
SYNGENTA AG                    SPONSORED   87160A10        1,980,480      198,644      198,635            9
SYNPLICITY INC                 COM         87160Y10          444,466       79,369       79,369
SYNOPSYS INC                   COM         87160710       26,063,558      649,802      643,532        6,070          200
SYNOVUS FINL CORP              COM         87161C10      152,377,474    5,520,923    5,514,113        6,510          300
SYNTEL INC                     COM         87162H10          495,977       60,485       60,485
SYNTROLEUM CORP                COM         87163010        1,040,195      221,790      218,150        3,640
SYSCO CORP                     COM         87182910      457,227,270   17,902,399   14,286,171    2,119,374    1,496,854
SYSTEMS & COMPUTER T           COM         87187310        2,791,035      310,115      310,015          100
TBC CORP                       COM         87218010        1,221,978      123,682      123,682
TCF FINL CORP                  COM         87227510       44,562,589      967,490      946,658       11,370        9,462
TC PIPELINES LP                UT COM LTD  87233Q10          297,972       11,373       11,373
TDC A/S                        SPONSORED   87236N10          357,946       20,548       20,548
TD WATERHOUSE GRP IN           COM         87236210        2,393,040      389,746      389,626          120
TECO ENERGY INC                COM         87237510       40,223,933    1,484,278    1,358,876       54,462       70,940
TEPPCO PARTNERS L P            UT LTD PAR  87238410          817,248       25,539       22,139        1,000        2,400
THQ INC                        COM NEW     87244340        8,323,721      192,902      192,902
TJX COS INC NEW                COM         87254010      199,175,185    6,053,957    6,038,082       13,675        2,200
TRC COS INC                    COM         87262510        1,634,901       45,238       45,238
TRW INC                        COM         87264910       74,907,422    2,511,986    2,499,438        6,700        5,848
TMP WORLDWIDE INC              COM         87294110       54,710,085    1,927,090    1,925,150        1,840          100
TTM TECHNOLOGIES  IN           COM         87305R10          587,674       95,093       95,093
Page Total                                             1,738,598,038


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
SUNTRUST BKS INC                5,128,693          86,719         743,431
SUPERGEN INC                      152,720                          10,400
SUPERIOR ENERGY SVCS              365,046             520          33,100
SUPERIOR INDS INTL I              331,872                          12,400
SUPERTEX INC                       63,129                           1,500
SUPERVALU INC                   3,348,446          55,067         342,561
SUPPORT COM INC                   148,638                          13,500
SUREBEAM CORP                      39,200
SURMODICS INC                     107,123                           8,800
SUSQUEHANNA BANCSHAR              318,255             660          26,500
SWIFT ENERGY CO                   204,946                          14,055
SWIFT TRANSN CO                   726,893             200          37,300
SWISSCOM AG                        58,853
SYBASE INC                      2,222,120           9,300          76,857
SYBRON DENTAL SPECIA              302,302             533          21,666
SYCAMORE NETWORKS IN            1,556,300          10,250         105,900
SYKES ENTERPRISES IN              306,806                          14,500
SYLVAN LEARNING SYS               364,524                          18,450
SYMANTEC CORP                   1,268,883          11,100          75,250
SYMBOL TECHNOLOGIES             3,796,057          70,961         431,266
SYMMETRICOM INC                   185,887                          17,200
SYMYX TECHNOLOGIES                195,811                          13,500
SYNCOR INTL CORP DEL              160,318                          12,900
SYNGENTA AG                       198,644
SYNPLICITY INC                     72,969                           6,400
SYNOPSYS INC                      606,002           5,300          38,500
SYNOVUS FINL CORP               4,762,394         186,964         571,565
SYNTEL INC                         60,485
SYNTROLEUM CORP                   199,890                          21,900
SYSCO CORP                     14,142,684       1,960,181       1,799,534
SYSTEMS & COMPUTER T              287,715                          22,400
TBC CORP                          120,182                           3,500
TCF FINL CORP                     903,328          14,662          49,500
TC PIPELINES LP                    11,373
TDC A/S                            20,548
TD WATERHOUSE GRP IN              360,646             300          28,800
TECO ENERGY INC                 1,307,038          79,940          97,300
TEPPCO PARTNERS L P                23,139           2,400
THQ INC                           179,302                          13,600
TJX COS INC NEW                 4,782,845         586,425         684,687
TRC COS INC                        42,038                           3,200
TRW INC                         2,176,308          67,860         267,818
TMP WORLDWIDE INC               1,678,436          70,902         177,752
TTM TECHNOLOGIES  IN               95,093
Page Total
----------------------------------------------------------------------------


                                                                   Page 63 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market    Shares        Sole        Shared as    Shared
            Issuer               Class      Number           Value      Prin Amt                    Defined     Other

------------------------------------------------------------------------------------------------------------------------
                                                                                         
TXU CORP                       COM         87316810      266,059,810    5,743,951    5,728,325        9,427        6,199
TAIWAN SEMICONDUCTOR           SPONSORED   87403910        1,476,235      155,557      155,557
TAKE-TWO INTERACTIVE           COM         87405410        2,032,441      287,474      287,414           60
TALBOTS INC                    COM         87416110        5,964,785      265,692      264,975          317          400
TALX CORP                      COM         87491810        1,812,076       85,074       85,074
TANGER FACTORY OUTLE           COM         87546510        1,738,220       83,972       83,972
TANOX INC                      COM         87588Q10        3,064,095      207,454      207,434           20
TARGET CORP                    COM         87612E10    2,645,328,370   83,317,429   82,500,830      652,051      164,548
TARGETED GENETICS CO           COM         87612M10          540,939      287,734      287,734
TASTY BAKING CO                COM         87655330          980,200       58,000                                 58,000
TAUBMAN CTRS INC               COM         87666410       10,406,300      832,504      832,504
TECH DATA CORP                 COM         87823710       22,208,263      585,970      583,650        2,020          300
TECHNE CORP                    COM         87837710       11,593,595      393,938      393,318          620
TECHNITROL INC                 COM         87855510        7,855,933      352,284      350,264        1,520          500
TECUMSEH PRODS CO              CL A        87889520        8,792,981      193,125      192,625          400          100
TEJON RANCH CO DEL             COM         87908010        1,528,155       67,918       67,918
TEKELEC                        COM         87910110        4,106,761      311,827      311,227          600
TEKTRONIX INC                  COM         87913110       34,416,244    1,967,767    1,965,082        2,585          100
TELE NORTE LESTE PAR           SPON ADR P  87924610          231,073       25,533       25,533
TELECOM ITALIA SPA             SPON ADR O  87927W10        2,931,250       38,483       38,483
TELECOM CORP NEW ZEA           SPONSORED   87927820          203,384       14,632       14,632
TELECORP PCS INC NEW           CL A        87930010        7,196,467      651,264      650,144        1,020          100
TELEDYNE TECHNOLOGIE           COM         87936010        4,539,609      284,615      284,092          509           14
TELEFLEX INC                   COM         87936910       17,410,765      465,653      465,033          420          200
TELEFONICA S A                 SPONSORED   87938220       16,095,559      474,096      106,256      367,840
TELEFONOS DE MEXICO            SPON ADR O  87940378        2,596,890       80,424       80,424
TELEPHONE & DATA SYS           COM         87943310       56,362,544      597,694      594,264        3,250          180
TELENOR ASA                    SPONSORED   87944W10          314,050       28,550       28,550
TELE2 AB                       SPON ADR R  87952P20          449,641       17,633       17,633
TELIK INC                      COM         87959M10          932,035      143,390      143,390
TELLABS INC                    COM         87966410       86,582,322    8,763,393    8,750,389       11,344        1,660
TELLIUM INC                    COM         87967E10          677,199      137,363      137,363
TELSTRA CORP LTD               SPON ADR F  87969N20          517,728       40,766       40,766
TEMPLE INLAND INC              COM         87986810       66,824,841    1,407,135    1,023,122      383,913          100
TELETECH HOLDINGS IN           COM         87993910        2,416,210      309,374      309,354           20
TENET HEALTHCARE COR           COM         88033G10      432,945,307    7,258,094    7,245,974       11,480          640
TENNANT CO                     COM         88034510        2,852,080       81,488       80,888          600
TERADYNE INC                   COM         88077010       67,103,634    3,441,212    3,427,857       12,835          520
TERAYON COMMUNICATIO           COM         88077510        3,647,422      507,291      504,331        2,960
TEREX CORP NEW                 COM         88077910        4,405,018      247,334      247,314           20
TERRA INDS INC                 COM         88091510          858,169      288,946      288,946
TERRA NETWORKS S A             SPONSORED   88100W10          216,548       42,544       42,523           21
TERREMARK WORLDWIDE            COM         88144810          595,230    1,190,460    1,190,460
TESORO PETE CORP               COM         88160910        3,640,138      305,894      301,994        3,900
Page Total                                             3,812,450,516


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                        
TXU CORP                        5,034,860          98,603         610,488
TAIWAN SEMICONDUCTOR              155,557
TAKE-TWO INTERACTIVE              267,574                          19,900
TALBOTS INC                       245,892           3,300          16,500
TALX CORP                          79,684                           5,390
TANGER FACTORY OUTLE               80,672                           3,300
TANOX INC                         192,754                          14,700
TARGET CORP                    16,529,853      64,436,333       2,351,243
TARGETED GENETICS CO              267,534                          20,200
TASTY BAKING CO                                    58,000
TAUBMAN CTRS INC                  814,604                          17,900
TECH DATA CORP                    549,370           3,400          33,200
TECHNE CORP                       369,758                          24,180
TECHNITROL INC                    331,884             500          19,900
TECUMSEH PRODS CO                 182,425             100          10,600
TEJON RANCH CO DEL                 64,718                           3,200
TEKELEC                           277,427           4,800          29,600
TEKTRONIX INC                   1,760,259          28,158         179,350
TELE NORTE LESTE PAR               11,778          13,755
TELECOM ITALIA SPA                 38,483
TELECOM CORP NEW ZEA               14,632
TELECORP PCS INC NEW              611,064           3,600          36,600
TELEDYNE TECHNOLOGIE              264,401              14          20,200
TELEFLEX INC                      440,258           3,400          21,995
TELEFONICA S A                    466,801                           7,295
TELEFONOS DE MEXICO                16,113          64,311
TELEPHONE & DATA SYS              546,014           3,680          48,000
TELENOR ASA                        28,550
TELE2 AB                           17,633
TELIK INC                         132,590                          10,800
TELLABS INC                     7,494,863         282,079         986,451
TELLIUM INC                       131,763                           5,600
TELSTRA CORP LTD                   40,766
TEMPLE INLAND INC                 898,072         393,554         115,509
TELETECH HOLDINGS IN              292,174                          17,200
TENET HEALTHCARE COR            6,383,156          84,734         790,204
TENNANT CO                         72,588                           8,900
TERADYNE INC                    3,025,241          57,071         358,900
TERAYON COMMUNICATIO              482,791                          24,500
TEREX CORP NEW                    228,434                          18,900
TERRA INDS INC                    283,046                           5,900
TERRA NETWORKS S A                 41,899                             645
TERREMARK WORLDWIDE             1,099,860                          90,600
TESORO PETE CORP                  289,394                          16,500
Page Total
----------------------------------------------------------------------------


                                                                   Page 64 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                     Investment Discretion
           Name of            Title of    Cusip         Fair Market      Shares      Sole        Shared as    Shared
            Issuer             Class      Number           Value        Prin Amt                  Defined     Other
------------------------------------------------------------------------------------------------------------------------
                                                                                         
TETRA TECHNOLOGIES I         COM         88162F10           1,766,684      101,417       101,417
TETRA TECH INC NEW           COM         88162G10           7,429,511      336,177       335,677       500
TEVA PHARMACEUTICAL          ADR         88162420             651,288       10,774        10,774
TEXACO INC                   COM         88169410       2,678,455,130   41,207,002    41,000,966   102,819    103,217
TEXAS BIOTECHNOLOGY          COM         88221T10           2,091,607      370,196       370,196
TEXAS INDS INC               COM         88249110           6,236,268      201,821       201,781        40
TEXAS INSTRS INC             COM         88250810         915,533,661   36,650,667    36,444,498   148,200     57,969
TEXAS REGL BANCSHARE         CL A VTG    88267310           5,930,579      173,561       173,561
TEXTRON INC                  COM         88320310         111,293,801    3,311,330     3,290,569    14,770      5,991
THERAGENICS CORP             COM         88337510           4,484,356      485,320       485,320
THERMA-WAVE INC              COM         88343A10           1,377,463      134,125       134,105        20
THERMO ELECTRON CORP         COM         88355610          65,308,636    3,618,207     3,606,950    11,017        240
THIRD WAVE TECHNOLOG         COM         88428W10             477,457       75,547        75,547
THOMAS & BETTS CORP          COM         88431510          23,014,063    1,316,594     1,312,350     3,444        800
THOMAS INDS INC              COM         88442510           2,932,480      136,078       136,078
THOMSON MULTIMEDIA           SPONSORED   88511810             233,838       11,816        11,816
THOR INDS INC                COM         88516010           1,607,615       58,887        58,887
THORATEC CORP                COM NEW     88517530           5,072,702      306,693       306,693
THORNBURG MTG INC            COM         88521810           3,502,119      211,353       211,353
3DO CO                       COM         88553W10             540,904      263,856       263,856
3COM CORP                    COM         88553510          13,894,740    3,705,264     3,690,139    10,665      4,460
3-D SYS CORP DEL             COM NEW     88554D20             866,455       55,542        55,542
THREE FIVE SYS INC           COM         88554L10           3,010,922      188,891       188,676       215
3-DIMENSIONAL PHARMA         COM         88554W10             336,293       49,094        49,094
3TEC ENERGY CORP             COM NEW     88575R30           1,618,101      113,551       113,451                  100
TIBCO SOFTWARE INC           COM         88632Q10           3,836,786      522,723       513,294     9,329        100
TICKETMASTER                 CL B        88633P20           2,211,846      213,705       213,585       120
TIDEWATER INC                COM         88642310          16,810,749      629,852       628,092     1,460        300
TIFFANY & CO NEW             COM         88654710          63,400,942    2,928,450     2,919,055     9,095        300
TIMBERLAND CO                CL A        88710010           3,805,951      140,441       140,021       300        120
TIME WARNER TELECOM          CL A        88731910           2,543,916      350,885       349,760     1,025        100
TIMKEN CO                    COM         88738910           6,030,781      440,203       438,883     1,320
TITAN CORP                   COM         88826610          14,897,293      760,066       759,526       440        100
TITAN PHARMACEUTICAL         COM         88831410           1,300,287      208,046       207,746       300
TITANIUM METALS CORP         COM         88833910             547,542      171,107       171,107
TIVO INC                     COM         88870610             518,955      156,312       155,612       700
TOKIO MARINE & FIRE          ADR NEW     88909040           1,814,223       40,623        40,623
TOLL BROTHERS INC            COM         88947810           7,588,369      255,759       255,759
TOLLGRADE COMMUNICAT         COM         88954210           2,043,302      106,422       106,422
TOMPKINSTRUSTCO INC          COM         89011010           2,034,862       53,549        53,549
TOO INC                      COM         89033310           5,642,132      268,801       268,341       432         28
TOOTSIE ROLL INDS IN         COM         89051610          14,432,245      377,215       375,904     1,105        206
TOPPS INC                    COM         89078610           6,153,504      640,990       640,890       100
TORCHMARK CORP               COM         89102710          98,912,580    2,536,220     2,516,140    13,280      6,800
Page Total                                              4,112,192,938


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                     
TETRA TECHNOLOGIES I                94,017                         7,400
TETRA TECH INC NEW                 313,777                        22,400
TEVA PHARMACEUTICAL                  5,940           4,834
TEXACO INC                      39,976,678         268,638       961,686
TEXAS BIOTECHNOLOGY                342,896                        27,300
TEXAS INDS INC                     187,421                        14,400
TEXAS INSTRS INC                31,419,170         585,331     4,646,166
TEXAS REGL BANCSHARE               165,041                         8,520
TEXTRON INC                      2,933,827          56,119       321,384
THERAGENICS CORP                   468,820                        16,500
THERMA-WAVE INC                    126,625                         7,500
THERMO ELECTRON CORP             3,175,483          75,892       366,832
THIRD WAVE TECHNOLOG                71,947                         3,600
THOMAS & BETTS CORP              1,195,246          14,800       106,548
THOMAS INDS INC                    120,478                        15,600
THOMSON MULTIMEDIA                  11,816
THOR INDS INC                       54,587                         4,300
THORATEC CORP                      288,993                        17,700
THORNBURG MTG INC                  197,853                        13,500
3DO CO                             243,356                        20,500
3COM CORP                        3,214,851         143,963       346,450
3-D SYS CORP DEL                    54,042                         1,500
THREE FIVE SYS INC                 174,791                        14,100
3-DIMENSIONAL PHARMA                46,894                         2,200
3TEC ENERGY CORP                   104,951             100         8,500
TIBCO SOFTWARE INC                 474,323           7,400        41,000
TICKETMASTER                       198,705             100        14,900
TIDEWATER INC                      590,546           4,200        35,106
TIFFANY & CO NEW                 2,548,557          96,045       283,848
TIMBERLAND CO                      119,521             120        20,800
TIME WARNER TELECOM                307,985           5,800        37,100
TIMKEN CO                          407,693                        32,510
TITAN CORP                         727,266             100        32,700
TITAN PHARMACEUTICAL               192,046                        16,000
TITANIUM METALS CORP               158,907                        12,200
TIVO INC                           156,312
TOKIO MARINE & FIRE                 40,623
TOLL BROTHERS INC                  242,159                        13,600
TOLLGRADE COMMUNICAT                98,822                         7,600
TOMPKINSTRUSTCO INC                 49,449                         4,100
TOO INC                            248,573              28        20,200
TOOTSIE ROLL INDS IN               352,438           1,335        23,442
TOPPS INC                          611,190                        29,800
TORCHMARK CORP                   2,234,599          47,153       254,468
Page Total


                                                                   Page 65 of 73




----------------------------------------------------------------------------------------------------------------------
                                                                                     Investment Discretion
           Name of            Title of    Cusip         Fair Market      Shares      Sole        Shared as    Shared
            Issuer             Class      Number           Value        Prin Amt                  Defined     Other
----------------------------------------------------------------------------------------------------------------------
                                                                                         
TORO CO                      COM          89109210       11,811,533        280,559      280,259         300
TORONTO DOMINION BK          COM NEW      89116050        1,280,830         52,024       52,024
TOTAL FINA ELF S A           SPONSORED    89151E10       10,909,257        161,499       97,029      64,470
TOWER AUTOMOTIVE INC         COM          89170710        2,530,737        352,962      352,962
TOTAL SYS SVCS INC           COM          89190610        8,133,105        328,345      327,925         420
TOWN & CTRY TR               SH BEN INT   89208110        4,618,290        233,247      233,247
TOYOTA MOTOR CORP            SP ADR REP   89233130       10,567,444        203,808      203,808
TOYS R US INC                COM          89233510       70,119,052      4,069,591    4,051,236      18,215        140
TPG N V                      SPONSORED    89233910          724,210         38,318       38,318
TRADESTATION GROUP I         COM          89267P10          297,121        121,274      121,274
TRAMMELL CROW CO             COM          89288R10        2,070,030        207,003      206,923          80
TRANS WORLD ENTMT CO         COM          89336Q10        2,094,180        270,916      270,816         100
TRANSACTION SYS ARCH         CL A         89341610        2,666,117        424,541      419,361       5,080        100
TRANSALTA CORP               COM          89346D10        1,506,553        110,776      110,776
TRANSATLANTIC HLDGS          COM          89352110       17,695,214        209,510      208,955         555
TRANSCANADA PIPELINE         COM          89352610          283,134         22,051       22,051
TRANSGENOMIC INC             COM          89365K20          602,127         79,752       79,752
TRANSKARYOTIC THERAP         COM          89373510        5,186,996        191,120      190,920         200
TRANSMETA CORP DEL           COM          89376R10          773,198        548,368      548,368
TRANSMONTAIGNE INC           COM          89393410          820,178        169,109      169,109
TRAVELOCITY COM INC          COM          89395310          915,931         68,867       68,867
TRANSWITCH CORP              COM          89406510        4,388,535      1,434,162    1,433,622         240        300
TREDEGAR CORP                COM          89465010        2,596,155        152,715      152,715
TREND MICRO INC              SPONS ADR    89486M20          315,231         18,697       18,697
TRENDWEST RESORTS IN         COM          89491710        1,326,624         53,601       53,601
TREX INC                     COM          89531P10          861,070         49,345       49,345
TRI CONTL CORP               COM          89543610          215,775         11,791       11,791
TRIAD HOSPITALS INC          COM          89579K10       24,453,541        690,778      689,911         772         95
TRIANGLE PHARMACEUTI         COM          89589H10          859,433        268,573      268,573
TRIAD GTY INC                COM          89592510        3,809,934        109,011      109,011
TRIARC COS INC               CL A         89592710        2,669,228        115,551      115,551
TRICON GLOBAL RESTAU         COM          89595310      171,389,831      4,369,960    4,347,040      18,644      4,276
TRIBUNE CO NEW               COM          89604710      184,452,046      5,874,269    5,705,458      93,284     75,527
TRICO MARINE SERVICE         COM          89610610        1,360,972        229,894      229,834          60
TRIGON HEALTHCARE IN         COM          89618L10       26,809,739        409,309      408,379         830        100
TRIKON TECHNOLOGIES          COM NEW      89618740          611,402         72,441       72,441
TRIMBLE NAVIGATION L         COM          89623910        4,039,130        264,861      262,401         460      2,000
TRIMERIS INC                 COM          89626310        5,194,308        147,986      147,976          10
TRINITY INDS INC             COM          89652210       25,944,775      1,198,373    1,197,573         500        300
TRIQUINT SEMICONDUCT         COM          89674K10       34,081,677      2,131,437    2,127,117       2,305      2,015
TRITON PCS HLDGS INC         CL A         89677M10        8,980,654        236,333      235,713         520        100
TRIUMPH GROUP INC NE         COM          89681810        3,926,772        168,531      168,531
TRIZETTO GROUP INC           COM          89688210        1,792,410        203,683      203,643          40
TRIZEC HAHN CORP             SUB VTG      89693810          293,526         16,298       16,298
Page Total                                              665,978,005


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None

----------------------------------------------------------------------------
                                                    
TORO CO                         268,859                            11,700
TORONTO DOMINION BK              52,024
TOTAL FINA ELF S A              159,599                             1,900
TOWER AUTOMOTIVE INC            324,862                            28,100
TOTAL SYS SVCS INC              301,245                2,100       25,000
TOWN & CTRY TR                  221,447                            11,800
TOYOTA MOTOR CORP               203,808
TOYS R US INC                 3,505,878               55,017      508,696
TPG N V                          38,318
TRADESTATION GROUP I            121,274
TRAMMELL CROW CO                189,203                            17,800
TRANS WORLD ENTMT CO            247,616                            23,300
TRANSACTION SYS ARCH            401,541                  100       22,900
TRANSALTA CORP                   80,294                            30,482
TRANSATLANTIC HLDGS             192,560                1,350       15,600
TRANSCANADA PIPELINE             22,051
TRANSGENOMIC INC                 79,752
TRANSKARYOTIC THERAP            178,020                            13,100
TRANSMETA CORP DEL              482,068                8,900       57,400
TRANSMONTAIGNE INC              164,009                             5,100
TRAVELOCITY COM INC              62,867                             6,000
TRANSWITCH CORP               1,381,162                  300       52,700
TREDEGAR CORP                   142,915                             9,800
TREND MICRO INC                  18,697
TRENDWEST RESORTS IN             50,101                             3,500
TREX INC                         45,845                             3,500
TRI CONTL CORP                    4,791                             7,000
TRIAD HOSPITALS INC             637,309                6,895       46,574
TRIANGLE PHARMACEUTI            243,673                            24,900
TRIAD GTY INC                   104,811                             4,200
TRIARC COS INC                  106,251                             9,300
TRICON GLOBAL RESTAU          2,712,282            1,352,566      305,112
TRIBUNE CO NEW                5,003,417              154,257      716,595
TRICO MARINE SERVICE            212,694                            17,200
TRIGON HEALTHCARE IN            383,580                2,400       23,329
TRIKON TECHNOLOGIES              72,441
TRIMBLE NAVIGATION L            247,161                2,000       15,700
TRIMERIS INC                    137,986                            10,000
TRINITY INDS INC              1,173,673                  300       24,000
TRIQUINT SEMICONDUCT          2,055,388                2,015       74,034
TRITON PCS HLDGS INC            210,333                3,900       22,100
TRIUMPH GROUP INC NE            156,731                            11,800
TRIZETTO GROUP INC              188,585                            15,098
TRIZEC HAHN CORP                 16,298
Page Total


                                                                   Page 66 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market      Shares      Sole        Shared as    Shared
            Issuer               Class      Number           Value        Prin Amt                  Defined     Other
------------------------------------------------------------------------------------------------------------------------
                                                                                          
TRIPATH IMAGING INC          COM          89694210           689,066         160,248      160,248
TROPICAL SPORTSWEAR          COM          89708P10           499,618          29,476       29,476
TROY FINL CORP               COM          89732910           694,998          32,876       32,876
TRUST CO NJ JERSEY C         COM          89830410         3,817,408         152,088      152,088
TRUSTCO BK CORP N Y          COM          89834910         7,342,147         534,363      534,263        100
TRUSTMARK CORP               COM          89840210        10,065,449         449,752      446,002      3,750
TUCKER ANTHONY SUTRO         COM          89864710         5,193,067         217,830      216,661                 1,169
TUESDAY MORNING CORP         COM NEW      89903550           942,795         102,701      102,701
TULARIK INC                  COM          89916510         3,431,977         186,318      186,318
TUPPERWARE CORP              COM          89989610        25,207,769       1,264,181    1,262,931      1,250
TURNSTONE SYSTEMS IN         COM          90042310           725,811         241,937      241,535        402
TWEETER HOME ENTMT G         COM          90116710         1,991,003         145,968      145,548        420
21ST CENTY INS GROUP         COM          90130N10         4,420,556         251,168      251,048        120
II VI INC                    COM          90210410         1,129,049          86,650       86,650
TYCO INTL LTD NEW            COM          90212410     1,521,273,845      33,434,590   32,607,862    646,293    180,435
TYSON FOODS INC              CL A         90249410        24,547,637       2,449,864    2,447,274      1,990        600
UAL CORP                     COM PAR $0   90254950         7,561,575         414,106      401,383     12,723
UAXS GLOBAL HOLDINGS         COM          90258010           243,744         329,384      329,384
UCAR INTL INC                COM          90262K10         6,024,668         676,929      676,529        400
UCBH HOLDINGS INC            COM          90262T30         5,244,025         179,713      177,013      2,700
UGI CORP NEW                 COM          90268110        10,522,848         388,297      387,097      1,200
UICI                         COM          90273710         6,686,196         490,550      490,550
UIL HLDG CORP                COM          90274810         5,489,643         115,111      115,011                   100
UMB FINL CORP                COM          90278810         9,821,390         236,660      232,560      4,000        100
USX MARATHON GROUP           COM NEW      90290582       235,428,970       8,801,083    8,783,807     11,936      5,340
U S B HLDG INC               COM          90291010         1,364,744          91,902       91,902
UST INC                      COM          90291110        99,661,785       3,001,861    2,988,466      8,315      5,080
U S RESTAURANT PPTYS         COM          90297110         1,881,439         135,844      135,844
US BANCORP DEL               COM NEW      90297330       944,728,421      42,593,707   41,900,859    610,770     82,078
USA NETWORKS INC             COM          90298410        16,845,551         936,905      934,295      2,510        100
UNB CORP OHIO                COM          90305610         1,267,275          74,458       74,458
URS CORP NEW                 COM          90323610         2,674,210         116,270      116,270
U S G CORP                   COM NEW      90329340         1,303,146         349,369      349,069        300
USEC INC                     COM          90333E10         5,339,099         830,342      830,342
U S CONCRETE INC             COM          90333L10           905,878         124,605      124,605
U S PHYSICAL THERAPY         COM          90337L10           496,443          30,588       30,588
USX-U S STL                  COM          90337T10        25,040,416       1,791,160    1,785,435      5,625        100
US UNWIRED INC               CL A         90338R10         5,531,678         544,993      416,298    128,695
US ONCOLOGY INC              COM          90338W10         5,982,312         802,995      802,895                   100
UBIQUITEL INC                COM          90347430         3,104,714         384,723      384,723
ULTICOM INC                  COM          90384410         1,832,992         224,907      224,907
ULTIMATE ELECTRS INC         COM          90384910         1,290,336          74,371       74,371
USA ED INC                   COM          90390U10       271,966,771       3,280,265    3,269,563     10,482        220
ULTRAMAR DIAMOND SHA         COM          90400010        44,706,159         932,544      929,884      2,260        400
Page Total                                             3,334,918,623


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None
----------------------------------------------------------------------------
                                                    
TRIPATH IMAGING INC               145,948                          14,300
TROPICAL SPORTSWEAR                29,476
TROY FINL CORP                     30,976                           1,900
TRUST CO NJ JERSEY C              142,288                           9,800
TRUSTCO BK CORP N Y               494,063                          40,300
TRUSTMARK CORP                    416,752           4,400          28,600
TUCKER ANTHONY SUTRO              204,861           1,169          11,800
TUESDAY MORNING CORP              100,701                           2,000
TULARIK INC                       174,418                          11,900
TUPPERWARE CORP                 1,083,237          42,000         138,944
TURNSTONE SYSTEMS IN              222,637                          19,300
TWEETER HOME ENTMT G              133,768                          12,200
21ST CENTY INS GROUP              229,368                          21,800
II VI INC                          80,350                           6,300
TYCO INTL LTD NEW              29,178,493       1,362,378       2,893,719
TYSON FOODS INC                 2,332,764          24,000          93,100
UAL CORP                          332,636           5,500          75,970
UAXS GLOBAL HOLDINGS              303,184                          26,200
UCAR INTL INC                     644,829                          32,100
UCBH HOLDINGS INC                 159,313                          20,400
UGI CORP NEW                      370,297                          18,000
UICI                              462,450                          28,100
UIL HLDG CORP                     107,311             100           7,700
UMB FINL CORP                     225,760             100          10,800
USX MARATHON GROUP              7,903,754         116,244         781,085
U S B HLDG INC                     85,702                           6,200
UST INC                         2,809,378         112,298          80,185
U S RESTAURANT PPTYS              124,744                          11,100
US BANCORP DEL                 36,739,967         676,183       5,177,557
USA NETWORKS INC                  856,205           7,700          73,000
UNB CORP OHIO                      67,958                           6,500
URS CORP NEW                      107,970                           8,300
U S G CORP                        317,203                          32,166
USEC INC                          773,742                          56,600
U S CONCRETE INC                  121,605                           3,000
U S PHYSICAL THERAPY               30,588
USX-U S STL                     1,593,949          26,900         170,311
US UNWIRED INC                    526,093                          18,900
US ONCOLOGY INC                   744,095             100          58,800
UBIQUITEL INC                     357,723                          27,000
ULTICOM INC                       219,207                           5,700
ULTIMATE ELECTRS INC               68,171                           6,200
USA ED INC                      2,821,868         109,565         348,832
ULTRAMAR DIAMOND SHA              879,444           5,100          48,000
Page Total


                                                                   Page 67 of 73




------------------------------------------------------------------------------------------------------------------------
                                                                                       Investment Discretion
           Name of              Title of    Cusip         Fair Market      Shares      Sole        Shared as    Shared
            Issuer               Class      Number           Value        Prin Amt                  Defined     Other
------------------------------------------------------------------------------------------------------------------------
                                                                                          
ULTRATECH STEPPER IN         COM          90403410          3,009,976        251,460      251,420         40
UMPQUA HLDGS CORP            COM          90421410          1,287,635        104,262      104,262
UNIFI INC                    COM          90467710          5,081,064        619,642      619,622         20
UNIFIRST CORP MASS           COM          90470810          1,067,995         63,195       63,195
UNILAB CORP NEW              COM NEW      90476320            536,575         19,350       19,350
UNILEVER PLC                 SPON ADR N   90476770          9,751,710        325,057       58,697    266,360
UNILEVER N V                 N Y SHS NE   90478470        489,253,846      9,056,902    9,003,673     53,229
UNIGRAPHICS SOLUTION         CL A         90492810          1,423,744         43,821       42,821      1,000
UNION PAC CORP               COM          90781810        238,739,806      5,090,401    4,987,605     34,768    68,028
UNION PLANTERS CORP          COM          90806810        121,202,624      2,825,236    2,817,843      6,900       493
UNIONBANCAL CORP             COM          90890610         21,328,844        630,285      629,465        820
UNIROYAL TECHNOLOGY          COM          90916310            425,812        135,609      135,609
UNISOURCE ENERGY COR         COM          90920510          7,854,672        561,048      560,708        100       240
UNISYS CORP                  COM          90921410         56,277,607      6,498,569    6,486,544     11,385       640
UNIT CORP                    COM          90921810          2,600,268        292,823      292,365                  458
UNITED AUTO GROUP IN         COM          90944010          1,119,372         67,270       67,210         60
UNITED CMNTY FINL CO         COM          90983910          1,929,387        273,672      273,672
UNITED BANKSHARES IN         COM          90990710          9,721,080        360,040      359,440                  600
UNITED DOMINION REAL         COM          91019710         19,009,036      1,331,165    1,331,115         50
UNITED FIRE & CAS CO         COM          91033110          1,749,128         68,139       60,202      7,937
UNITED INDL CORP             COM          91067110          1,633,258        111,106      111,106
UNITED MICROELECTRON         SPONSORED    91087320            640,001        120,301      120,301
UNITED NATL BANCORP          COM          91090910          3,464,098        135,847      135,847
UNITED NAT FOODS INC         COM          91116310          3,497,868        192,402      191,702        700
UNITED PARCEL SERVIC         CL B         91131210        100,003,802      1,923,890    1,733,239    158,222    32,429
UNITED RENTALS INC           COM          91136310          8,272,532        477,078      476,797        281
UNITED STATES CELLUL         COM          91168410         24,315,390        491,220      489,720      1,100       400
US AIRWAYS GROUP INC         COM          91190510          6,497,817      1,397,380    1,396,300        980       100
U S INDS INC NEW             COM          91208010          1,574,761        684,679      684,639         40
UNITED STATIONERS IN         COM          91300410         13,273,899        444,389      444,189        200
UNITED SURGICAL PART         COM          91301630            295,200         14,400       14,400
UNITED TECHNOLOGIES          COM          91301710        572,332,323     12,308,222   12,101,738    122,666    83,818
UNITED THERAPEUTICS          COM          91307C10          1,614,600        128,551      128,551
UNITED UTILS PLC             SPONSORED    91311Q10            243,643         13,071       13,071
UNITEDHEALTH GROUP I         COM          91324P10        446,357,775      6,712,147    6,697,487     13,420     1,240
UNITEDGLOBALCOM              CL A         91324750          1,596,494        688,144      650,352     22,692    15,100
UNITRIN INC                  COM          91327510         20,837,849        545,208      543,688        320     1,200
UNIVERSAL AMERN FINL         COM          91337710          1,957,873        352,770      352,770
UNIVERSAL COMPRESSIO         COM          91343110          3,828,307        170,147      169,647        500
UNIVERSAL CORP VA            COM          91345610         16,699,048        500,421      499,231      1,190
UNIVERSAL DISPLAY CO         COM          91347P10            901,892        127,928      127,928
UNIVERSAL ELECTRS IN         COM          91348310          2,855,669        189,368      189,168        200
UNIVERSAL FST PRODS          COM          91354310          2,253,984        118,506      118,246        260
UNIVERSAL HEALTH RLT         SH BEN INT   91359E10          2,288,356         92,646       92,646
Page Total                                              2,230,606,620


----------------------------------------------------------------------------
       Name of                       Voting Authority
       Issuer                     Sole             Shared          None
----------------------------------------------------------------------------
                                                     
ULTRATECH STEPPER IN              237,060                          14,400
UMPQUA HLDGS CORP                  95,262                           9,000
UNIFI INC                         581,842                          37,800
UNIFIRST CORP MASS                 61,095                           2,100
UNILAB CORP NEW                    19,350
UNILEVER PLC                      322,852                           2,205
UNILEVER N V                    8,086,374         353,417         617,111
UNIGRAPHICS SOLUTION               40,721                           3,100
UNION PAC CORP                  4,382,693         141,306         566,402
UNION PLANTERS CORP             2,519,787          44,882         260,567
UNIONBANCAL CORP                  593,985           3,300          33,000
UNIROYAL TECHNOLOGY               126,609                           9,000
UNISOURCE ENERGY COR              539,708             240          21,100
UNISYS CORP                     5,694,709         116,558         687,302
UNIT CORP                         270,165             458          22,200
UNITED AUTO GROUP IN               66,870                             400
UNITED CMNTY FINL CO              252,572                          21,100
UNITED BANKSHARES IN              336,640             600          22,800
UNITED DOMINION REAL            1,265,265                          65,900
UNITED FIRE & CAS CO               66,939                           1,200
UNITED INDL CORP                  103,306                           7,800
UNITED MICROELECTRON              120,301
UNITED NATL BANCORP               124,347                          11,500
UNITED NAT FOODS INC              186,802                           5,600
UNITED PARCEL SERVIC            1,619,734          48,429         255,727
UNITED RENTALS INC                455,478                          21,600
UNITED STATES CELLUL              478,920           1,700          10,600
US AIRWAYS GROUP INC            1,227,654          44,564         125,162
U S INDS INC NEW                  633,979                          50,700
UNITED STATIONERS IN              423,385                          21,004
UNITED SURGICAL PART               14,400
UNITED TECHNOLOGIES            10,746,107         416,639       1,145,476
UNITED THERAPEUTICS               119,051                           9,500
UNITED UTILS PLC                   13,071
UNITEDHEALTH GROUP I            5,750,612         199,694         761,841
UNITEDGLOBALCOM                   626,244          15,100          46,800
UNITRIN INC                       506,108           4,100          35,000
UNIVERSAL AMERN FINL              327,870                          24,900
UNIVERSAL COMPRESSIO              165,147                           5,000
UNIVERSAL CORP VA                 500,421
UNIVERSAL DISPLAY CO              119,128                           8,800
UNIVERSAL ELECTRS IN              180,668                           8,700
UNIVERSAL FST PRODS               111,806                           6,700
UNIVERSAL HEALTH RLT               87,046                           5,600
Page Total

                                                                   Page 68 of 73





------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 Investment Discretion
          Name of                 Title of        Cusip     Fair Market          Shares           Sole         Shared as   Shared
          Issuer                   Class          Number      Value            Prin Amt                         Defined     Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                       
UNIVERSAL HLTH SVCS            CL B            91390310           16,154,020         331,025          330,065         840      120
UNIVISION COMMUNICAT           CL A            91490610          114,350,348       4,982,586        4,655,270     288,142   39,174
UNOCAL CORP                    COM             91528910          164,415,647       5,058,943        4,997,088      19,419   42,436
UNOVA INC                      COM             91529B10            1,749,490         393,144          390,584       2,560
UNUMPROVIDENT CORP             COM             91529Y10          127,891,199       5,064,998        5,030,766      24,472    9,760
UPM KYMMENE CORP               SPONSORED       91543610              515,955          18,593           18,593
USFREIGHTWAYS CORP             COM             91690610            7,408,274         236,384          236,264          20      100
URBAN OUTFITTERS INC           COM             91704710              599,020          53,484           53,484
UROCOR INC                     COM             91727P10            1,279,841          72,801           72,801
UROLOGIX INC                   COM             91727310            1,167,328          85,833           85,833
VI TECHNOLOGIES INC            COM             91792010              275,584          43,060           43,060
UTILICORP UTD INC              COM             91800510           31,450,972       1,122,848        1,109,248       8,320    5,280
UTSTARCOM INC                  COM             91807610            5,926,001         364,677          364,506          50      121
VA LINUX SYSTEMS INC           COM             91819B10              221,482         210,936          207,586       3,300       50
V F CORP                       COM             91820410           71,017,654       2,426,295        2,408,925      13,970    3,400
VAIL RESORTS INC               COM             91879Q10            1,216,597          87,525           87,525
VALASSIS COMMUNICATI           COM             91886610           21,414,322         671,085          670,365         520      200
VALHI INC NEW                  COM             91890510            1,294,568          97,336           97,336
VALENCE TECHNOLOGY I           COM             91891410            2,498,691         705,845          526,645     179,200
VALENTIS INC                   COM             91913E10              777,759         259,253          259,253
VALERO ENERGY CORP N           COM             91913Y10           37,718,775       1,074,609        1,070,489       1,920    2,200
VALLEY NATL BANCORP            COM             91979410           19,048,508         640,286          636,613       3,588       85
VALMONT INDS INC               COM             92025310            1,806,560         129,040          129,040
VALSPAR CORP                   COM             92035510           16,366,137         489,418          488,238         680      500
VALUE CITY DEPT STOR           COM             92038710              437,254         127,109          127,109
VALUE LINE INC                 COM             92043710            1,187,644          31,009           31,009
VALUEVISION INTL INC           CL A            92047K10            2,755,749         213,624          213,244         380
VANS INC                       COM             92193010            1,418,383         123,445          123,445
VARCO INTL INC DEL             COM             92212210           11,273,575         933,243          862,241      70,702      300
VARIAN MED SYS INC             COM             92220P10           27,124,736         422,833          422,073         660      100
VARIAN INC                     COM             92220610            9,807,863         384,924          384,624         300
VARIAN SEMICONDUCTOR           COM             92220710            7,868,714         304,399          302,759       1,640
VASOMEDICAL INC                COM             92232110            1,582,026         515,318          455,318               60,000
VASTERA INC                    COM             92239N10            1,783,488         159,240          159,240
VAXGEN INC                     COM NEW         92239020              909,375          72,750           70,750       2,000
VECTREN CORP                   COM             92240G10           15,227,685         680,111          678,787       1,324
VECTOR GROUP LTD               COM             92240M10            7,845,952         183,574          163,671      15,753    4,150
VEECO INSTRS INC DEL           COM             92241710            5,852,790         220,860          220,560         300
VENTAS INC                     COM             92276F10            5,586,187         514,856          514,736         120
VENTANA MED SYS INC            COM             92276H10            2,144,707         104,927          104,927
VENTIV HEALTH INC              COM             92279310              578,395         142,462          142,362                  100
VENATOR GROUP INC              COM             92294410           17,181,778       1,126,674        1,121,524       2,870    2,280
VERITY INC                     COM             92343C10            3,246,715         321,457          321,257         200
VERISIGN INC                   COM             92343E10           85,450,273       2,039,386        1,940,098      85,273   14,015
Page Total                                                       855,828,021


-----------------------------------------------------------------------------
                                        Voting Authority
       Name of                       Sole           Shared          None
        Issuer
-----------------------------------------------------------------------------
                                                          
UNIVERSAL HLTH SVCS                  297,707           3,020          30,298
UNIVISION COMMUNICAT               4,429,729         168,438         384,419
UNOCAL CORP                        4,389,627         109,707         559,609
UNOVA INC                            365,544                          27,600
UNUMPROVIDENT CORP                 4,377,775          84,624         602,599
UPM KYMMENE CORP                      18,593
USFREIGHTWAYS CORP                   218,884             100          17,400
URBAN OUTFITTERS INC                  53,484
UROCOR INC                            67,101                           5,700
UROLOGIX INC                          79,133                           6,700
VI TECHNOLOGIES INC                   43,060
UTILICORP UTD INC                  1,036,718          14,680          71,450
UTSTARCOM INC                        340,756             221          23,700
VA LINUX SYSTEMS INC                 210,686              50             200
V F CORP                           2,112,578          36,275         277,442
VAIL RESORTS INC                      82,625                           4,900
VALASSIS COMMUNICATI                 633,385           3,500          34,200
VALHI INC NEW                         97,336
VALENCE TECHNOLOGY I                 684,945                          20,900
VALENTIS INC                         240,653                          18,600
VALERO ENERGY CORP N               1,012,120          14,400          48,089
VALLEY NATL BANCORP                  584,599           6,560          49,127
VALMONT INDS INC                     118,440                          10,600
VALSPAR CORP                         453,518           5,100          30,800
VALUE CITY DEPT STOR                 117,409                           9,700
VALUE LINE INC                        27,809                           3,200
VALUEVISION INTL INC                 199,124                          14,500
VANS INC                             115,645                           7,800
VARCO INTL INC DEL                   876,143           7,000          50,100
VARIAN MED SYS INC                   397,629           2,200          23,004
VARIAN INC                           358,024                          26,900
VARIAN SEMICONDUCTOR                 283,399                          21,000
VASOMEDICAL INC                      423,418          60,000          31,900
VASTERA INC                          147,940                          11,300
VAXGEN INC                            67,650                           5,100
VECTREN CORP                         631,411           6,500          42,200
VECTOR GROUP LTD                     179,424           4,150
VEECO INSTRS INC DEL                 205,910                          14,950
VENTAS INC                           470,456                          44,400
VENTANA MED SYS INC                   96,527                           8,400
VENTIV HEALTH INC                    132,562             100           9,800
VENATOR GROUP INC                    982,294          15,580         128,800
VERITY INC                           302,157                          19,300
VERISIGN INC                       1,756,322          27,815         255,249
Page Total


                                                                   Page 69 of 73




------------------------------------------------------------------------------------------------------------------------------------
          Name of           Title of         Cusip       Fair Market          Shares           Sole         Shared as   Shared
          Issuer             Class           Number        Value            Prin Amt                         Defined     Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
VERITAS DGC INC            COM           92343P10          2,831,007        253,902            253,577            325
VERIZON COMMUNICATIO       COM           92343V10      3,251,777,244     60,095,680         58,465,857      1,001,664     628,1594
VERITAS SOFTWARE CO        COM           92343610        149,590,424      8,112,279          8,045,130         55,470      11,6793
VERSICOR INC               COM           92531410          1,493,001        111,418            111,318                        1000
VERTEX PHARMACEUTICA       COM           92532F10         13,611,649        754,526            746,155          7,171       1,2005
VERTICALNET INC            COM           92532L10            322,901        896,948            891,708            240       5,0000
VESTA INS GROUP INC        COM           92539110          3,383,992        258,320            258,320                           0
VIAD CORP                  COM           92552R10         17,383,754        906,348            905,308            840         2000
VIASAT INC                 COM           92552V10          2,646,902        148,369            144,903             40       3,4260
VIACOM INC                 CL A          92552410          2,490,012         71,245             68,745          2,300         2009
VIACOM INC                 CL B          92552430      1,256,971,378     36,433,953         36,287,054        122,504      24,395
VIASYSTEMS GROUP INC       COM           92553H10            334,478        514,583            479,196         35,387            0
VICAL INC                  COM           92560210          1,756,032        172,329            172,229            100            0
VICOR CORP                 COM           92581510          2,881,290        204,202            203,862            240         1000
VIDAMED INC                COM           92653010          1,063,067        278,290            278,290
VIEWPOINT CORP             COM           92672P10          1,031,485        303,378            303,378
VIGNETTE CORP              COM           92673410          6,406,483      1,809,741          1,761,801         47,280         660
VINTAGE PETE INC           COM           92746010         12,454,581        785,778            785,078            700
VION PHARMACEUTICALS       COM           92762410            939,758        200,803            200,703                        100
VIRAGE LOGIC CORP          COM           92763R10            678,228         62,052             62,052
VIRATA CORP                COM           92764610          4,362,128        437,087            436,867            220
VIROPHARMA INC             COM           92824110          3,802,781        150,486            150,486
VISHAY INTERTECHNOLO       COM           92829810         40,136,656      2,181,340          2,177,691          2,355       1,294
VISTEON CORP               COM           92839U10         40,882,709      3,206,487          3,199,641          5,661       1,185
VISX INC DEL               COM           92844S10          9,007,513        680,840            678,090          2,550         200
VISUAL NETWORKS INC        COM           92844410            575,086        252,231            252,231
VITAL SIGNS INC            COM           92846910          1,411,486         46,127             46,027            100
VITRIA TECHNOLOGY          COM           92849Q10          1,302,852        635,538            632,298          3,240
VITESSE SEMICONDUCTO       COM           92849710         28,609,287      3,691,521          3,642,533         30,375      18,613
VIVENDI UNIVERSAL          SPON ADR N    92851S20          3,109,621         67,090             66,890            200
VODAFONE GROUP PLC N       SPONSORED     92857W10         38,856,375      1,769,416            749,493      1,019,923
VOLT INFORMATION SCI       COM           92870310            880,110         73,465             73,465
VOLVO AKTIEBOLAGET         ADR B         92885640            325,889         25,480             25,480
WMC LTD                    SPONSORED     92894710            222,705         14,276             14,276
VYSIS INC                  COM           92896110            518,278         25,785             25,785
VORNADO RLTY TR            SH BEN INT    92904210         30,388,404        765,451            765,301            150
VULCAN MATLS CO            COM           92916010         90,863,985      2,103,333          2,101,708          1,625
WFS FINL INC               COM           92923B10          1,700,751         95,817             95,817
WD-40 CO                   COM           92923610          2,713,113        132,025            131,425            200         400
WGL HLDGS INC              COM           92924F10         17,188,867        639,229            635,254          3,655         320
W-H ENERGY SVCS INC        COM           92925E10          2,411,275        171,499            171,499
W HLDG CO INC              COM           92925110          3,451,364        246,526            246,406            120
WJ COMMUNICATIONS IN       COM           92928410            494,649        130,171            130,171
WMS INDS INC               COM           92929710          3,197,032        182,792            182,792
Page Total                                             5,056,460,582


-------------------------------------------------------------------------
          Name of                    Voting Authority
          Issuer                 Sole            Shared            None
-------------------------------------------------------------------------
                                                       
VERITAS DGC INC                   235,502                          18,400
VERIZON COMMUNICATIO           51,351,252       1,501,014       7,243,414
VERITAS SOFTWARE CO             7,046,155         281,431         784,693
VERSICOR INC                      107,618             100           3,700
VERTEX PHARMACEUTICA              703,231           5,100          46,195
VERTICALNET INC                   837,348           5,000          54,600
VESTA INS GROUP INC               243,120                          15,200
VIAD CORP                         841,348           5,500          59,500
VIASAT INC                        133,343           3,426          11,600
VIACOM INC                          6,796             200          64,249
VIACOM INC                     31,921,926         526,445       3,985,582
VIASYSTEMS GROUP INC              485,183                          29,400
VICAL INC                         158,529                          13,800
VICOR CORP                        191,602             100          12,500
VIDAMED INC                       256,490                          21,800
VIEWPOINT CORP                    279,678                          23,700
VIGNETTE CORP                   1,579,136          20,560         210,045
VINTAGE PETE INC                  754,223                          31,555
VION PHARMACEUTICALS              184,403             100          16,300
VIRAGE LOGIC CORP                  62,052
VIRATA CORP                       406,187                          30,900
VIROPHARMA INC                    139,486                          11,000
VISHAY INTERTECHNOLO            2,084,201           8,994          88,145
VISTEON CORP                    2,824,148          36,748         345,591
VISX INC DEL                      646,940             200          33,700
VISUAL NETWORKS INC               233,531                          18,700
VITAL SIGNS INC                    44,527                           1,600
VITRIA TECHNOLOGY                 594,038                          41,500
VITESSE SEMICONDUCTO            3,249,640          78,134         363,747
VIVENDI UNIVERSAL                  58,695                           8,395
VODAFONE GROUP PLC N            1,726,116                          43,300
VOLT INFORMATION SCI               68,265                           5,200
VOLVO AKTIEBOLAGET                 25,480
WMC LTD                            14,276
VYSIS INC                          25,785
VORNADO RLTY TR                   720,651           4,200          40,600
VULCAN MATLS CO                 1,847,524          29,516         226,293
WFS FINL INC                       90,117                           5,700
WD-40 CO                          121,825             400           9,800
WGL HLDGS INC                     594,449             320          44,460
W-H ENERGY SVCS INC               160,099                          11,400
W HLDG CO INC                     225,426                          21,100
WJ COMMUNICATIONS IN              130,171
WMS INDS INC                      170,592                          12,200
Page Total


                                                                   Page 70 of 73





------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 Investment Discretion
   Name of                   Title of             Cusip           Fair Market         Shares     Sole          Shared as   Shared
   Issuer                      Class              Number             Value           Prin Amt                  Defined      Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                      
W P CAREY & CO LLC             COM            92930Y10            527,772         24,720           23,801                     919
WPP GROUP PLC                  SPON ADR N     92930930          5,713,463        154,954           28,949      126,005
WPS RESOURCES CORP             COM            92931B10         78,308,951      2,276,423          230,065    2,045,638        720
WSFS FINL CORP                 COM            92932810          1,058,263         64,215           64,215
WABASH NATL CORP               COM            92956610          1,304,044        188,992          188,992
WABTEC CORP                    COM            92974010          2,825,737        259,242          259,242
WACKENHUT CORP                 COM SER A      92979410          2,105,681         88,474           88,474
WACKENHUT CORRECTION           COM            92979810            865,412         64,583           64,583
WACHOVIA CORP 2ND NE           COM            92990310        985,875,578     31,802,438       31,391,243      258,104    153,091
WADDELL & REED FINL            CL A           93005910         21,119,488        812,288          807,557        1,455      3,276
WAL MART STORES INC            COM            93114210      4,422,970,431     89,352,938       85,963,654    2,188,118  1,201,166
WALGREEN CO                    COM            93142210        763,937,935     22,188,148       20,573,155    1,042,679    572,314
WALLACE COMPUTER SER           COM            93227010          9,906,797        623,069          622,969          100
WALTER INDS INC                COM            93317Q10          2,654,722        296,617          296,417          200
WASHINGTON FED INC             COM            93882410         11,484,347        458,457          454,457                   4,000
WASHINGTON MUT INC             COM            93932210        768,258,510     19,965,138       19,895,198       68,140      1,800
WASHINGTON POST CO             CL B           93964010         44,636,785         85,873           75,509        2,887      7,477
WASHINGTON REAL ESTA           SH BEN INT     93965310         10,439,788        440,126          439,906          220
WASHINGTON TR BANCOR           COM            94061010          1,829,113         98,871           98,871
WASTE CONNECTIONS IN           COM            94105310          6,248,637        231,431          231,431
WASTE MGMT INC DEL             COM            94106L10        450,962,425     16,864,713       12,805,351    4,057,047      2,315
WATCHGUARD TECHNOLOG           COM            94110510          1,323,456        172,775          172,775
WATERS CORP                    COM            94184810         55,691,922      1,556,945        1,553,975        2,570        400
WATSCO INC                     COM            94262220          3,469,229        265,029          265,029
WATSON PHARMACEUTICA           COM            94268310        121,877,193      2,227,695        2,223,880        2,615      1,200
WATSON WYATT & CO HL           CL A           94271210          1,955,461        122,985          122,985
WATTS INDS INC                 CL A           94274910          3,234,167        246,883          246,883
WAUSAU-MOSINEE PAPER           COM            94331510          6,798,881        581,101          580,701          400
WAVE SYSTEMS CORP              CL A           94352610            707,805        418,820          415,620        3,200
WAYPOINT FINL CORP             COM            94675610          3,860,421        291,793          291,793
WEATHERFORD INTL INC           COM            94707410         31,083,118      1,218,468        1,214,142        2,601      1,725
WEBEX INC                      COM            94767L10          3,406,980        160,404          160,404
WEBMETHODS INC                 COM            94768C10          1,442,089        208,696          208,296          400
WEBSENSE INC                   COM            94768410          3,015,877        276,686          276,686
WEBMD CORP                     COM            94769M10          7,563,331      1,775,430        1,767,510        7,720        200
WEBSTER FINL CORP CO           COM            94789010         22,334,651        677,629          666,578        7,147      3,904
WEINGARTEN RLTY INVS           SH BEN INT     94874110         18,833,617        387,523          387,523
WEIS MKTS INC                  COM            94884910          2,635,440         94,800           93,941          100        759
WELLMAN INC                    COM            94970210          2,927,670        253,478          253,478
WELLPOINT HEALTH NET           COM            94973H10        192,732,922      1,765,762        1,762,782        2,880        100
WELLS FARGO & CO NEW           COM            94974610      1,683,662,964     37,877,682       36,144,951    1,153,577    579,154
WENDYS INTL INC                COM            95059010         62,370,487      2,340,356        2,336,256        4,100
WERNER ENTERPRISES I           COM            95075510          5,047,065        301,858          301,738          120
WESBANCO INC                   COM            95081010          4,530,587        210,725          210,725
Page Total                                                  9,833,539,212


------------------------------------------------------------------------------------------------------
                                            Voting Authority
   Name of                              Sole            Shared          None
   Issuer
------------------------------------------------------------------------------------------------------
                                                              
W P CAREY & CO LLC                         23,801             919
WPP GROUP PLC                             152,746                           2,208
WPS RESOURCES CORP                        214,085       2,045,138          17,200
WSFS FINL CORP                             58,915                           5,300
WABASH NATL CORP                          175,292                          13,700
WABTEC CORP                               238,542                          20,700
WACKENHUT CORP                             83,774                           4,700
WACKENHUT CORRECTION                       64,583
WACHOVIA CORP 2ND NE                   27,500,580         598,786       3,703,072
WADDELL & REED FINL                       757,245           7,976          47,067
WAL MART STORES INC                    76,553,625       4,100,345       8,698,968
WALGREEN CO                            18,217,083       1,268,722       2,702,343
WALLACE COMPUTER SER                      597,069                          26,000
WALTER INDS INC                           276,417                          20,200
WASHINGTON FED INC                        412,967           9,500          35,990
WASHINGTON MUT INC                     17,266,384         307,451       2,391,303
WASHINGTON POST CO                         73,131           7,677           5,065
WASHINGTON REAL ESTA                      416,626                          23,500
WASHINGTON TR BANCOR                       91,371                           7,500
WASTE CONNECTIONS IN                      214,631                          16,800
WASTE MGMT INC DEL                     11,232,685       4,163,746       1,468,282
WATCHGUARD TECHNOLOG                      164,975                           7,800
WATERS CORP                             1,428,558           8,900         119,487
WATSCO INC                                252,329                          12,700
WATSON PHARMACEUTICA                    2,016,948          25,128         185,619
WATSON WYATT & CO HL                      116,985                           6,000
WATTS INDS INC                            231,383                          15,500
WAUSAU-MOSINEE PAPER                      550,601                          30,500
WAVE SYSTEMS CORP                         387,720                          31,100
WAYPOINT FINL CORP                        270,093                          21,700
WEATHERFORD INTL INC                    1,115,152           8,825          94,491
WEBEX INC                                 149,904                          10,500
WEBMETHODS INC                            193,796                          14,900
WEBSENSE INC                              266,486                          10,200
WEBMD CORP                              1,590,530          16,200         168,700
WEBSTER FINL CORP CO                      621,172          21,504          34,953
WEINGARTEN RLTY INVS                      370,023                          17,500
WEIS MKTS INC                              82,941             859          11,000
WELLMAN INC                               227,578                          25,900
WELLPOINT HEALTH NET                    1,574,636          21,069         170,057
WELLS FARGO & CO NEW                   32,208,376       1,147,653       4,521,653
WENDYS INTL INC                         2,089,915          42,429         208,012
WERNER ENTERPRISES I                      280,681                          21,177
WESBANCO INC                              197,425                          13,300
Page Total


                                                                   Page 71 of 73





------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 Investment Discretion
   Name of                   Title of         Cusip      Fair Market         Shares            Sole          Shared as       Shared
   Issuer                      Class          Number        Value           Prin Amt                         Defined          Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                        
WESCO FINL CORP           COM              95081710           4,639,569           15,993            15,273          20         700
WESCO INTL INC            COM              95082P10             921,520          178,936           178,796         140
WEST COAST BANCORP O      COM              95214510           1,836,283          136,021           136,021
WEST CORP                 COM              95235510           4,661,910          235,450           235,450
WEST PHARMACEUTICAL       COM              95530610           2,294,122           93,257            93,237          20
WESTAMERICA BANCORPO      COM              95709010          16,019,790          444,377           444,327          50
WESTCORP INC              COM              95790710           1,713,422           99,908            99,908
WESTERN DIGITAL CORP      COM              95810210           3,343,006        1,540,556         1,537,156       3,400
WESTERN GAS RES INC       COM              95825910           7,872,383          302,435           302,435
WESTERN MULTIPLEX CO      CL A             95874P10           1,368,604          365,937           365,937
WESTERN RES INC           COM              95942510          15,660,718          946,267           942,798       2,869         600
WESTERN WIRELESS COR      CL A             95988E20          13,479,503          399,038           390,148       5,290       3,600
WESTFIELD AMER INC        COM              95991010           3,148,006          194,923           194,923
WESTPAC BKG CORP          SPONSORED        96121430             586,343           17,986            17,986
WESTPOINT STEVENS IN      COM              96123810           8,458,914        4,779,048         1,073,951   3,705,097
WESTPORT RES CORP NE      COM              96141810           3,975,556          270,446           270,446
WESTVACO CORP             COM              96154810         457,826,970       17,814,279        17,804,962       3,230       6,087
WESTWOOD ONE INC          COM              96181510          25,958,496        1,166,674         1,161,674       4,700         300
WET SEAL INC              CL A             96184010           4,216,644          229,041           229,041
WEYERHAEUSER CO           COM              96216610         218,302,681        4,481,681         4,457,209      11,412      13,060
WHIRLPOOL CORP            COM              96332010          83,561,230        1,509,688         1,504,948       2,690       2,050
WHITNEY HLDG CORP         COM              96661210           9,880,196          229,772           229,772
WHOLE FOODS MKT INC       COM              96683710          11,298,553          359,712           357,672       1,840         200
WILD OATS MARKETS IN      COM              96808B10           1,251,121          157,572           157,402         170
WILEY JOHN & SONS IN      CL A             96822320          71,646,191        3,431,331           392,607      10,820   3,027,904
WILEY JOHN & SONS IN      CL B             96822330          26,353,524        1,263,958                                 1,263,958
WILLAMETTE INDS INC       COM              96913310          93,539,563        2,079,119         2,075,834       3,010         275
WILLIAMS COMMUNICATI      CL A             96945510           4,120,943        3,492,325         3,450,933      29,605      11,787
WILLIAMS COS INC DEL      COM              96945710         294,739,235       10,796,309        10,703,442      75,181      17,686
WILLIAMS CLAYTON ENE      COM              96949010             309,433           33,201            33,201
WILLIAMS SONOMA INC       COM              96990410          12,786,565          537,025           534,365       2,520         140
WILMINGTON TRUST COR      COM              97180710          18,552,444          336,095           331,135       2,860       2,100
WILSON GREATBATCH TE      COM              97223210           2,179,802           74,396            74,296         100
WILSONS THE LEATHER       COM              97246310             862,054           95,360            95,320          40
WIND RIVER SYSTEMS I      COM              97314910           6,511,753          620,167           619,387         680         100
WINN DIXIE STORES IN      COM              97428010          29,242,693        2,553,947         2,550,257       3,590         100
WINNEBAGO INDS INC        COM              97463710           4,162,951          194,077           193,977         100
WINSTON HOTELS INC        COM              97563A10           1,200,594          151,974           151,974
WINTRUST FINANCIAL C      COM              97650W10           1,786,865           57,548            57,548
WIPRO LTD                 SPON ADR 1       97651M10             234,238           11,049            11,049
WIRELESS FACILITIES       COM              97653A10             870,688          194,785           191,805       2,980
WISCONSIN CENT TRANS      COM              97659210           8,385,870          490,976           490,776         200
WISCONSIN ENERGY COR      COM              97665710          25,837,380        1,148,328         1,122,243       5,250      20,835
WITNESS SYS INC           COM              97742410             778,512           95,523            94,703         820
Page Total                                                1,506,376,838


------------------------------------------------------------------------------------------------------
                                        Voting Authority
   Name of                           Sole            Shared         None
   Issuer
------------------------------------------------------------------------------------------------------
                                                          


WESCO FINL CORP                     12,193             700           3,100
WESCO INTL INC                     166,736                          12,200
WEST COAST BANCORP O               125,921                          10,100
WEST CORP                          223,950             100          11,400
WEST PHARMACEUTICAL                 86,757                           6,500
WESTAMERICA BANCORPO               422,177                          22,200
WESTCORP INC                        95,808                           4,100
WESTERN DIGITAL CORP             1,432,556                         108,000
WESTERN GAS RES INC                288,735                          13,700
WESTERN MULTIPLEX CO               365,937
WESTERN RES INC                    897,467           4,900          43,900
WESTERN WIRELESS COR               355,638           7,500          35,900
WESTFIELD AMER INC                 174,623                          20,300
WESTPAC BKG CORP                    17,986
WESTPOINT STEVENS IN             1,053,851       3,705,097          20,100
WESTPORT RES CORP NE               250,485                          19,961
WESTVACO CORP                    1,990,268      15,621,844         202,167
WESTWOOD ONE INC                 1,118,348           6,700          41,626
WET SEAL INC                       219,591                           9,450
WEYERHAEUSER CO                  3,906,770          77,169         497,742
WHIRLPOOL CORP                   1,284,592          24,702         200,394
WHITNEY HLDG CORP                  213,272                          16,500
WHOLE FOODS MKT INC                308,912           4,800          46,000
WILD OATS MARKETS IN               138,622                          18,950
WILEY JOHN & SONS IN               374,027       3,027,904          29,400
WILEY JOHN & SONS IN                             1,263,958
WILLAMETTE INDS INC              1,854,705          30,665         193,749
WILLIAMS COMMUNICATI             3,116,967          51,776         323,582
WILLIAMS COS INC DEL             9,305,415         169,111       1,321,783
WILLIAMS CLAYTON ENE                33,201
WILLIAMS SONOMA INC                506,285           2,740          28,000
WILMINGTON TRUST COR               314,295           3,900          17,900
WILSON GREATBATCH TE                69,596                           4,800
WILSONS THE LEATHER                 89,060                           6,300
WIND RIVER SYSTEMS I               576,567           6,400          37,200
WINN DIXIE STORES IN             2,193,479          95,465         265,003
WINNEBAGO INDS INC                 186,877                           7,200
WINSTON HOTELS INC                 149,274                           2,700
WINTRUST FINANCIAL C                56,248                           1,300
WIPRO LTD                           11,049
WIRELESS FACILITIES                185,385                           9,400
WISCONSIN CENT TRANS               465,176                          25,800
WISCONSIN ENERGY COR             1,038,493          28,035          81,800
WITNESS SYS INC                     88,323                           7,200
Page Total


                                                                   Page 72 of 73



------------------------------------------------------------------------------------------------------------------------------------
                                                                                         Investment Discretion
   Name of              Title of          Cusip    Fair Market         Shares            Sole          Shared as        Shared
   Issuer                 Class           Number     Value           Prin Amt                           Defined          Other
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
WOLVERINE TUBE INC      COM           97809310            801,222         79,329             79,329
WOLVERINE WORLD WIDE    COM           97809710         11,510,728        856,453            763,793      78,660          14,000
WOODHEAD INDS INC       COM           97943810          2,471,870        165,232            165,232
WOODWARD GOVERNOR CO    COM           98074510          3,738,595         77,164             77,144          20
WORLD ACCEP CORP DEL    COM           98141910            578,662         82,666             82,666
WORLD WRESTLING FEDN    CL A          98156Q10          3,296,990        249,772            249,772
WORLDCOM INC GA NEW     WRLDCOM GP    98157D10      1,001,348,716     66,579,037         64,885,935   1,432,307         260,795
WORLDCOM INC GA NEW     MCI GROUP     98157D30         15,975,432      1,048,945          1,020,164      23,716           5,065
WORTHINGTON INDS INC    COM           98181110         20,733,086      1,842,941          1,821,810      17,585           3,546
WRIGHT MED GROUP INC    COM           98235T10            260,876         15,400             15,400
WRIGLEY WM JR CO        COM           98252610        211,312,189      4,119,146          4,103,532      12,414           3,200
WYNDHAM INTL INC        CL A          98310110            823,514      1,266,945          1,249,945      17,000
XM SATELLITE RADIO H    CL A          98375910            718,865        137,188            137,088         100
XO COMMUNICATIONS IN    CL A          98376410            959,766      2,340,894          2,305,467      26,167           9,260
XTO ENERGY CORP         COM           98385X10         10,124,965        725,804            723,804       2,000
X-RITE INC              COM           98385710          1,259,520        159,433            159,433
XCEL ENERGY INC         COM           98389B10        186,514,496      6,625,737          6,583,935      22,773          19,029
XANSER CORP             COM           98389J10            336,302        181,785            181,785
XILINX INC              COM           98391910        158,118,164      6,719,854          6,689,098      19,556          11,200
XEROX CORP              COM           98412110        364,904,417     47,084,441         14,674,064  32,408,927           1,450
XYBERNAUT CORP          COM           98414910            741,018        370,509            367,709       2,800
YAHOO INC               COM           98433210         95,202,163     10,806,148         10,792,533      12,645             970
YANKEE CANDLE INC       COM           98475710          2,600,892        152,099            150,899       1,200
XICOR INC               COM           98490310          1,502,446        188,987            188,887                         100
YELLOW CORP             COM           98550910         10,144,473        498,745            281,735     217,010
YORK INTL CORP NEW      COM           98667010         20,984,356        732,694            731,164       1,330             200
YOUNG BROADCASTING I    CL A          98743410          2,030,493        140,034            140,034
ZALE CORP NEW           COM           98885810         19,225,274        726,030            725,530         400             100
ZEBRA TECHNOLOGIES C    CL A          98920710         12,020,651        320,893            319,563       1,230             100
ZENITH NATL INS CORP    COM           98939010          1,937,225         78,749             78,249         500
ZIMMER HLDGS INC        COM           98956P10        117,595,092      4,237,661          4,019,297     107,638         110,726
ZIONS BANCORPORATION    COM           98970110         98,550,399      1,836,571          1,834,435       1,936             200
ZIXIT CORP              COM           98974P10            601,642        124,822            124,822
ZORAN CORP              COM           98975F10          3,678,848        151,893            150,423       1,470
ZYGO CORP               COM           98985510          1,319,607        127,993            127,993
ZOLL MED CORP           COM           98992210          2,719,448         76,389             76,389
ZOMAX INC MINN          COM           98992910          1,353,574        249,277            249,277
Page Total                                          2,387,995,976
Grand Total                                       286,979,637,963

                         TOTAL MARKET VALUE       286,979,637,963


--------------------------------------------------------------------------
                                  Voting Authority
   Name of                    Sole            Shared            None
   Issuer
--------------------------------------------------------------------------
                                                  
WOLVERINE TUBE INC             77,029                           2,300
WOLVERINE WORLD WIDE          813,753          14,000          28,700
WOODHEAD INDS INC             158,032                           7,200
WOODWARD GOVERNOR CO           71,164                           6,000
WORLD ACCEP CORP DEL           82,666
WORLD WRESTLING FEDN          241,972                           7,800
WORLDCOM INC GA NEW        58,495,621       1,144,173       6,939,243
WORLDCOM INC GA NEW           874,249          16,635         158,061
WORTHINGTON INDS INC        1,637,567          25,446         179,928
WRIGHT MED GROUP INC           15,400
WRIGLEY WM JR CO            3,572,888         154,510         391,748
WYNDHAM INTL INC            1,172,045                          94,900
XM SATELLITE RADIO H          128,488                           8,700
XO COMMUNICATIONS IN        2,169,665           9,260         161,969
XTO ENERGY CORP               641,804          11,100          72,900
X-RITE INC                    148,733                          10,700
XCEL ENERGY INC             5,875,303         135,765         614,669
XANSER CORP                   164,385                          17,400
XILINX INC                  5,692,246         232,315         795,293
XEROX CORP                 12,691,608      32,561,303       1,831,530
XYBERNAUT CORP                342,809                          27,700
YAHOO INC                   9,147,372         358,930       1,299,846
YANKEE CANDLE INC             142,899                           9,200
XICOR INC                     175,487             100          13,400
YELLOW CORP                   474,745                          24,000
YORK INTL CORP NEW            708,594             200          23,900
YOUNG BROADCASTING I          131,034                           9,000
ZALE CORP NEW                 263,042         440,688          22,300
ZEBRA TECHNOLOGIES C          304,793             100          16,000
ZENITH NATL INS CORP           73,549                           5,200
ZIMMER HLDGS INC            3,523,423         252,277         461,961
ZIONS BANCORPORATION        1,638,680          23,403         174,488
ZIXIT CORP                    112,622                          12,200
ZORAN CORP                    140,693                          11,200
ZYGO CORP                     118,793                           9,200
ZOLL MED CORP                  70,289                           6,100
ZOMAX INC MINN                231,477                          17,800
Page Total
Grand Total


                                                                   Page 73 of 73