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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: September 30, 2007


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


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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York        November 28, 2007
-------------------------------    ------------------------  ------------------
(Signature)                        (City, State)             (Date)

Report Type (Check only one.):

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

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

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






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  4



Form 13F Information Table Entry Total: 5,737

Form 13F Information Table Value Total: $22,497,228(thousands)

List of Other Included Managers:

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


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

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  AIG SUNAMERICA ASSET MANAGEMENT CORP.

3         28-3463                  JOHN MCSTAY INVESTMENT COUNSEL, L.P.

4         28-11910                 FSC SECURITIES CORPORATION





                            13F SECURITIES - 3Q 2007



                                                                                                          VOTING AUTHORITY
                              TITLE OF     CUSIP    VALUE     SHARES/    SH/ PUT/ INVESTMENT OTHER -------------------------------
        ISSUER NAME             CLASS      NUMBER   X 1000    PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)  SHARED (B)  NONE (C)
        -----------         ------------ --------- ------- ------------- --- ---- ---------- ----- ---------- ---------- ---------
                                                                                        
1 800 FLOWERS EQUITY CL A   EQUITY       68243Q106       1       100.00  SH         DEFINED      4         --         --       100
1-800-FLOWERS.COM INC-CL A  EQUITY       68243Q106     244       21,032  SH           SOLE       1     21,032         --        --
1REEN BANKSHARES INC        EQUITY       394361208     364        9,977  SH           SOLE       1      9,977         --        --
1ST SOURCE CORP             EQUITY       336901103     275       11,998  SH           SOLE       1     11,998         --        --
3COM CORP                   EQUITY       885535104    6544    1,324,698  SH           SOLE       1  1,324,698         --        --
3D SYSTEMS CORP             EQUITY       88554D205     316       13,360  SH           SOLE       1     13,360         --        --
3EQUITY CORP EQUITY         EQUITY       885535104       4       862.00  SH         DEFINED      4         --         --       862
3M CO                       EQUITY       88579Y101   31481      336,403  SH           SOLE       1    336,403         --        --
3M CO                       EQUITY       88579Y101   12222      130,608  SH           SOLE       2    130,608         --        --
3M CO EQUITY                EQUITY       88579Y101    1481    15,822.09  SH         DEFINED      4         --         --    15,822
3M CO NOTE 11/2             FIXED INCOME 88579YAB7       4         4.00  PRN        DEFINED      4         --         --         4
40 / 86 STRATEGIC
   INEQUITYE FD SH BEN INT  EQUITY       349739102      39     4,130.00  SH         DEFINED      4         --         --     4,130
4KIDS ENTERTAINMENT INC     EQUITY       350865101      29        1,663  SH           SOLE       1      1,663         --        --
99 CENTS ONLY STORES        EQUITY       65440K106    1610      156,804  SH           SOLE       1    156,804         --        --
99 CENTS ONLY STORES
   EQUITY                   EQUITY       65440K106       2       200.00  SH         DEFINED      4         --         --       200
A D C
   TELEEQUITYMUNICATIONS
   EQUITY NEW               EQUITY         886309        7       370.00  SH         DEFINED      4         --         --       370
A S V INC EQUITY            EQUITY        1963107       29     2,100.00  SH         DEFINED      4         --         --     2,100
AASTROM BIOSCIENCES INC
   EQUITY                   EQUITY       00253U107       1     1,250.00  SH         DEFINED      4         --         --     1,250
ABAXIS INC EQUITY           EQUITY        2567105       11       500.00  SH         DEFINED      4         --         --       500
ABB LTD SPONSORED ADR       EQUITY         375204       29     1,111.00  SH         DEFINED      4         --         --     1,111
ABBOTT LABS EQUITY          EQUITY        2824100      496     9,259.43  SH         DEFINED      4         --         --     9,259
ABERCROMBIE & FITCH CO CL
   A                        EQUITY        2896207      118     1,461.00  SH         DEFINED      4         --         --     1,461
ABERDEEN ASIA PACIFIC
   INEQUITY EQUITY          EQUITY        3009107    30159 4,839,333.00  SH         DEFINED      4         --         -- 4,839,333
ABERDEEN AUSTRALIA EQTY
   FD I EQUITY              EQUITY        3011103      536    30,820.00  SH         DEFINED      4         --         --    30,820
ABINGTON BANCORP INC        EQUITY       00350L109      90        9,241  SH           SOLE       1      9,241         --        --
ABIOMED INC EQUITY          EQUITY        3654100        1        80.00  SH         DEFINED      4         --         --        80
ABM INDS INC EQUITY         EQUITY         957100        6       300.00  SH         DEFINED      4         --         --       300
ABN AMRO HLDG NV
   SPONSORED ADR            EQUITY         937102        1        24.00  SH         DEFINED      4         --         --        24
ABX AIR INC                 EQUITY       00080S101     363       51,241  SH           SOLE       1     51,241         --        --
AC MOORE ARTS & CRAFTS INC  EQUITY       00086T103     279       17,680  SH           SOLE       1     17,680         --        --
ACCENTURE LTD BERMUDA CL A  EQUITY       G1150G111      16       401.00  SH         DEFINED      4         --         --       401
ACCO BRANDS CORP            EQUITY       00081T108    1055       47,001  SH           SOLE       1     47,001         --        --
ACCO BRANDS CORP EQUITY     EQUITY       00081T108       5       235.00  SH         DEFINED      4         --         --       235
ACCREDITED HOME LENDERS     EQUITY       00437P107     219       18,724  SH           SOLE       1     18,724         --        --
ACE LTD                     EQUITY       G0070K103      25          415  SH           SOLE       2        415         --        --
ACE LTD ORD                 EQUITY       G0070K103      10       166.00  SH         DEFINED      4         --         --       166
ACERGY S A SPONSORED ADR    EQUITY       00443E104      15       500.00  SH         DEFINED      4         --         --       500
ACORDA THERAPEUTICS INC     EQUITY       00484M106     399       21,755  SH           SOLE       1     21,755         --        --
ACTIVISION INC NEW EQUITY
   NEW                      EQUITY        4930202       82     3,814.00  SH         DEFINED      4         --         --     3,814
ACTUANT CORP-CL A           EQUITY       00508X203    1551       23,873  SH           SOLE       1     23,873         --        --
ACTUATE CORP EQUITY         EQUITY       00508B102       1       209.00  SH         DEFINED      4         --         --       209
ACTUATE CORPORATION         EQUITY       00508B102     341       52,892  SH           SOLE       1     52,892         --        --
ACUITY BRANDS INC           EQUITY       00508Y102    2188       43,335  SH           SOLE       1     43,335         --        --
ADAMS RESPIRATORY THERA
   INC                      EQUITY       00635P107    1196       31,028  SH           SOLE       1     31,028         --        --
ADAMS RESPIRATORY THERA
   INC                      EQUITY       00635P107     597       15,500  SH           SOLE       2     15,500         --        --
ADAPTEC INC                 EQUITY       00651F108     452      118,290  SH           SOLE       1    118,290         --        --
ADCARE HEALTH SYSTEMS INC
   EQUITY NEW               EQUITY       00650W300               100.00  SH         DEFINED      4         --         --       100
ADOBE SYS INC EQUITY        EQUITY       00724F101      50     1,149.00  SH         DEFINED      4         --         --     1,149
ADOBE SYSTEMS INC           EQUITY       00724F101   37343      856,909  SH           SOLE       1    856,909         --        --
ADOBE SYSTEMS INC           EQUITY       00724F101     452       10,342  SH           SOLE       2     10,342         --        --
ADOLOR CORPORATION          EQUITY       00724X102      27        7,757  SH           SOLE       1      7,757         --        --
ADTRAN INC                  EQUITY       00738A106    4647      201,794  SH           SOLE       1    201,794         --        --
ADVANCE AMERICA CASH
   ADVANCE                  EQUITY       00739W107     621       58,171  SH           SOLE       1     58,171         --        --
ADVANCE AUTO PARTS INC      EQUITY       00751Y106    8840      263,408  SH           SOLE       1    263,408         --        --
ADVANCE AUTO PARTS INC
   EQUITY                   EQUITY       00751Y106      64     1,906.00  SH         DEFINED      4         --         --     1,906
ADVANCED ANALOGIC
   TECHNOLOGI               EQUITY       00752J108     355       33,323  SH           SOLE       1     33,323         --        --
ADVANCED ANALOGIC
   TECHNOLOGI               EQUITY       00752J108    1559      146,500  SH           SOLE       2    146,500         --        --
ADVANCED ENVIRON
   RECYCLING T CL A         EQUITY        7947104        3     2,300.00  SH         DEFINED      4         --         --     2,300
ADVANCED LIFE SCIENCES
   HLDGS EQUITY             EQUITY       00765H107      14     8,000.00  SH         DEFINED      4         --         --     8,000
ADVANCED MEDICAL OPTICS     EQUITY       00763M108    4653      152,093  SH           SOLE       1    152,093         --        --
ADVANCED MEDICAL OPTICS
   INC EQUITY               EQUITY       00763M108      37     1,200.00  SH         DEFINED      4         --         --     1,200
ADVANCED SEMICONDUCTOR
   E-ADR                    EQUITY       00756M404   13483    2,487,707  SH           SOLE       1  2,487,707         --        --
ADVANTAGE ENERGY
   INEQUITYE FD TR UNIT     EQUITY       00762L101     242    18,851.00  SH         DEFINED      4         --         --    18,851
ADVENT CLAYMORE CV SECS &
   IN EQUITY                EQUITY       00764C109     164     6,420.00  SH         DEFINED      4         --         --     6,420
ADVENT CLAYMORE ENH GRW &
   IN EQUITY                EQUITY       00765E104     201    11,560.00  SH         DEFINED      4         --         --    11,560





                                                                                        
ADVISORY BOARD CO/THE       EQUITY       00762W107     920       15,734  SH           SOLE       1     15,734         --        --
AECOM TECHNOLOGY CORP       EQUITY       00766T100    1229       35,193  SH           SOLE       1     35,193         --        --
AEEQUITY TECHNOLOGY CORP
   DELAWA EQUITY            EQUITY       00766T100      27       775.00  SH         DEFINED      4         --         --       775
AEGON N V ORD AMER REG      EQUITY        7924103        5       246.00  SH         DEFINED      4         --         --       246
AERCAP HOLDINGS NV          EQUITY       N00985106   20360      818,000  SH           SOLE       2    818,000         --        --
AES CORP                    EQUITY       00130H105   11227      560,235  SH           SOLE       1    560,235         --        --
AES CORP                    EQUITY       00130H105      17          843  SH           SOLE       2        843         --        --
AES CORP EQUITY             EQUITY       00130H105      24     1,188.00  SH         DEFINED      4         --         --     1,188
AETNA INC                   EQUITY       00817Y108   34128      631,318  SH           SOLE       1    631,318         --        --
AETNA INC                   EQUITY       00817Y108   32597      600,645  SH           SOLE       2    600,645         --        --
AETNA INC NEW EQUITY        EQUITY       00817Y108     135     2,487.00  SH         DEFINED      4         --         --     2,487
AFC ENTERPRISES             EQUITY       00104Q107     386       25,627  SH           SOLE       1     25,627         --        --
AFFILIATED EQUITYPUTER
   SERVICES CL A            EQUITY        8190100      121     2,400.00  SH         DEFINED      4         --         --     2,400
AFFILIATED MANAGERS GROUP
   EQUITY                   EQUITY        8252108        1         9.00  SH         DEFINED      4         --         --         9
AFFYMAX INC                 EQUITY       00826A109     101        3,746  SH           SOLE       1      3,746         --        --
AFFYMETRIX INC              EQUITY       00826T108    5804      228,762  SH           SOLE       1    228,762         --        --
AFFYMETRIX INC              EQUITY       00826T108     868       34,200  SH           SOLE       2     34,200         --        --
AFFYMETRIX INC EQUITY       EQUITY       00826T108      53     2,086.00  SH         DEFINED      4         --         --     2,086
AFLAC INC EQUITY            EQUITY        1055102       67     1,171.14  SH         DEFINED      4         --         --     1,171
AGILENT TECHNOLOGIES INC    EQUITY       00846U101    9033      244,929  SH           SOLE       1    244,929         --        --
AGILENT TECHNOLOGIES INC    EQUITY       00846U101    5661      153,487  SH           SOLE       2    153,487         --        --
AGILENT TECHNOLOGIES INC
   EQUITY                   EQUITY       00846U101      73     1,969.00  SH         DEFINED      4         --         --     1,969
AGILYSYS INC                EQUITY       00847J105     511       30,266  SH           SOLE       1     30,266         --        --
AGL RES INC EQUITY          EQUITY        1204106       28       701.00  SH         DEFINED      4         --         --       701
AGNICO EAGLE MINES LTD
   EQUITY                   EQUITY        8474108       20       400.00  SH         DEFINED      4         --         --       400
AGRIUM INC EQUITY           EQUITY        8916108     1120    20,531.00  SH         DEFINED      4         --         --    20,531
AIR PRODS & CHEMS INC
   EQUITY                   EQUITY        9158106      339     3,469.68  SH         DEFINED      4         --         --     3,470
AIRSPAN NETWORKS INC
   EQUITY                   EQUITY       00950H102      25    10,000.00  SH         DEFINED      4         --         --    10,000
AIRTRAN HOLDINGS INC        EQUITY       00949P108    3009      305,815  SH           SOLE       1    305,815         --        --
AK STL HLDG CORP EQUITY     EQUITY        1547108       27       617.00  SH         DEFINED      4         --         --       617
AKAMAI TECHNOLOGIES         EQUITY       00971T101    2316       80,610  SH           SOLE       1     80,610         --        --
AKAMAI TECHNOLOGIES         EQUITY       00971T101    6513      226,709  SH           SOLE       2    226,709         --        --
AKAMAI TECHNOLOGIES INC
   EQUITY                   EQUITY       00971T101      46     1,593.00  SH         DEFINED      4         --         --     1,593
AKAMAI TECHNOLOGIES INC
   PUT                      OPTION       00971T951     -10        (6.00)        P   DEFINED      4         --         --        (6)
ALADDIN KNOWLEDGE SYSTEMS   EQUITY       M0392N101    5369      240,100  SH           SOLE       3    209,000         --    31,100
ALASKA COMM SYSTEMS GROUP   EQUITY       01167P101     538       37,255  SH           SOLE       1     37,255         --        --
ALASKA EQUITYMUNICATIONS
   SYS GR EQUITY            EQUITY       01167P101       4       250.00  SH         DEFINED      4         --         --       250
ALBEMARLE CORP EQUITY       EQUITY        12653101      36       813.00  SH         DEFINED      4         --         --       813
ALCAN INC EQUITY            EQUITY        13716105      73       725.00  SH         DEFINED      4         --         --       725
ALCATEL-LUCENT CALL         OPTION        13904905                (2.00)        C   DEFINED      4         --         --        (2)
ALCATEL-LUCENT SPONSORED
   ADR                      EQUITY        13904305      79     7,715.00  SH         DEFINED      4         --         --     7,715
ALCOA INC EQUITY            EQUITY        13817101     189     4,839.71  SH         DEFINED      4         --         --     4,840
ALCON INC                   EQUITY       H01301102     576        4,000  SH           SOLE       2      4,000         --        --
ALCON INC EQUITY SHS        EQUITY       H01301102      16       110.00  SH         DEFINED      4         --         --       110
ALIGN TECHNOLOGY INC
   EQUITY                   EQUITY        16255101       8       325.00  SH         DEFINED      4         --         --       325
ALKERMES INC                EQUITY       01642T108    1612       87,588  SH           SOLE       1     87,588         --        --
ALKERMES INC EQUITY         EQUITY       01642T108       2       100.00  SH         DEFINED      4         --         --       100
ALLEGHENY ENERGY INC
   EQUITY                   EQUITY        17361106      63     1,711.00  SH         DEFINED      4         --         --     1,711
ALLEGHENY TECHNOLOGIES INC  EQUITY       01741R102    5083       46,232  SH           SOLE       1     46,232         --        --
ALLEGHENY TECHNOLOGIES INC  EQUITY       01741R102      14          129  SH           SOLE       2        129         --        --
ALLEGHENY TECHNOLOGIES
   INC EQUITY               EQUITY       01741R102      44       400.00  SH         DEFINED      4         --         --       400
ALLEGIANT TRAVEL CO         EQUITY       01748X102     139        4,593  SH           SOLE       1      4,593         --        --
ALLERGAN INC EQUITY         EQUITY        18490102      64       994.00  SH         DEFINED      4         --         --       994
ALLETE INC EQUITY NEW       EQUITY        18522300      41       920.00  SH         DEFINED      4         --         --       920
ALLIANCE ALL MARKET
   ADVANTAG EQUITY          EQUITY       01852M108      15     1,170.00  SH         DEFINED      4         --         --     1,170
ALLIANCE IMAGING INC
   EQUITY NEW               EQUITY        18606202      10     1,100.00  SH         DEFINED      4         --         --     1,100
ALLIANCE NEW YORK MUN INC
   FD EQUITY                EQUITY        18714105      11       829.00  SH         DEFINED      4         --         --       829
ALLIANCEBERNSTEIN GBL HGH
   IN EQUITY                EQUITY       01879R106      27     2,012.00  SH         DEFINED      4         --         --     2,012
ALLIANCEBERNSTEIN HOLDING
   LP UNIT LTD PARTN        EQUITY       01881G106     254     2,882.00  SH         DEFINED      4         --         --     2,882
ALLIANCEBERNSTEIN
   INEQUITYE FUN EQUITY     EQUITY       01881E101    1121   135,341.04  SH         DEFINED      4         --         --   135,341
ALLIANCEBERNSTEIN NATL
   MUNI EQUITY              EQUITY       01864U106      57     3,948.26  SH         DEFINED      4         --         --     3,948
ALLIANT ENERGY CORP EQUITY  EQUITY        18802108       5       143.00  SH         DEFINED      4         --         --       143
ALLIANT TECHSYSTEMS INC
   EQUITY                   EQUITY        18804104    2883    26,415.00  SH         DEFINED      4         --         --    26,415
ALLIANZ SE SP ADR 1/10 SH   EQUITY        18805101      72     3,100.00  SH         DEFINED      4         --         --     3,100
ALLIED CAP CORP NEW EQUITY  EQUITY       01903Q108     248     8,177.00  SH         DEFINED      4         --         --     8,177
ALLIED CAPITAL CORP         EQUITY       01903Q108     169        5,736  SH           SOLE       1      5,736         --        --
ALLIED HEALTHCARE INTL INC  EQUITY       01923A109    1190      498,044  SH           SOLE       1    498,044         --        --
ALLIED IRISH BKS P L C
   SPON ADR ORD             EQUITY        19228402      80     1,645.00  SH         DEFINED      4         --         --     1,645
ALLIED MOTION
   TECHNOLOGIES I EQUITY    EQUITY        19330109       2       400.00  SH         DEFINED      4         --         --       400
ALLIED WASTE INDS INC
   EQUITY PAR$.01NEW        EQUITY        19589308      15     1,209.00  SH         DEFINED      4         --         --     1,209





                                                                                        
ALLIED WORLD ASSURANCE
   HOLDING                  EQUITY       G0219G203  607001   11,693,333  SH           SOLE       1 11,693,333         --        --
ALLSCRIPTS HEALTHCARE
   SOLUT                    EQUITY       01988P108    1494       55,274  SH           SOLE       1     55,274         --        --
ALLSCRIPTS HEALTHCARE
   SOLUTI EQUITY            EQUITY       01988P108       8       300.00  SH         DEFINED      4         --         --       300
ALLSTATE CORP EQUITY        EQUITY        20002101     184     3,212.76  SH         DEFINED      4         --         --     3,213
ALLTEL CORP EQUITY          EQUITY        20039103      39       556.00  SH         DEFINED      4         --         --       556
ALNYLAM PHARMACEUTICALS
   INC                      EQUITY       02043Q107     922       28,127  SH           SOLE       1     28,127         --        --
ALPHA NATURAL RESOURCES
   INC                      EQUITY       02076X102    1326       57,084  SH           SOLE       1     57,084         --        --
ALPHA NATURAL RESOURCES
   INC EQUITY               EQUITY       02076X102       9       400.00  SH         DEFINED      4         --         --       400
ALPHA PRO TECH LTD EQUITY   EQUITY        20772109       4     2,000.00  SH         DEFINED      4         --         --     2,000
ALPINE GLOBAL DYNAMIC
   DIVD F EQUITY            EQUITY       02082E106      58     2,500.00  SH         DEFINED      4         --         --     2,500
ALPINE GLOBAL PREMIER
   PPTYS EQUITY SBI         EQUITY       02083A103       8       500.00  SH         DEFINED      4         --         --       500
ALPINE TOTAL DYNAMIC
   DIVID F EQUITY SBI       EQUITY        21060108      48     2,438.64  SH         DEFINED      4         --         --     2,439
ALSERES PHARMACEUTICALS
   INC EQUITY               EQUITY        21152103                 6.00  SH         DEFINED      4         --         --         6
ALTAIR NANOTECHNOLOGIES
   INC EQUITY               EQUITY        21373105       3     1,000.00  SH         DEFINED      4         --         --     1,000
ALTERA CORP EQUITY          EQUITY        21441100       1        34.00  SH         DEFINED      4         --         --        34
ALTRA HOLDINGS INC          EQUITY       02208R106     166        9,979  SH           SOLE       1      9,979         --        --
ALTRIA GROUP INC            EQUITY       02209S103   76913    1,106,190  SH           SOLE       1  1,106,190         --        --
ALTRIA GROUP INC            EQUITY       02209S103   13672      196,633  SH           SOLE       2    196,633         --        --
ALTRIA GROUP INC CALL       OPTION       02209S903                (5.00)        C   DEFINED      4         --         --        (5)
ALTRIA GROUP INC EQUITY     EQUITY       02209S103    7651   110,045.44  SH         DEFINED      4         --         --   110,045
ALTUS PHARMACEUTICALS INC   EQUITY       02216N105     194       18,464  SH           SOLE       1     18,464         --        --
ALUMINUM CORP CHINA LTD
   CALL                     OPTION        22276909      -3        (9.00)        C   DEFINED      4         --         --        (9)
ALUMINUM CORP CHINA LTD
   PUT                      OPTION        22276959       1         9.00         P   DEFINED      4         --         --         9
ALUMINUM CORP CHINA LTD
   SPON ADR H SHS           EQUITY        22276109      86     1,260.00  SH         DEFINED      4         --         --     1,260
ALVARION LIMITED            EQUITY       M0861T100    1525      105,000  SH           SOLE       3    105,000         --        --
ALZA CORP SDCV 7/2          FIXED INCOME 02261WAB5       3         3.00  PRN        DEFINED      4         --         --         3
AMAG PHARMACEUTICALS INC    EQUITY       00163U106     835       14,590  SH           SOLE       1     14,590         --        --
AMAZON EQUITY INC EQUITY    EQUITY        23135106    1414    16,059.00  SH         DEFINED      4         --         --    16,059
AMB PROPERTY CORP           EQUITY       00163T109   24699      412,957  SH           SOLE       1    412,957         --        --
AMB PROPERTY CORP EQUITY    EQUITY       00163T109       4        71.00  SH         DEFINED      4         --         --        71
AMBAC FINL GROUP INC
   EQUITY                   EQUITY        23139108      15       243.00  SH         DEFINED      4         --         --       243
AMCOL INTERNATIONAL CORP    EQUITY       02341W103     833       25,163  SH           SOLE       1     25,163         --        --
AMCOL INTERNATIONAL CORP    EQUITY       02341W103     390       11,800  SH           SOLE       2     11,800         --        --
AMDOCS LTD NOTE 0.500% 3/1  FIXED INCOME 02342TAD1       1         1.00  PRN        DEFINED      4         --         --         1
AMDOCS LTD ORD              EQUITY       G02602103      24       652.00  SH         DEFINED      4         --         --       652
AMEDISYS INC EQUITY         EQUITY        23436108      11       280.00  SH         DEFINED      4         --         --       280
AMEREN CORP EQUITY          EQUITY        23608102      40       766.00  SH         DEFINED      4         --         --       766
AMERICA FIRST TAX EX IVS
   L P BEN UNIT CTF         EQUITY       02364V107       2       300.00  SH         DEFINED      4         --         --       300
AMERICA MOVIL SAB DE CV
   SPON ADR L SHS           EQUITY       02364W105     390     6,101.00  SH         DEFINED      4         --         --     6,101
AMERICA MOVIL-ADR SERIES L  EQUITY       02364W105   56538      883,412  SH           SOLE       1    883,412         --        --
AMERICA SVC GROUP INC
   EQUITY                   EQUITY       02364L109       2       135.00  SH         DEFINED      4         --         --       135
AMERICAN CAPITAL
   STRATEGIES EQUITY        EQUITY        24937104    1587    36,849.00  SH         DEFINED      4         --         --    36,849
AMERICAN EAGLE OUTFITTERS   EQUITY       02553E106   14039      533,612  SH           SOLE       1    533,612         --        --
AMERICAN EAGLE OUTFITTERS   EQUITY       02553E106   14444      549,000  SH           SOLE       2    549,000         --        --
AMERICAN EAGLE OUTFITTERS
   NE EQUITY                EQUITY       02553E106       1       250.00  SH         DEFINED      4         --         --       250
AMERICAN ELEC PWR INC
   EQUITY                   EQUITY        25537101     342     7,418.51  SH         DEFINED      4         --         --     7,419
AMERICAN EXPRESS CO EQUITY  EQUITY        25816109     163     2,743.42  SH         DEFINED      4         --         --     2,743
AMERICAN FINL GROUP INC
   OHIO EQUITY              EQUITY        25932104      43     1,525.00  SH         DEFINED      4         --         --     1,525
AMERICAN INTL GROUP INC
   CALL                     OPTION        26874907                (2.00)        C   DEFINED      4         --         --        (2)
AMERICAN INTL GROUP INC
   EQUITY                   EQUITY        26874107     619     9,153.04  SH         DEFINED      4         --         --     9,153
AMERICAN MEDICAL SYS HLDGS  EQUITY       02744M108    1217       71,820  SH           SOLE       1     71,820         --        --
AMERICAN MTG ACCEP CO SH
   BEN INT                  EQUITY        27568104       9     1,000.00  SH         DEFINED      4         --         --     1,000
AMERICAN PAC CORP EQUITY    EQUITY        28740108       8       500.00  SH         DEFINED      4         --         --       500
AMERICAN RAILCAR
   INDUSTRIES               EQUITY       02916P103     188        8,517  SH           SOLE       1      8,517         --        --
AMERICAN RLTY INVS INC
   EQUITY                   EQUITY        29174109       1       105.00  SH         DEFINED      4         --         --       105
AMERICAN SELECT PORTFOLIO
   IN EQUITY                EQUITY        29570108      14     1,134.00  SH         DEFINED      4         --         --     1,134
AMERICAN STD COS INC DEL
   EQUITY                   EQUITY        29712106       4       109.00  SH         DEFINED      4         --         --       109
AMERICAN STRATEGIC
   INEQUITYE II EQUITY      EQUITY       03009T101       5       470.00  SH         DEFINED      4         --         --       470
AMERICAN TOWER CORP CL A    EQUITY        29912201      38       863.00  SH         DEFINED      4         --         --       863
AMERICAN VANGUARD CORP
   EQUITY                   EQUITY        30371108       3       100.00  SH         DEFINED      4         --         --       100
AMERICANWEST
   BANCORPORATION           EQUITY       03058P109     295       15,018  SH           SOLE       1     15,018         --        --
AMERICREDIT CORP            EQUITY       03060R101    5016      285,342  SH           SOLE       1    285,342         --        --
AMERIGAS PARTNERS L P
   UNIT L P INT             EQUITY        30975106      16       450.00  SH         DEFINED      4         --         --       450
AMERIGON INC                EQUITY       03070L300     327       18,886  SH           SOLE       1     18,886         --        --
AMERIGROUP CORP             EQUITY       03073T102    1812       52,559  SH           SOLE       1     52,559         --        --
AMERIGROUP CORP             EQUITY       03073T102     972       28,200  SH           SOLE       2     28,200         --        --
AMERIPRISE FINANCIAL INC    EQUITY       03076C106   28946      460,069  SH           SOLE       1    460,069         --        --
AMERIPRISE FINANCIAL INC    EQUITY       03076C106      19          297  SH           SOLE       2        297         --        --
AMERIPRISE FINL INC EQUITY  EQUITY       03076C106      18       281.17  SH         DEFINED      4         --         --       281
AMERIS BANCORP              EQUITY       03076K108     213       11,775  SH           SOLE       1     11,775         --        --





                                                                                        
AMERISAFE INC               EQUITY       03071H100     272       16,433  SH           SOLE       1     16,433         --        --
AMERISOURCEBERGEN CORP      EQUITY       03073E105    3790       83,602  SH           SOLE       1     83,602         --        --
AMERISOURCEBERGEN CORP      EQUITY       03073E105      10          227  SH           SOLE       2        227         --        --
AMERISTAR CASINOS INC       EQUITY       03070Q101     619       22,037  SH           SOLE       1     22,037         --        --
AMERITYRE CORP EQUITY       EQUITY       03073V107       3     1,000.00  SH         DEFINED      4         --         --     1,000
AMERN STRATEGIC INEQUITYE
   PTFL EQUITY              EQUITY        30099105      33     2,924.00  SH         DEFINED      4         --         --     2,924
AMETEK INC NEW EQUITY       EQUITY        31100100       8       187.00  SH         DEFINED      4         --         --       187
AMGEN INC CALL              OPTION        31162900      -2        (7.00)        C   DEFINED      4         --         --        (7)
AMGEN INC EQUITY            EQUITY        31162100     727    12,870.00  SH         DEFINED      4         --         --    12,870
AMICUS THERAPEUTICS INC     EQUITY       03152W109      72        4,334  SH           SOLE       1      4,334         --        --
AMKOR TECHNOLOGY INC
   EQUITY                   EQUITY        31652100     104     9,049.00  SH         DEFINED      4         --         --     9,049
AMPHENOL CORP NEW CL A      EQUITY        32095101      14       361.00  SH         DEFINED      4         --         --       361
AMR CORP EQUITY             EQUITY        1765106        1        55.00  SH         DEFINED      4         --         --        55
AMS HEALTH SCIENCES INC
   EQUITY                   EQUITY       00178W105               400.00  SH         DEFINED      4         --         --       400
AMSURG CORP                 EQUITY       03232P405     704       30,517  SH           SOLE       1     30,517         --        --
AMTRUST FINANCIAL
   SERVICES I EQUITY        EQUITY        32359309      16     1,085.00  SH         DEFINED      4         --         --     1,085
AMYLIN PHARMACEUTICALS
   INC EQUITY               EQUITY        32346108      10       200.00  SH         DEFINED      4         --         --       200
ANADARKO PETE CORP EQUITY   EQUITY        32511107    2585    48,100.00  SH         DEFINED      4         --         --    48,100
ANADIGICS INC EQUITY        EQUITY        32515108      27     1,500.00  SH         DEFINED      4         --         --     1,500
ANADYS PHARMACEUTICALS
   INC EQUITY               EQUITY       03252Q408               200.00  SH         DEFINED      4         --         --       200
ANALOG DEVICES INC EQUITY   EQUITY        32654105      38     1,040.00  SH         DEFINED      4         --         --     1,040
ANDERSONS INC EQUITY        EQUITY        34164103      25       515.00  SH         DEFINED      4         --         --       515
ANGIODYNAMICS INC           EQUITY       03475V101     346       18,329  SH           SOLE       1     18,329         --        --
ANGLO AMERN PLC ADR NEW
   ADDED                    EQUITY       03485P201     233     6,966.00  SH         DEFINED      4         --         --     6,966
ANHEUSER BUSCH COS INC
   CALL                     OPTION        35229903                (1.00)        C   DEFINED      4         --         --        (1)
ANHEUSER BUSCH COS INC
   EQUITY                   EQUITY        35229103    2084    41,679.34  SH         DEFINED      4         --         --    41,679
ANIMAL HEALTH
   INTERNATIONAL            EQUITY       03525N109     114       10,266  SH           SOLE       1     10,266         --        --
ANIMAL HEALTH
   INTERNATIONAL            EQUITY       03525N109    2277      204,600  SH           SOLE       2    204,600         --        --
ANIXTER INTL INC EQUITY     EQUITY        35290105     485     5,880.00  SH         DEFINED      4         --         --     5,880
ANNALY CAP MGMT INC EQUITY  EQUITY        35710409      66     4,143.58  SH         DEFINED      4         --         --     4,144
ANSWERTHINK INC EQUITY      EQUITY        36916104       2       700.00  SH         DEFINED      4         --         --       700
ANSYS INC                   EQUITY       03662Q105    2642       77,318  SH           SOLE       1     77,318         --        --
ANSYS INC                   EQUITY       03662Q105     598       17,500  SH           SOLE       2     17,500         --        --
ANTARES PHARMA INC EQUITY   EQUITY        36642106      11     7,500.00  SH         DEFINED      4         --         --     7,500
AON CORP EQUITY             EQUITY        37389103      41       904.00  SH         DEFINED      4         --         --       904
APA ENTERPRISES INC EQUITY  EQUITY        1853100        1       800.00  SH         DEFINED      4         --         --       800
APACHE CORP EQUITY          EQUITY        37411105    6766    75,228.00  SH         DEFINED      4         --         --    75,228
APARTMENT INVT & MGMT CO
   -A                       EQUITY       03748R101    9507      210,665  SH           SOLE       1    210,665         --        --
APARTMENT INVT & MGMT CO
   -A                       EQUITY       03748R101       6          122  SH           SOLE       2        122         --        --
APARTMENT INVT & MGMT CO
   CL A                     EQUITY       03748R101       3        60.00  SH         DEFINED      4         --         --        60
APOGEE ENTERPRISES INC
   EQUITY                   EQUITY        37598109     743    28,644.89  SH         DEFINED      4         --         --    28,645
APOLLO INVESTMENT CORP      EQUITY       03761U106    1817       87,347  SH           SOLE       1     87,347         --        --
APOLLO INVT CORP EQUITY     EQUITY       03761U106     284    13,234.00  SH         DEFINED      4         --         --    13,234
APPLE INC CALL              OPTION        37833900     -98       (66.00)        C   DEFINED      4         --         --       (66)
APPLE INC EQUITY            EQUITY        37833100    4740    30,887.00  SH         DEFINED      4         --         --    30,887
APPLE INC PUT               OPTION        37833950      -5        15.00         P   DEFINED      4         --         --        15
APPLERA CORP EQUITY AP
   BIO GRP                  EQUITY        38020103       2        44.00  SH         DEFINED      4         --         --        44
APPLERA CORP EQUITY
   CELERA GRP               EQUITY        38020202       1        56.00  SH         DEFINED      4         --         --        56
APPLIED DIGITAL SOLUTIONS
   EQUITY NEW               EQUITY        38188306       1     1,000.00  SH         DEFINED      4         --         --     1,000
APPLIED INDL TECHNOLOGIES
   IN EQUITY                EQUITY       03820C105     393    12,750.00  SH         DEFINED      4         --         --    12,750
APPLIED INDUSTRIAL TECH
   INC                      EQUITY       03820C105    1299       42,131  SH           SOLE       1     42,131         --        --
APPLIED MATLS INC EQUITY    EQUITY        38222105     111     5,352.00  SH         DEFINED      4         --         --     5,352
APPLIED MICRO CIRCUITS
   CORP                     EQUITY       03822W109     780      246,788  SH           SOLE       1    246,788         --        --
APPLIED MICRO CIRCUITS
   CORP EQUITY              EQUITY       03822W109       1       182.00  SH         DEFINED      4         --         --       182
APPLIED SIGNAL TECHNOLOGY
   IN EQUITY                EQUITY        38237103      20     1,446.61  SH         DEFINED      4         --         --     1,447
APRIA HEALTHCARE GROUP
   INC EQUITY               EQUITY        37933108                 1.00  SH         DEFINED      4         --         --         1
AQUA AMERICA INC            EQUITY       03836W103    7531      332,047  SH           SOLE       1    332,047         --        --
AQUA AMERICA INC EQUITY     EQUITY       03836W103     173     7,606.27  SH         DEFINED      4         --         --     7,606
AQUILA INC                  EQUITY       03840P102    5018    1,251,286  SH           SOLE       1  1,251,286         --        --
AQUILA INC EQUITY           EQUITY       03840P102       6     1,433.00  SH         DEFINED      4         --         --     1,433
ARBITRON INC                EQUITY       03875Q108    1352       29,827  SH           SOLE       1     29,827         --        --
ARBITRON INC EQUITY         EQUITY       03875Q108       4        97.00  SH         DEFINED      4         --         --        97
ARCELOR MITTAL NY
   REGISTRY SH              EQUITY       03937E101      44       560.00  SH         DEFINED      4         --         --       560
ARCH CHEMICALS INC          EQUITY       03937R102    1137       24,258  SH           SOLE       1     24,258         --        --
ARCH CHEMICALS INC EQUITY   EQUITY       03937R102      19       400.00  SH         DEFINED      4         --         --       400
ARCH COAL INC EQUITY        EQUITY        39380100       6       191.00  SH         DEFINED      4         --         --       191
ARCHER DANIELS MIDLAND CO
   EQUITY                   EQUITY        39483102     154     4,659.36  SH         DEFINED      4         --         --     4,659
ARCHSTONE SMITH TR EQUITY   EQUITY        39583109       5        88.00  SH         DEFINED      4         --         --        88
ARENA RESOURCES INC EQUITY  EQUITY        40049108      28       420.00  SH         DEFINED      4         --         --       420
ARES CAP CORP EQUITY        EQUITY       04010L103     191    11,286.00  SH         DEFINED      4         --         --    11,286





                                                                                        
ARES CAPITAL CORP           EQUITY       04010L103     985       60,522  SH           SOLE       1     60,522         --        --
ARIAD PHARMACEUTICALS INC   EQUITY       04033A100     277       59,734  SH           SOLE       1     59,734         --        --
ARIBA INC                   EQUITY       04033V203     736       68,310  SH           SOLE       1     68,310         --        --
ARIES MARITIME TRNSPRT
   LTD SHS                  EQUITY       G0474B105       2       213.00  SH         DEFINED      4         --         --       213
ARIZONA LD INEQUITYE CORP
   CL A                     EQUITY        40515108      10     1,700.00  SH         DEFINED      4         --         --     1,700
ARKANSAS BEST CORP DEL
   EQUITY                   EQUITY        40790107       6       193.49  SH         DEFINED      4         --         --       193
ARLINGTON TANKERS LTD
   EQUITY                   EQUITY       G04899103     188     7,231.00  SH         DEFINED      4         --         --     7,231
ARMSTRONG WORLD INDUSTRIES  EQUITY       04247X102       1           22  SH           SOLE       1         22         --        --
ARQULE INC                  EQUITY       04269E107     272       38,203  SH           SOLE       1     38,203         --        --
ARRAY BIOPHARMA INC         EQUITY       04269X105     460       40,993  SH           SOLE       1     40,993         --        --
ARRHYTHMIA RESH
   TECHNOLOGY I EQUITY
   PAR $0.01                EQUITY        42698308       3       300.00  SH         DEFINED      4         --         --       300
ARRIS GROUP INC             EQUITY       04269Q100    1344      108,799  SH           SOLE       1    108,799         --        --
ARROW ELECTRS INC EQUITY    EQUITY        42735100     120     2,822.00  SH         DEFINED      4         --         --     2,822
ART TECHNOLOGY GROUP INC    EQUITY       04289L107     336      111,255  SH           SOLE       1    111,255         --        --
ARTHUR J GALLAGHER & CO     EQUITY       363576109   40905    1,411,968  SH           SOLE       1  1,411,968         --        --
ARUBA NETWORKS INC EQUITY   EQUITY        43176106      36     1,800.00  SH         DEFINED      4         --         --     1,800
ASHFORD HOSPITALITY TR
   INC EQUITY SHS           EQUITY        44103109       1       149.00  SH         DEFINED      4         --         --       149
ASHLAND INC NEW EQUITY      EQUITY        44209104      36       600.00  SH         DEFINED      4         --         --       600
ASHWORTH INC                EQUITY       04516H101      11        1,845  SH           SOLE       1      1,845         --        --
ASIAINFO HOLDINGS INC       EQUITY       04518A104     250       27,551  SH           SOLE       1     27,551         --        --
ASPREVA PHARMACEUTICALS
   CORP                     EQUITY       04538T109     590       28,769  SH           SOLE       1     28,769         --        --
ASSET ACCEPTANCE CAPITAL    EQUITY       04543P100    2702      232,938  SH           SOLE       1    232,938         --        --
ASSISTED LIVING CONCEPTS
   I-A                      EQUITY       04544X102     480       52,516  SH           SOLE       1     52,516         --        --
ASSURANT INC                EQUITY       04621X108    2488       46,500  SH           SOLE       1     46,500         --        --
ASSURANT INC                EQUITY       04621X108       7          122  SH           SOLE       2        122         --        --
ASSURED GUARANTY LTD
   EQUITY                   EQUITY       G0585R106      14       500.00  SH         DEFINED      4         --         --       500
ASTEC INDS INC EQUITY       EQUITY        46224101      63     1,100.00  SH         DEFINED      4         --         --     1,100
ASTORIA FINL CORP EQUITY    EQUITY        46265104      22       819.00  SH         DEFINED      4         --         --       819
ASTRAZENECA PLC SPONSORED
   ADR                      EQUITY        46353108       6       125.00  SH         DEFINED      4         --         --       125
ASYST TECHNOLOGIES INC      EQUITY       04648X107     227       42,823  SH           SOLE       1     42,823         --        --
AT&T INC                    EQUITY       00206R102  252343    5,965,488  SH           SOLE       1  5,965,488         --        --
AT&T INC                    EQUITY       00206R102   26483      625,929  SH           SOLE       2    625,929         --        --
AT&T INC EQUITY             EQUITY       00206R102    4436   104,838.80  SH         DEFINED      4         --         --   104,839
ATHEROS COMMUNICATIONS      EQUITY       04743P108    3244      108,238  SH           SOLE       1    108,238         --        --
ATHEROS COMMUNICATIONS      EQUITY       04743P108     599       20,000  SH           SOLE       2     20,000         --        --
ATHEROS COMMUNICATIONS      EQUITY       04743P108    5326      177,700  SH           SOLE       3    149,300         --    28,400
ATLAS AMER INC EQUITY       EQUITY        49167109       9       184.00  SH         DEFINED      4         --         --       184
ATLAS ENERGY RESOURCES
   LLC EQUITY               EQUITY        49303100       6       200.00  SH         DEFINED      4         --         --       200
ATLAS PIPELINE PARTNERS
   LP UNIT L P INT          EQUITY        49392103      37       793.00  SH         DEFINED      4         --         --       793
ATMEL CORP EQUITY           EQUITY        49513104       3       500.00  SH         DEFINED      4         --         --       500
ATMI INC                    EQUITY       00207R101    1023       34,390  SH           SOLE       1     34,390         --        --
ATMOS ENERGY CORP EQUITY    EQUITY        49560105      15       515.00  SH         DEFINED      4         --         --       515
ATP OIL & GAS CORPORATION   EQUITY       00208J108     875       18,601  SH           SOLE       1     18,601         --        --
AU OPTRONICS CORP
   SPONSORED ADR            EQUITY        2255107        6       380.00  SH         DEFINED      4         --         --       380
AURIZON MINES LTD EQUITY    EQUITY       05155P106       8     2,000.00  SH         DEFINED      4         --         --     2,000
AUTHENTIDATE HLDG CORP
   EQUITY                   EQUITY        52666104       2     2,000.00  SH         DEFINED      4         --         --     2,000
AUTODESK INC EQUITY         EQUITY        52769106       6       120.00  SH         DEFINED      4         --         --       120
AUTOMATIC DATA PROCESSING
   IN EQUITY                EQUITY        53015103      63     1,374.00  SH         DEFINED      4         --         --     1,374
AUTONATION INC              EQUITY       05329W102    1282       72,337  SH           SOLE       1     72,337         --        --
AUTONATION INC              EQUITY       05329W102       3          191  SH           SOLE       2        191         --        --
AUTONATION INC EQUITY       EQUITY       05329W102       1        74.00  SH         DEFINED      4         --         --        74
AUTOZONE INC EQUITY         EQUITY        53332102      40       345.00  SH         DEFINED      4         --         --       345
AUXILIUM PHARMACEUTICALS
   INC                      EQUITY       05334D107     575       27,259  SH           SOLE       1     27,259         --        --
AUXILIUM PHARMACEUTICALS
   INC EQUITY               EQUITY       05334D107      42     2,000.00  SH         DEFINED      4         --         --     2,000
AVALON PHARMACEUTICALS INC  EQUITY       05346P106    1583      277,671  SH           SOLE       1    277,671         --        --
AVALONBAY CMNTYS INC
   EQUITY                   EQUITY        53484101      42       352.00  SH         DEFINED      4         --         --       352
AVANEX CORP                 EQUITY       05348W109     277      169,155  SH           SOLE       1    169,155         --        --
AVANIR PHARMACEUTICALS CL
   A NEW                    EQUITY       05348P401       2     1,000.00  SH         DEFINED      4         --         --     1,000
AVAYA INC EQUITY            EQUITY        53499109      24     1,402.00  SH         DEFINED      4         --         --     1,402
AVENTINE RENEWABLE ENERGY   EQUITY       05356X403     277       26,173  SH           SOLE       1     26,173         --        --
AVERY DENNISON CORP EQUITY  EQUITY        53611109      28       485.00  SH         DEFINED      4         --         --       485
AVI BIOPHARMA INC EQUITY    EQUITY        2346104        1       500.00  SH         DEFINED      4         --         --       500
AVID TECHNOLOGY INC         EQUITY       05367P100    1092       40,321  SH           SOLE       1     40,321         --        --
AVIS BUDGET GROUP EQUITY    EQUITY        53774105       8       333.00  SH         DEFINED      4         --         --       333
AVISTA CORP                 EQUITY       05379B107    1071       52,605  SH           SOLE       1     52,605         --        --
AVISTA CORP EQUITY          EQUITY       05379B107       4       200.00  SH         DEFINED      4         --         --       200
AVNET INC EQUITY            EQUITY        53807103     209     5,249.00  SH         DEFINED      4         --         --     5,249
AVON PRODS INC EQUITY       EQUITY        54303102      13       344.00  SH         DEFINED      4         --         --       344
AXA SPONSORED ADR           EQUITY        54536107     826    18,526.00  SH         DEFINED      4         --         --    18,526
AXIS CAPITAL HOLDINGS SHS   EQUITY       G0692U109       9       232.00  SH         DEFINED      4         --         --       232





                                                                                        
AZZ INC EQUITY              EQUITY        2474104        1        18.00  SH         DEFINED      4         --         --        18
B & G FOODS INC NEW UNIT
   99/99/9999               EQUITY       05508R205       9       430.00  SH         DEFINED      4         --         --       430
B2B INTERNET HOLDRS TR
   DEPOSTRY RCPT            EQUITY        56033103               116.00  SH         DEFINED      4         --         --       116
BAIDU EQUITY INC SPON ADR
   REP A                    EQUITY        56752108     284       979.00  SH         DEFINED      4         --         --       979
BAKER HUGHES INC EQUITY     EQUITY        57224107     615     6,802.00  SH         DEFINED      4         --         --     6,802
BALLARD PWR SYS INC EQUITY  EQUITY       05858H104       5     1,000.00  SH         DEFINED      4         --         --     1,000
BALLY TECHNOLOGIES INC      EQUITY       05874B107    3000       84,686  SH           SOLE       1     84,686         --        --
BALLY TECHNOLOGIES INC      EQUITY       05874B107     808       22,800  SH           SOLE       2     22,800         --        --
BALLY TECHNOLOGIES INC      EQUITY       05874B107    2640       74,500  SH           SOLE       3     56,400         --    18,100
BANCFIRST CORP              EQUITY       05945F103     311        6,935  SH           SOLE       1      6,935         --        --
BANCO BILBAO VIZCAYA
   ARGENTA SPONSORED ADR    EQUITY       05946K101       6       260.00  SH         DEFINED      4         --         --       260
BANCO BRADESCO S A SP ADR
   PFD NEW                  EQUITY        59460303      71     2,410.00  SH         DEFINED      4         --         --     2,410
BANCO SANTANDER CENT
   HISPANO ADR              EQUITY       05964H105      13       650.00  SH         DEFINED      4         --         --       650
BANCO SANTANDER-CHILE-ADR   EQUITY       05965X109    7028      138,974  SH           SOLE       1    138,974         --        --
BANCOLOMBIA S A SPON ADR
   PREF                     EQUITY       05968L102      15       421.00  SH         DEFINED      4         --         --       421
BANCOLOMBIA S.A.-SPONS ADR  EQUITY       05968L102   14618      421,876  SH           SOLE       1    421,876         --        --
BANCORP INC/THE             EQUITY       05969A105     173        9,349  SH           SOLE       1      9,349         --        --
BANCORPSOUTH INC EQUITY     EQUITY        59692103       4       180.53  SH         DEFINED      4         --         --       181
BANK MONTREAL QUE EQUITY    EQUITY        63671101     314     4,800.00  SH         DEFINED      4         --         --     4,800
BANK OF AMERICA
   CORPORATION CALL         OPTION        60505904                (2.00)        C   DEFINED      4         --         --        (2)
BANK OF AMERICA
   CORPORATION EQUITY       EQUITY        60505104    3071    61,099.13  SH         DEFINED      4         --         --    61,099
BANK OF NEW YORK MELLON
   CORP EQUITY ADDED        EQUITY        64058100     336     7,602.49  SH         DEFINED      4         --         --     7,602
BANKFINANCIAL CORP          EQUITY       06643P104     320       20,249  SH           SOLE       1     20,249         --        --
BANKRATE INC                EQUITY       06646V108     526       11,410  SH           SOLE       1     11,410         --        --
BANKUNITED FINANCIAL
   CORP-A                   EQUITY       06652B103     493       31,695  SH           SOLE       1     31,695         --        --
BANNER CORPORATION          EQUITY       06652V109     393       11,427  SH           SOLE       1     11,427         --        --
BARCLAYS BK PLC DJAIG
   CMDTY 36                 EQUITY       06738C778    1017    18,847.00  SH         DEFINED      4         --         --    18,847
BARCLAYS BK PLC ETN CBOE
   SPBUY                    EQUITY       06739F135      80     1,600.00  SH         DEFINED      4         --         --     1,600
BARCLAYS BK PLC GSCI TTL
   RET36                    EQUITY       06738C794      14       287.00  SH         DEFINED      4         --         --       287
BARCLAYS BK PLC IP MSCI
   IND 36                   EQUITY       06739F291     168     2,315.00  SH         DEFINED      4         --         --     2,315
BARCLAYS BK PLC IPGS
   CRUDOIL36                EQUITY       06738C786      46     1,000.00  SH         DEFINED      4         --         --     1,000
BARCLAYS PLC ADR            EQUITY       06738E204      72     1,475.00  SH         DEFINED      4         --         --     1,475
BARD C R INC EQUITY         EQUITY        67383109       9       250.00  SH         DEFINED      4         --         --       250
BARE ESCENTUALS INC EQUITY  EQUITY        67511105                16.00  SH         DEFINED      4         --         --        16
BARNES & NOBLE INC EQUITY   EQUITY        67774109      28       800.00  SH         DEFINED      4         --         --       800
BARR PHARMACEUTICALS INC
   EQUITY                   EQUITY        68306109     494     8,687.00  SH         DEFINED      4         --         --     8,687
BARRICK GOLD CORP EQUITY    EQUITY        67901108      12       290.00  SH         DEFINED      4         --         --       290
BASIC ENERGY SERVICES INC   EQUITY       06985P100     748       35,604  SH           SOLE       1     35,604         --        --
BASIN WTR INC EQUITY        EQUITY       07011T306      24     1,200.00  SH         DEFINED      4         --         --     1,200
BAUSCH & LOMB INC EQUITY    EQUITY        71707103       1        12.00  SH         DEFINED      4         --         --        12
BAXTER INTL INC EQUITY      EQUITY        71813109      49       871.80  SH         DEFINED      4         --         --       872
BAYER A G SPONSORED ADR     EQUITY        72730302       9       115.00  SH         DEFINED      4         --         --       115
BAYTEX ENERGY TR TRUST
   UNIT                     EQUITY        73176109     202     9,560.00  SH         DEFINED      4         --         --     9,560
BB&T CORP EQUITY            EQUITY        54937107     484    11,975.00  SH         DEFINED      4         --         --    11,975
BCE INC                     EQUITY       05534B760     228        5,642  SH          OTHER       1         --      5,642        --
BCE INC EQUITY NEW          EQUITY       05534B760     433    10,783.00  SH         DEFINED      4         --         --    10,783
BE AEROSPACE INC EQUITY     EQUITY        73302101       6       150.00  SH         DEFINED      4         --         --       150
BEA SYS INC EQUITY          EQUITY        73325102       6       400.00  SH         DEFINED      4         --         --       400
BEAR STEARNS COS INC
   EQUITY                   EQUITY        73902108     164     1,730.00  SH         DEFINED      4         --         --     1,730
BEAR STEARNS COS INC PUT    OPTION        73902958       1         5.00         P   DEFINED      4         --         --         5
BEAZER HOMES USA INC        EQUITY       07556Q105     282       34,141  SH           SOLE       1     34,141         --        --
BECKMAN COULTER INC EQUITY  EQUITY        75811109       7       100.00  SH         DEFINED      4         --         --       100
BECTON DICKINSON & CO
   EQUITY                   EQUITY        75887109      53       640.00  SH         DEFINED      4         --         --       640
BED BATH & BEYOND INC
   EQUITY                   EQUITY        75896100       9       254.00  SH         DEFINED      4         --         --       254
BELDEN INC EQUITY           EQUITY        77454106      82     1,746.00  SH         DEFINED      4         --         --     1,746
BELO CORP EQUITY SER A      EQUITY        80555105       9       500.00  SH         DEFINED      4         --         --       500
BENCHMARK ELECTRONICS INC   EQUITY       08160H101    1727       72,337  SH           SOLE       1     72,337         --        --
BENTLEY PHARMACEUTICALS
   INC EQUITY               EQUITY        82657107       9       750.00  SH         DEFINED      4         --         --       750
BERKLEY W R CORP EQUITY     EQUITY        84423102      27       914.00  SH         DEFINED      4         --         --       914
BERKSHIRE HATHAWAY INC
   DEL CL A                 EQUITY        84670108     237         2.00  SH         DEFINED      4         --         --         2
BERKSHIRE HATHAWAY INC
   DEL CL B                 EQUITY        84670207    1830       463.00  SH         DEFINED      4         --         --       463
BERKSHIRE HILLS BANCORP
   INC EQUITY               EQUITY        84680107      52     1,716.00  SH         DEFINED      4         --         --     1,716
BERRY PETE CO CL A          EQUITY        85789105      12       300.00  SH         DEFINED      4         --         --       300
BEST BUY INC EQUITY         EQUITY        86516101     164     3,561.00  SH         DEFINED      4         --         --     3,561
BEST BUY INC SDCV 2.250%
   1/1                      FIXED INCOME 086516AF8       3         3.00  PRN        DEFINED      4         --         --         3
BG PLC ADR FIN INST N       EQUITY        55434203      27       311.00  SH         DEFINED      4         --         --       311
BHP BILLITON LTD
   SPONSORED ADR            EQUITY        88606108    4870    62,060.68  SH         DEFINED      4         --         --    62,061
BIDZ EQUITY INC EQUITY      EQUITY       08883T200     165    12,250.00  SH         DEFINED      4         --         --    12,250
BIG 5 SPORTING GOODS CORP   EQUITY       08915P101     423       22,637  SH           SOLE       1     22,637         --        --
BIGBAND NETWORKS INC CALL   OPTION        89750909                15.00         C   DEFINED      4         --         --        15





                                                                                        
BIGBAND NETWORKS INC
   EQUITY                   EQUITY        89750509      22     3,500.00  SH         DEFINED      4         --         --     3,500
BIGBAND NETWORKS INC PUT    OPTION        89750959      -8        (6.00)        P   DEFINED      4         --         --        (6)
BILL BARRETT CORP           EQUITY       06846N104    4319      109,588  SH           SOLE       1    109,588         --        --
BIO RAD LABS INC CL A       EQUITY        90572207       3        30.00  SH         DEFINED      4         --         --        30
BIO RAD LABS INC CL B       EQUITY        90572108       3        33.00  SH         DEFINED      4         --         --        33
BIODEL INC                  EQUITY       09064M105      74        4,360  SH           SOLE       1      4,360         --        --
BIOENVISION INC             EQUITY       09059N100     253       47,869  SH           SOLE       1     47,869         --        --
BIOGEN IDEC INC             EQUITY       09062X103   11876      179,046  SH           SOLE       1    179,046         --        --
BIOGEN IDEC INC             EQUITY       09062X103      24          363  SH           SOLE       2        363         --        --
BIOGEN IDEC INC EQUITY      EQUITY       09062X103      44       666.00  SH         DEFINED      4         --         --       666
BIOMARIN PHARMACEUTICAL
   INC                      EQUITY       09061G101    2078       83,451  SH           SOLE       1     83,451         --        --
BIOMARIN PHARMACEUTICAL
   INC                      EQUITY       09061G101     508       20,400  SH           SOLE       2     20,400         --        --
BIOMED REALTY TRUST INC     EQUITY       09063H107    1374       57,010  SH           SOLE       1     57,010         --        --
BIOMED REALTY TRUST INC
   EQUITY                   EQUITY       09063H107       2        66.00  SH         DEFINED      4         --         --        66
BIOMIMETIC THERAPEUTICS
   INC                      EQUITY       09064X101     124        9,328  SH           SOLE       1      9,328         --        --
BIOMIRA INC EQUITY          EQUITY       09161R106       1     1,350.00  SH         DEFINED      4         --         --     1,350
BIOPURE CORP CL A NEW       EQUITY       09065H303               899.00  SH         DEFINED      4         --         --       899
BIO-REFERENCE LABS INC      EQUITY       09057G602     326        9,651  SH           SOLE       1      9,651         --        --
BIOTECH HOLDRS TR
   DEPOSTRY RCPTS           EQUITY       09067D201    1758    10,000.00  SH         DEFINED      4         --         --    10,000
BIOVAIL CORP                EQUITY       09067J109      60        3,311  SH          OTHER       1         --      3,311        --
BIRCH MTN RES LTD EQUITY    EQUITY       09066X109       7     4,500.00  SH         DEFINED      4         --         --     4,500
BJ SVCS CO EQUITY           EQUITY        55482103     365    13,730.00  SH         DEFINED      4         --         --    13,730
BJ'S RESTAURANTS INC        EQUITY       09180C106     313       14,857  SH           SOLE       1     14,857         --        --
BJ'S WHOLESALE CLUB INC     EQUITY       05548J106    5364      161,764  SH           SOLE       1    161,764         --        --
BLACK & DECKER CORP EQUITY  EQUITY        91797100      37       450.00  SH         DEFINED      4         --         --       450
BLACKBAUD INC               EQUITY       09227Q100    1106       43,830  SH           SOLE       1     43,830         --        --
BLACKBAUD INC               EQUITY       09227Q100     631       25,000  SH           SOLE       2     25,000         --        --
BLACKROCK CA INSD MUN
   2008 T EQUITY            EQUITY       09247G108      23     1,500.00  SH         DEFINED      4         --         --     1,500
BLACKROCK CALIF MUN
   INEQUITYE T SH BEN INT   EQUITY       09248E102      95     6,000.00  SH         DEFINED      4         --         --     6,000
BLACKROCK CAP & INEQUITYE
   STRA EQUITY              EQUITY       09256A109                 9.00  SH         DEFINED      4         --         --         9
BLACKROCK CORE BD TR SHS
   BEN INT                  EQUITY       09249E101      77     6,195.00  SH         DEFINED      4         --         --     6,195
BLACKROCK CORPOR HI YLD
   FD V EQUITY              EQUITY       09255N102      28     2,245.00  SH         DEFINED      4         --         --     2,245
BLACKROCK CORPOR HI YLD
   FD V EQUITY              EQUITY       09255P107      13     1,000.00  SH         DEFINED      4         --         --     1,000
BLACKROCK CORPOR HI YLD
   III EQUITY               EQUITY       09255M104      14     1,900.00  SH         DEFINED      4         --         --     1,900
BLACKROCK CORPOR HIGH YLD
   FD EQUITY                EQUITY       09255L106       8     1,000.00  SH         DEFINED      4         --         --     1,000
BLACKROCK DEBT STRAT FD
   INC EQUITY               EQUITY       09255R103      13     1,985.00  SH         DEFINED      4         --         --     1,985
BLACKROCK DIVID ACHIEVRS
   TM EQUITY                EQUITY       09250N107      29     2,113.00  SH         DEFINED      4         --         --     2,113
BLACKROCK ENHANCED DIV
   ACHV EQUITY              EQUITY       09251A104      33     2,450.00  SH         DEFINED      4         --         --     2,450
BLACKROCK GLBL ENRGY &
   RES T EQUITY             EQUITY       09250U101     208     6,898.00  SH         DEFINED      4         --         --     6,898
BLACKROCK GLOBAL FLG INC
   TR EQUITY                EQUITY        91941104      91     5,085.00  SH         DEFINED      4         --         --     5,085
BLACKROCK GLOBAL OPP EQTY
   TR EQUITY                EQUITY        92501105      37     1,300.00  SH         DEFINED      4         --         --     1,300
BLACKROCK HIGH INEQUITYE
   SHS SHS BEN INT          EQUITY       09250E107      38    16,200.00  SH         DEFINED      4         --         --    16,200
BLACKROCK HIGH YIELD TR
   SH BEN INT               EQUITY       09248N102      36     5,000.00  SH         DEFINED      4         --         --     5,000
BLACKROCK INC               EQUITY       09247X101     277        1,595  SH           SOLE       1      1,595         --        --
BLACKROCK INEQUITYE OPP
   TRUST I EQUITY           EQUITY        92475102      38     3,777.00  SH         DEFINED      4         --         --     3,777
BLACKROCK INEQUITYE TR
   INC EQUITY               EQUITY       09247F100      68    11,300.00  SH         DEFINED      4         --         --    11,300
BLACKROCK LTD DURATION
   INC T EQUITY SHS         EQUITY       09249W101      34     1,967.00  SH         DEFINED      4         --         --     1,967
BLACKROCK MUN 2020 TERM
   TR EQUITY SHS            EQUITY       09249X109      20     1,333.00  SH         DEFINED      4         --         --     1,333
BLACKROCK MUN INEQUITYE
   TR SH BEN INT            EQUITY       09248F109      12       775.00  SH         DEFINED      4         --         --       775
BLACKROCK MUNI INEQUITYE
   TR II EQUITY             EQUITY       09249N101      83     5,350.00  SH         DEFINED      4         --         --     5,350
BLACKROCK MUNICIPAL FIXED
   INCOME TR EQUITY         EQUITY       09249H104      27     1,689.70  SH         DEFINED      4         --         --     1,690
BLACKROCK MUNIHOLDINGS
   CALIF EQUITY             EQUITY       09254L107       6       480.00  SH         DEFINED      4         --         --       480
BLACKROCK MUNIHOLDINGS
   FLA I EQUITY             EQUITY       09254P108       6       475.00  SH         DEFINED      4         --         --       475
BLACKROCK MUNIHOLDINGS N
   Y I EQUITY               EQUITY       09255C106      27     2,000.00  SH         DEFINED      4         --         --     2,000
BLACKROCK MUNIYIELD FD
   INC EQUITY               EQUITY       09253W104       7       475.00  SH         DEFINED      4         --         --       475
BLACKROCK MUNIYIELD N Y
   INSD EQUITY              EQUITY       09255E102       7       556.00  SH         DEFINED      4         --         --       556
BLACKROCK MUNIYIELD PA
   INSD EQUITY              EQUITY       09255G107      46     3,250.00  SH         DEFINED      4         --         --     3,250
BLACKROCK MUNIYIELD
   QUALITY EQUITY           EQUITY       09254F100       7       475.00  SH         DEFINED      4         --         --       475
BLACKROCK NJ INVT QUALITY
   MU EQUITY                EQUITY       09247C107      16     1,000.00  SH         DEFINED      4         --         --     1,000
BLACKROCK NY INSD MUN
   2008 T EQUITY            EQUITY       09247L107      10       680.00  SH         DEFINED      4         --         --       680
BLACKROCK PA STRATEGIC
   MUN T EQUITY             EQUITY       09248R103      34     2,200.00  SH         DEFINED      4         --         --     2,200
BLACKROCK PFD INEQUITYE
   STRATEG EQUITY           EQUITY       09255H105     565    32,020.00  SH         DEFINED      4         --         --    32,020
BLACKROCK REAL ASSET
   EQUITY EQUITY            EQUITY       09254B109      98     5,870.00  SH         DEFINED      4         --         --     5,870
BLACKROCK S&P QLTY RK EQ
   MD SHS BEN INT           EQUITY       09250D109      58     3,275.00  SH         DEFINED      4         --         --     3,275
BLACKROCK SR HIGH
   INEQUITYE FD EQUITY      EQUITY       09255T109      32     5,675.00  SH         DEFINED      4         --         --     5,675
BLACKROCK STRATEGIC MUN
   TR EQUITY                EQUITY       09248T109     449    28,075.00  SH         DEFINED      4         --         --    28,075
BLACKROCK STRTGC FIXED
   INCOME TR EQUITY         EQUITY       09249G106      12     1,000.00  SH         DEFINED      4         --         --     1,000
BLACKSTONE GROUP L P
   EQUITY UNIT LTD ADDED    EQUITY       09253U108      42     1,656.00  SH         DEFINED      4         --         --     1,656
BLDRS INDEX FDS TR DEV MK
   100 ADR                  EQUITY       09348R201      59     1,794.00  SH         DEFINED      4         --         --     1,794
BLDRS INDEX FDS TR EMER
   MK 50 ADR                EQUITY       09348R300      15       278.00  SH         DEFINED      4         --         --       278





                                                                                        
BLOCKBUSTER INC CL A        EQUITY        93679108       1       166.00  SH         DEFINED      4         --         --       166
BLUE CHIP VALUE FD INC
   EQUITY                   EQUITY        95333100     261    42,778.29  SH         DEFINED      4         --         --    42,778
BLUE COAT SYSTEMS INC       EQUITY       09534T508    2062       26,187  SH           SOLE       1     26,187         --        --
BLUE COAT SYSTEMS INC       EQUITY       09534T508    1559       19,800  SH           SOLE       2     19,800         --        --
BLUE COAT SYSTEMS INC       EQUITY       09534T508    3513       44,600  SH           SOLE       3     38,500         --     6,100
BLUE COAT SYSTEMS INC
   EQUITY NEW               EQUITY       09534T508      76       962.00  SH         DEFINED      4         --         --       962
BLUE NILE INC               EQUITY       09578R103    1288       13,680  SH           SOLE       1     13,680         --        --
BLUELINX HOLDINGS INC       EQUITY       09624H109      70        9,979  SH           SOLE       1      9,979         --        --
BLUEPHOENIX SOLUTIONS LTD   EQUITY       M20157109   12532      680,700  SH           SOLE       3    610,900         --    69,800
BLYTH INC                   EQUITY       09643P108    1750       85,577  SH           SOLE       1     85,577         --        --
BOEING CO EQUITY            EQUITY        97023105    2606    24,808.00  SH         DEFINED      4         --         --    24,808
BOIS D' ARC ENERGY INC      EQUITY       09738U103     303       15,831  SH           SOLE       1     15,831         --        --
BOK FINANCIAL CORPORATION   EQUITY       05561Q201      26          512  SH           SOLE       1        512         --        --
BON-TON STORES INC/THE      EQUITY       09776J101     202        8,909  SH           SOLE       1      8,909         --        --
BORDERS GROUP INC EQUITY    EQUITY        99709107       7       517.00  SH         DEFINED      4         --         --       517
BOSTON BEER COMPANY
   INC-CL A                 EQUITY       100557107     446        9,166  SH           SOLE       1      9,166         --        --
BOSTON BEER INC CL A        EQUITY       100557107       1        13.00  SH         DEFINED      4         --         --        13
BOSTON PRIVATE FINL
   HOLDING                  EQUITY       101119105    1029       36,963  SH           SOLE       1     36,963         --        --
BOSTON PROPERTIES INC       EQUITY       101121101      16          150  SH           SOLE       2        150         --        --
BOSTON PROPERTIES INC
   EQUITY                   EQUITY       101121101      26       250.00  SH         DEFINED      4         --         --       250
BOSTON SCIENTIFIC CORP      EQUITY       101137107    7892      565,751  SH           SOLE       1    565,751         --        --
BOSTON SCIENTIFIC CORP      EQUITY       101137107      23        1,682  SH           SOLE       2      1,682         --        --
BOSTON SCIENTIFIC CORP
   EQUITY                   EQUITY       101137107      78     5,612.00  SH         DEFINED      4         --         --     5,612
BOTTOMLINE TECHNOLOGIES
   INC                      EQUITY       101388106     236       18,844  SH           SOLE       1     18,844         --        --
BOULDER GROWTH & INCOME
   FUND                     EQUITY       101507101      97        9,947  SH           SOLE       1      9,947         --        --
BOVIE MEDICAL CORP EQUITY   EQUITY       10211F100       2       300.00  SH         DEFINED      4         --         --       300
BOWATER INC                 EQUITY       102183100    2803      187,884  SH           SOLE       1    187,884         --        --
BOWNE & CO INC              EQUITY       103043105     460       27,616  SH           SOLE       1     27,616         --        --
BOYD GAMING CORP            EQUITY       103304101    6011      140,290  SH           SOLE       1    140,290         --        --
BOYD GAMING CORP EQUITY     EQUITY       103304101       6       150.00  SH         DEFINED      4         --         --       150
BP PLC SPONSORED ADR        EQUITY        55622104     686     9,893.00  SH         DEFINED      4         --         --     9,893
BP PRUDHOE BAY RTY TR
   UNIT BEN INT             EQUITY        55630107     354     4,631.00  SH         DEFINED      4         --         --     4,631
BRADLEY PHARMACEUTICALS
   INC                      EQUITY       104576103     232       12,773  SH           SOLE       1     12,773         --        --
BRADY CORPORATION - CL A    EQUITY       104674106    1819       50,701  SH           SOLE       1     50,701         --        --
BRANDYWINE REALTY TRUST     EQUITY       105368203     472       18,636  SH           SOLE       1     18,636         --        --
BRANDYWINE RLTY TR SH BEN
   INT NEW                  EQUITY       105368203       3       119.00  SH         DEFINED      4         --         --       119
BRASIL TELEEQUITY
   PARTICIPACOES SPON ADR
   PFD                      EQUITY       105530109     120     1,610.00  SH         DEFINED      4         --         --     1,610
BRE PROPERTIES INC          EQUITY       05564E106    7661      136,979  SH           SOLE       1    136,979         --        --
BRE PROPERTIES INC CL A     EQUITY       05564E106      45       800.00  SH         DEFINED      4         --         --       800
BRIDGFORD FOODS CORP
   EQUITY                   EQUITY       108763103      15     2,210.00  SH         DEFINED      4         --         --     2,210
BRIGGS & STRATTON           EQUITY       109043109    1242       49,326  SH           SOLE       1     49,326         --        --
BRIGHAM EXPLORATION CO      EQUITY       109178103     235       39,684  SH           SOLE       1     39,684         --        --
BRIGHT HORIZONS FAMILY
   SOLUT                    EQUITY       109195107    1118       26,086  SH           SOLE       1     26,086         --        --
BRIGHTPOINT INC             EQUITY       109473405     762       50,772  SH           SOLE       1     50,772         --        --
BRIGHTPOINT INC             EQUITY       109473405     668       44,500  SH           SOLE       2     44,500         --        --
BRIGHTPOINT INC EQUITY NEW  EQUITY       109473405     127     8,455.00  SH         DEFINED      4         --         --     8,455
BRINKER INTERNATIONAL INC   EQUITY       109641100    7187      261,911  SH           SOLE       1    261,911         --        --
BRINK'S CO/THE              EQUITY       109696104    6774      121,221  SH           SOLE       1    121,221         --        --
BRISTOL MYERS SQUIBB CO
   EQUITY                   EQUITY       110122108     504    17,474.57  SH         DEFINED      4         --         --    17,475
BRISTOL-MYERS SQUIBB CO     EQUITY       110122108   47589    1,651,265  SH           SOLE       1  1,651,265         --        --
BRISTOL-MYERS SQUIBB CO     EQUITY       110122108    7017      243,494  SH           SOLE       2    243,494         --        --
BRISTOW GROUP INC           EQUITY       110394103     901       20,618  SH           SOLE       1     20,618         --        --
BROADCOM CORP-CL A          EQUITY       111320107   25480      699,344  SH           SOLE       1    699,344         --        --
BROADCOM CORP-CL A          EQUITY       111320107    3804      104,391  SH           SOLE       2    104,391         --        --
BROADEQUITY CORP CL A       EQUITY       111320107      21       590.00  SH         DEFINED      4         --         --       590
BROADRIDGE FINANCIAL
   SOLUTIO                  EQUITY       11133T103    6597      348,102  SH           SOLE       1    348,102         --        --
BROADRIDGE FINL SOLUTIONS
   IN EQUITY                EQUITY       11133T103      12       616.00  SH         DEFINED      4         --         --       616
BROCADE COMMUNICATIONS SYS  EQUITY       111621306      93       10,845  SH           SOLE       1     10,845         --        --
BROCADE EQUITYMUNICATIONS
   SYS I EQUITY NEW ADDED   EQUITY       111621306       5       602.00  SH         DEFINED      4         --         --       602
BRONCO DRILLING CO INC      EQUITY       112211107     336       22,728  SH           SOLE       1     22,728         --        --
BROOKDALE SENIOR LIVING
   INC                      EQUITY       112463104   14038      352,623  SH           SOLE       1    352,623         --        --
BROOKDALE SENIOR LIVING
   INC                      EQUITY       112463104    5991      150,500  SH           SOLE       2    150,500         --        --
BROOKFIELD ASSET
   MANAGE-CL A              EQUITY       112585104     394       11,230  SH          OTHER       1         --     11,230        --
BROOKFIELD ASSET MGMT INC
   CL A LTD VT SH           EQUITY       112585104     189     4,911.00  SH         DEFINED      4         --         --     4,911
BROOKFIELD HOMES CORP       EQUITY       112723101     182        9,821  SH           SOLE       1      9,821         --        --
BROOKFIELD PPTYS CORP
   EQUITY                   EQUITY       112900105       6       227.00  SH         DEFINED      4         --         --       227
BROOKFIELD PROPERTIES CORP  EQUITY       112900105     121        5,003  SH          OTHER       1         --      5,003        --
BROOKLINE BANCORP INC       EQUITY       11373M107     723       62,341  SH           SOLE       1     62,341         --        --
BROOKS AUTOMATION INC       EQUITY       114340102    1062       74,598  SH           SOLE       1     74,598         --        --
BROOKS AUTOMATION INC
   EQUITY                   EQUITY       114340102                19.00  SH         DEFINED      4         --         --        19





                                                                                        
BROWN & BROWN INC           EQUITY       115236101    7416      281,977  SH           SOLE       1    281,977         --        --
BROWN & BROWN INC EQUITY    EQUITY       115236101     188     7,167.00  SH         DEFINED      4         --         --     7,167
BROWN FORMAN CORP CL B      EQUITY       115637209    1221    16,293.00  SH         DEFINED      4         --         --    16,293
BROWN SHOE COMPANY INC      EQUITY       115736100     852       43,912  SH           SOLE       1     43,912         --        --
BROWN-FORMAN CORP-CLASS B   EQUITY       115637209    2885       38,510  SH           SOLE       1     38,510         --        --
BROWN-FORMAN CORP-CLASS B   EQUITY       115637209       8          109  SH           SOLE       2        109         --        --
BRUKER BIOSCIENCES CORP     EQUITY       116794108     499       56,681  SH           SOLE       1     56,681         --        --
BRUNSWICK CORP              EQUITY       117043109     983       42,981  SH           SOLE       1     42,981         --        --
BRUNSWICK CORP              EQUITY       117043109       3          112  SH           SOLE       2        112         --        --
BRUSH ENGINEERED MATERIALS  EQUITY       117421107    1850       35,652  SH           SOLE       1     35,652         --        --
BRUSH ENGINEERED MATLS
   INC EQUITY               EQUITY       117421107       1        14.00  SH         DEFINED      4         --         --        14
BRYN MAWR BK CORP EQUITY    EQUITY       117665109       7       300.00  SH         DEFINED      4         --         --       300
BT GROUP PLC ADR            EQUITY       05577E101      15       245.00  SH         DEFINED      4         --         --       245
BUCKEYE PARTNERS L P UNIT
   LTD PARTN                EQUITY       118230101     267     5,462.00  SH         DEFINED      4         --         --     5,462
BUCKEYE TECHNOLOGIES INC    EQUITY       118255108     576       38,063  SH           SOLE       1     38,063         --        --
BUCYRUS INTERNATIONAL
   INC-A                    EQUITY       118759109    2375       32,569  SH           SOLE       1     32,569         --        --
BUFFALO WILD WINGS INC      EQUITY       119848109     504       13,369  SH           SOLE       1     13,369         --        --
BUFFALO WILD WINGS INC
   EQUITY                   EQUITY       119848109       1        14.00  SH         DEFINED      4         --         --        14
BUILD-A-BEAR WORKSHOP INC   EQUITY       120076104     242       13,639  SH           SOLE       1     13,639         --        --
BUILDERS FIRSTSOURCE INC    EQUITY       12008R107     143       13,297  SH           SOLE       1     13,297         --        --
BUILDING MATERIALS HLDG
   CORP                     EQUITY       120113105     311       29,371  SH           SOLE       1     29,371         --        --
BUNGE LIMITED EQUITY        EQUITY       G16962105    5877    54,717.00  SH         DEFINED      4         --         --    54,717
BURGER KING HLDGS INC
   EQUITY                   EQUITY       121208201       3       100.00  SH         DEFINED      4         --         --       100
BURGER KING HOLDINGS INC    EQUITY       121208201      34        1,350  SH           SOLE       1      1,350         --        --
BURLINGTON NORTHERN SANTA
   FE                       EQUITY       12189T104   21744      267,885  SH           SOLE       1    267,885         --        --
BURLINGTON NORTHERN SANTA
   FE                       EQUITY       12189T104      31          379  SH           SOLE       2        379         --        --
BURLINGTON NORTHN SANTA
   FE C EQUITY              EQUITY       12189T104     490     6,042.00  SH         DEFINED      4         --         --     6,042
C D W CORP EQUITY           EQUITY       12512N105       7        80.00  SH         DEFINED      4         --         --        80
C H ROBINSON WORLDWIDE
   INC EQUITY NEW           EQUITY       12541W209      77     1,424.00  SH         DEFINED      4         --         --     1,424
C&D TECHNOLOGIES INC        EQUITY       124661109      16        3,231  SH           SOLE       1      3,231         --        --
C.H. ROBINSON WORLDWIDE
   INC                      EQUITY       12541W209    4638       85,439  SH           SOLE       1     85,439         --        --
C.H. ROBINSON WORLDWIDE
   INC                      EQUITY       12541W209      12          218  SH           SOLE       2        218         --        --
CA INC                      EQUITY       12673P105    4585      178,247  SH           SOLE       1    178,247         --        --
CA INC                      EQUITY       12673P105      13          490  SH           SOLE       2        490         --        --
CA INC EQUITY               EQUITY       12673P105      14       550.00  SH         DEFINED      4         --         --       550
CABELA'S INC                EQUITY       126804301     918       38,836  SH           SOLE       1     38,836         --        --
CABELAS INC EQUITY          EQUITY       126804301       2       100.00  SH         DEFINED      4         --         --       100
CABLEVISION SYS CORP CL A
   NY CABLVS                EQUITY       12686C109       5       139.00  SH         DEFINED      4         --         --       139
CABLEVISION SYSTEMS-NY
   GRP-A                    EQUITY       12686C109     892       25,571  SH           SOLE       1     25,571         --        --
CABOT CORP                  EQUITY       127055101    6024      169,552  SH           SOLE       1    169,552         --        --
CABOT CORP EQUITY           EQUITY       127055101       6       158.00  SH         DEFINED      4         --         --       158
CABOT MICROELECTRONICS
   CORP                     EQUITY       12709P103    1014       23,728  SH           SOLE       1     23,728         --        --
CABOT OIL & GAS CORP        EQUITY       127097103     536       15,244  SH           SOLE       1     15,244         --        --
CABOT OIL & GAS CORP        EQUITY       127097103     970       27,600  SH           SOLE       2     27,600         --        --
CACHE INC                   EQUITY       127150308     191       10,716  SH           SOLE       1     10,716         --        --
CACI INTERNATIONAL INC
   -CL A                    EQUITY       127190304    1568       30,692  SH           SOLE       1     30,692         --        --
CADBURY SCHWEPPES PLC ADR   EQUITY       127209302      22       464.00  SH         DEFINED      4         --         --       464
CADENCE DESIGN SYS INC      EQUITY       127387108   16450      741,333  SH           SOLE       1    741,333         --        --
CADENCE DESIGN SYSTEM INC
   EQUITY                   EQUITY       127387108      11       478.00  SH         DEFINED      4         --         --       478
CADENCE PHARMACEUTICALS
   INC                      EQUITY       12738T100     197       14,063  SH           SOLE       1     14,063         --        --
CADIZ INC                   EQUITY       127537207     195       10,340  SH           SOLE       1     10,340         --        --
CAE INC                     EQUITY       124765108      79        5,996  SH          OTHER       1         --      5,996        --
CAL DIVE INTERNATIONAL INC  EQUITY       12802T101     292       19,434  SH           SOLE       1     19,434         --        --
CAL MAINE FOODS INC
   EQUITY NEW               EQUITY       128030202       5       200.00  SH         DEFINED      4         --         --       200
CALAMOS ASSET MANAGEMENT-A  EQUITY       12811R104     574       20,341  SH           SOLE       1     20,341         --        --
CALAMOS ASSET MGMT INC CL
   A                        EQUITY       12811R104      85     2,995.00  SH         DEFINED      4         --         --     2,995
CALAMOS CONV & HIGH
   INEQUITYE F EQUITY SHS   EQUITY       12811P108     166    10,852.00  SH         DEFINED      4         --         --    10,852
CALAMOS CONV OPP AND INC
   FD SH BEN INT            EQUITY       128117108     301    17,407.38  SH         DEFINED      4         --         --    17,407
CALAMOS GLOBAL TOTAL
   RETURN EQUITY SH BEN
   INT                      EQUITY       128118106      68     3,830.00  SH         DEFINED      4         --         --     3,830
CALAMOS STRATEGIC TOTL
   RETN EQUITY SH BEN INT   EQUITY       128125101    1179    77,304.71  SH         DEFINED      4         --         --    77,305
CALGON CARBON CORP          EQUITY       129603106     489       35,058  SH           SOLE       1     35,058         --        --
CALIFORNIA MICRO DEVICES
   COR EQUITY               EQUITY       130439102               100.00  SH         DEFINED      4         --         --       100
CALIFORNIA PIZZA KITCHEN
   INC                      EQUITY       13054D109     509       28,961  SH           SOLE       1     28,961         --        --
CALIFORNIA WATER SERVICE
   GRP                      EQUITY       130788102     656       17,055  SH           SOLE       1     17,055         --        --
CALIFORNIA WTR SVC GROUP
   EQUITY                   EQUITY       130788102      10       247.00  SH         DEFINED      4         --         --       247
CALLAWAY GOLF CO EQUITY     EQUITY       131193104                30.00  SH         DEFINED      4         --         --        30
CALLAWAY GOLF COMPANY       EQUITY       131193104    3806      237,743  SH           SOLE       1    237,743         --        --
CALLON PETROLEUM CO         EQUITY       13123X102     251       18,048  SH           SOLE       1     18,048         --        --
CAL-MAINE FOODS INC         EQUITY       128030202     277       10,964  SH           SOLE       1     10,964         --        --
CAMBREX CORP                EQUITY       132011107     311       28,519  SH           SOLE       1     28,519         --        --





                                                                                        
CAMBREX CORP EQUITY         EQUITY       132011107       1       100.00  SH         DEFINED      4         --         --       100
CAMDEN PPTY TR SH BEN INT   EQUITY       133131102       4        62.00  SH         DEFINED      4         --         --        62
CAMECO CORP                 EQUITY       13321L108     321        7,358  SH          OTHER       1         --      7,358        --
CAMECO CORP EQUITY          EQUITY       13321L108    3973    86,027.00  SH         DEFINED      4         --         --    86,027
CAMERON INTERNATIONAL CORP  EQUITY       13342B105   24985      270,720  SH           SOLE       1    270,720         --        --
CAMERON INTERNATIONAL CORP  EQUITY       13342B105    6829       74,000  SH           SOLE       3     24,900         --    49,100
CAMERON INTERNATIONAL
   CORP EQUITY              EQUITY       13342B105      78       842.00  SH         DEFINED      4         --         --       842
CAMPBELL SOUP CO            EQUITY       134429109   15816      427,455  SH           SOLE       1    427,455         --        --
CAMPBELL SOUP CO            EQUITY       134429109     392       10,583  SH           SOLE       2     10,583         --        --
CAMPBELL SOUP CO EQUITY     EQUITY       134429109      51     1,376.00  SH         DEFINED      4         --         --     1,376
CAN IMPERIAL BK OF
   COMMERCE                 EQUITY       136069101     723        7,400  SH          OTHER       1         --      7,400        --
CANADIAN NAT RES LTD
   EQUITY                   EQUITY       136385101    5097    67,006.00  SH         DEFINED      4         --         --    67,006
CANADIAN NATL RAILWAY CO    EQUITY       136375102     629       11,037  SH          OTHER       1         --     11,037        --
CANADIAN NATL RY CO EQUITY  EQUITY       136375102      17       300.00  SH         DEFINED      4         --         --       300
CANADIAN NATURAL RESOURCES  EQUITY       136385101   12344      162,397  SH          OTHER       1         --    162,397        --
CANADIAN PAC RY LTD EQUITY  EQUITY       13645T100      69       975.00  SH         DEFINED      4         --         --       975
CANADIAN PACIFIC RAILWAY
   LTD                      EQUITY       13645T100     218        3,127  SH          OTHER       1         --      3,127        --
CANDELA CORP EQUITY         EQUITY       136907102      34     4,000.00  SH         DEFINED      4         --         --     4,000
CANETIC RES TR EQUITY       EQUITY       137513107     295    18,668.00  SH         DEFINED      4         --         --    18,668
CANETIC RESOURCES TRUST     EQUITY       137513107      57        3,999  SH          OTHER       1         --      3,999        --
CANTEL MEDICAL CORP         EQUITY       138098108     157       10,026  SH           SOLE       1     10,026         --        --
CANTEL MEDICAL CORP EQUITY  EQUITY       138098108       9       600.00  SH         DEFINED      4         --         --       600
CANTERBURY PARK HOLDING
   CORP EQUITY              EQUITY       13811E101       4       300.00  SH         DEFINED      4         --         --       300
CAPELLA EDUCATION CO        EQUITY       139594105     524        9,372  SH           SOLE       1      9,372         --        --
CAPELLA EDUCATION CO        EQUITY       139594105     660       11,800  SH           SOLE       2     11,800         --        --
CAPITAL CITY BANK GROUP
   INC                      EQUITY       139674105     346       11,081  SH           SOLE       1     11,081         --        --
CAPITAL CORP OF THE WEST    EQUITY       140065202     153        8,311  SH           SOLE       1      8,311         --        --
CAPITAL CORP OF THE WEST
   EQUITY NEW               EQUITY       140065202      87     4,703.00  SH         DEFINED      4         --         --     4,703
CAPITAL ONE FINANCIAL CORP  EQUITY       14040H105   11808      177,758  SH           SOLE       1    177,758         --        --
CAPITAL ONE FINANCIAL CORP  EQUITY       14040H105      35          527  SH           SOLE       2        527         --        --
CAPITAL ONE FINL CORP
   EQUITY                   EQUITY       14040H105      16       240.00  SH         DEFINED      4         --         --       240
CAPITAL SENIOR LIVING CORP  EQUITY       140475104     170       20,213  SH           SOLE       1     20,213         --        --
CAPITAL SOUTHWEST CORP      EQUITY       140501107     326        2,656  SH           SOLE       1      2,656         --        --
CAPITALSOURCE INC           EQUITY       14055X102      10          485  SH           SOLE       1        485         --        --
CAPITALSOURCE INC EQUITY    EQUITY       14055X102     607    29,649.00  SH         DEFINED      4         --         --    29,649
CAPITOL BANCORP LTD         EQUITY       14056D105    1520       61,197  SH           SOLE       1     61,197         --        --
CAPITOL BANCORP LTD EQUITY  EQUITY       14056D105      28     1,125.00  SH         DEFINED      4         --         --     1,125
CAPITOL FEDERAL FINANCIAL   EQUITY       14057C106      30          890  SH           SOLE       1        890         --        --
CAPLEASE INC                EQUITY       140288101     388       37,848  SH           SOLE       1     37,848         --        --
CAPTARIS INC                EQUITY       14071N104      18        3,430  SH           SOLE       1      3,430         --        --
CARACO PHARM LABS LTD       EQUITY       14075T107     133        8,706  SH           SOLE       1      8,706         --        --
CARAUSTAR INDUSTRIES INC    EQUITY       140909102      16        3,664  SH           SOLE       1      3,664         --        --
CARBO CERAMICS INC          EQUITY       140781105    1026       20,226  SH           SOLE       1     20,226         --        --
CARDIAC SCIENCE CORP        EQUITY       14141A108     991       98,300  SH           SOLE       1     98,300         --        --
CARDIAC SCIENCE CORP        EQUITY       14141A108    3743      371,300  SH           SOLE       3    325,600         --    45,700
CARDINAL HEALTH INC         EQUITY       14149Y108   25805      412,677  SH           SOLE       1    412,677         --        --
CARDINAL HEALTH INC         EQUITY       14149Y108      29          460  SH           SOLE       2        460         --        --
CARDINAL HEALTH INC EQUITY  EQUITY       14149Y108      39       621.00  SH         DEFINED      4         --         --       621
CARDIODYNAMICS INTL CORP
   EQUITY                   EQUITY       141597104       2     3,250.00  SH         DEFINED      4         --         --     3,250
CARDIOME PHARMA CORP
   EQUITY NEW               EQUITY       14159U202       5       500.00  SH         DEFINED      4         --         --       500
CARDIOME PHARMA
   CORPORATION              EQUITY       14159U202     905       96,200  SH          OTHER       1         --     96,200        --
CAREER EDUCATION CORP       EQUITY       141665109    6323      225,908  SH           SOLE       1    225,908         --        --
CAREER EDUCATION CORP
   EQUITY                   EQUITY       141665109       5       174.00  SH         DEFINED      4         --         --       174
CARLISLE COS INC            EQUITY       142339100    7550      155,360  SH           SOLE       1    155,360         --        --
CARLISLE COS INC EQUITY     EQUITY       142339100     122     2,508.00  SH         DEFINED      4         --         --     2,508
CARMAX INC                  EQUITY       143130102   10971      539,629  SH           SOLE       1    539,629         --        --
CARMAX INC EQUITY           EQUITY       143130102       1        46.00  SH         DEFINED      4         --         --        46
CARMIKE CINEMAS INC         EQUITY       143436400     201       10,965  SH           SOLE       1     10,965         --        --
CARNIVAL CORP               EQUITY       143658300    9021      186,278  SH           SOLE       1    186,278         --        --
CARNIVAL CORP               EQUITY       143658300    3132       64,668  SH           SOLE       2     64,668         --        --
CARNIVAL CORP PAIRED CTF    EQUITY       143658300      24       498.00  SH         DEFINED      4         --         --       498
CARPENTER TECHNOLOGY        EQUITY       144285103    8412       64,706  SH           SOLE       1     64,706         --        --
CARPENTER TECHNOLOGY CORP
   EQUITY                   EQUITY       144285103      17       128.00  SH         DEFINED      4         --         --       128
CARRIZO OIL & GAS INC       EQUITY       144577103     886       19,752  SH           SOLE       1     19,752         --        --
CARROLS RESTAURANT GROUP
   INC                      EQUITY       14574X104      97        8,627  SH           SOLE       1      8,627         --        --
CARTER'S INC                EQUITY       146229109    2425      121,568  SH           SOLE       1    121,568         --        --
CASCADE BANCORP             EQUITY       147154108     515       23,116  SH           SOLE       1     23,116         --        --
CASCADE CORP                EQUITY       147195101     749       11,499  SH           SOLE       1     11,499         --        --
CASELLA WASTE SYSTEMS
   INC-A                    EQUITY       147448104     248       19,774  SH           SOLE       1     19,774         --        --
CASEYS GEN STORES INC
   EQUITY                   EQUITY       147528103      93     3,369.00  SH         DEFINED      4         --         --     3,369





                                                                                        
CASEY'S GENERAL STORES INC  EQUITY       147528103    1396       50,391  SH           SOLE       1     50,391         --        --
CASH AMER INTL INC EQUITY   EQUITY       14754D100       1        27.00  SH         DEFINED      4         --         --        27
CASH AMERICA INTL INC       EQUITY       14754D100    1112       29,587  SH           SOLE       1     29,587         --        --
CASS INFORMATION SYSTEMS
   INC                      EQUITY       14808P109     197        5,498  SH           SOLE       1      5,498         --        --
CASTLE (A.M.) & CO          EQUITY       148411101     387       11,880  SH           SOLE       1     11,880         --        --
CASUAL MALE RETAIL GROUP
   INC                      EQUITY       148711104     283       31,556  SH           SOLE       1     31,556         --        --
CATALINA MARKETING CORP     EQUITY       148867104    3965      122,400  SH           SOLE       1    122,400         --        --
CATAPULT COMMUNICATIONS
   CORP                     EQUITY       149016107       9        1,185  SH           SOLE       1      1,185         --        --
CATERPILLAR INC             EQUITY       149123101   48198      614,536  SH           SOLE       1    614,536         --        --
CATERPILLAR INC             EQUITY       149123101    2510       32,006  SH           SOLE       2     32,006         --        --
CATERPILLAR INC DEL EQUITY  EQUITY       149123101    2439    31,082.87  SH         DEFINED      4         --         --    31,083
CATHAY GENERAL BANCORP      EQUITY       149150104    5408      167,886  SH           SOLE       1    167,886         --        --
CATO CORP-CL A              EQUITY       149205106     616       30,147  SH           SOLE       1     30,147         --        --
CAVIUM NETWORKS INC         EQUITY       14965A101     191        5,869  SH           SOLE       1      5,869         --        --
CB RICHARD ELLIS GROUP
   INC CL A                 EQUITY       12497T101       3       102.00  SH         DEFINED      4         --         --       102
CB RICHARD ELLIS GROUP
   INC-A                    EQUITY       12497T101    2448       87,940  SH           SOLE       1     87,940         --        --
CB RICHARD ELLIS GROUP
   INC-A                    EQUITY       12497T101       7          249  SH           SOLE       2        249         --        --
CBEYOND INC                 EQUITY       149847105     734       17,987  SH           SOLE       1     17,987         --        --
CBIZ INC                    EQUITY       124805102     330       41,467  SH           SOLE       1     41,467         --        --
CBIZ INC EQUITY             EQUITY       124805102       8       950.00  SH         DEFINED      4         --         --       950
CBL & ASSOCIATES
   PROPERTIES               EQUITY       124830100      87        2,472  SH           SOLE       1      2,472         --        --
CBRE REALTY FINANCE INC     EQUITY       12498B307     150       25,374  SH           SOLE       1     25,374         --        --
CBRL GROUP INC              EQUITY       12489V106    3340       81,867  SH           SOLE       1     81,867         --        --
CBRL GROUP INC EQUITY       EQUITY       12489V106       5       129.00  SH         DEFINED      4         --         --       129
CBS CORP NEW CL A           EQUITY       124857103       1        42.00  SH         DEFINED      4         --         --        42
CBS CORP NEW CL B           EQUITY       124857202      86     2,732.69  SH         DEFINED      4         --         --     2,733
CBS CORP-CLASS B            EQUITY       124857202   10866      344,938  SH           SOLE       1    344,938         --        --
CBS CORP-CLASS B            EQUITY       124857202      27          864  SH           SOLE       2        864         --        --
C-COR INC                   EQUITY       125010108     570       49,582  SH           SOLE       1     49,582         --        --
CDI CORP                    EQUITY       125071100     360       12,925  SH           SOLE       1     12,925         --        --
CDW CORP                    EQUITY       12512N105   26712      306,336  SH           SOLE       1    306,336         --        --
CEC ENTERTAINMENT INC       EQUITY       125137109     779       29,000  SH           SOLE       1     29,000         --        --
CEDAR FAIR L P DEPOSITRY
   UNIT                     EQUITY       150185106      36     1,492.24  SH         DEFINED      4         --         --     1,492
CEDAR SHOPPING CTRS INC
   EQUITY NEW               EQUITY       150602209      16     1,145.00  SH         DEFINED      4         --         --     1,145
CELADON GROUP INC           EQUITY       150838100     242       20,548  SH           SOLE       1     20,548         --        --
CELANESE CORP-SERIES A      EQUITY       150870103     170        4,353  SH           SOLE       1      4,353         --        --
CELESTICA INC               EQUITY       15101Q108      18        2,944  SH          OTHER       1         --      2,944        --
CELGENE CORP                EQUITY       151020104   14158      198,536  SH           SOLE       1    198,536         --        --
CELGENE CORP                EQUITY       151020104    4598       64,483  SH           SOLE       2     64,483         --        --
CELGENE CORP EQUITY         EQUITY       151020104      53       738.00  SH         DEFINED      4         --         --       738
CELL GENESYS INC            EQUITY       150921104     242       63,457  SH           SOLE       1     63,457         --        --
CELL GENESYS INC EQUITY     EQUITY       150921104       8     2,200.00  SH         DEFINED      4         --         --     2,200
CELL THERAPEUTICS INC
   EQUITY NEW               EQUITY       150934404       4     1,145.00  SH         DEFINED      4         --         --     1,145
CEMEX SAB DE CV SPON ADR
   NEW                      EQUITY       151290889     276     9,211.00  SH         DEFINED      4         --         --     9,211
CENTENE CORP                EQUITY       15135B101     936       43,498  SH           SOLE       1     43,498         --        --
CENTENE CORP DEL EQUITY     EQUITY       15135B101      13       600.00  SH         DEFINED      4         --         --       600
CENTENNIAL BANK HOLDINGS
   INC                      EQUITY       151345303     309       48,220  SH           SOLE       1     48,220         --        --
CENTENNIAL COMMUNICATIONS
   CP                       EQUITY       15133V208    1059      104,664  SH           SOLE       1    104,664         --        --
CENTER FINANCIAL CORP       EQUITY       15146E102     122        8,738  SH           SOLE       1      8,738         --        --
CENTERLINE HOLDING CO       EQUITY       15188T108    4409      287,223  SH           SOLE       1    287,223         --        --
CENTERLINE HOLDINGS CO SH
   BEN INT                  EQUITY       15188T108      48     3,150.00  SH         DEFINED      4         --         --     3,150
CENTERPOINT ENERGY INC      EQUITY       15189T107    7061      437,354  SH           SOLE       1    437,354         --        --
CENTERPOINT ENERGY INC      EQUITY       15189T107       6          405  SH           SOLE       2        405         --        --
CENTERPOINT ENERGY INC
   EQUITY                   EQUITY       15189T107      30     1,854.00  SH         DEFINED      4         --         --     1,854
CENTEX CORP                 EQUITY       152312104    1573       59,211  SH           SOLE       1     59,211         --        --
CENTEX CORP                 EQUITY       152312104       4          151  SH           SOLE       2        151         --        --
CENTRAL EURO DISTRIBUTION
   CP                       EQUITY       153435102    1475       30,783  SH           SOLE       1     30,783         --        --
CENTRAL EUROPE AND RUSSIA
   FD EQUITY                EQUITY       153436100     728    13,006.00  SH         DEFINED      4         --         --    13,006
CENTRAL EUROPEAN DIST
   CORP EQUITY              EQUITY       153435102      13       275.00  SH         DEFINED      4         --         --       275
CENTRAL GARDEN AND PET
   CO-A                     EQUITY       153527205     628       69,918  SH           SOLE       1     69,918         --        --
CENTRAL PAC FINL CORP
   EQUITY                   EQUITY       154760102       1        50.00  SH         DEFINED      4         --         --        50
CENTRAL PACIFIC FINANCIAL
   CO                       EQUITY       154760102     894       30,614  SH           SOLE       1     30,614         --        --
CENTRAL VERMONT PUBLIC
   SERV                     EQUITY       155771108     372       10,182  SH           SOLE       1     10,182         --        --
CENTURY ALUM CO EQUITY      EQUITY       156431108      16       300.00  SH         DEFINED      4         --         --       300
CENTURY ALUMINUM COMPANY    EQUITY       156431108    1534       29,127  SH           SOLE       1     29,127         --        --
CENTURYTEL INC              EQUITY       156700106    7724      167,122  SH           SOLE       1    167,122         --        --
CENTURYTEL INC              EQUITY       156700106       7          141  SH           SOLE       2        141         --        --
CENVEO INC                  EQUITY       15670S105    1012       46,764  SH           SOLE       1     46,764         --        --
CENVEO INC                  EQUITY       15670S105    8598      397,500  SH           SOLE       2    397,500         --        --
CEPHALON INC                EQUITY       156708109   14569      199,528  SH           SOLE       1    199,528         --        --





                                                                                        
CEPHALON INC EQUITY         EQUITY       156708109       9       120.00  SH         DEFINED      4         --         --       120
CEPHEID INC                 EQUITY       15670R107    1094       47,986  SH           SOLE       1     47,986         --        --
CEPHEID INC                 EQUITY       15670R107     901       39,500  SH           SOLE       2     39,500         --        --
CEPHEID INC                 EQUITY       15670R107    1503       65,900  SH           SOLE       3     49,900         --    16,000
CERADYNE INC                EQUITY       156710105    2055       27,126  SH           SOLE       1     27,126         --        --
CERADYNE INC                EQUITY       156710105     613        8,100  SH           SOLE       2      8,100         --        --
CERAGON NETWORKS LTD        EQUITY       M22013102    5073      267,000  SH           SOLE       3    228,702         --    38,298
CERIDIAN CORP               EQUITY       156779100   12471      358,981  SH           SOLE       1    358,981         --        --
CERIDIAN CORP NEW EQUITY    EQUITY       156779100       6       161.00  SH         DEFINED      4         --         --       161
CERNER CORP                 EQUITY       156782104    9716      162,445  SH           SOLE       1    162,445         --        --
CF INDUSTRIES HOLDINGS INC  EQUITY       125269100    3662       48,239  SH           SOLE       1     48,239         --        --
CGI GROUP INC - CL A        EQUITY       39945C109      57        4,997  SH          OTHER       1         --      4,997        --
CH ENERGY GROUP INC         EQUITY       12541M102     737       15,415  SH           SOLE       1     15,415         --        --
CHAMPION ENTERPRISES INC    EQUITY       158496109     841       76,564  SH           SOLE       1     76,564         --        --
CHAMPION ENTERPRISES INC
   EQUITY                   EQUITY       158496109      11     1,000.00  SH         DEFINED      4         --         --     1,000
CHARLES RIV LABS INTL INC
   EQUITY                   EQUITY       159864107       6       112.00  SH         DEFINED      4         --         --       112
CHARLES RIVER LABORATORIES  EQUITY       159864107    9485      168,922  SH           SOLE       1    168,922         --        --
CHARLOTTE RUSSE HOLDING
   INC                      EQUITY       161048103     370       25,299  SH           SOLE       1     25,299         --        --
CHARLOTTE RUSSE HOLDING
   INC                      EQUITY       161048103    2703      184,600  SH           SOLE       2    184,600         --        --
CHARMING SHOPPES            EQUITY       161133103    3446      410,179  SH           SOLE       1    410,179         --        --
CHARMING SHOPPES INC
   EQUITY                   EQUITY       161133103       7       880.00  SH         DEFINED      4         --         --       880
CHART INDUSTRIES INC        EQUITY       16115Q308     355       11,047  SH           SOLE       1     11,047         --        --
CHARTER COMMUNICATIONS-CL
   A                        EQUITY       16117M107     918      355,941  SH           SOLE       1    355,941         --        --
CHARTER EQUITYMUNICATIONS
   INC D CL A               EQUITY       16117M107       7     2,600.00  SH         DEFINED      4         --         --     2,600
CHASE CORP EQUITY           EQUITY       16150R104       4       200.00  SH         DEFINED      4         --         --       200
CHATTEM INC                 EQUITY       162456107    1212       17,185  SH           SOLE       1     17,185         --        --
CHECKFREE CORP              EQUITY       162813109   10420      223,883  SH           SOLE       1    223,883         --        --
CHECKFREE CORP NEW EQUITY   EQUITY       162813109       5       100.00  SH         DEFINED      4         --         --       100
CHECKPOINT SYS INC EQUITY   EQUITY       162825103       6       240.00  SH         DEFINED      4         --         --       240
CHECKPOINT SYSTEMS INC      EQUITY       162825103    1037       39,303  SH           SOLE       1     39,303         --        --
CHEESECAKE FACTORY (THE)    EQUITY       163072101    4160      177,260  SH           SOLE       1    177,260         --        --
CHEESECAKE FACTORY INC
   EQUITY                   EQUITY       163072101       3       136.00  SH         DEFINED      4         --         --       136
CHEMED CORP                 EQUITY       16359R103    1552       24,972  SH           SOLE       1     24,972         --        --
CHEMED CORP                 EQUITY       16359R103     839       13,500  SH           SOLE       2     13,500         --        --
CHEMED CORP NEW EQUITY      EQUITY       16359R103      37       600.00  SH         DEFINED      4         --         --       600
CHEMICAL FINANCIAL CORP     EQUITY       163731102     523       21,582  SH           SOLE       1     21,582         --        --
CHEMTURA CORP               EQUITY       163893100    5378      604,937  SH           SOLE       1    604,937         --        --
CHEMTURA CORP EQUITY        EQUITY       163893100       2       222.00  SH         DEFINED      4         --         --       222
CHENIERE ENERGY INC         EQUITY       16411R208      42        1,075  SH           SOLE       1      1,075         --        --
CHENIERE ENERGY INC
   EQUITY NEW               EQUITY       16411R208      39     1,000.00  SH         DEFINED      4         --         --     1,000
CHEROKEE INC                EQUITY       16444H102     250        6,522  SH           SOLE       1      6,522         --        --
CHESAPEAKE CORP             EQUITY       165159104     168       19,837  SH           SOLE       1     19,837         --        --
CHESAPEAKE ENERGY CORP      EQUITY       165167107   16993      481,940  SH           SOLE       1    481,940         --        --
CHESAPEAKE ENERGY CORP      EQUITY       165167107      18          517  SH           SOLE       2        517         --        --
CHESAPEAKE ENERGY CORP
   EQUITY                   EQUITY       165167107    6881   195,162.88  SH         DEFINED      4         --         --   195,163
CHEVRON CORP                EQUITY       166764100  247751    2,647,027  SH           SOLE       1  2,647,027         --        --
CHEVRON CORP                EQUITY       166764100   20596      220,088  SH           SOLE       2    220,088         --        --
CHEVRON CORP NEW CALL       OPTION       166764900      -2        (7.00)        C   DEFINED      4         --         --        (7)
CHEVRON CORP NEW EQUITY     EQUITY       166764100    2327    24,882.37  SH         DEFINED      4         --         --    24,882
CHICAGO BRIDGE & IRON CO
   N V N Y REGISTRY SH      EQUITY       167250109       1        24.00  SH         DEFINED      4         --         --        24
CHICAGO BRIDGE & IRON-NY
   SHR                      EQUITY       167250109    1421       33,000  SH           SOLE       1     33,000         --        --
CHICO'S FAS INC             EQUITY       168615102    6120      435,600  SH           SOLE       1    435,600         --        --
CHICOS FAS INC EQUITY       EQUITY       168615102       6       400.00  SH         DEFINED      4         --         --       400
CHILDREN'S PLACE            EQUITY       168905107     548       22,557  SH           SOLE       1     22,557         --        --
CHINA FD INC EQUITY         EQUITY       169373107      59     1,200.00  SH         DEFINED      4         --         --     1,200
CHINA LIFE INS CO LTD
   SPON ADR REP H           EQUITY       16939P106      17       200.00  SH         DEFINED      4         --         --       200
CHINA MED TECHNOLOGIES
   INC SPONSORED ADR        EQUITY       169483104       5       125.00  SH         DEFINED      4         --         --       125
CHINA MOBILE LIMITED
   SPONSORED ADR            EQUITY       16941M109      93     1,137.00  SH         DEFINED      4         --         --     1,137
CHINA MOBILE LTD-SPON ADR   EQUITY       16941M109   35336      430,721  SH           SOLE       1    430,721         --        --
CHINA NATURAL RESOURCES
   INC EQUITY               EQUITY       G2110U109      13     1,000.00  SH         DEFINED      4         --         --     1,000
CHINA PETE & CHEM CORP
   SPON ADR H SHS           EQUITY       16941R108      49       395.00  SH         DEFINED      4         --         --       395
CHINA PRECISION STEEL INC
   EQUITY                   EQUITY       16941J106      41     5,316.00  SH         DEFINED      4         --         --     5,316
CHIPOTLE MEXICAN
   GRI-CLASS B              EQUITY       169656204    3056       28,557  SH           SOLE       1     28,557         --        --
CHIPOTLE MEXICAN GRILL
   INC CL A                 EQUITY       169656105       6        50.00  SH         DEFINED      4         --         --        50
CHIQUITA BRANDS INTL        EQUITY       170032809     586       37,017  SH           SOLE       1     37,017         --        --
CHIQUITA BRANDS INTL INC
   *W EXP 03/19/200         WTS          170032114       1       265.00  SH         DEFINED      4         --         --       265
CHIQUITA BRANDS INTL INC
   EQUITY                   EQUITY       170032809                15.00  SH         DEFINED      4         --         --        15
CHITTENDEN CORP             EQUITY       170228100    1618       46,026  SH           SOLE       1     46,026         --        --
CHOICE HOTELS INTL INC      EQUITY       169905106      60        1,597  SH           SOLE       1      1,597         --        --
CHOICEPOINT INC             EQUITY       170388102    7095      187,115  SH           SOLE       1    187,115         --        --





                                                                                        
CHORDIANT SOFTWARE INC      EQUITY       170404305     396       28,578  SH           SOLE       1     28,578         --        --
CHRISTOPHER & BANKS CORP    EQUITY       171046105     438       36,168  SH           SOLE       1     36,168         --        --
CHUBB CORP                  EQUITY       171232101   26359      493,322  SH           SOLE       1    493,322         --        --
CHUBB CORP                  EQUITY       171232101    6227      116,096  SH           SOLE       2    116,096         --        --
CHUBB CORP EQUITY           EQUITY       171232101      59     1,103.14  SH         DEFINED      4         --         --     1,103
CHUNGHWA TELEEQUITY CO
   LTD SPONSORED ADR        EQUITY       17133Q205     143     7,719.00  SH         DEFINED      4         --         --     7,719
CHURCH & DWIGHT CO INC      EQUITY       171340102    7705      163,798  SH           SOLE       1    163,798         --        --
CHURCH & DWIGHT INC EQUITY  EQUITY       171340102       1        24.00  SH         DEFINED      4         --         --        24
CHURCHILL DOWNS INC         EQUITY       171484108     412        8,248  SH           SOLE       1      8,248         --        --
CIA VALE DO RIO DOCE-ADR    EQUITY       204412209   42262    1,245,570  SH           SOLE       1  1,245,570         --        --
CIBER INC                   EQUITY       17163B102     424       54,266  SH           SOLE       1     54,266         --        --
CIENA CORP                  EQUITY       171779309    1447       37,991  SH           SOLE       1     37,991         --        --
CIENA CORP                  EQUITY       171779309     648       17,008  SH           SOLE       2     17,008         --        --
CIENA CORP EQUITY NEW       EQUITY       171779309                 4.00  SH         DEFINED      4         --         --         4
CIGNA CORP                  EQUITY       125509109   17178      323,841  SH           SOLE       1    323,841         --        --
CIGNA CORP                  EQUITY       125509109      19          357  SH           SOLE       2        357         --        --
CIGNA CORP EQUITY           EQUITY       125509109       1        12.00  SH         DEFINED      4         --         --        12
CIMAREX ENERGY CO           EQUITY       171798101    7761      208,337  SH           SOLE       1    208,337         --        --
CIMAREX ENERGY CO EQUITY    EQUITY       171798101      26       707.00  SH         DEFINED      4         --         --       707
CINCINNATI BELL INC         EQUITY       171871106    4090      827,894  SH           SOLE       1    827,894         --        --
CINCINNATI BELL INC NEW
   EQUITY                   EQUITY       171871106       7     1,372.00  SH         DEFINED      4         --         --     1,372
CINCINNATI FINANCIAL CORP   EQUITY       172062101    4635      107,013  SH           SOLE       1    107,013         --        --
CINCINNATI FINANCIAL CORP   EQUITY       172062101       9          217  SH           SOLE       2        217         --        --
CINCINNATI FINL CORP
   EQUITY                   EQUITY       172062101      34       788.00  SH         DEFINED      4         --         --       788
CINEMARK HOLDINGS INC       EQUITY       17243V102     452       24,352  SH           SOLE       1     24,352         --        --
CINTAS CORP                 EQUITY       172908105    2615       70,498  SH           SOLE       1     70,498         --        --
CINTAS CORP                 EQUITY       172908105       6          170  SH           SOLE       2        170         --        --
CINTAS CORP EQUITY          EQUITY       172908105      37     1,000.00  SH         DEFINED      4         --         --     1,000
CIRCOR INTERNATIONAL INC    EQUITY       17273K109     648       14,265  SH           SOLE       1     14,265         --        --
CIRCUIT CITY STORES INC     EQUITY       172737108    1207      152,571  SH           SOLE       1    152,571         --        --
CIRCUIT CITY STORES INC     EQUITY       172737108       2          212  SH           SOLE       2        212         --        --
CIRRUS LOGIC INC            EQUITY       172755100     492       76,907  SH           SOLE       1     76,907         --        --
CISCO SYS INC EQUITY        EQUITY       17275R102    2335    70,521.00  SH         DEFINED      4         --         --    70,521
CISCO SYSTEMS INC           EQUITY       17275R102  176274    5,323,495  SH           SOLE       1  5,323,495         --        --
CISCO SYSTEMS INC           EQUITY       17275R102   20958      632,980  SH           SOLE       2    632,980         --        --
CIT GROUP INC               EQUITY       125581108   10907      271,287  SH           SOLE       1    271,287         --        --
CIT GROUP INC               EQUITY       125581108      10          241  SH           SOLE       2        241         --        --
CIT GROUP INC EQUITY        EQUITY       125581108      49     1,227.00  SH         DEFINED      4         --         --     1,227
CITADEL BROADCASTING CORP   EQUITY       17285T106     661      158,784  SH           SOLE       1    158,784         --        --
CITADEL BROADCASTING CORP
   EQUITY                   EQUITY       17285T106      12     2,978.00  SH         DEFINED      4         --         --     2,978
CITI TRENDS INC             EQUITY       17306X102     262       12,060  SH           SOLE       1     12,060         --        --
CITI TRENDS INC             EQUITY       17306X102    3556      163,400  SH           SOLE       2    163,400         --        --
CITIGROUP INC               EQUITY       172967101  209926    4,497,537  SH           SOLE       1  4,497,537         --        --
CITIGROUP INC               EQUITY       172967101   23662      507,012  SH           SOLE       2    507,012         --        --
CITIGROUP INC CALL          OPTION       172967901                (6.00)        C   DEFINED      4         --         --        (6)
CITIGROUP INC EQUITY        EQUITY       172967101    3385    72,522.30  SH         DEFINED      4         --         --    72,522
CITIZENS COMMUNICATIONS CO  EQUITY       17453B101    9317      650,597  SH           SOLE       1    650,597         --        --
CITIZENS COMMUNICATIONS CO  EQUITY       17453B101       6          429  SH           SOLE       2        429         --        --
CITIZENS
   EQUITYMUNICATIONS CO
   EQUITY                   EQUITY       17453B101      61     4,236.18  SH         DEFINED      4         --         --     4,236
CITIZENS INC                EQUITY       174740100     230       30,080  SH           SOLE       1     30,080         --        --
CITIZENS REPUBLIC BANCORP
   IN                       EQUITY       174420109    1062       65,930  SH           SOLE       1     65,930         --        --
CITRIX SYS INC EQUITY       EQUITY       177376100      54     1,214.00  SH         DEFINED      4         --         --     1,214
CITRIX SYSTEMS INC          EQUITY       177376100    3634       90,122  SH           SOLE       1     90,122         --        --
CITRIX SYSTEMS INC          EQUITY       177376100       9          227  SH           SOLE       2        227         --        --
CITY BANK LYNNWOOD WA       EQUITY       17770A109     342       11,922  SH           SOLE       1     11,922         --        --
CITY HOLDING CO             EQUITY       177835105     543       14,921  SH           SOLE       1     14,921         --        --
CITY NATIONAL CORP          EQUITY       178566105    7158      102,983  SH           SOLE       1    102,983         --        --
CITY NATL CORP EQUITY       EQUITY       178566105       7       100.00  SH         DEFINED      4         --         --       100
CKE RESTAURANTS INC         EQUITY       12561E105    1019       62,870  SH           SOLE       1     62,870         --        --
CKX INC                     EQUITY       12562M106     405       32,922  SH           SOLE       1     32,922         --        --
CLARCOR INC                 EQUITY       179895107    1742       50,932  SH           SOLE       1     50,932         --        --
CLARCOR INC EQUITY          EQUITY       179895107       2        72.00  SH         DEFINED      4         --         --        72
CLAYMONT STEEL HOLDINGS
   INC                      EQUITY       18382P104     153        7,568  SH           SOLE       1      7,568         --        --
CLAYMORE ETF TRUST 2 S&P
   GBL WATER                EQUITY       18383Q507       8       325.00  SH         DEFINED      4         --         --       325
CLAYMORE EXCHANGE TRADED
   FD BNY BRI&C PTF         EQUITY       18383M100      35       725.00  SH         DEFINED      4         --         --       725
CLAYMORE EXCHANGE TRADED
   FD SABRIENT DEFEN        EQUITY       18383M878     101     3,700.00  SH         DEFINED      4         --         --     3,700
CLAYMORE RAYMOND JAMES
   SB1 E EQUITY             EQUITY       183833102      61     3,100.00  SH         DEFINED      4         --         --     3,100
CLAYTON HOLDINGS INC        EQUITY       18418N107      83       10,391  SH           SOLE       1     10,391         --        --
CLAYTON WILLIAMS ENERGY
   INC                      EQUITY       969490101     159        4,810  SH           SOLE       1      4,810         --        --
CLEAN ENERGY FUELS CORP     EQUITY       184499101     132        8,687  SH           SOLE       1      8,687         --        --





                                                                                        
CLEAN HARBORS INC           EQUITY       184496107     643       14,451  SH           SOLE       1     14,451         --        --
CLEAN HARBORS INC EQUITY    EQUITY       184496107       1        18.00  SH         DEFINED      4         --         --        18
CLEAR CHANNEL
   COMMUNICATIONS           EQUITY       184502102   15272      407,898  SH           SOLE       1    407,898         --        --
CLEAR CHANNEL
   COMMUNICATIONS           EQUITY       184502102      24          628  SH           SOLE       2        628         --        --
CLEAR CHANNEL
   EQUITYMUNICATIONS
   EQUITY                   EQUITY       184502102       9       251.00  SH         DEFINED      4         --         --       251
CLEAR CHANNEL OUTDOOR-CL A  EQUITY       18451C109      56        2,195  SH           SOLE       1      2,195         --        --
CLEARWIRE CORP CL A         EQUITY       185385309       2       100.00  SH         DEFINED      4         --         --       100
CLEARWIRE CORP-CLASS A      EQUITY       185385309      21          874  SH           SOLE       1        874         --        --
CLECO CORP NEW EQUITY       EQUITY       12561W105    1068    42,373.24  SH         DEFINED      4         --         --    42,373
CLECO CORPORATION           EQUITY       12561W105    1504       59,530  SH           SOLE       1     59,530         --        --
CLEVELAND CLIFFS INC
   EQUITY                   EQUITY       185896107      52       587.00  SH         DEFINED      4         --         --       587
CLEVELAND-CLIFFS INC        EQUITY       185896107    8957      101,815  SH           SOLE       1    101,815         --        --
CLIFTON SAVINGS BANCORP
   INC                      EQUITY       18712Q103     123       10,382  SH           SOLE       1     10,382         --        --
CLOROX CO DEL EQUITY        EQUITY       189054109     122     2,008.00  SH         DEFINED      4         --         --     2,008
CLOROX COMPANY              EQUITY       189054109    5367       87,993  SH           SOLE       1     87,993         --        --
CLOROX COMPANY              EQUITY       189054109    3030       49,674  SH           SOLE       2     49,674         --        --
CLOUGH GLOBAL
   OPPORTUNITIES SH BEN
   INT                      EQUITY       18914E106      20     1,148.00  SH         DEFINED      4         --         --     1,148
CME GROUP INC               EQUITY       12572Q105   21702       36,977  SH           SOLE       1     36,977         --        --
CME GROUP INC               EQUITY       12572Q105    3446        5,867  SH           SOLE       2      5,867         --        --
CME GROUP INC EQUITY ADDED  EQUITY       12572Q105     325       553.00  SH         DEFINED      4         --         --       553
CMGI INC                    EQUITY       125750109     578      424,690  SH           SOLE       1    424,690         --        --
CMGI INC EQUITY             EQUITY       125750109       4     3,100.00  SH         DEFINED      4         --         --     3,100
CMS ENERGY CORP             EQUITY       125896100    1767      105,030  SH           SOLE       1    105,030         --        --
CMS ENERGY CORP             EQUITY       125896100       5          283  SH           SOLE       2        283         --        --
CNA FINANCIAL CORP          EQUITY       126117100      67        1,707  SH           SOLE       1      1,707         --        --
CNA SURETY CORP             EQUITY       12612L108     254       14,383  SH           SOLE       1     14,383         --        --
CNET NETWORKS INC           EQUITY       12613R104     981      131,714  SH           SOLE       1    131,714         --        --
CNET NETWORKS INC EQUITY    EQUITY       12613R104                25.00  SH         DEFINED      4         --         --        25
CNH GLOBAL N V SHS NEW      EQUITY       N20935206     679    11,175.00  SH         DEFINED      4         --         --    11,175
CNOOC LTD SPONSORED ADR     EQUITY       126132109    4933    29,641.00  SH         DEFINED      4         --         --    29,641
COACH INC                   EQUITY       189754104   10020      211,981  SH           SOLE       1    211,981         --        --
COACH INC                   EQUITY       189754104     684       14,470  SH           SOLE       2     14,470         --        --
COACH INC CALL              OPTION       189754904      -1        (5.00)        C   DEFINED      4         --         --        (5)
COACH INC EQUITY            EQUITY       189754104    1931    40,861.00  SH         DEFINED      4         --         --    40,861
COACHMEN INDUSTRIES INC     EQUITY       189873102      13        1,980  SH           SOLE       1      1,980         --        --
COBIZ FINANCIAL INC         EQUITY       190897108     277       16,166  SH           SOLE       1     16,166         --        --
COCA COLA CO EQUITY         EQUITY       191216100     771    13,411.37  SH         DEFINED      4         --         --    13,411
COCA COLA ENTERPRISES INC
   EQUITY                   EQUITY       191219104       2       100.00  SH         DEFINED      4         --         --       100
COCA COLA FEMSA S A B DE
   C V SPON ADR REP L       EQUITY       191241108     509    11,862.00  SH         DEFINED      4         --         --    11,862
COCA COLA HELLENIC BTTLG
   CO SPONSORED ADR         EQUITY       1912EP104       6       100.00  SH         DEFINED      4         --         --       100
COCA-COLA BOTTLING CO
   CONSOL                   EQUITY       191098102     313        5,198  SH           SOLE       1      5,198         --        --
COCA-COLA CO/THE            EQUITY       191216100   74754    1,300,743  SH           SOLE       1  1,300,743         --        --
COCA-COLA CO/THE            EQUITY       191216100     943       16,409  SH           SOLE       2     16,409         --        --
COCA-COLA ENTERPRISES       EQUITY       191219104    6933      286,240  SH           SOLE       1    286,240         --        --
COCA-COLA ENTERPRISES       EQUITY       191219104       9          359  SH           SOLE       2        359         --        --
COEUR D ALENE MINES CORP
   IDA EQUITY               EQUITY       192108108      11     3,000.00  SH         DEFINED      4         --         --     3,000
COEUR D'ALENE MINES CORP    EQUITY       192108108     920      242,617  SH           SOLE       1    242,617         --        --
COGENT COMMUNICATIONS
   GROUP                    EQUITY       19239V302    1016       43,514  SH           SOLE       1     43,514         --        --
COGENT INC                  EQUITY       19239Y108     595       37,967  SH           SOLE       1     37,967         --        --
COGNEX CORP                 EQUITY       192422103     781       44,001  SH           SOLE       1     44,001         --        --
COGNIZANT TECH SOLUTIONS-A  EQUITY       192446102    5686       71,264  SH           SOLE       1     71,264         --        --
COGNIZANT TECH SOLUTIONS-A  EQUITY       192446102      15          182  SH           SOLE       2        182         --        --
COGNIZANT TECHNOLOGY
   SOLUTIO CL A             EQUITY       192446102      25       317.00  SH         DEFINED      4         --         --       317
COGNOS INC                  EQUITY       19244C109    6036      145,855  SH          OTHER       1         --    145,855        --
COGNOS INC                  EQUITY       19244C109   30342      730,600  SH           SOLE       2    730,600         --        --
COHEN & STEERS ADV INC
   RLTY EQUITY              EQUITY       19247W102     394    18,610.00  SH         DEFINED      4         --         --    18,610
COHEN & STEERS CLOSED END
   OP EQUITY                EQUITY       19248P106     162     9,490.00  SH         DEFINED      4         --         --     9,490
COHEN & STEERS DIV MJRS
   FDIN EQUITY              EQUITY       19248G106      58     3,060.00  SH         DEFINED      4         --         --     3,060
COHEN & STEERS INC          EQUITY       19247A100     565       15,251  SH           SOLE       1     15,251         --        --
COHEN & STEERS INC EQUITY   EQUITY       19247A100       1        20.00  SH         DEFINED      4         --         --        20
COHEN & STEERS PREM INC
   RLTY EQUITY              EQUITY       19247V104     240    11,346.00  SH         DEFINED      4         --         --    11,346
COHEN & STEERS QUALITY
   RLTY EQUITY              EQUITY       19247L106      23     1,115.00  SH         DEFINED      4         --         --     1,115
COHEN & STEERS REIT & PFD
   IN EQUITY                EQUITY       19247X100     135     5,380.00  SH         DEFINED      4         --         --     5,380
COHEN & STEERS REIT &
   UTIL I EQUITY            EQUITY       19247Y108      57     2,720.00  SH         DEFINED      4         --         --     2,720
COHEN & STEERS SELECT
   UTIL F EQUITY            EQUITY       19248A109     115     4,403.00  SH         DEFINED      4         --         --     4,403
COHEN & STEERS TOTAL
   RETURN EQUITY            EQUITY       19247R103      17     1,000.00  SH         DEFINED      4         --         --     1,000
COHEN & STEERS WRLDWD RLT
   IN EQUITY                EQUITY       19248J100      93     4,251.00  SH         DEFINED      4         --         --     4,251
COHERENT INC                EQUITY       192479103    1004       31,300  SH           SOLE       1     31,300         --        --
COHU INC                    EQUITY       192576106     425       22,655  SH           SOLE       1     22,655         --        --
COINMACH SERVICE-CLASS A    EQUITY       19259W206     305       25,428  SH           SOLE       1     25,428         --        --





                                                                                        
COINSTAR INC                EQUITY       19259P300     893       27,744  SH           SOLE       1     27,744         --        --
COLDWATER CREEK INC         EQUITY       193068103    1640      151,051  SH           SOLE       1    151,051         --        --
COLDWATER CREEK INC         EQUITY       193068103    3544      326,300  SH           SOLE       2    326,300         --        --
COLDWATER CREEK INC EQUITY  EQUITY       193068103       1        70.00  SH         DEFINED      4         --         --        70
COLEMAN CABLE INC           EQUITY       193459302     101        7,288  SH           SOLE       1      7,288         --        --
COLGATE PALMOLIVE CO CALL   OPTION       194162903                (1.00)        C   DEFINED      4         --         --        (1)
COLGATE PALMOLIVE CO
   EQUITY                   EQUITY       194162103     535     7,495.79  SH         DEFINED      4         --         --     7,496
COLGATE-PALMOLIVE CO        EQUITY       194162103   60071      842,272  SH           SOLE       1    842,272         --        --
COLGATE-PALMOLIVE CO        EQUITY       194162103    4026       56,443  SH           SOLE       2     56,443         --        --
COLLECTIVE BRANDS INC       EQUITY       19421W100    4819      218,450  SH           SOLE       1    218,450         --        --
COLLECTIVE BRANDS INC       EQUITY       19421W100    4134      187,398  SH           SOLE       2    187,398         --        --
COLONIAL BANCGROUP INC      EQUITY       195493309    8337      385,636  SH           SOLE       1    385,636         --        --
COLONIAL BANCGROUP INC
   EQUITY                   EQUITY       195493309      11       500.00  SH         DEFINED      4         --         --       500
COLONIAL PPTYS TR EQUITY
   SH BEN INT               EQUITY       195872106     131     3,828.04  SH         DEFINED      4         --         --     3,828
COLUMBIA BANKING SYSTEM
   INC                      EQUITY       197236102     450       14,139  SH           SOLE       1     14,139         --        --
COLUMBIA SPORTSWEAR CO      EQUITY       198516106     667       12,053  SH           SOLE       1     12,053         --        --
COLUMBUS MCKINNON CORP/NY   EQUITY       199333105     409       16,435  SH           SOLE       1     16,435         --        --
COLUMBUS MCKINNON CORP/NY   EQUITY       199333105    4356      175,000  SH           SOLE       2    175,000         --        --
COMCAST CORP-CL A           EQUITY       20030N101   65472    2,708,702  SH           SOLE       1  2,708,702         --        --
COMCAST CORP-CL A           EQUITY       20030N101   15276      631,747  SH           SOLE       2    631,747         --        --
COMCAST CORP-SPECIAL CL A   EQUITY       20030N200     486       20,300  SH           SOLE       2     20,300         --        --
COMERICA INC                EQUITY       200340107   12579      245,293  SH           SOLE       1    245,293         --        --
COMERICA INC                EQUITY       200340107      10          193  SH           SOLE       2        193         --        --
COMFORT SYSTEMS USA INC     EQUITY       199908104     506       35,619  SH           SOLE       1     35,619         --        --
COMMERCE BANCORP INC/NJ     EQUITY       200519106    3401       87,692  SH           SOLE       1     87,692         --        --
COMMERCE BANCORP INC/NJ     EQUITY       200519106       9          242  SH           SOLE       2        242         --        --
COMMERCE BANCSHARES INC     EQUITY       200525103     103        2,235  SH           SOLE       1      2,235         --        --
COMMERCE GROUP INC          EQUITY       200641108    4674      158,618  SH           SOLE       1    158,618         --        --
COMMERCIAL METALS CO        EQUITY       201723103    9454      298,710  SH           SOLE       1    298,710         --        --
COMMERCIAL VEHICLE GROUP
   INC                      EQUITY       202608105     239       18,609  SH           SOLE       1     18,609         --        --
COMMSCOPE INC               EQUITY       203372107    7695      153,155  SH           SOLE       1    153,155         --        --
COMMSCOPE INC               EQUITY       203372107     517       10,300  SH           SOLE       2     10,300         --        --
COMMUNITY BANCORP           EQUITY       20343T100     228        9,063  SH           SOLE       1      9,063         --        --
COMMUNITY BANK SYSTEM INC   EQUITY       203607106     584       29,923  SH           SOLE       1     29,923         --        --
COMMUNITY BANKS INC         EQUITY       203628102     643       21,575  SH           SOLE       1     21,575         --        --
COMMUNITY HEALTH SYSTEMS
   INC                      EQUITY       203668108    7517      239,082  SH           SOLE       1    239,082         --        --
COMMUNITY TRUST BANCORP
   INC                      EQUITY       204149108     398       13,235  SH           SOLE       1     13,235         --        --
COMMVAULT SYSTEMS INC       EQUITY       204166102    1544       83,371  SH           SOLE       1     83,371         --        --
COMMVAULT SYSTEMS INC       EQUITY       204166102     554       29,900  SH           SOLE       2     29,900         --        --
COMPANHIA DE BEBIDAS-PRF
   ADR                      EQUITY       20441W203   14153      193,531  SH           SOLE       1    193,531         --        --
COMPASS DIVERSIFIED
   HOLDINGS                 EQUITY       20451Q104    2207      137,416  SH           SOLE       1    137,416         --        --
COMPASS MINERALS
   INTERNATION              EQUITY       20451N101    2230       65,517  SH           SOLE       1     65,517         --        --
COMPLETE PRODUCTION
   SERVICES                 EQUITY       20453E109     763       37,239  SH           SOLE       1     37,239         --        --
COMPUCREDIT CORP            EQUITY       20478N100     385       17,756  SH           SOLE       1     17,756         --        --
COMPUTER PROGRAMS &
   SYSTEMS                  EQUITY       205306103     208        7,898  SH           SOLE       1      7,898         --        --
COMPUTER SCIENCES CORP      EQUITY       205363104    4555       81,489  SH           SOLE       1     81,489         --        --
COMPUTER SCIENCES CORP      EQUITY       205363104      12          219  SH           SOLE       2        219         --        --
COMPUWARE CORP              EQUITY       205638109    1143      142,507  SH           SOLE       1    142,507         --        --
COMPUWARE CORP              EQUITY       205638109       3          382  SH           SOLE       2        382         --        --
COMPX INTERNATIONAL INC     EQUITY       20563P101      25        1,296  SH           SOLE       1      1,296         --        --
COMSTOCK RESOURCES INC      EQUITY       205768203    1193       38,677  SH           SOLE       1     38,677         --        --
COMSYS IT PARTNERS INC      EQUITY       20581E104     256       15,249  SH           SOLE       1     15,249         --        --
COMTECH GROUP INC           EQUITY       205821200     311       17,089  SH           SOLE       1     17,089         --        --
COMTECH TELECOMMUNICATIONS  EQUITY       205826209    1235       23,088  SH           SOLE       1     23,088         --        --
COMTECH TELECOMMUNICATIONS  EQUITY       205826209     669       12,500  SH           SOLE       2     12,500         --        --
COMVERGE INC                EQUITY       205859101     158        4,804  SH           SOLE       1      4,804         --        --
CONAGRA FOODS INC           EQUITY       205887102   24888      951,180  SH           SOLE       1    951,180         --        --
CONAGRA FOODS INC           EQUITY       205887102      16          618  SH           SOLE       2        618         --        --
CONAGRA FOODS INC EQUITY    EQUITY       205887102      74     2,819.81  SH         DEFINED      4         --         --     2,820
CONCEPTUS INC               EQUITY       206016107     487       25,653  SH           SOLE       1     25,653         --        --
CONCEPTUS INC EQUITY        EQUITY       206016107       2       100.00  SH         DEFINED      4         --         --       100
CONCUR TECHNOLOGIES INC     EQUITY       206708109    1207       38,292  SH           SOLE       1     38,292         --        --
CONCUR TECHNOLOGIES INC     EQUITY       206708109     489       15,500  SH           SOLE       2     15,500         --        --
CONCUR TECHNOLOGIES INC
   EQUITY                   EQUITY       206708109      10       330.00  SH         DEFINED      4         --         --       330
CONEXANT SYSTEMS INC        EQUITY       207142100     513      427,730  SH           SOLE       1    427,730         --        --
CONEXANT SYSTEMS INC
   EQUITY                   EQUITY       207142100                38.00  SH         DEFINED      4         --         --        38
CONMED CORP                 EQUITY       207410101     789       28,200  SH           SOLE       1     28,200         --        --
CONN'S INC                  EQUITY       208242107     253       10,596  SH           SOLE       1     10,596         --        --
CONOCOPHILLIPS              EQUITY       20825C104   98271    1,119,120  SH           SOLE       1  1,119,120         --        --
CONOCOPHILLIPS              EQUITY       20825C104   11107      126,552  SH           SOLE       2    126,552         --        --





                                                                                        
CONOCOPHILLIPS EQUITY       EQUITY       20825C104   13653   155,558.32  SH         DEFINED      4         --         --   155,558
CONS TOMOKA LAND
   CO-FLORIDA               EQUITY       210226106     336        4,992  SH           SOLE       1      4,992         --        --
CONSECO INC                 EQUITY       208464883     130        8,118  SH           SOLE       1      8,118         --        --
CONSOL ENERGY INC           EQUITY       20854P109    5697      122,253  SH           SOLE       1    122,253         --        --
CONSOL ENERGY INC           EQUITY       20854P109      11          230  SH           SOLE       2        230         --        --
CONSOL ENERGY INC EQUITY    EQUITY       20854P109      79     1,690.00  SH         DEFINED      4         --         --     1,690
CONSOLIDATED
   COMMUNICATIONS           EQUITY       209034107    3996      203,786  SH           SOLE       1    203,786         --        --
CONSOLIDATED EDISON INC     EQUITY       209115104    9990      215,760  SH           SOLE       1    215,760         --        --
CONSOLIDATED EDISON INC     EQUITY       209115104      16          342  SH           SOLE       2        342         --        --
CONSOLIDATED EDISON INC
   EQUITY                   EQUITY       209115104      98     2,121.76  SH         DEFINED      4         --         --     2,122
CONSOLIDATED GRAPHICS INC   EQUITY       209341106     685       10,911  SH           SOLE       1     10,911         --        --
CONSOLIDATED GRAPHICS INC   EQUITY       209341106    2304       36,700  SH           SOLE       2     36,700         --        --
CONSOLIDATED GRAPHICS INC
   EQUITY                   EQUITY       209341106      16       257.00  SH         DEFINED      4         --         --       257
CONSOLIDATED WATER CO INC
   ORD                      EQUITY       G23773107       8       250.00  SH         DEFINED      4         --         --       250
CONSTELLATION BRANDS INC
   CL A                     EQUITY       21036P108      74     3,077.00  SH         DEFINED      4         --         --     3,077
CONSTELLATION BRANDS INC-A  EQUITY       21036P108    2141       88,454  SH           SOLE       1     88,454         --        --
CONSTELLATION BRANDS INC-A  EQUITY       21036P108       6          245  SH           SOLE       2        245         --        --
CONSTELLATION ENERGY GROUP  EQUITY       210371100   64043      746,401  SH           SOLE       1    746,401         --        --
CONSTELLATION ENERGY GROUP  EQUITY       210371100      20          228  SH           SOLE       2        228         --        --
CONSTELLATION ENERGY
   GROUP I EQUITY           EQUITY       210371100     366     4,266.00  SH         DEFINED      4         --         --     4,266
CONTANGO OIL & GAS          EQUITY       21075N204     413       11,404  SH           SOLE       1     11,404         --        --
CONTINENTAL
   AIRLINES-CLASS B         EQUITY       210795308    4047      122,735  SH           SOLE       1    122,735         --        --
CONTINENTAL AIRLS INC CL B  EQUITY       210795308      94     2,856.00  SH         DEFINED      4         --         --     2,856
CONTINENTAL RESOURCES INC
   EQUITY                   EQUITY       212015101       5       300.00  SH         DEFINED      4         --         --       300
CONTINENTAL RESOURCES
   INC/OK                   EQUITY       212015101      63        3,446  SH           SOLE       1      3,446         --        --
CONVERGYS CORP              EQUITY       212485106    2793      160,910  SH           SOLE       1    160,910         --        --
CONVERGYS CORP              EQUITY       212485106       3          171  SH           SOLE       2        171         --        --
CONVERGYS CORP EQUITY       EQUITY       212485106      24     1,372.00  SH         DEFINED      4         --         --     1,372
CON-WAY INC                 EQUITY       205944101    5699      123,887  SH           SOLE       1    123,887         --        --
COOPER INDS LTD CL A        EQUITY       G24182100       4        86.00  SH         DEFINED      4         --         --        86
COOPER INDUSTRIES LTD-CL A  EQUITY       G24182100      12          232  SH           SOLE       2        232         --        --
COOPER TIRE & RUBBER        EQUITY       216831107    1311       53,714  SH           SOLE       1     53,714         --        --
COPA HOLDINGS SA CL A       EQUITY       P31076105       4       100.00  SH         DEFINED      4         --         --       100
COPART INC                  EQUITY       217204106    6128      178,198  SH           SOLE       1    178,198         --        --
CORE LABORATORIES N V
   EQUITY                   EQUITY       N22717107      90       710.00  SH         DEFINED      4         --         --       710
CORE LABORATORIES N.V.      EQUITY       N22717107     879        6,900  SH           SOLE       2      6,900         --        --
CORE MOLDING TECHNOLOGIES
   IN EQUITY                EQUITY       218683100       5       700.00  SH         DEFINED      4         --         --       700
CORE-MARK HOLDING CO INC    EQUITY       218681104     281        7,974  SH           SOLE       1      7,974         --        --
CORINTHIAN COLLEGES INC     EQUITY       218868107    4522      284,254  SH           SOLE       1    284,254         --        --
CORN PRODUCTS INTL INC      EQUITY       219023108     500       10,910  SH           SOLE       1     10,910         --        --
CORNELL COMPANIES INC       EQUITY       219141108    3025      128,444  SH           SOLE       1    128,444         --        --
CORNERSTONE STRATEGIC
   VALUE EQUITY             EQUITY       21924B104      12     1,659.94  SH         DEFINED      4         --         --     1,660
CORNING INC                 EQUITY       219350105   82146    3,332,515  SH           SOLE       1  3,332,515         --        --
CORNING INC                 EQUITY       219350105    8299      336,683  SH           SOLE       2    336,683         --        --
CORNING INC EQUITY          EQUITY       219350105     236     9,563.00  SH         DEFINED      4         --         --     9,563
CORPORATE EXECUTIVE BOARD
   CO                       EQUITY       21988R102    6657       89,662  SH           SOLE       1     89,662         --        --
CORPORATE EXECUTIVE BRD
   CO EQUITY                EQUITY       21988R102      18       241.00  SH         DEFINED      4         --         --       241
CORPORATE OFFICE PPTYS TR
   SH BEN INT               EQUITY       22002T108       2        50.00  SH         DEFINED      4         --         --        50
CORPORATE OFFICE
   PROPERTIES               EQUITY       22002T108    1415       33,994  SH           SOLE       1     33,994         --        --
CORRECTIONS CORP AMER NEW
   EQUITY NEW               EQUITY       22025Y407      66     2,533.00  SH         DEFINED      4         --         --     2,533
CORRECTIONS CORP OF
   AMERICA                  EQUITY       22025Y407    1936       73,989  SH           SOLE       1     73,989         --        --
CORRECTIONS CORP OF
   AMERICA                  EQUITY       22025Y407    7961      304,200  SH           SOLE       3    146,400         --   157,800
CORUS BANKSHARES INC        EQUITY       220873103     496       38,100  SH           SOLE       1     38,100         --        --
CORUS BANKSHARES INC
   EQUITY                   EQUITY       220873103       3       202.00  SH         DEFINED      4         --         --       202
CORVEL CORP                 EQUITY       221006109     153        6,625  SH           SOLE       1      6,625         --        --
COST PLUS INC/CALIFORNIA    EQUITY       221485105      11        2,780  SH           SOLE       1      2,780         --        --
COSTAR GROUP INC            EQUITY       22160N109     894       16,721  SH           SOLE       1     16,721         --        --
COSTCO EQUITYPANIES INC
   NOTE 8/1                 FIXED INCOME 22160QAC6       4         3.00  PRN        DEFINED      4         --         --         3
COSTCO WHOLESALE CORP       EQUITY       22160K105   16223      264,342  SH           SOLE       1    264,342         --        --
COSTCO WHOLESALE CORP       EQUITY       22160K105      34          552  SH           SOLE       2        552         --        --
COSTCO WHOLESALE CORP       EQUITY       22160K105     767       12,500  SH           SOLE       3     12,500         --        --
COSTCO WHSL CORP NEW
   EQUITY                   EQUITY       22160K105      84     1,376.00  SH         DEFINED      4         --         --     1,376
COTT CORPORATION            EQUITY       22163N106      15        1,839  SH          OTHER       1         --      1,839        --
COUNTRYWIDE FINANCIAL CORP  EQUITY       222372104    4651      244,635  SH           SOLE       1    244,635         --        --
COUNTRYWIDE FINANCIAL CORP  EQUITY       222372104      14          726  SH           SOLE       2        726         --        --
COUNTRYWIDE FINANCIAL
   CORP EQUITY              EQUITY       222372104      65     3,425.00  SH         DEFINED      4         --         --     3,425
COUNTRYWIDE FINANCIAL
   CORP PUT                 OPTION       222372954       1        20.00         P   DEFINED      4         --         --        20
COURIER CORP                EQUITY       222660102     320        9,095  SH           SOLE       1      9,095         --        --
COVAD EQUITYMUNICATIONS
   GROUP I EQUITY           EQUITY       222814204               150.00  SH         DEFINED      4         --         --       150
COVANCE INC                 EQUITY       222816100   12416      159,381  SH           SOLE       1    159,381         --        --





                                                                                        
COVANCE INC EQUITY          EQUITY       222816100     551     7,075.00  SH         DEFINED      4         --         --     7,075
COVANTA HLDG CORP EQUITY    EQUITY       22282E102       1        51.00  SH         DEFINED      4         --         --        51
COVANTA HOLDING CORP        EQUITY       22282E102      22          897  SH           SOLE       1        897         --        --
COVENTRY HEALTH CARE INC    EQUITY       222862104   13758      221,791  SH           SOLE       1    221,791         --        --
COVENTRY HEALTH CARE INC    EQUITY       222862104      12          197  SH           SOLE       2        197         --        --
COVENTRY HEALTH CARE INC
   EQUITY                   EQUITY       222862104      23       375.00  SH         DEFINED      4         --         --       375
COVIDIEN LTD                EQUITY       G2552X108      26          627  SH           SOLE       2        627         --        --
COVIDIEN LTD EQUITY         EQUITY       G2552X108     161     3,878.00  SH         DEFINED      4         --         --     3,878
COWEN GROUP INC             EQUITY       223621103     190       13,751  SH           SOLE       1     13,751         --        --
COX RADIO INC-CL A          EQUITY       224051102     379       29,026  SH           SOLE       1     29,026         --        --
CPFL ENERGIA S A
   SPONSORED ADR            EQUITY       126153105     137     2,358.00  SH         DEFINED      4         --         --     2,358
CPI CORP                    EQUITY       125902106     200        5,195  SH           SOLE       1      5,195         --        --
CPI INTERNATIONAL INC       EQUITY       12618M100     119        6,244  SH           SOLE       1      6,244         --        --
CRA INTERNATIONAL INC       EQUITY       12618T105     492       10,208  SH           SOLE       1     10,208         --        --
CRA INTL INC EQUITY         EQUITY       12618T105     270     5,603.00  SH         DEFINED      4         --         --     5,603
CRANE CO                    EQUITY       224399105    6105      127,268  SH           SOLE       1    127,268         --        --
CRAWFORD & CO  -CL B        EQUITY       224633107     140       22,082  SH           SOLE       1     22,082         --        --
CRAY INC                    EQUITY       225223304     203       28,236  SH           SOLE       1     28,236         --        --
CREDENCE SYSTEMS CORP       EQUITY       225302108     272       87,980  SH           SOLE       1     87,980         --        --
CREDICORP LTD EQUITY        EQUITY       G2519Y108       1        19.00  SH         DEFINED      4         --         --        19
CREDIT ACCEPTANCE CORP      EQUITY       225310101     103        4,452  SH           SOLE       1      4,452         --        --
CREDIT SUISSE ASSET MGMT
   INC EQUITY               EQUITY       224916106      22     5,630.00  SH         DEFINED      4         --         --     5,630
CREDIT SUISSE GROUP
   SPONSORED ADR            EQUITY       225401108      98     1,484.00  SH         DEFINED      4         --         --     1,484
CREDIT SUISSE HIGH YLD
   BND F SH BEN INT         EQUITY       22544F103      21     5,281.00  SH         DEFINED      4         --         --     5,281
CREDO PETE CORP EQUITY
   PAR $0.10                EQUITY       225439207       1       108.00  SH         DEFINED      4         --         --       108
CREE INC                    EQUITY       225447101    6610      212,549  SH           SOLE       1    212,549         --        --
CREE INC EQUITY             EQUITY       225447101     107     3,445.00  SH         DEFINED      4         --         --     3,445
CRESCENT FINL CORP EQUITY   EQUITY       225744101       7       638.00  SH         DEFINED      4         --         --       638
CRESUD S.A.-SPONS ADR       EQUITY       226406106    1458       64,181  SH           SOLE       1     64,181         --        --
CRM HOLDINGS LTD EQUITY     EQUITY       G2554P103       8     1,300.00  SH         DEFINED      4         --         --     1,300
CROCS INC                   EQUITY       227046109    2862       42,563  SH           SOLE       1     42,563         --        --
CROCS INC                   EQUITY       227046109     477        7,100  SH           SOLE       2      7,100         --        --
CROCS INC EQUITY            EQUITY       227046109     146     2,168.00  SH         DEFINED      4         --         --     2,168
CROSS COUNTRY HEALTHCARE
   INC                      EQUITY       227483104     558       31,915  SH           SOLE       1     31,915         --        --
CROSS TIMBERS RTY TR TR
   UNIT                     EQUITY       22757R109      12       300.00  SH         DEFINED      4         --         --       300
CROSSTEX ENERGY INC         EQUITY       22765Y104    1217       32,114  SH           SOLE       1     32,114         --        --
CROSSTEX ENERGY L P EQUITY  EQUITY       22765U102       9       264.00  SH         DEFINED      4         --         --       264
CROWN CASTLE INTL CORP      EQUITY       228227104     207        5,098  SH           SOLE       1      5,098         --        --
CROWN CASTLE INTL CORP
   EQUITY                   EQUITY       228227104       3        84.00  SH         DEFINED      4         --         --        84
CROWN HOLDINGS INC          EQUITY       228368106     107        4,707  SH           SOLE       1      4,707         --        --
CROWN HOLDINGS INC EQUITY   EQUITY       228368106      23     1,000.00  SH         DEFINED      4         --         --     1,000
CROWN MEDIA
   HOLDINGS-CLASS A         EQUITY       228411104     101       14,038  SH           SOLE       1     14,038         --        --
CRYOLIFE INC                EQUITY       228903100     216       22,850  SH           SOLE       1     22,850         --        --
CRYSTAL RIV CAP INC EQUITY  EQUITY       229393301       5       300.00  SH         DEFINED      4         --         --       300
CRYSTAL RIVER CAPITAL INC   EQUITY       229393301     367       21,827  SH           SOLE       1     21,827         --        --
CSG SYSTEMS INTL INC        EQUITY       126349109    3034      142,798  SH           SOLE       1    142,798         --        --
CSK AUTO CORP               EQUITY       125965103     408       38,344  SH           SOLE       1     38,344         --        --
CSS INDUSTRIES INC          EQUITY       125906107     245        6,818  SH           SOLE       1      6,818         --        --
CSX CORP                    EQUITY       126408103   27904      657,079  SH           SOLE       1    657,079         --        --
CSX CORP                    EQUITY       126408103      24          554  SH           SOLE       2        554         --        --
CSX CORP EQUITY             EQUITY       126408103      79     1,838.90  SH         DEFINED      4         --         --     1,839
CTC MEDIA INC               EQUITY       12642X106    1114       50,083  SH           SOLE       1     50,083         --        --
CTRIP EQUITY INTL LTD ADR   EQUITY       22943F100      13       250.00  SH         DEFINED      4         --         --       250
CTS CORP                    EQUITY       126501105     462       35,836  SH           SOLE       1     35,836         --        --
CUBIC CORP                  EQUITY       229669106     654       15,509  SH           SOLE       1     15,509         --        --
CUBIC CORP EQUITY           EQUITY       229669106    1303    32,077.00  SH         DEFINED      4         --         --    32,077
CUBIST PHARMACEUTICALS INC  EQUITY       229678107    1018       48,200  SH           SOLE       1     48,200         --        --
CULLEN FROST BANKERS INC
   EQUITY                   EQUITY       229899109       5       100.00  SH         DEFINED      4         --         --       100
CULLEN/FROST BANKERS INC    EQUITY       229899109    7421      148,061  SH           SOLE       1    148,061         --        --
CUMMINS INC                 EQUITY       231021106    5987       46,812  SH           SOLE       1     46,812         --        --
CUMMINS INC                 EQUITY       231021106      17          131  SH           SOLE       2        131         --        --
CUMMINS INC EQUITY          EQUITY       231021106      53       417.00  SH         DEFINED      4         --         --       417
CUMULUS MEDIA INC-CL A      EQUITY       231082108     252       24,699  SH           SOLE       1     24,699         --        --
CURAGEN CORP EQUITY         EQUITY       23126R101                30.00  SH         DEFINED      4         --         --        30
CURRENCY SHARES EURO TR
   EURO SHS                 EQUITY       23130C108    1379     9,624.00  SH         DEFINED      4         --         --     9,624
CURRENCYSHARES AUSTRALIAN
   DL AUSTRALIAN DOL        EQUITY       23129U101    4585    51,385.00  SH         DEFINED      4         --         --    51,385
CURRENCYSHARES CDN DLR TR
   CDN DOLLAR SHS           EQUITY       23129X105      66       625.00  SH         DEFINED      4         --         --       625
CURRENCYSHARES SWEDISH
   KRONA SWEDISH KRONA      EQUITY       23129R108       5        15.00  SH         DEFINED      4         --         --        15
CURRENCYSHARES SWISS
   FRANC T SWISS FRANC SH   EQUITY       23129V109      23       245.00  SH         DEFINED      4         --         --       245
CURRENCYSHS BRIT POUND
   STER BRIT POUND STE      EQUITY       23129S106      25        60.00  SH         DEFINED      4         --         --        60





                                                                                        
CURRENCYSHS JAPANESE YEN
   TR JAPANESE YEN          EQUITY       23130A102      74       825.00  SH         DEFINED      4         --         --       825
CURTISS-WRIGHT CORP         EQUITY       231561101    2099       44,182  SH           SOLE       1     44,182         --        --
CURTISS-WRIGHT CORP         EQUITY       231561101     580       12,200  SH           SOLE       2     12,200         --        --
CUTERA INC                  EQUITY       232109108     310       11,845  SH           SOLE       1     11,845         --        --
CV THERAPEUTICS INC         EQUITY       126667104     465       51,789  SH           SOLE       1     51,789         --        --
CVB FINANCIAL CORP          EQUITY       126600105     676       57,800  SH           SOLE       1     57,800         --        --
CVS CAREMARK CORP           EQUITY       126650100  101604    2,563,825  SH           SOLE       1  2,563,825         --        --
CVS CAREMARK CORP           EQUITY       126650100   16427      414,498  SH           SOLE       2    414,498         --        --
CVS CAREMARK CORPORATION
   EQUITY                   EQUITY       126650100     242     5,952.00  SH         DEFINED      4         --         --     5,952
CYANOTECH CORP EQUITY PAR
   $0.02                    EQUITY       232437301      97   112,222.00  SH         DEFINED      4         --         --   112,222
CYBERONICS INC              EQUITY       23251P102     308       22,088  SH           SOLE       1     22,088         --        --
CYBERSOURCE CORP            EQUITY       23251J106     367       31,390  SH           SOLE       1     31,390         --        --
CYBERSOURCE CORP EQUITY     EQUITY       23251J106      12     1,000.00  SH         DEFINED      4         --         --     1,000
CYBEX INTL INC EQUITY       EQUITY       23252E106       1       150.00  SH         DEFINED      4         --         --       150
CYMER INC                   EQUITY       232572107    1352       35,214  SH           SOLE       1     35,214         --        --
CYNOSURE INC CL A           EQUITY       232577205       4       100.00  SH         DEFINED      4         --         --       100
CYNOSURE INC-CLASS A        EQUITY       232577205     244        6,604  SH           SOLE       1      6,604         --        --
CYPRESS BIOSCIENCE INC      EQUITY       232674507     442       32,274  SH           SOLE       1     32,274         --        --
CYPRESS BIOSCIENCES INC
   EQUITY PAR $.02          EQUITY       232674507       1       107.00  SH         DEFINED      4         --         --       107
CYPRESS SEMICONDUCTOR CORP  EQUITY       232806109   11170      382,406  SH           SOLE       1    382,406         --        --
CYPRESS SEMICONDUCTOR
   CORP EQUITY              EQUITY       232806109      34     1,150.00  SH         DEFINED      4         --         --     1,150
CYTEC INDS INC EQUITY       EQUITY       232820100       8       115.00  SH         DEFINED      4         --         --       115
CYTEC INDUSTRIES INC        EQUITY       232820100    7201      105,286  SH           SOLE       1    105,286         --        --
CYTOKINETICS INC            EQUITY       23282W100     146       28,460  SH           SOLE       1     28,460         --        --
CYTRX CORP                  EQUITY       232828301     260       75,506  SH           SOLE       1     75,506         --        --
CYTRX CORP EQUITY NEW       EQUITY       232828301      52    15,000.00  SH         DEFINED      4         --         --    15,000
CYTYC CORP EQUITY           EQUITY       232946103      16       330.00  SH         DEFINED      4         --         --       330
CYTYC CORPORATION           EQUITY       232946103   31532      661,748  SH           SOLE       1    661,748         --        --
D R HORTON INC EQUITY       EQUITY       23331A109      20     1,600.00  SH         DEFINED      4         --         --     1,600
DADE BEHRING HLDGS INC
   EQUITY                   EQUITY       23342J206       3        42.00  SH         DEFINED      4         --         --        42
DADE BEHRING HOLDINGS INC   EQUITY       23342J206    1813       23,745  SH           SOLE       1     23,745         --        --
DADE BEHRING HOLDINGS INC   EQUITY       23342J206     817       10,700  SH           SOLE       2     10,700         --        --
DAIMLERCHRYSLER AG ORD      EQUITY       D1668R123     172     1,715.00  SH         DEFINED      4         --         --     1,715
DAKTRONICS INC              EQUITY       234264109     868       31,889  SH           SOLE       1     31,889         --        --
DAKTRONICS INC EQUITY       EQUITY       234264109     200     7,350.00  SH         DEFINED      4         --         --     7,350
DANAHER CORP                EQUITY       235851102   18154      219,491  SH           SOLE       1    219,491         --        --
DANAHER CORP                EQUITY       235851102    7329       88,611  SH           SOLE       2     88,611         --        --
DANAHER CORP DEL EQUITY     EQUITY       235851102     164     1,978.00  SH         DEFINED      4         --         --     1,978
DARDEN RESTAURANTS INC      EQUITY       237194105    2649       63,282  SH           SOLE       1     63,282         --        --
DARDEN RESTAURANTS INC      EQUITY       237194105       7          179  SH           SOLE       2        179         --        --
DARDEN RESTAURANTS INC
   EQUITY                   EQUITY       237194105       8       200.00  SH         DEFINED      4         --         --       200
DARLING INTERNATIONAL INC   EQUITY       237266101    2317      234,278  SH           SOLE       1    234,278         --        --
DARWIN PROFESSIONAL
   UNDERWRI                 EQUITY       237502109     144        6,682  SH           SOLE       1      6,682         --        --
DATASCOPE CORP              EQUITY       238113104     434       12,845  SH           SOLE       1     12,845         --        --
DAVITA INC                  EQUITY       23918K108     141        2,237  SH           SOLE       1      2,237         --        --
DAWSON GEOPHYSICAL CO       EQUITY       239359102    1414       18,248  SH           SOLE       1     18,248         --        --
DAWSON GEOPHYSICAL CO       EQUITY       239359102     434        5,600  SH           SOLE       2      5,600         --        --
DAWSON GEOPHYSICAL CO
   EQUITY                   EQUITY       239359102      40       514.00  SH         DEFINED      4         --         --       514
DCT INDUSTRIAL TRUST INC
   EQUITY                   EQUITY       233153105    2380   227,344.00  SH         DEFINED      4         --         --   227,344
DEALERTRACK HOLDINGS INC    EQUITY       242309102    1218       29,076  SH           SOLE       1     29,076         --        --
DEAN FOODS CO               EQUITY       242370104    7603      297,233  SH           SOLE       1    297,233         --        --
DEAN FOODS CO               EQUITY       242370104       4          163  SH           SOLE       2        163         --        --
DEAN FOODS CO NEW EQUITY    EQUITY       242370104                11.00  SH         DEFINED      4         --         --        11
DEB SHOPS INC               EQUITY       242728103     118        4,375  SH           SOLE       1      4,375         --        --
DECKERS OUTDOOR CORP        EQUITY       243537107    1399       12,745  SH           SOLE       1     12,745         --        --
DECKERS OUTDOOR CORP        EQUITY       243537107     439        4,000  SH           SOLE       2      4,000         --        --
DECKERS OUTDOOR CORP
   EQUITY                   EQUITY       243537107     113     1,027.00  SH         DEFINED      4         --         --     1,027
DEERE & CO                  EQUITY       244199105   23838      160,609  SH           SOLE       1    160,609         --        --
DEERE & CO                  EQUITY       244199105      42          280  SH           SOLE       2        280         --        --
DEERE & CO EQUITY           EQUITY       244199105    1223     8,242.00  SH         DEFINED      4         --         --     8,242
DEJOUR ENTERPRISES LTD      EQUITY       244866208     685      300,000  SH          OTHER       1         --    300,000        --
DEL MONTE FOODS CO          EQUITY       24522P103     107       10,217  SH           SOLE       1     10,217         --        --
DEL MONTE FOODS CO EQUITY   EQUITY       24522P103       4       379.00  SH         DEFINED      4         --         --       379
DELAWARE INV MN MUN INC
   FD I EQUITY              EQUITY       24610V103      23     1,700.00  SH         DEFINED      4         --         --     1,700
DELAWARE INVTS DIV &
   INEQUITYE EQUITY         EQUITY       245915103      12     1,000.00  SH         DEFINED      4         --         --     1,000
DELEK US HOLDINGS INC       EQUITY       246647101     257       10,230  SH           SOLE       1     10,230         --        --
DELL INC                    EQUITY       24702R101   47045    1,704,533  SH           SOLE       1  1,704,533         --        --
DELL INC                    EQUITY       24702R101      79        2,864  SH           SOLE       2      2,864         --        --
DELL INC EQUITY             EQUITY       24702R101     367    13,298.00  SH         DEFINED      4         --         --    13,298
DELPHI FINANCIAL GROUP-CL
   A                        EQUITY       247131105    1753       43,380  SH           SOLE       1     43,380         --        --





                                                                                        
DELTA AIR LINES INC         EQUITY       247361702     791       44,078  SH           SOLE       1     44,078         --        --
DELTA AIR LINES INC DEL
   EQUITY NEW               EQUITY       247361702      29     1,600.00  SH         DEFINED      4         --         --     1,600
DELTA FINANCIAL CORP        EQUITY       247918105      70       14,355  SH           SOLE       1     14,355         --        --
DELTA FINANCIAL CORP
   EQUITY                   EQUITY       247918105      12     2,470.00  SH         DEFINED      4         --         --     2,470
DELTA NAT GAS INC EQUITY    EQUITY       247748106       2       100.00  SH         DEFINED      4         --         --       100
DELTA PETROLEUM CORP        EQUITY       247907207    1027       57,218  SH           SOLE       1     57,218         --        --
DELTIC TIMBER CORP          EQUITY       247850100     597       10,489  SH           SOLE       1     10,489         --        --
DELUXE CORP                 EQUITY       248019101    6410      174,005  SH           SOLE       1    174,005         --        --
DELUXE CORP                 EQUITY       248019101     361        9,800  SH           SOLE       2      9,800         --        --
DENBURY RESOURCES INC       EQUITY       247916208   13602      304,355  SH           SOLE       1    304,355         --        --
DENDREON CORP               EQUITY       24823Q107     560       72,807  SH           SOLE       1     72,807         --        --
DENDREON CORP EQUITY        EQUITY       24823Q107      23     3,000.00  SH         DEFINED      4         --         --     3,000
DENISON MINES CORP EQUITY   EQUITY       248356107      16     1,400.00  SH         DEFINED      4         --         --     1,400
DENNY'S CORP                EQUITY       24869P104     327       81,832  SH           SOLE       1     81,832         --        --
DENTSPLY INTERNATIONAL INC  EQUITY       249030107   18545      445,360  SH           SOLE       1    445,360         --        --
DENTSPLY INTL INC NEW
   EQUITY                   EQUITY       249030107      96     2,305.00  SH         DEFINED      4         --         --     2,305
DESARROLLADORA HOMEX-ADR    EQUITY       25030W100   30125      542,800  SH           SOLE       1    542,800         --        --
DEUTSCHE TELEKOM AG
   SPONSORED ADR            EQUITY       251566105      11       550.00  SH         DEFINED      4         --         --       550
DEVELOPERS DIVERSIFIED
   RLTY                     EQUITY       251591103    3237       57,937  SH           SOLE       1     57,937         --        --
DEVELOPERS DIVERSIFIED
   RLTY                     EQUITY       251591103       9          157  SH           SOLE       2        157         --        --
DEVELOPERS DIVERSIFIED
   RLTY EQUITY              EQUITY       251591103     330     5,902.00  SH         DEFINED      4         --         --     5,902
DEVON ENERGY CORP NEW
   EQUITY                   EQUITY       25179M103    8748   105,149.00  SH         DEFINED      4         --         --   105,149
DEVON ENERGY CORPORATION    EQUITY       25179M103   23421      283,440  SH           SOLE       1    283,440         --        --
DEVON ENERGY CORPORATION    EQUITY       25179M103      47          562  SH           SOLE       2        562         --        --
DEVRY INC                   EQUITY       251893103    7384      199,515  SH           SOLE       1    199,515         --        --
DEXEQUITY INC EQUITY        EQUITY       252131107       1       150.00  SH         DEFINED      4         --         --       150
DG FASTCHANNEL INC          EQUITY       23326R109     273       11,584  SH           SOLE       1     11,584         --        --
DG FASTCHANNEL INC          EQUITY       23326R109    1893       80,300  SH           SOLE       3     80,300         --        --
DIAGEO P L C SPON ADR NEW   EQUITY       25243Q205    2731    31,125.00  SH         DEFINED      4         --         --    31,125
DIAMOND MANAGEMENT &
   TECHNOL                  EQUITY       25269L106     226       24,564  SH           SOLE       1     24,564         --        --
DIAMOND OFFSHORE DRILLING   EQUITY       25271C102     182        1,609  SH           SOLE       1      1,609         --        --
DIAMONDROCK HOSPITALITY CO  EQUITY       252784301    4077      234,187  SH           SOLE       1    234,187         --        --
DIAMONDS TR UNIT SER 1      EQUITY       252787106     855     6,152.46  SH         DEFINED      4         --         --     6,152
DIANA SHIPPING INC EQUITY   EQUITY       Y2066G104     849    29,691.00  SH         DEFINED      4         --         --    29,691
DICK'S SPORTING GOODS INC   EQUITY       253393102    6954      103,559  SH           SOLE       1    103,559         --        --
DICKS SPORTING GOODS INC
   EQUITY                   EQUITY       253393102      30       446.00  SH         DEFINED      4         --         --       446
DIEBOLD INC                 EQUITY       253651103    7461      164,276  SH           SOLE       1    164,276         --        --
DIEBOLD INC EQUITY          EQUITY       253651103      25       555.46  SH         DEFINED      4         --         --       555
DIGI INTERNATIONAL INC      EQUITY       253798102     359       25,240  SH           SOLE       1     25,240         --        --
DIGITAL REALTY TRUST INC    EQUITY       253868103   11381      288,925  SH           SOLE       1    288,925         --        --
DIGITAL RIV INC EQUITY      EQUITY       25388B104                 2.00  SH         DEFINED      4         --         --         2
DIGITAL RIVER INC           EQUITY       25388B104    6042      135,021  SH           SOLE       1    135,021         --        --
DIGITAL RIVER INC           EQUITY       25388B104     622       13,900  SH           SOLE       2     13,900         --        --
DILLARDS INC-CL A           EQUITY       254067101     666       30,516  SH           SOLE       1     30,516         --        --
DILLARDS INC-CL A           EQUITY       254067101       2           77  SH           SOLE       2         77         --        --
DIME BANCORP INC NEW *W
   EXP 99/99/999            WTS          25429Q110             1,000.00  SH         DEFINED      4         --         --     1,000
DIME COMMUNITY BANCSHARES   EQUITY       253922108     389       25,959  SH           SOLE       1     25,959         --        --
DIODES INC                  EQUITY       254543101     958       29,848  SH           SOLE       1     29,848         --        --
DIODES INC EQUITY           EQUITY       254543101     599    18,676.00  SH         DEFINED      4         --         --    18,676
DIONEX CORP                 EQUITY       254546104    1504       18,922  SH           SOLE       1     18,922         --        --
DIRECTV GROUP INC EQUITY    EQUITY       25459L106      78     3,226.00  SH         DEFINED      4         --         --     3,226
DIRECTV GROUP INC/THE       EQUITY       25459L106    9742      401,221  SH           SOLE       1    401,221         --        --
DIRECTV GROUP INC/THE       EQUITY       25459L106      23          958  SH           SOLE       2        958         --        --
DISCOVER FINANCIAL
   SERVICES                 EQUITY       254709108    7026      337,782  SH           SOLE       1    337,782         --        --
DISCOVER FINANCIAL
   SERVICES                 EQUITY       254709108      99        4,752  SH           SOLE       2      4,752         --        --
DISCOVER FINL SVCS EQUITY   EQUITY       254709108      10       459.00  SH         DEFINED      4         --         --       459
DISCOVERY HOLDING CO CL A
   EQUITY                   EQUITY       25468Y107       7       257.00  SH         DEFINED      4         --         --       257
DISCOVERY HOLDING CO-A      EQUITY       25468Y107     567       19,670  SH           SOLE       1     19,670         --        --
DISCOVERY LABORATORIES INC  EQUITY       254668106     198       73,609  SH           SOLE       1     73,609         --        --
DISNEY WALT CO EQUITY
   DISNEY                   EQUITY       254687106    1005    29,225.98  SH         DEFINED      4         --         --    29,226
DISNEY WALT CO NOTE
   2.125% 4/1               FIXED INCOME 254687AU0       5         4.00  PRN        DEFINED      4         --         --         4
DISTRIBUTED ENERGY SYS
   CORP EQUITY              EQUITY       25475V104       3     4,000.00  SH         DEFINED      4         --         --     4,000
DITECH NETWORKS INC         EQUITY       25500T108     173       32,886  SH           SOLE       1     32,886         --        --
DIVX INC                    EQUITY       255413106     300       20,198  SH           SOLE       1     20,198         --        --
DIVX INC EQUITY             EQUITY       255413106      25     1,659.00  SH         DEFINED      4         --         --     1,659
DJO INC                     EQUITY       23325G104    4586       93,392  SH           SOLE       1     93,392         --        --
DOBSON COMMUNICATIONS
   CORP-A                   EQUITY       256069105    1628      127,298  SH           SOLE       1    127,298         --        --
DOLBY LABORATORIES INC-CL
   A                        EQUITY       25659T107    2945       86,925  SH           SOLE       1     86,925         --        --
DOLBY LABORATORIES INC-CL
   A                        EQUITY       25659T107     387       11,100  SH           SOLE       2     11,100         --        --
DOLBY LABORATORIES INC-CL
   A                        EQUITY       25659T107    3865      111,000  SH           SOLE       3     45,300         --    65,700





                                                                                        
DOLLAR FINANCIAL CORP       EQUITY       256664103     400       14,018  SH           SOLE       1     14,018         --        --
DOLLAR THRIFTY AUTOMOTIVE
   GP                       EQUITY       256743105     717       20,660  SH           SOLE       1     20,660         --        --
DOLLAR TREE STORES INC      EQUITY       256747106   12692      313,085  SH           SOLE       1    313,085         --        --
DOLLAR TREE STORES INC
   EQUITY                   EQUITY       256747106       8       200.00  SH         DEFINED      4         --         --       200
DOMINION RES BLACK
   WARRIOR T UNITS BEN INT  EQUITY       25746Q108     182     7,963.00  SH         DEFINED      4         --         --     7,963
DOMINION RES INC VA NEW
   EQUITY                   EQUITY       25746U109      80       948.00  SH         DEFINED      4         --         --       948
DOMINION RESOURCES INC/VA   EQUITY       25746U109   10559      125,257  SH           SOLE       1    125,257         --        --
DOMINION RESOURCES INC/VA   EQUITY       25746U109     545        6,467  SH           SOLE       2      6,467         --        --
DOMINO'S PIZZA INC          EQUITY       25754A201    1009       60,818  SH           SOLE       1     60,818         --        --
DONALDSON CO INC            EQUITY       257651109    7392      177,003  SH           SOLE       1    177,003         --        --
DONEGAL GROUP INC-CL A      EQUITY       257701201     187       11,564  SH           SOLE       1     11,564         --        --
DONNELLEY R R & SONS CO
   EQUITY                   EQUITY       257867101      26       715.00  SH         DEFINED      4         --         --       715
DORAL FINL CORP EQUITY
   NEW ADDED                EQUITY       25811P886                10.00  SH         DEFINED      4         --         --        10
DORCHESTER MINERALS LP      EQUITY       25820R105      86        4,200  SH           SOLE       1      4,200         --        --
DORCHESTER MINERALS LP
   EQUITY UNIT              EQUITY       25820R105      11       565.00  SH         DEFINED      4         --         --       565
DOUBLE-TAKE SOFTWARE INC    EQUITY       258598101     139        7,297  SH           SOLE       1      7,297         --        --
DOUBLE-TAKE SOFTWARE INC    EQUITY       258598101     447       23,400  SH           SOLE       2     23,400         --        --
DOUGLAS EMMETT INC          EQUITY       25960P109      96        3,899  SH           SOLE       1      3,899         --        --
DOUGLAS EMMETT INC EQUITY   EQUITY       25960P109     155     6,250.00  SH         DEFINED      4         --         --     6,250
DOVER CORP                  EQUITY       260003108    4808       94,372  SH           SOLE       1     94,372         --        --
DOVER CORP                  EQUITY       260003108    5148      101,048  SH           SOLE       2    101,048         --        --
DOVER CORP EQUITY           EQUITY       260003108       3        60.00  SH         DEFINED      4         --         --        60
DOVER DOWNS GAMING &
   ENTERTA                  EQUITY       260095104     141       13,608  SH           SOLE       1     13,608         --        --
DOW CHEM CO CALL            OPTION       260543903                (8.00)        C   DEFINED      4         --         --        (8)
DOW CHEM CO EQUITY          EQUITY       260543103     506    11,749.00  SH         DEFINED      4         --         --    11,749
DOW CHEMICAL                EQUITY       260543103   37396      868,463  SH           SOLE       1    868,463         --        --
DOW CHEMICAL                EQUITY       260543103    9930      230,598  SH           SOLE       2    230,598         --        --
DOW JONES & CO INC          EQUITY       260561105    2022       33,869  SH           SOLE       1     33,869         --        --
DOW JONES & CO INC          EQUITY       260561105    8799      147,382  SH           SOLE       2    147,382         --        --
DOWNEY FINANCIAL CORP       EQUITY       261018105    1205       20,843  SH           SOLE       1     20,843         --        --
DPL INC                     EQUITY       233293109    7447      283,570  SH           SOLE       1    283,570         --        --
DPL INC EQUITY              EQUITY       233293109      79     3,004.00  SH         DEFINED      4         --         --     3,004
DR HORTON INC               EQUITY       23331A109    2835      221,317  SH           SOLE       1    221,317         --        --
DR HORTON INC               EQUITY       23331A109    2003      156,345  SH           SOLE       2    156,345         --        --
DRAXIS HEALTH INC EQUITY    EQUITY       26150J101      13     2,500.00  SH         DEFINED      4         --         --     2,500
DRDGOLD LIMITED SPON ADR
   NEW ADDED                EQUITY       26152H301       2       200.00  SH         DEFINED      4         --         --       200
DREAMWORKS ANIMATION SKG
   INC CL A                 EQUITY       26153C103      15       435.00  SH         DEFINED      4         --         --       435
DREAMWORKS ANIMATION SKG-A  EQUITY       26153C103     613       18,350  SH           SOLE       2     18,350         --        --
DREMAN/CLAYMORE DIVID &
   INC EQUITY               EQUITY       26153R100     139     6,940.00  SH         DEFINED      4         --         --     6,940
DRESS BARN INC              EQUITY       261570105     798       46,901  SH           SOLE       1     46,901         --        --
DRESSER-RAND GROUP INC      EQUITY       261608103     611       14,303  SH           SOLE       1     14,303         --        --
DRESSER-RAND GROUP INC
   EQUITY                   EQUITY       261608103       5       122.00  SH         DEFINED      4         --         --       122
DREW INDUSTRIES INC         EQUITY       26168L205     736       18,093  SH           SOLE       1     18,093         --        --
DREYFUS HIGH YIELD
   STRATEGIE SH BEN INT     EQUITY       26200S101       4     1,000.00  SH         DEFINED      4         --         --     1,000
DREYFUS MUN INEQUITYE INC
   EQUITY                   EQUITY       26201R102      43     4,961.37  SH         DEFINED      4         --         --     4,961
DREYFUS STRATEGIC MUN BD
   FD EQUITY                EQUITY       26202F107      27     3,249.64  SH         DEFINED      4         --         --     3,250
DREYFUS STRATEGIC MUNS
   INC EQUITY               EQUITY       261932107      11     1,257.49  SH         DEFINED      4         --         --     1,257
DRIL-QUIP INC               EQUITY       262037104    1314       26,621  SH           SOLE       1     26,621         --        --
DRIL-QUIP INC               EQUITY       262037104     439        8,900  SH           SOLE       2      8,900         --        --
DRIL-QUIP INC EQUITY        EQUITY       262037104      30       608.00  SH         DEFINED      4         --         --       608
DRS TECHNOLOGIES INC        EQUITY       23330X100    5722      103,812  SH           SOLE       1    103,812         --        --
DRS TECHNOLOGIES INC
   EQUITY                   EQUITY       23330X100       4        78.00  SH         DEFINED      4         --         --        78
DRYCLEAN USA INC EQUITY     EQUITY       262432107       2     1,000.00  SH         DEFINED      4         --         --     1,000
DRYSHIPS INC                EQUITY       Y2109Q101    2335       25,700  SH           SOLE       2     25,700         --        --
DRYSHIPS INC                EQUITY       Y2109Q101    9258      101,900  SH           SOLE       3     51,700         --    50,200
DRYSHIPS INC SHS            EQUITY       Y2109Q101       9       100.00  SH         DEFINED      4         --         --       100
DSP GROUP INC               EQUITY       23332B106     450       28,454  SH           SOLE       1     28,454         --        --
DST SYS INC DEL DBCV
   4.125% 8/1               FIXED INCOME 233326AB3       2         1.00  PRN        DEFINED      4         --         --         1
DST SYSTEMS INC             EQUITY       233326107   11382      132,647  SH           SOLE       1    132,647         --        --
DSW INC-CLASS A             EQUITY       23334L102     356       14,144  SH           SOLE       1     14,144         --        --
DSW INC-CLASS A             EQUITY       23334L102    4173      165,800  SH           SOLE       2    165,800         --        --
DTE ENERGY CO EQUITY        EQUITY       233331107      93     1,926.48  SH         DEFINED      4         --         --     1,926
DTE ENERGY COMPANY          EQUITY       233331107    3909       80,704  SH           SOLE       1     80,704         --        --
DTE ENERGY COMPANY          EQUITY       233331107      10          215  SH           SOLE       2        215         --        --
DTF TAX-FREE INEQUITYE
   INC EQUITY               EQUITY       23334J107      17     1,200.00  SH         DEFINED      4         --         --     1,200
DTS INC                     EQUITY       23335C101     480       15,819  SH           SOLE       1     15,819         --        --
DU PONT (E.I.) DE NEMOURS   EQUITY       263534109   20820      420,106  SH           SOLE       1    420,106         --        --
DU PONT (E.I.) DE NEMOURS   EQUITY       263534109    9558      192,855  SH           SOLE       2    192,855         --        --
DU PONT E I DE NEMOURS &
   CO EQUITY                EQUITY       263534109     385     7,776.02  SH         DEFINED      4         --         --     7,776
DUKE ENERGY CORP            EQUITY       26441C105   10135      542,246  SH           SOLE       1    542,246         --        --





                                                                                        
DUKE ENERGY CORP            EQUITY       26441C105    5356      286,589  SH           SOLE       2    286,589         --        --
DUKE ENERGY CORP NEW
   EQUITY                   EQUITY       26441C105     357    19,080.08  SH         DEFINED      4         --         --    19,080
DUKE REALTY CORP            EQUITY       264411505   12144      359,189  SH           SOLE       1    359,189         --        --
DUKE REALTY CORP EQUITY
   NEW                      EQUITY       264411505      14       416.91  SH         DEFINED      4         --         --       417
DUN & BRADSTREET CORP       EQUITY       26483E100   14389      145,923  SH           SOLE       1    145,923         --        --
DURECT CORPORATION          EQUITY       266605104     332       60,637  SH           SOLE       1     60,637         --        --
DWS MULTI MKT INEQUITYE
   TR SHS                   EQUITY       23338L108       7       700.00  SH         DEFINED      4         --         --       700
DWS MUN INEQUITYE TR
   EQUITY                   EQUITY       23338M106      19     1,761.17  SH         DEFINED      4         --         --     1,761
DWS RREEF REAL ESTATE FD
   INC EQUITY               EQUITY       233384106      19       855.00  SH         DEFINED      4         --         --       855
DWS STRATEGIC MUN
   INEQUITYE TR EQUITY      EQUITY       23338T101       7       577.73  SH         DEFINED      4         --         --       578
DYADIC INTL INC DEL EQUITY  EQUITY       26745T101             1,500.00  SH         DEFINED      4         --         --     1,500
DYCOM INDUSTRIES INC        EQUITY       267475101    4189      136,758  SH           SOLE       1    136,758         --        --
DYNAMEX INC                 EQUITY       26784F103     236        9,223  SH           SOLE       1      9,223         --        --
DYNAMIC MATERIALS CORP      EQUITY       267888105    1286       26,852  SH           SOLE       1     26,852         --        --
DYNAMIC MATERIALS CORP      EQUITY       267888105     766       16,000  SH           SOLE       2     16,000         --        --
DYNCORP INTERNATIONAL
   INC-A                    EQUITY       26817C101     503       21,782  SH           SOLE       1     21,782         --        --
DYNEGY INC DEL CL A         EQUITY       26817G102      11     1,200.00  SH         DEFINED      4         --         --     1,200
DYNEGY INC-CL A             EQUITY       26817G102    2064      223,329  SH           SOLE       1    223,329         --        --
DYNEGY INC-CL A             EQUITY       26817G102       6          625  SH           SOLE       2        625         --        --
E M C CORP MASS EQUITY      EQUITY       268648102     561    26,971.00  SH         DEFINED      4         --         --    26,971
E TRADE FINANCIAL CORP
   EQUITY                   EQUITY       269246104       5       415.00  SH         DEFINED      4         --         --       415
E*TRADE FINANCIAL CORP      EQUITY       269246104    2507      192,102  SH           SOLE       1    192,102         --        --
E*TRADE FINANCIAL CORP      EQUITY       269246104   10915      835,736  SH           SOLE       2    835,736         --        --
EAGLE BULK SHIPPING INC     EQUITY       Y2187A101    1287       50,000  SH           SOLE       2     50,000         --        --
EAGLE BULK SHIPPING INC
   EQUITY                   EQUITY       Y2187A101     184     7,155.12  SH         DEFINED      4         --         --     7,155
EAGLE MATERIALS INC         EQUITY       26969P108      68        1,892  SH           SOLE       1      1,892         --        --
EAGLE MATERIALS INC EQUITY  EQUITY       26969P108       6       171.00  SH         DEFINED      4         --         --       171
EAGLE TEST SYSTEMS INC      EQUITY       270006109     137       10,671  SH           SOLE       1     10,671         --        --
EARTHLINK INC               EQUITY       270321102     851      107,436  SH           SOLE       1    107,436         --        --
EARTHLINK INC EQUITY        EQUITY       270321102      54     6,820.00  SH         DEFINED      4         --         --     6,820
EAST WEST BANCORP INC       EQUITY       27579R104     341        9,475  SH           SOLE       1      9,475         --        --
EASTERN AMERN NAT GAS TR
   SPERS RCT UNIT           EQUITY       276217106      11       400.00  SH         DEFINED      4         --         --       400
EASTGROUP PROPERTIES INC    EQUITY       277276101    5047      111,509  SH           SOLE       1    111,509         --        --
EASTMAN CHEM CO EQUITY      EQUITY       277432100      36       541.68  SH         DEFINED      4         --         --       542
EASTMAN CHEMICAL COMPANY    EQUITY       277432100    2635       39,483  SH           SOLE       1     39,483         --        --
EASTMAN CHEMICAL COMPANY    EQUITY       277432100       7          106  SH           SOLE       2        106         --        --
EASTMAN KODAK CO            EQUITY       277461109    5874      219,501  SH           SOLE       1    219,501         --        --
EASTMAN KODAK CO            EQUITY       277461109      10          362  SH           SOLE       2        362         --        --
EASTMAN KODAK CO EQUITY     EQUITY       277461109      71     2,653.00  SH         DEFINED      4         --         --     2,653
EASYLINK SERVICES INTL
   CORP CL A ADDED          EQUITY       277858106       7     2,000.00  SH         DEFINED      4         --         --     2,000
EATON CORP                  EQUITY       278058102    6724       67,887  SH           SOLE       1     67,887         --        --
EATON CORP                  EQUITY       278058102      18          184  SH           SOLE       2        184         --        --
EATON CORP EQUITY           EQUITY       278058102      58       585.00  SH         DEFINED      4         --         --       585
EATON VANCE CORP            EQUITY       278265103   12316      308,207  SH           SOLE       1    308,207         --        --
EATON VANCE CR OPPORTUNIT
   FD EQUITY                EQUITY       278271101      11       600.00  SH         DEFINED      4         --         --       600
EATON VANCE ENH EQTY INC
   FD EQUITY                EQUITY       278277108     161     8,395.00  SH         DEFINED      4         --         --     8,395
EATON VANCE ENHANCED EQ
   INC EQUITY               EQUITY       278274105     176     9,054.00  SH         DEFINED      4         --         --     9,054
EATON VANCE FLTING RATE
   INC EQUITY               EQUITY       278279104     235    13,800.00  SH         DEFINED      4         --         --    13,800
EATON VANCE INS MUN BD FD
   EQUITY                   EQUITY       27827X101     259    16,942.00  SH         DEFINED      4         --         --    16,942
EATON VANCE INS NY MUN BD
   FD EQUITY                EQUITY       27827Y109       5       350.00  SH         DEFINED      4         --         --       350
EATON VANCE INS OH MUN BD
   FD EQUITY                EQUITY       27828L106                 5.00  SH         DEFINED      4         --         --         5
EATON VANCE LTD DUR
   INEQUITYE F EQUITY       EQUITY       27828H105     399    24,328.00  SH     P   DEFINED      4         --         --    24,328
EATON VANCE MUNI
   INEQUITYE TRUS SH BEN
   INT                      EQUITY       27826U108     478    32,800.00  SH         DEFINED      4         --         --    32,800
EATON VANCE NJ MUNI
   INEQUITYE T SH BEN INT   EQUITY       27826V106      28     2,000.00  SH         DEFINED      4         --         --     2,000
EATON VANCE PA MUNI
   INEQUITYE T SH BEN INT   EQUITY       27826T101     266    19,360.00  SH         DEFINED      4         --         --    19,360
EATON VANCE SH TM DR DIVR
   IN EQUITY                EQUITY       27828V104     703    41,764.00  SH         DEFINED      4         --         --    41,764
EATON VANCE SR FLTNG RTE
   TR EQUITY                EQUITY       27828Q105     852    50,637.00  SH         DEFINED      4         --         --    50,637
EATON VANCE SR INEQUITYE
   TR SH BEN INT            EQUITY       27826S103      12     1,450.00  SH         DEFINED      4         --         --     1,450
EATON VANCE TAX ADVT DIV
   INC EQUITY               EQUITY       27828G107     115     4,000.00  SH         DEFINED      4         --         --     4,000
EATON VANCE TAX MNG GBL
   DV E EQUITY              EQUITY       27829F108     111     6,480.00  SH         DEFINED      4         --         --     6,480
EATON VANCE TAX MNGED BUY
   WR EQUITY                EQUITY       27828X100      30     1,500.00  SH         DEFINED      4         --         --     1,500
EATON VANCE TX ADV GLB
   DIV O EQUITY             EQUITY       27828U106      75     2,159.00  SH         DEFINED      4         --         --     2,159
EATON VANCE TX ADV GLBL
   DIV EQUITY               EQUITY       27828S101     214     7,710.49  SH         DEFINED      4         --         --     7,710
EATON VANCE TX MGD DIV EQ
   IN EQUITY                EQUITY       27828N102      23     1,300.00  SH         DEFINED      4         --         --     1,300
EATON VANCE TX MNG BY WRT
   OP EQUITY                EQUITY       27828Y108      38     2,086.00  SH         DEFINED      4         --         --     2,086
EATON VANCE TXMGD GL
   BUYWR O EQUITY           EQUITY       27829C105     234    12,825.00  SH         DEFINED      4         --         --    12,825
EBAY INC                    EQUITY       278642103   56542    1,451,316  SH           SOLE       1  1,451,316         --        --
EBAY INC                    EQUITY       278642103    7692      197,139  SH           SOLE       2    197,139         --        --
EBAY INC CALL               OPTION       278642903                (1.00)        C   DEFINED      4         --         --        (1)
EBAY INC EQUITY             EQUITY       278642103     179     4,577.00  SH         DEFINED      4         --         --     4,577





                                                                                        
ECHELON CORP                EQUITY       27874N105     652       26,082  SH           SOLE       1     26,082         --        --
ECHOSTAR COMMUNICATIONS -
   A                        EQUITY       278762109    1287       27,496  SH           SOLE       1     27,496         --        --
ECLIPSYS CORP               EQUITY       278856109     928       39,788  SH           SOLE       1     39,788         --        --
ECOLAB INC                  EQUITY       278865100    5133      108,748  SH           SOLE       1    108,748         --        --
ECOLAB INC                  EQUITY       278865100      10          220  SH           SOLE       2        220         --        --
ECOLAB INC EQUITY           EQUITY       278865100      19       400.00  SH         DEFINED      4         --         --       400
EDGE PETE CORP DEL EQUITY   EQUITY       279862106      13     1,000.00  SH         DEFINED      4         --         --     1,000
EDGE PETROLEUM CORP         EQUITY       279862106     319       24,866  SH           SOLE       1     24,866         --        --
EDISON INTERNATIONAL        EQUITY       281020107   32308      581,286  SH           SOLE       1    581,286         --        --
EDISON INTERNATIONAL        EQUITY       281020107      23          411  SH           SOLE       2        411         --        --
EDISON INTL EQUITY          EQUITY       281020107      93     1,684.00  SH         DEFINED      4         --         --     1,684
EDO CORP                    EQUITY       281347104     980       17,501  SH           SOLE       1     17,501         --        --
EDUCATION RLTY TR INC
   EQUITY                   EQUITY       28140H104      34     2,539.93  SH         DEFINED      4         --         --     2,540
EDWARDS (A.G.) INC          EQUITY       281760108   18331      218,880  SH           SOLE       1    218,880         --        --
EDWARDS LIFESCIENCES CORP   EQUITY       28176E108    7615      154,437  SH           SOLE       1    154,437         --        --
EHEALTH INC                 EQUITY       28238P109     299       10,798  SH           SOLE       1     10,798         --        --
EHEALTH INC                 EQUITY       28238P109     499       18,000  SH           SOLE       2     18,000         --        --
EL PASO CORP                EQUITY       28336L109   14039      827,013  SH           SOLE       1    827,013         --        --
EL PASO CORP                EQUITY       28336L109      15          883  SH           SOLE       2        883         --        --
EL PASO CORP EQUITY         EQUITY       28336L109      98     5,750.39  SH         DEFINED      4         --         --     5,750
EL PASO ELECTRIC CO         EQUITY       283677854    1056       45,655  SH           SOLE       1     45,655         --        --
ELAN CORP PLC -SPONS ADR    EQUITY       284131208     463       22,000  SH           SOLE       2     22,000         --        --
ELAN PLC ADR                EQUITY       284131208      11       500.00  SH         DEFINED      4         --         --       500
ELBIT SYS LTD ORD           EQUITY       M3760D101      19       400.00  SH         DEFINED      4         --         --       400
ELBIT SYSTEMS LTD           EQUITY       M3760D101     449        9,500  SH           SOLE       2      9,500         --        --
ELDORADO GOLD CORP          EQUITY       284902103      34        5,518  SH          OTHER       1         --      5,518        --
ELECTRO RENT CORP           EQUITY       285218103     211       15,066  SH           SOLE       1     15,066         --        --
ELECTRO SCIENTIFIC INDS
   INC                      EQUITY       285229100     694       28,960  SH           SOLE       1     28,960         --        --
ELECTRONIC ARTS INC         EQUITY       285512109   57909    1,034,273  SH           SOLE       1  1,034,273         --        --
ELECTRONIC ARTS INC         EQUITY       285512109    5139       91,792  SH           SOLE       2     91,792         --        --
ELECTRONIC ARTS INC EQUITY  EQUITY       285512109      58     1,029.00  SH         DEFINED      4         --         --     1,029
ELECTRONIC DATA SYS NEW
   EQUITY                   EQUITY       285661104      41     1,861.50  SH         DEFINED      4         --         --     1,861
ELECTRONIC DATA SYSTEMS
   CORP                     EQUITY       285661104   12078      552,917  SH           SOLE       1    552,917         --        --
ELECTRONIC DATA SYSTEMS
   CORP                     EQUITY       285661104      14          642  SH           SOLE       2        642         --        --
ELECTRONICS FOR IMAGING     EQUITY       286082102    1329       49,472  SH           SOLE       1     49,472         --        --
ELI LILLY & CO              EQUITY       532457108   64967    1,140,983  SH           SOLE       1  1,140,983         --        --
ELI LILLY & CO              EQUITY       532457108     344        6,044  SH           SOLE       2      6,044         --        --
ELIZABETH ARDEN INC         EQUITY       28660G106     573       21,264  SH           SOLE       1     21,264         --        --
EMBARQ CORP                 EQUITY       29078E105   42191      754,099  SH           SOLE       1    754,099         --        --
EMBARQ CORP                 EQUITY       29078E105    6366      114,492  SH           SOLE       2    114,492         --        --
EMBARQ CORP EQUITY          EQUITY       29078E105      17       307.60  SH         DEFINED      4         --         --       308
EMBRAER-EMPRESA
   BRASILEIRA D SP ADR
   EQUITY SHS               EQUITY       29081M102       9       200.00  SH         DEFINED      4         --         --       200
EMC CORP/MASS               EQUITY       268648102   48747    2,358,971  SH           SOLE       1  2,358,971         --        --
EMC CORP/MASS               EQUITY       268648102      55        2,644  SH           SOLE       2      2,644         --        --
EMC INS GROUP INC           EQUITY       268664109     135        5,195  SH           SOLE       1      5,195         --        --
EMCOR GROUP INC             EQUITY       29084Q100    1996       63,663  SH           SOLE       1     63,663         --        --
EMCOR GROUP INC             EQUITY       29084Q100     376       12,000  SH           SOLE       2     12,000         --        --
EMERGENCY MEDICAL
   SERVICES-A               EQUITY       29100P102     244        8,079  SH           SOLE       1      8,079         --        --
EMERGENCY MEDICAL SVCS
   CORP CL A                EQUITY       29100P102                13.00  SH         DEFINED      4         --         --        13
EMERGENT BIOSOLUTIONS INC   EQUITY       29089Q105      43        4,881  SH           SOLE       1      4,881         --        --
EMERITUS CORP               EQUITY       291005106     220        8,101  SH           SOLE       1      8,101         --        --
EMERITUS CORP EQUITY        EQUITY       291005106      11       400.00  SH         DEFINED      4         --         --       400
EMERSON ELEC CO EQUITY      EQUITY       291011104     487     9,143.92  SH         DEFINED      4         --         --     9,144
EMERSON ELECTRIC CO         EQUITY       291011104   23580      443,073  SH           SOLE       1    443,073         --        --
EMERSON ELECTRIC CO         EQUITY       291011104   14874      279,473  SH           SOLE       2    279,473         --        --
EMMIS
   COMMUNICATIONS-CLASS A   EQUITY       291525103     137       27,684  SH           SOLE       1     27,684         --        --
EMPIRE DIST ELEC CO EQUITY  EQUITY       291641108     722    31,939.00  SH         DEFINED      4         --         --    31,939
EMPIRE DISTRICT ELECTRIC
   CO                       EQUITY       291641108     597       26,408  SH           SOLE       1     26,408         --        --
EMPLOYERS HOLDINGS INC      EQUITY       292218104     961       46,629  SH           SOLE       1     46,629         --        --
EMS TECHNOLOGIES INC        EQUITY       26873N108     329       13,413  SH           SOLE       1     13,413         --        --
EMULEX CORP                 EQUITY       292475209    1425       74,330  SH           SOLE       1     74,330         --        --
ENBRIDGE ENERGY PARTNERS
   L P EQUITY               EQUITY       29250R106     313     6,411.67  SH         DEFINED      4         --         --     6,412
ENBRIDGE INC                EQUITY       29250N105     271        7,503  SH          OTHER       1         --      7,503        --
ENBRIDGE INC EQUITY         EQUITY       29250N105      73     2,000.00  SH         DEFINED      4         --         --     2,000
ENCANA CORP                 EQUITY       292505104   14065      226,986  SH          OTHER       1         --    226,986        --
ENCANA CORP EQUITY          EQUITY       292505104    3137    50,670.00  SH         DEFINED      4         --         --    50,670
ENCORE ACQUISITION CO       EQUITY       29255W100    8347      263,713  SH           SOLE       1    263,713         --        --
ENCORE ACQUISITION CO
   EQUITY                   EQUITY       29255W100       3       100.00  SH     P   DEFINED      4         --         --       100
ENCORE CAPITAL GROUP INC    EQUITY       292554102     165       13,991  SH           SOLE       1     13,991         --        --
ENCORE WIRE CORP            EQUITY       292562105     512       20,367  SH           SOLE       1     20,367         --        --





                                                                                        
ENCORE WIRE CORP EQUITY     EQUITY       292562105      71     2,830.00  SH         DEFINED      4         --         --     2,830
ENCYSIVE PHARMACEUTICALS
   INC                      EQUITY       29256X107      79       52,408  SH           SOLE       1     52,408         --        --
ENDEAVOUR SILVER CORP
   EQUITY                   EQUITY       29258Y103       3     2,000.00  SH         DEFINED      4         --         --     2,000
ENDO PHARMACEUT HLDGS INC   EQUITY       29264F205   16216      522,920  SH           SOLE       1    522,920         --        --
ENDO PHARMACEUTICALS
   HLDGS I EQUITY           EQUITY       29264F205       5       175.00  SH         DEFINED      4         --         --       175
ENDOLOGIX INC EQUITY        EQUITY       29266S106      20     5,000.00  SH     P   DEFINED      4         --         --     5,000
ENEL SOCIETA PER AZIONI
   ADR                      EQUITY       29265W108      28       500.00  SH         DEFINED      4         --         --       500
ENERGEN CORP                EQUITY       29265N108     690       12,081  SH           SOLE       1     12,081         --        --
ENERGEN CORP EQUITY         EQUITY       29265N108      79     1,382.00  SH         DEFINED      4         --         --     1,382
ENERGIZER HLDGS INC EQUITY  EQUITY       29266R108       2        21.00  SH         DEFINED      4         --         --        21
ENERGIZER HOLDINGS INC      EQUITY       29266R108   15696      141,597  SH           SOLE       1    141,597         --        --
ENERGY CONVERSION DEVICES   EQUITY       292659109     784       34,503  SH           SOLE       1     34,503         --        --
ENERGY CONVERSION DEVICES
   IN CALL                  OPTION       292659909                15.00         C   DEFINED      4         --         --        15
ENERGY CONVERSION DEVICES
   IN EQUITY                EQUITY       292659109      40     1,750.00  SH         DEFINED      4         --         --     1,750
ENERGY CONVERSION DEVICES
   IN PUT                   OPTION       292659959      -8       (10.00)        P   DEFINED      4         --         --       (10)
ENERGY EAST CORP EQUITY     EQUITY       29266M109      62     2,302.00  SH         DEFINED      4         --         --     2,302
ENERGY EAST CORPORATION     EQUITY       29266M109   17302      639,628  SH           SOLE       1    639,628         --        --
ENERGY FUTURE HOLDINGS
   CORP                     EQUITY       873168108   13578      198,311  SH           SOLE       1    198,311         --        --
ENERGY FUTURE HOLDINGS
   CORP                     EQUITY       873168108      40          581  SH           SOLE       2        581         --        --
ENERGY INEQUITYE & GROWTH
   FD EQUITY                EQUITY       292697109      66     2,647.00  SH         DEFINED      4         --         --     2,647
ENERGY INFRASTRUCTURE
   ACQUI                    EQUITY       29269P109     191       19,417  SH           SOLE       1     19,417         --        --
ENERGY PARTNERS LTD         EQUITY       29270U105     362       24,671  SH           SOLE       1     24,671         --        --
ENERGY TRANSFER EQUITY LP   EQUITY       29273V100    3058       89,156  SH           SOLE       1     89,156         --        --
ENERGY TRANSFER PRTNRS L
   P UNIT LTD PARTN         EQUITY       29273R109      13       273.00  SH         DEFINED      4         --         --       273
ENERGYSOUTH INC             EQUITY       292970100     311        6,169  SH           SOLE       1      6,169         --        --
ENERNOC INC                 EQUITY       292764107     124        3,255  SH           SOLE       1      3,255         --        --
ENERPLUS RES FD UNIT TR G
   NEW                      EQUITY       29274D604     434     9,062.00  SH         DEFINED      4         --         --     9,062
ENERPLUS RESOURCES FUND     EQUITY       29274D604     109        2,392  SH          OTHER       1         --      2,392        --
ENERSYS                     EQUITY       29275Y102     331       18,606  SH           SOLE       1     18,606         --        --
ENGLOBAL CORP               EQUITY       293306106     166       14,561  SH           SOLE       1     14,561         --        --
ENI S P A SPONSORED ADR     EQUITY       26874R108       7       100.00  SH         DEFINED      4         --         --       100
ENNIS INC                   EQUITY       293389102     492       22,323  SH           SOLE       1     22,323         --        --
ENNIS INC EQUITY            EQUITY       293389102       7       315.00  SH         DEFINED      4         --         --       315
ENPRO INDUSTRIES INC        EQUITY       29355X107     869       21,406  SH           SOLE       1     21,406         --        --
ENSCO INTERNATIONAL INC     EQUITY       26874Q100   16492      294,227  SH           SOLE       1    294,227         --        --
ENSCO INTERNATIONAL INC     EQUITY       26874Q100      10          187  SH           SOLE       2        187         --        --
ENSCO INTL INC EQUITY       EQUITY       26874Q100     142     2,523.00  SH         DEFINED      4         --         --     2,523
ENTEGRIS INC                EQUITY       29362U104    1013      116,674  SH           SOLE       1    116,674         --        --
ENTERCOM
   COMMUNICATIONS-CL A      EQUITY       293639100    1812       93,766  SH           SOLE       1     93,766         --        --
ENTEREQUITY
   EQUITYMUNICATIONS CORP
   CL A                     EQUITY       293639100     523    27,077.00  SH         DEFINED      4         --         --    27,077
ENTERGY CORP                EQUITY       29364G103    9112       84,143  SH           SOLE       1     84,143         --        --
ENTERGY CORP                EQUITY       29364G103      27          247  SH           SOLE       2        247         --        --
ENTERGY CORP NEW EQUITY     EQUITY       29364G103     392     3,621.00  SH         DEFINED      4         --         --     3,621
ENTERPRISE FINANCIAL
   SERVICE                  EQUITY       293712105     218        8,961  SH           SOLE       1      8,961         --        --
ENTERPRISE PRODS PARTNERS
   L EQUITY                 EQUITY       293792107      99     3,289.00  SH         DEFINED      4         --         --     3,289
ENTERPRISE PRODUCTS
   PARTNERS                 EQUITY       293792107    2975       98,350  SH           SOLE       1     98,350         --        --
ENTERTAINMENT PROPERTIES
   TR                       EQUITY       29380T105    6341      124,830  SH           SOLE       1    124,830         --        --
ENTRAVISION COMMUNICAT
   -CL A                    EQUITY       29382R107     554       60,131  SH           SOLE       1     60,131         --        --
ENTREMED INC EQUITY         EQUITY       29382F103               346.00  SH         DEFINED      4         --         --       346
ENZO BIOCHEM INC            EQUITY       294100102     351       30,925  SH           SOLE       1     30,925         --        --
ENZON PHARMACEUTICALS INC   EQUITY       293904108     339       38,511  SH           SOLE       1     38,511         --        --
EOG RES INC EQUITY          EQUITY       26875P101      51       700.00  SH         DEFINED      4         --         --       700
EOG RESOURCES INC           EQUITY       26875P101   23111      319,517  SH           SOLE       1    319,517         --        --
EOG RESOURCES INC           EQUITY       26875P101      22          309  SH           SOLE       2        309         --        --
EPICOR SOFTWARE CORP        EQUITY       29426L108     798       57,986  SH           SOLE       1     57,986         --        --
EPIQ SYSTEMS INC            EQUITY       26882D109     489       25,967  SH           SOLE       1     25,967         --        --
EPIQ SYSTEMS INC            EQUITY       26882D109     414       22,000  SH           SOLE       2     22,000         --        --
EPOCH HOLDING CORP          EQUITY       29428R103     108        7,654  SH           SOLE       1      7,654         --        --
EQUIFAX INC                 EQUITY       294429105    2432       63,797  SH           SOLE       1     63,797         --        --
EQUIFAX INC                 EQUITY       294429105       7          180  SH           SOLE       2        180         --        --
EQUIFAX INC EQUITY          EQUITY       294429105      47     1,229.00  SH         DEFINED      4         --         --     1,229
EQUINIX INC                 EQUITY       29444U502    2439       27,497  SH           SOLE       1     27,497         --        --
EQUINIX INC                 EQUITY       29444U502    1069       12,050  SH           SOLE       2     12,050         --        --
EQUITABLE RESOURCES INC     EQUITY       294549100   15715      302,963  SH           SOLE       1    302,963         --        --
EQUITY INNS INC             EQUITY       294703103    2731      120,949  SH           SOLE       1    120,949         --        --
EQUITY LIFESTYLE PPTYS
   INC EQUITY               EQUITY       29472R108      10       200.00  SH         DEFINED      4         --         --       200
EQUITY LIFESTYLE
   PROPERTIES               EQUITY       29472R108    2216       42,771  SH           SOLE       1     42,771         --        --
EQUITY RESIDENTIAL          EQUITY       29476L107     505       11,930  SH           SOLE       1     11,930         --        --
EQUITY RESIDENTIAL SH BEN
   INT                      EQUITY       29476L107     244     5,769.00  SH         DEFINED      4         --         --     5,769
EQUITYCAST CORP NEW CL A    EQUITY       20030N101     317    13,141.50  SH         DEFINED      4         --         --    13,142





                                                                                        
EQUITYCAST CORP NEW CL A
   SPL                      EQUITY       20030N200      56     2,327.00  SH         DEFINED      4         --         --     2,327
EQUITYM BANCORP INC EQUITY  EQUITY       200468106       5       100.00  SH         DEFINED      4         --         --       100
EQUITYMERCE BANCORP INC
   NJ EQUITY                EQUITY       200519106     139     3,579.38  SH         DEFINED      4         --         --     3,579
EQUITYMERCE BANCSHARES
   INC EQUITY               EQUITY       200525103      18       382.00  SH         DEFINED      4         --         --       382
EQUITYMERCE ENERGY GROUP
   INC EQUITY               EQUITY       20061Q106       7     3,700.00  SH         DEFINED      4         --         --     3,700
EQUITYMERCIAL METALS CO
   EQUITY                   EQUITY       201723103     104     3,279.00  SH         DEFINED      4         --         --     3,279
EQUITYMSCOPE INC EQUITY     EQUITY       203372107       5        93.00  SH         DEFINED      4         --         --        93
EQUITYMTOUCH SOFTWARE LTD
   ORD                      EQUITY       M25596103               100.00  SH         DEFINED      4         --         --       100
EQUITYMUNITY BK SYS INC
   EQUITY                   EQUITY       203607106     933    47,775.00  SH         DEFINED      4         --         --    47,775
EQUITYMUNITY BKS INC
   MILLERSBUR EQUITY        EQUITY       203628102    4955   166,337.00  SH         DEFINED      4         --         --   166,337
EQUITYMUNITY HEALTH SYS
   INC NEW EQUITY           EQUITY       203668108       9       300.00  SH         DEFINED      4         --         --       300
EQUITYPANHIA PARANAENSE
   ENERG C SPON ADR PFD     EQUITY       20441B407       3       200.00  SH         DEFINED      4         --         --       200
EQUITYPANHIA SIDERURGICA
   NACION SPONSORED ADR     EQUITY       20440W105       3        45.00  SH         DEFINED      4         --         --        45
EQUITYPANHIA VALE DO RIO
   DOCE SPON ADR PFD        EQUITY       204412100       3        98.00  SH         DEFINED      4         --         --        98
EQUITYPANHIA VALE DO RIO
   DOCE SPONSORED ADR       EQUITY       204412209   17756   523,310.00  SH         DEFINED      4         --         --   523,310
EQUITYPUTER ASSOC INTL
   INC NOTE 1.625%12/1      FIXED INCOME 204912AQ2       1         1.00  PRN        DEFINED      4         --         --         1
EQUITYPUTER PROGRAMS &
   SYS INC EQUITY           EQUITY       205306103      25       950.00  SH         DEFINED      4         --         --       950
EQUITYPUTER SCIENCES CORP
   EQUITY                   EQUITY       205363104       8       141.00  SH         DEFINED      4         --         --       141
EQUITYPUWARE CORP EQUITY    EQUITY       205638109      56     6,955.00  SH         DEFINED      4         --         --     6,955
EQUITYSTOCK RES INC
   EQUITY NEW               EQUITY       205768203       6       200.00  SH         DEFINED      4         --         --       200
EQUITYTECH GROUP INC
   EQUITY NEW               EQUITY       205821200       2       100.00  SH         DEFINED      4         --         --       100
EQUITYTECH
   TELEEQUITYMUNICATIONS
   C EQUITY NEW             EQUITY       205826209       5       100.00  SH         DEFINED      4         --         --       100
EQUUS TOTAL RETURN INC
   EQUITY                   EQUITY       294766100                57.00  SH         DEFINED      4         --         --        57
ERESEARCH TECHNOLOGY INC    EQUITY       29481V108     389       34,191  SH           SOLE       1     34,191         --        --
ERESEARCHTECHNOLOGY INC
   EQUITY                   EQUITY       29481V108      17     1,493.00  SH         DEFINED      4         --         --     1,493
ERICSSON L M TEL CO ADR B
   SEK 10                   EQUITY       294821608      23       579.00  SH         DEFINED      4         --         --       579
ERIE INDEMNITY COMPANY-CL
   A                        EQUITY       29530P102      91        1,488  SH           SOLE       1      1,488         --        --
ESCO TECHNOLOGIES INC       EQUITY       296315104     752       22,610  SH           SOLE       1     22,610         --        --
ESCO TECHNOLOGIES INC
   EQUITY                   EQUITY       296315104      50     1,500.00  SH         DEFINED      4         --         --     1,500
ESPEED INC-CL A             EQUITY       296643109     144       16,934  SH           SOLE       1     16,934         --        --
ESSEX PROPERTY TRUST INC    EQUITY       297178105    9386       79,836  SH           SOLE       1     79,836         --        --
ESTEE LAUDER COMPANIES-CL
   A                        EQUITY       518439104   17512      415,487  SH           SOLE       1    415,487         --        --
ESTERLINE TECHNOLOGIES
   CORP                     EQUITY       297425100    1456       25,530  SH           SOLE       1     25,530         --        --
ETABLISSEMENTS DELHAIZE
   FRER SPONSORED ADR       EQUITY       29759W101      26       269.00  SH         DEFINED      4         --         --       269
ETHAN ALLEN INTERIORS INC   EQUITY       297602104     877       26,837  SH           SOLE       1     26,837         --        --
EURONET WORLDWIDE INC       EQUITY       298736109    1189       39,930  SH           SOLE       1     39,930         --        --
EURONET WORLDWIDE INC       EQUITY       298736109   11929      400,700  SH           SOLE       2    400,700         --        --
EURONET WORLDWIDE INC
   EQUITY                   EQUITY       298736109      11       354.00  SH         DEFINED      4         --         --       354
EUROPEAN EQUITY FUND
   EQUITY                   EQUITY       298768102      31     2,410.00  SH         DEFINED      4         --         --     2,410
EV3 INC                     EQUITY       26928A200     252       15,334  SH           SOLE       1     15,334         --        --
EVERCORE PARTNERS INC-CL A  EQUITY       29977A105     202        7,692  SH           SOLE       1      7,692         --        --
EVERGREEN ENERGY INC        EQUITY       30024B104     373       73,097  SH           SOLE       1     73,097         --        --
EVERGREEN INEQUITYE
   ADVANTAGE F EQUITY SHS   EQUITY       30023Y105     172    13,374.19  SH         DEFINED      4         --         --    13,374
EVERGREEN INTL BALANCED
   INCO EQUITY              EQUITY       30024R109      54     2,500.00  SH         DEFINED      4         --         --     2,500
EVERGREEN MULTI SECT INC
   FUN EQUITY SHS           EQUITY       30024Y104      71     4,360.00  SH         DEFINED      4         --         --     4,360
EVERGREEN SOLAR INC         EQUITY       30033R108     730       81,736  SH           SOLE       1     81,736         --        --
EVERGREEN SOLAR INC EQUITY  EQUITY       30033R108       4       500.00  SH         DEFINED      4         --         --       500
EW SCRIPPS CO-CL A          EQUITY       811054204    2675       63,685  SH           SOLE       1     63,685         --        --
EW SCRIPPS CO-CL A          EQUITY       811054204       5          113  SH           SOLE       2        113         --        --
EXACT SCIENCES CORP EQUITY  EQUITY       30063P105       8     2,500.00  SH         DEFINED      4         --         --     2,500
EXAR CORP                   EQUITY       300645108     494       37,817  SH           SOLE       1     37,817         --        --
EXCEL MARITIME CARRIERS
   LTD                      EQUITY       V3267N107    2723       48,800  SH           SOLE       3     48,800         --        --
EXCEL MARITIME CARRIERS
   LTD EQUITY               EQUITY       V3267N107      46       825.00  SH         DEFINED      4         --         --       825
EXCEL TECHNOLOGY INC        EQUITY       30067T103     265       10,638  SH           SOLE       1     10,638         --        --
EXCEL TECHNOLOGY INC
   EQUITY                   EQUITY       30067T103       1        55.00  SH         DEFINED      4         --         --        55
EXCO RESOURCES INC          EQUITY       269279402     888       53,702  SH           SOLE       1     53,702         --        --
EXELIXIS INC                EQUITY       30161Q104     893       84,319  SH           SOLE       1     84,319         --        --
EXELIXIS INC                EQUITY       30161Q104     185       17,500  SH           SOLE       2     17,500         --        --
EXELIXIS INC EQUITY         EQUITY       30161Q104      55     5,200.00  SH         DEFINED      4         --         --     5,200
EXELON CORP                 EQUITY       30161N101   22164      294,110  SH           SOLE       1    294,110         --        --
EXELON CORP                 EQUITY       30161N101      64          850  SH           SOLE       2        850         --        --
EXELON CORP CALL            OPTION       30161N901                (2.00)        C   DEFINED      4         --         --        (2)
EXELON CORP EQUITY          EQUITY       30161N101     949    12,586.80  SH         DEFINED      4         --         --    12,587
EXIDE TECHNOLOGIES          EQUITY       302051206     345       53,000  SH           SOLE       1     53,000         --        --
EXLSERVICE HOLDINGS INC     EQUITY       302081104     419       19,723  SH           SOLE       1     19,723         --        --
EXPEDIA INC                 EQUITY       30212P105     683       21,418  SH           SOLE       1     21,418         --        --
EXPEDIA INC DEL EQUITY      EQUITY       30212P105      14       450.00  SH         DEFINED      4         --         --       450
EXPEDITORS INTL WASH INC    EQUITY       302130109   25554      540,254  SH           SOLE       1    540,254         --        --
EXPEDITORS INTL WASH INC
   EQUITY                   EQUITY       302130109       3        57.00  SH         DEFINED      4         --         --        57
EXPONENT INC                EQUITY       30214U102     324       12,905  SH           SOLE       1     12,905         --        --





                                                                                        
EXPRESS SCRIPTS INC         EQUITY       302182100    6992      125,267  SH           SOLE       1    125,267         --        --
EXPRESS SCRIPTS INC         EQUITY       302182100     654       11,725  SH           SOLE       2     11,725         --        --
EXPRESSJET HOLDINGS INC     EQUITY       30218U108     146       47,155  SH           SOLE       1     47,155         --        --
EXTERRAN HOLDINGS INC       EQUITY       30225X103   17260      214,837  SH           SOLE       1    214,837         --        --
EXTRA SPACE STORAGE INC     EQUITY       30225T102     863       56,084  SH           SOLE       1     56,084         --        --
EXTRA SPACE STORAGE INC
   EQUITY                   EQUITY       30225T102       3       184.00  SH         DEFINED      4         --         --       184
EXTREME NETWORKS INC        EQUITY       30226D106     397      103,409  SH           SOLE       1    103,409         --        --
EXTREME NETWORKS INC
   EQUITY                   EQUITY       30226D106       1       200.00  SH         DEFINED      4         --         --       200
EXXON MOBIL CORP            EQUITY       30231G102  379731    4,103,212  SH           SOLE       1  4,103,212         --        --
EXXON MOBIL CORP            EQUITY       30231G102   53906      582,395  SH           SOLE       2    582,395         --        --
EXXON MOBIL CORP CALL       OPTION       30231G902      -2       (11.00)        C   DEFINED      4         --         --       (11)
EXXON MOBIL CORP EQUITY     EQUITY       30231G102   11779   127,256.14  SH         DEFINED      4         --         --   127,256
EZCORP INC CL A NON VTG     EQUITY       302301106       8       585.00  SH         DEFINED      4         --         --       585
EZCORP INC-CL A             EQUITY       302301106     435       32,329  SH           SOLE       1     32,329         --        --
F M C CORP EQUITY NEW       EQUITY       302491303      45       868.00  SH         DEFINED      4         --         --       868
F5 NETWORKS INC             EQUITY       315616102    7828      210,500  SH           SOLE       1    210,500         --        --
FACTSET RESEARCH SYSTEMS
   INC                      EQUITY       303075105     465        6,789  SH           SOLE       1      6,789         --        --
FACTSET RESEARCH SYSTEMS
   INC                      EQUITY       303075105     432        6,300  SH           SOLE       2      6,300         --        --
FACTSET RESH SYS INC
   EQUITY                   EQUITY       303075105       1        15.00  SH         DEFINED      4         --         --        15
FAIR ISAAC CORP             EQUITY       303250104    5180      143,449  SH           SOLE       1    143,449         --        --
FAIR ISAAC CORP EQUITY      EQUITY       303250104       1        37.00  SH         DEFINED      4         --         --        37
FAIRCHILD SEMICON
   INTERNATIO               EQUITY       303726103    5764      308,550  SH           SOLE       1    308,550         --        --
FAIRCHILD SEMICONDUCTOR
   INTL EQUITY              EQUITY       303726103      11       581.00  SH         DEFINED      4         --         --       581
FAIRFAX FINANCIAL HLDGS
   LTD                      EQUITY       303901102      82          313  SH          OTHER       1         --        313        --
FAIRPOINT COMMUNICATIONS
   INC                      EQUITY       305560104    5608      297,342  SH           SOLE       1    297,342         --        --
FAIRPOINT
   EQUITYMUNICATIONS INC
   EQUITY                   EQUITY       305560104       6       300.00  SH         DEFINED      4         --         --       300
FALCONSTOR SOFTWARE INC     EQUITY       306137100     337       27,959  SH           SOLE       1     27,959         --        --
FAMILY DOLLAR STORES        EQUITY       307000109    6107      229,201  SH           SOLE       1    229,201         --        --
FAMILY DOLLAR STORES        EQUITY       307000109       5          184  SH           SOLE       2        184         --        --
FANNIE MAE                  EQUITY       313586109   48853      803,376  SH           SOLE       1    803,376         --        --
FANNIE MAE                  EQUITY       313586109    7080      116,427  SH           SOLE       2    116,427         --        --
FARMER BROS CO              EQUITY       307675108     146        5,859  SH           SOLE       1      5,859         --        --
FARO TECHNOLOGIES INC       EQUITY       311642102     661       14,962  SH           SOLE       1     14,962         --        --
FARO TECHNOLOGIES INC
   EQUITY                   EQUITY       311642102      42       952.00  SH         DEFINED      4         --         --       952
FASTENAL CO                 EQUITY       311900104   14567      320,781  SH           SOLE       1    320,781         --        --
FASTENAL CO EQUITY          EQUITY       311900104     487    10,732.00  SH         DEFINED      4         --         --    10,732
FBL FINANCIAL GROUP
   INC-CL A                 EQUITY       30239F106     496       12,549  SH           SOLE       1     12,549         --        --
FCSTONE GROUP INC           EQUITY       31308T100     247        7,661  SH           SOLE       1      7,661         --        --
FEDERAL AGRIC MTG CORP-CL
   C                        EQUITY       313148306     264        8,976  SH           SOLE       1      8,976         --        --
FEDERAL HOME LN MTG CORP
   EQUITY                   EQUITY       313400301      50       844.00  SH         DEFINED      4         --         --       844
FEDERAL NATL MTG ASSN
   EQUITY                   EQUITY       313586109      84     1,373.77  SH         DEFINED      4         --         --     1,374
FEDERAL REALTY INVS TRUST   EQUITY       313747206     122        1,377  SH           SOLE       1      1,377         --        --
FEDERAL REALTY INVT TR SH
   BEN INT NEW              EQUITY       313747206      30       333.00  SH         DEFINED      4         --         --       333
FEDERAL SIGNAL CORP         EQUITY       313855108    2461      160,190  SH           SOLE       1    160,190         --        --
FEDERAL TR CORP EQUITY      EQUITY       314012105       1       102.00  SH         DEFINED      4         --         --       102
FEDERATED INVESTORS
   INC-CL B                 EQUITY       314211103    2313       58,269  SH           SOLE       1     58,269         --        --
FEDERATED INVESTORS
   INC-CL B                 EQUITY       314211103       4          110  SH           SOLE       2        110         --        --
FEDERATED INVS INC PA CL B  EQUITY       314211103       8       199.00  SH         DEFINED      4         --         --       199
FEDEX CORP                  EQUITY       31428X106   26800      255,846  SH           SOLE       1    255,846         --        --
FEDEX CORP                  EQUITY       31428X106      41          389  SH           SOLE       2        389         --        --
FEDEX CORP EQUITY           EQUITY       31428X106     247     2,357.00  SH         DEFINED      4         --         --     2,357
FEI COMPANY                 EQUITY       30241L109    1120       35,626  SH           SOLE       1     35,626         --        --
FEI COMPANY                 EQUITY       30241L109    6845      217,800  SH           SOLE       2    217,800         --        --
FELCOR LODGING TR INC
   EQUITY                   EQUITY       31430F101       4       200.00  SH         DEFINED      4         --         --       200
FELCOR LODGING TRUST INC    EQUITY       31430F101    1728       86,696  SH           SOLE       1     86,696         --        --
FERRELLGAS PARTNERS L.P.
   UNIT LTD PART            EQUITY       315293100      78     3,442.00  SH         DEFINED      4         --         --     3,442
FERRO CORP                  EQUITY       315405100    2897      145,017  SH           SOLE       1    145,017         --        --
FIBERTOWER CORP             EQUITY       31567R100     562      146,236  SH           SOLE       1    146,236         --        --
FIDELITY EQUITYWLTH TR
   NDQ CP IDX TRK           EQUITY       315912808       5        50.00  SH         DEFINED      4         --         --        50
FIDELITY NATIONAL FINL-A    EQUITY       31620R105   11368      650,317  SH           SOLE       1    650,317         --        --
FIDELITY NATIONAL
   INFORMATIO               EQUITY       31620M106    4590      103,448  SH           SOLE       1    103,448         --        --
FIDELITY NATIONAL
   INFORMATIO               EQUITY       31620M106       9          214  SH           SOLE       2        214         --        --
FIDELITY NATL INFORMATION
   SV EQUITY                EQUITY       31620M106      24       550.00  SH         DEFINED      4         --         --       550
FIFTH THIRD BANCORP         EQUITY       316773100   38000    1,121,617  SH           SOLE       1  1,121,617         --        --
FIFTH THIRD BANCORP         EQUITY       316773100      23          675  SH           SOLE       2        675         --        --
FIFTH THIRD BANCORP EQUITY  EQUITY       316773100     100     2,960.00  SH         DEFINED      4         --         --     2,960
FINANCIAL FEDERAL CORP      EQUITY       317492106     748       26,689  SH           SOLE       1     26,689         --        --
FINANCIAL SELECT SECTOR
   SPDR                     EQUITY       81369Y605   20884      608,500  SH           SOLE       1    608,500         --        --
FINISAR CORPORATION         EQUITY       31787A101     654      233,508  SH           SOLE       1    233,508         --        --
FINISAR EQUITY              EQUITY       31787A101       4     1,500.00  SH         DEFINED      4         --         --     1,500





                                                                                        
FIRST ACCEPTANCE CORP       EQUITY       318457108      75       14,866  SH           SOLE       1     14,866         --        --
FIRST ADVANTAGE CORP CL A   EQUITY       31845F100      10       576.00  SH         DEFINED      4         --         --       576
FIRST ADVANTAGE CORP-CL A   EQUITY       31845F100     114        6,462  SH           SOLE       1      6,462         --        --
FIRST AMERICAN CORPORATION  EQUITY       318522307    8766      239,391  SH           SOLE       1    239,391         --        --
FIRST BANCORP PUERTO RICO   EQUITY       318672102     780       82,096  SH           SOLE       1     82,096         --        --
FIRST BANCORP/NC            EQUITY       318910106     213       10,471  SH           SOLE       1     10,471         --        --
FIRST BUSEY CORP            EQUITY       319383105     298       13,622  SH           SOLE       1     13,622         --        --
FIRST CAPITAL BANCORP VA
   EQUITY                   EQUITY       319438107       2       150.00  SH         DEFINED      4         --         --       150
FIRST CASH FINL SVCS INC    EQUITY       31942D107     620       26,425  SH           SOLE       1     26,425         --        --
FIRST CHARTER CORP          EQUITY       319439105     924       30,620  SH           SOLE       1     30,620         --        --
FIRST CMNTY BANCSHARES
   INC N EQUITY             EQUITY       31983A103      11       300.00  SH         DEFINED      4         --         --       300
FIRST COMMONWEALTH FINL
   CORP                     EQUITY       319829107     803       72,572  SH           SOLE       1     72,572         --        --
FIRST COMMUNITY BANCORP
   /CA                      EQUITY       31983B101    4811       87,941  SH           SOLE       1     87,941         --        --
FIRST COMMUNITY BANCSHARES  EQUITY       31983A103     316        8,734  SH           SOLE       1      8,734         --        --
FIRST EQUITYWLTH FINL
   CORP PA EQUITY           EQUITY       319829107      38     3,402.98  SH         DEFINED      4         --         --     3,403
FIRST FINANCIAL BANCORP     EQUITY       320209109     422       33,000  SH           SOLE       1     33,000         --        --
FIRST FINANCIAL CORP
   INDIANA                  EQUITY       320218100     349       11,531  SH           SOLE       1     11,531         --        --
FIRST FINANCIAL HOLDINGS
   INC                      EQUITY       320239106     326       10,423  SH           SOLE       1     10,423         --        --
FIRST FINL BANKSHARES INC   EQUITY       32020R109     727       18,086  SH           SOLE       1     18,086         --        --
FIRST HORIZON NATIONAL
   CORP                     EQUITY       320517105    1574       59,046  SH           SOLE       1     59,046         --        --
FIRST HORIZON NATIONAL
   CORP                     EQUITY       320517105       4          159  SH           SOLE       2        159         --        --
FIRST HORIZON NATL CORP
   EQUITY                   EQUITY       320517105     117     4,370.00  SH         DEFINED      4         --         --     4,370
FIRST INDIANA CORP          EQUITY       32054R108     387       12,372  SH           SOLE       1     12,372         --        --
FIRST INDUSTRIAL REALTY TR  EQUITY       32054K103    1537       39,541  SH           SOLE       1     39,541         --        --
FIRST ISRAEL FD INC EQUITY  EQUITY       32063L100      25     1,140.00  SH         DEFINED      4         --         --     1,140
FIRST MARBLEHEAD CORP
   EQUITY                   EQUITY       320771108      11       300.00  SH         DEFINED      4         --         --       300
FIRST MARBLEHEAD CORP/THE   EQUITY       320771108     485       12,650  SH           SOLE       1     12,650         --        --
FIRST MERCHANTS CORP        EQUITY       320817109     345       15,995  SH           SOLE       1     15,995         --        --
FIRST MERCHANTS CORP
   EQUITY                   EQUITY       320817109      10       441.00  SH         DEFINED      4         --         --       441
FIRST MERCURY FINANCIAL
   CORP                     EQUITY       320841109     231       10,750  SH           SOLE       1     10,750         --        --
FIRST MIDWEST BANCORP
   INC/IL                   EQUITY       320867104    1693       49,561  SH           SOLE       1     49,561         --        --
FIRST NIAGARA FINANCIAL
   GRP                      EQUITY       33582V108    5008      353,930  SH           SOLE       1    353,930         --        --
FIRST PLACE FINANCIAL
   /OHIO                    EQUITY       33610T109     268       15,166  SH           SOLE       1     15,166         --        --
FIRST POTOMAC RLTY TR
   EQUITY                   EQUITY       33610F109      37     1,675.00  SH         DEFINED      4         --         --     1,675
FIRST REGIONAL BANCORP/CAL  EQUITY       33615C101     178        7,261  SH           SOLE       1      7,261         --        --
FIRST SEC GROUP INC EQUITY  EQUITY       336312103     268    26,760.00  SH         DEFINED      4         --         --    26,760
FIRST SOLAR INC             EQUITY       336433107      55          467  SH           SOLE       1        467         --        --
FIRST SOLAR INC EQUITY      EQUITY       336433107       7        61.00  SH         DEFINED      4         --         --        61
FIRST SOUTH BANCORP INC
   /NC                      EQUITY       33646W100     194        7,401  SH           SOLE       1      7,401         --        --
FIRST STATE BANCORPORATION  EQUITY       336453105     351       17,857  SH           SOLE       1     17,857         --        --
FIRST TR ABERDEEN GLBL
   OPP F EQUITY SHS         EQUITY       337319107      21     1,200.00  SH         DEFINED      4         --         --     1,200
FIRST TR EXCHANGE TRADED
   FD DJ INTERNT IDX        EQUITY       33733E302     892    34,225.00  SH         DEFINED      4         --         --    34,225
FIRST TR FOUR CRNRS SR
   FLT R EQUITY SHS         EQUITY       33733Q107       3       200.00  SH         DEFINED      4         --         --       200
FIRST TR GALLATIN SPEC
   FINAN EQUITY BENE INTER  EQUITY       33733G109      16     1,000.00  SH         DEFINED      4         --         --     1,000
FIRST TR LRGE CP CORE
   ALPHA EQUITY SHS         EQUITY       33734K109     180     6,100.00  SH         DEFINED      4         --         --     6,100
FIRST TR MID CAP CORE
   ALPHAD EQUITY SHS        EQUITY       33735B108      57     1,950.00  SH         DEFINED      4         --         --     1,950
FIRST TR MORNINGSTAR DIV
   LEA SHS                  EQUITY       336917109       6       244.00  SH         DEFINED      4         --         --       244
FIRST TR SML CP CORE
   ALPHA F EQUITY SHS       EQUITY       33734Y109      57     1,975.00  SH         DEFINED      4         --         --     1,975
FIRST TR STRAT HGH INC FD
   II EQUITY                EQUITY       33735C106     107     7,500.00  SH         DEFINED      4         --         --     7,500
FIRST TR STRATEGIC HIGH
   INC EQUITY SHS           EQUITY       337353106     146     9,250.00  SH         DEFINED      4         --         --     9,250
FIRST TR STRTGC HIGH INCM
   FD EQUITY                EQUITY       337347108     291    18,854.00  SH         DEFINED      4         --         --    18,854
FIRST TR TAX ADVTG PFD
   INCM EQUITY              EQUITY       336918107      89     5,500.00  SH         DEFINED      4         --         --     5,500
FIRST TR VALUE LINE 100
   ETF EQUITY SHS ADDED     EQUITY       33735G107      10       600.00  SH         DEFINED      4         --         --       600
FIRST TR VALUE LINE DIVID
   IN SHS                   EQUITY       33734H106      84     5,000.00  SH         DEFINED      4         --         --     5,000
FIRSTENERGY CORP            EQUITY       337932107   22926      361,081  SH           SOLE       1    361,081         --        --
FIRSTENERGY CORP            EQUITY       337932107      24          384  SH           SOLE       2        384         --        --
FIRSTENERGY CORP EQUITY     EQUITY       337932107     100     1,582.00  SH         DEFINED      4         --         --     1,582
FIRSTFED FINANCIAL CORP     EQUITY       337907109     799       16,120  SH           SOLE       1     16,120         --        --
FIRSTMERIT CORP             EQUITY       337915102    5309      268,697  SH           SOLE       1    268,697         --        --
FIRSTMERIT CORP EQUITY      EQUITY       337915102      16       800.00  SH         DEFINED      4         --         --       800
FISERV INC                  EQUITY       337738108    4315       84,849  SH           SOLE       1     84,849         --        --
FISERV INC                  EQUITY       337738108   22587      444,110  SH           SOLE       2    444,110         --        --
FISERV INC EQUITY           EQUITY       337738108      80     1,567.00  SH         DEFINED      4         --         --     1,567
FISHER COMMUNICATIONS INC   EQUITY       337756209     271        5,431  SH           SOLE       1      5,431         --        --
FISHER SCIENTIFIC INTL
   INC NOTE 2.500%10/0      FIXED INCOME 338032AW5       2         1.00  PRN        DEFINED      4         --         --         1
FIVE STAR QUALITY CARE      EQUITY       33832D106    1844      224,300  SH           SOLE       2    224,300         --        --
FIVE STAR QUALITY CARE
   INC EQUITY               EQUITY       33832D106       1        86.00  SH         DEFINED      4         --         --        86
FLAGSTAR BANCORP INC        EQUITY       337930101     423       43,435  SH           SOLE       1     43,435         --        --
FLAHERTY & CRMN/CLYMR PFD
   SE EQUITY SHS            EQUITY       338478100     174     9,555.00  SH         DEFINED      4         --         --     9,555
FLAHERTY & CRUMRINE PFD
   INC EQUITY               EQUITY       338480106    1346    91,539.00  SH         DEFINED      4         --         --    91,539





                                                                                        
FLAHERTY & CRUMRINE PFD
   INC EQUITY               EQUITY       33848E106     180    15,588.00  SH         DEFINED      4         --         --    15,588
FLEETWOOD ENTERPRISES       EQUITY       339099103     547       63,970  SH           SOLE       1     63,970         --        --
FLEXTRONICS INTL LTD ORD    EQUITY       Y2573F102      12     1,091.00  SH         DEFINED      4         --         --     1,091
FLIR SYS INC EQUITY         EQUITY       302445101      12       218.00  SH         DEFINED      4         --         --       218
FLIR SYSTEMS INC            EQUITY       302445101    3661       66,091  SH           SOLE       1     66,091         --        --
FLIR SYSTEMS INC            EQUITY       302445101    1072       19,350  SH           SOLE       2     19,350         --        --
FLORIDA PUB UTILS CO
   EQUITY                   EQUITY       341135101      28     2,400.00  SH         DEFINED      4         --         --     2,400
FLORIDA ROCK INDS           EQUITY       341140101    7756      124,116  SH           SOLE       1    124,116         --        --
FLOTEK INDS INC DEL EQUITY  EQUITY       343389102      13       300.00  SH         DEFINED      4         --         --       300
FLOTEK INDUSTRIES INC       EQUITY       343389102     699       15,832  SH           SOLE       1     15,832         --        --
FLOW INTL CORP              EQUITY       343468104     286       32,413  SH           SOLE       1     32,413         --        --
FLOW INTL CORP              EQUITY       343468104    3562      403,900  SH           SOLE       2    403,900         --        --
FLOWERS FOODS INC           EQUITY       343498101    1670       76,623  SH           SOLE       1     76,623         --        --
FLOWERS FOODS INC EQUITY    EQUITY       343498101     201     9,213.00  SH         DEFINED      4         --         --     9,213
FLOWSERVE CORP              EQUITY       34354P105   10783      141,552  SH           SOLE       1    141,552         --        --
FLOWSERVE CORP EQUITY       EQUITY       34354P105       4        49.00  SH         DEFINED      4         --         --        49
FLUOR CORP                  EQUITY       343412102    5649       39,237  SH           SOLE       1     39,237         --        --
FLUOR CORP                  EQUITY       343412102     765        5,311  SH           SOLE       2      5,311         --        --
FLUOR CORP NEW EQUITY       EQUITY       343412102     114       791.00  SH         DEFINED      4         --         --       791
FLUSHING FINANCIAL CORP     EQUITY       343873105     310       18,449  SH           SOLE       1     18,449         --        --
FMC CORP                    EQUITY       302491303    9914      190,584  SH           SOLE       1    190,584         --        --
FMC TECHNOLOGIES INC        EQUITY       30249U101   18629      323,082  SH           SOLE       1    323,082         --        --
FMC TECHNOLOGIES INC
   EQUITY                   EQUITY       30249U101     138     2,400.00  SH         DEFINED      4         --         --     2,400
FNB CORP                    EQUITY       302520101     870       52,581  SH           SOLE       1     52,581         --        --
FOCUS MEDIA HLDG LTD
   SPONSORED ADR            EQUITY       34415V109      35       600.00  SH         DEFINED      4         --         --       600
FOCUS MEDIA HOLDING-ADR     EQUITY       34415V109    3510       60,500  SH           SOLE       3     14,400         --    46,100
FOMENTO ECONOMICO
   MEXICANO S SPON ADR
   UNITS                    EQUITY       344419106      24       646.00  SH         DEFINED      4         --         --       646
FOMENTO ECONOMICO MEX-SP
   ADR                      EQUITY       344419106    9297      248,581  SH           SOLE       1    248,581         --        --
FOOT LOCKER INC             EQUITY       344849104    5938      387,327  SH           SOLE       1    387,327         --        --
FOOT LOCKER INC EQUITY      EQUITY       344849104                30.00  SH         DEFINED      4         --         --        30
FORCE PROTECTION INC        EQUITY       345203202    1284       59,288  SH           SOLE       1     59,288         --        --
FORCE PROTECTION INC
   EQUITY NEW               EQUITY       345203202      22     1,000.00  SH         DEFINED      4         --         --     1,000
FORD MOTOR CO               EQUITY       345370860   10410    1,226,147  SH           SOLE       1  1,226,147         --        --
FORD MOTOR CO               EQUITY       345370860      22        2,647  SH           SOLE       2      2,647         --        --
FORD MTR CO CAP TR II PFD
   TR CV6.5%                EQUITY       345395206      25       660.00  SH         DEFINED      4         --         --       660
FORD MTR CO DEL EQUITY
   PAR $0.01                EQUITY       345370860     116    13,699.76  SH         DEFINED      4         --         --    13,700
FORDING CANADIAN COAL
   TRUST                    EQUITY       345425102     114        3,000  SH          OTHER       1         --      3,000        --
FORDING CDN COAL TR TR
   UNIT                     EQUITY       345425102     434    11,105.00  SH         DEFINED      4         --         --    11,105
FOREST CITY ENTERPRISES
   INC CL A                 EQUITY       345550107      42       773.00  SH         DEFINED      4         --         --       773
FOREST CITY
   ENTERPRISES-CL A         EQUITY       345550107      69        1,248  SH           SOLE       1      1,248         --        --
FOREST LABORATORIES INC     EQUITY       345838106   22097      592,565  SH           SOLE       1    592,565         --        --
FOREST LABORATORIES INC     EQUITY       345838106      15          399  SH           SOLE       2        399         --        --
FOREST LABS INC EQUITY      EQUITY       345838106      41     1,090.00  SH         DEFINED      4         --         --     1,090
FOREST OIL CORP             EQUITY       346091705    9487      220,417  SH           SOLE       1    220,417         --        --
FOREST OIL CORP EQUITY
   PAR $0.01                EQUITY       346091705       5       121.00  SH         DEFINED      4         --         --       121
FORMFACTOR INC              EQUITY       346375108    1847       41,617  SH           SOLE       1     41,617         --        --
FORRESTER RESEARCH INC      EQUITY       346563109     310       13,141  SH           SOLE       1     13,141         --        --
FORT DEARBORN INEQUITYE
   SECS IN EQUITY           EQUITY       347200107       2       123.79  SH         DEFINED      4         --         --       124
FORTUNE BRANDS INC          EQUITY       349631101    5808       71,267  SH           SOLE       1     71,267         --        --
FORTUNE BRANDS INC          EQUITY       349631101      16          193  SH           SOLE       2        193         --        --
FORTUNE BRANDS INC EQUITY   EQUITY       349631101     207     2,538.63  SH         DEFINED      4         --         --     2,539
FORWARD AIR CORPORATION     EQUITY       349853101     893       29,989  SH           SOLE       1     29,989         --        --
FOSSIL INC                  EQUITY       349882100    1635       43,756  SH           SOLE       1     43,756         --        --
FOSSIL INC                  EQUITY       349882100     441       11,800  SH           SOLE       2     11,800         --        --
FOSTER (LB) CO -CL A        EQUITY       350060109     401        9,226  SH           SOLE       1      9,226         --        --
FOSTER WHEELER LTD SHS NEW  EQUITY       G36535139      71       539.00  SH         DEFINED      4         --         --       539
FOUNDATION COAL HOLDINGS
   INC                      EQUITY       35039W100    2764       70,512  SH           SOLE       1     70,512         --        --
FOUNDRY NETWORKS INC        EQUITY       35063R100    3618      203,598  SH           SOLE       1    203,598         --        --
FOUNDRY NETWORKS INC        EQUITY       35063R100     755       42,500  SH           SOLE       2     42,500         --        --
FOUNDRY NETWORKS INC        EQUITY       35063R100    6125      344,700  SH           SOLE       3    192,600         --   152,100
FOXHOLLOW TECHNOLOGIES INC  EQUITY       35166A103     456       17,261  SH           SOLE       1     17,261         --        --
FPIC INSURANCE GROUP INC    EQUITY       302563101     364        8,465  SH           SOLE       1      8,465         --        --
FPL GROUP INC               EQUITY       302571104   10627      174,556  SH           SOLE       1    174,556         --        --
FPL GROUP INC               EQUITY       302571104    3836       63,013  SH           SOLE       2     63,013         --        --
FPL GROUP INC EQUITY        EQUITY       302571104     270     4,428.00  SH         DEFINED      4         --         --     4,428
FRANCE TELEEQUITY
   SPONSORED ADR            EQUITY       35177Q105       4       110.00  SH         DEFINED      4         --         --       110
FRANKLIN BANK CORP/HOUSTON  EQUITY       352451108     232       25,242  SH           SOLE       1     25,242         --        --
FRANKLIN ELEC INC EQUITY    EQUITY       353514102       8       200.00  SH         DEFINED      4         --         --       200
FRANKLIN ELECTRIC CO INC    EQUITY       353514102     691       16,819  SH           SOLE       1     16,819         --        --
FRANKLIN RES INC EQUITY     EQUITY       354613101      69       541.00  SH         DEFINED      4         --         --       541





                                                                                        
FRANKLIN RESOURCES INC      EQUITY       354613101    8861       69,496  SH           SOLE       1     69,496         --        --
FRANKLIN RESOURCES INC      EQUITY       354613101      26          205  SH           SOLE       2        205         --        --
FRANKLIN TEMPLETON LTD
   DUR I EQUITY             EQUITY       35472T101     757    61,010.00  SH         DEFINED      4         --         --    61,010
FRANKLIN UNVL TR SH BEN
   INT                      EQUITY       355145103      55     8,035.00  SH         DEFINED      4         --         --     8,035
FREDDIE MAC                 EQUITY       313400301   23125      391,879  SH           SOLE       1    391,879         --        --
FREDDIE MAC                 EQUITY       313400301     225        3,820  SH           SOLE       2      3,820         --        --
FREDS INC CL A              EQUITY       356108100       5       450.00  SH         DEFINED      4         --         --       450
FRED'S INC-CLASS A          EQUITY       356108100     422       40,043  SH           SOLE       1     40,043         --        --
FREEDOM ACQUISITION
   HOLDING                  EQUITY       35645F103     517       45,932  SH           SOLE       1     45,932         --        --
FREEPORT-MCMORAN COPPER     EQUITY       35671D857   23801      226,910  SH           SOLE       1    226,910         --        --
FREEPORT-MCMORAN COPPER     EQUITY       35671D857   10065       95,953  SH           SOLE       2     95,953         --        --
FREEPORT-MCMORAN COPPER &
   GO EQUITY                EQUITY       35671D857    7665    73,117.00  SH         DEFINED      4         --         --    73,117
FREIGHTCAR AMER INC EQUITY  EQUITY       357023100      16       410.00  SH         DEFINED      4         --         --       410
FREIGHTCAR AMERICA INC      EQUITY       357023100     409       10,694  SH           SOLE       1     10,694         --        --
FREMONT GENERAL CORP        EQUITY       357288109     263       67,460  SH           SOLE       1     67,460         --        --
FRESH DEL MONTE PRODUCE
   INC ORD                  EQUITY       G36738105       1        20.00  SH         DEFINED      4         --         --        20
FRIEDMAN BILLINGS RAMSEY
   GRO CL A                 EQUITY       358434108       8     1,800.00  SH         DEFINED      4         --         --     1,800
FRIEDMAN BILLINGS RAMSEY-A  EQUITY       358434108     648      140,458  SH           SOLE       1    140,458         --        --
FRONTEER DEV GROUP INC
   EQUITY                   EQUITY       35903Q106      19     1,810.00  SH         DEFINED      4         --         --     1,810
FRONTIER AIRLINES HOLDINGS  EQUITY       359059102      29        4,613  SH           SOLE       1      4,613         --        --
FRONTIER FINANCIAL CORP     EQUITY       35907K105     910       38,998  SH           SOLE       1     38,998         --        --
FRONTIER OIL CORP           EQUITY       35914P105   11186      268,624  SH           SOLE       1    268,624         --        --
FRONTIER OIL CORP EQUITY    EQUITY       35914P105    2339    56,170.00  SH         DEFINED      4         --         --    56,170
FRONTLINE LTD SHS           EQUITY       G3682E127     238     4,730.00  SH         DEFINED      4         --         --     4,730
FTD GROUP INC               EQUITY       30267U108     248       16,637  SH           SOLE       1     16,637         --        --
FTI CONSULTING INC          EQUITY       302941109    1872       37,218  SH           SOLE       1     37,218         --        --
FTI CONSULTING INC          EQUITY       302941109     951       18,900  SH           SOLE       2     18,900         --        --
FUEL TECH INC               EQUITY       359523107     334       15,118  SH           SOLE       1     15,118         --        --
FUEL TECH INC EQUITY        EQUITY       359523107      71     2,907.00  SH         DEFINED      4         --         --     2,907
FUELCELL ENERGY INC         EQUITY       35952H106     514       57,771  SH           SOLE       1     57,771         --        --
FUELCELL ENERGY INC EQUITY  EQUITY       35952H106       3       300.00  SH         DEFINED      4         --         --       300
FUJIFILM HLDGS CORP ADR 2
   ORD                      EQUITY       35958N107      24       530.00  SH         DEFINED      4         --         --       530
FULTON FINANCIAL CORP       EQUITY       360271100      72        4,975  SH           SOLE       1      4,975         --        --
FULTON FINL CORP PA EQUITY  EQUITY       360271100     203    14,111.78  SH         DEFINED      4         --         --    14,112
FUNDTECH LTD                EQUITY       M47095100    2482      141,500  SH           SOLE       3    141,500         --        --
FURNITURE BRANDS INTL INC   EQUITY       360921100    1638      161,499  SH           SOLE       1    161,499         --        --
FX ENERGY INC               EQUITY       302695101     231       31,055  SH           SOLE       1     31,055         --        --
G & K SERVICES INC -CL A    EQUITY       361268105     861       21,430  SH           SOLE       1     21,430         --        --
GABELLI DIVD & INEQUITYE
   TR EQUITY                EQUITY       36242H104      55     2,550.00  SH         DEFINED      4         --         --     2,550
GABELLI EQUITY TR INC
   EQUITY                   EQUITY       362397101      48     4,980.59  SH         DEFINED      4         --         --     4,981
GABELLI GLB GLD NAT RES &
   IN EQUITY SHS BN INT     EQUITY       36244N109       6       200.00  SH         DEFINED      4         --         --       200
GABELLI GLOBAL MULTIMEDIA
   TR EQUITY                EQUITY       36239Q109       3       238.00  SH         DEFINED      4         --         --       238
GABELLI HLTHCARE &
   WELLNESS SHS ADDED       EQUITY       36246K103      26     3,198.00  SH         DEFINED      4         --         --     3,198
GABELLI UTIL TR EQUITY      EQUITY       36240A101       2       196.00  SH         DEFINED      4         --         --       196
GAFISA S A SPONS ADR        EQUITY       362607301     176     5,209.00  SH         DEFINED      4         --         --     5,209
GAIAM INC-CLASS A           EQUITY       36268Q103     362       15,052  SH           SOLE       1     15,052         --        --
GALLAGHER ARTHUR J & CO
   EQUITY                   EQUITY       363576109      13       449.00  SH         DEFINED      4         --         --       449
GAMCO INVESTORS INC-A       EQUITY       361438104     265        4,828  SH           SOLE       1      4,828         --        --
GAMESTOP CORP NEW CL A      EQUITY       36467W109    1414    25,100.00  SH         DEFINED      4         --         --    25,100
GAMESTOP CORP-CLASS A       EQUITY       36467W109   22313      395,963  SH           SOLE       1    395,963         --        --
GAMESTOP CORP-CLASS A       EQUITY       36467W109    1775       31,500  SH           SOLE       2     31,500         --        --
GAMESTOP CORP-CLASS A       EQUITY       36467W109    6091      108,100  SH           SOLE       3     44,000         --    64,100
GANDER MOUNTAIN CO          EQUITY       36471P108      24        4,425  SH           SOLE       1      4,425         --        --
GANNETT CO                  EQUITY       364730101   19299      440,046  SH           SOLE       1    440,046         --        --
GANNETT CO                  EQUITY       364730101    2452       56,116  SH           SOLE       2     56,116         --        --
GANNETT INC EQUITY          EQUITY       364730101       2        40.00  SH         DEFINED      4         --         --        40
GAP INC DEL EQUITY          EQUITY       364760108      62     3,381.52  SH         DEFINED      4         --         --     3,382
GAP INC/THE                 EQUITY       364760108   19628    1,066,406  SH           SOLE       1  1,066,406         --        --
GAP INC/THE                 EQUITY       364760108      12          624  SH           SOLE       2        624         --        --
GARDNER DENVER INC          EQUITY       365558105     468       11,991  SH           SOLE       1     11,991         --        --
GARMIN LTD                  EQUITY       G37260109    1445       12,100  SH           SOLE       2     12,100         --        --
GARMIN LTD ORD              EQUITY       G37260109    2125    17,798.13  SH         DEFINED      4         --         --    17,798
GARTNER INC                 EQUITY       366651107    5674      231,981  SH           SOLE       1    231,981         --        --
GASCO ENERGY INC EQUITY     EQUITY       367220100       2     1,200.00  SH         DEFINED      4         --         --     1,200
GATEHOUSE MEDIA INC         EQUITY       367348109    4073      319,423  SH           SOLE       1    319,423         --        --
GATEHOUSE MEDIA INC EQUITY  EQUITY       367348109                28.00  SH         DEFINED      4         --         --        28
GATEWAY INC                 EQUITY       367626108     503      267,326  SH           SOLE       1    267,326         --        --
GATEWAY INC EQUITY          EQUITY       367626108       1       624.00  SH         DEFINED      4         --         --       624
GATX CORP                   EQUITY       361448103    5577      130,457  SH           SOLE       1    130,457         --        --
GAYLORD ENTERTAINMENT CO    EQUITY       367905106    1899       35,673  SH           SOLE       1     35,673         --        --





                                                                                        
GEHL COMPANY                EQUITY       368483103     203        9,109  SH           SOLE       1      9,109         --        --
GEMSTAR-TV GUIDE INTL INC   EQUITY       36866W106    1518      218,081  SH           SOLE       1    218,081         --        --
GENAERA CORP EQUITY NEW     EQUITY       36867G209       1       333.00  SH         DEFINED      4         --         --       333
GENCO SHIPPING & TRADING
   LTD                      EQUITY       Y2685T107    7667      117,000  SH           SOLE       2    117,000         --        --
GENCO SHIPPING & TRADING
   LTD SHS                  EQUITY       Y2685T107      21       324.00  SH         DEFINED      4         --         --       324
GENCORP INC                 EQUITY       368682100     670       56,008  SH           SOLE       1     56,008         --        --
GENCORP INC EQUITY          EQUITY       368682100      60     5,000.00  SH         DEFINED      4         --         --     5,000
GENENTECH INC               EQUITY       368710406   12981      166,375  SH           SOLE       1    166,375         --        --
GENENTECH INC               EQUITY       368710406    4447       57,000  SH           SOLE       2     57,000         --        --
GENENTECH INC EQUITY NEW    EQUITY       368710406     520     6,670.00  SH         DEFINED      4         --         --     6,670
GENERAL CABLE CORP          EQUITY       369300108      75        1,111  SH           SOLE       1      1,111         --        --
GENERAL CABLE CORP DEL
   NEW CALL                 OPTION       369300908       3         3.00         C   DEFINED      4         --         --         3
GENERAL CABLE CORP DEL
   NEW EQUITY               EQUITY       369300108      33       485.00  SH         DEFINED      4         --         --       485
GENERAL COMMUNICATION
   INC-A                    EQUITY       369385109     636       52,389  SH           SOLE       1     52,389         --        --
GENERAL DYNAMICS CORP       EQUITY       369550108   20826      246,550  SH           SOLE       1    246,550         --        --
GENERAL DYNAMICS CORP       EQUITY       369550108    6032       71,412  SH           SOLE       2     71,412         --        --
GENERAL DYNAMICS CORP
   EQUITY                   EQUITY       369550108    2814    33,315.61  SH         DEFINED      4         --         --    33,316
GENERAL ELECTRIC CO         EQUITY       369604103  296137    7,153,654  SH           SOLE       1  7,153,654         --        --
GENERAL ELECTRIC CO         EQUITY       369604103   42992    1,038,447  SH           SOLE       2  1,038,447         --        --
GENERAL ELECTRIC CO CALL    OPTION       369604903      -1       (11.00)        C   DEFINED      4         --         --       (11)
GENERAL ELECTRIC CO EQUITY  EQUITY       369604103    8196   197,340.64  SH         DEFINED      4         --         --   197,341
GENERAL GROWTH PPTYS INC
   EQUITY                   EQUITY       370021107      21       386.00  SH         DEFINED      4         --         --       386
GENERAL GROWTH PROPERTIES   EQUITY       370021107   16259      303,226  SH           SOLE       1    303,226         --        --
GENERAL GROWTH PROPERTIES   EQUITY       370021107      17          310  SH           SOLE       2        310         --        --
GENERAL MARITIME CORP SHS   EQUITY       Y2692M103       5       180.00  SH         DEFINED      4         --         --       180
GENERAL MILLS INC           EQUITY       370334104   36242      624,466  SH           SOLE       1    624,466         --        --
GENERAL MILLS INC           EQUITY       370334104      24          416  SH           SOLE       2        416         --        --
GENERAL MLS INC EQUITY      EQUITY       370334104     298     5,134.00  SH         DEFINED      4         --         --     5,134
GENERAL MOTORS CORP         EQUITY       370442105   26704      733,099  SH           SOLE       1    733,099         --        --
GENERAL MOTORS CORP         EQUITY       370442105    6434      175,313  SH           SOLE       2    175,313         --        --
GENERAL MTRS CORP EQUITY    EQUITY       370442105     140     3,813.83  SH         DEFINED      4         --         --     3,814
GENESCO INC                 EQUITY       371532102    1047       22,700  SH           SOLE       1     22,700         --        --
GENESEE & WYO INC CL A      EQUITY       371559105      19       670.00  SH         DEFINED      4         --         --       670
GENESEE & WYOMING INC-CL A  EQUITY       371559105     895       31,045  SH           SOLE       1     31,045         --        --
GENESIS ENERGY L P UNIT
   LTD PARTN                EQUITY       371927104      11       400.00  SH         DEFINED      4         --         --       400
GENESIS MICROCHIP INC       EQUITY       37184C103     253       32,215  SH           SOLE       1     32,215         --        --
GENLYTE GROUP INC           EQUITY       372302109    1592       24,779  SH           SOLE       1     24,779         --        --
GENOMIC HEALTH INC          EQUITY       37244C101     228       11,877  SH           SOLE       1     11,877         --        --
GENOMIC HEALTH INC          EQUITY       37244C101     950       49,500  SH           SOLE       2     49,500         --        --
GENOMIC HEALTH INC EQUITY   EQUITY       37244C101       8       400.00  SH         DEFINED      4         --         --       400
GEN-PROBE INC               EQUITY       36866T103    8817      132,428  SH           SOLE       1    132,428         --        --
GEN-PROBE INC               EQUITY       36866T103    5852       87,900  SH           SOLE       3     43,500         --    44,400
GENTA INC EQUITY PAR
   $0.001 ADDED             EQUITY       37245M504       2     1,683.00  SH         DEFINED      4         --         --     1,683
GENTEK INC                  EQUITY       37245X203     227        7,530  SH           SOLE       1      7,530         --        --
GENTEX CORP                 EQUITY       371901109    7628      355,774  SH           SOLE       1    355,774         --        --
GENTEX CORP                 EQUITY       371901109    7939      370,300  SH           SOLE       2    370,300         --        --
GENTIVA HEALTH SERVICES     EQUITY       37247A102     530       27,606  SH           SOLE       1     27,606         --        --
GENTIVA HEALTH SERVICES
   INC EQUITY               EQUITY       37247A102       9       494.00  SH         DEFINED      4         --         --       494
GENUINE PARTS CO            EQUITY       372460105    3940       78,794  SH           SOLE       1     78,794         --        --
GENUINE PARTS CO            EQUITY       372460105    3074       61,478  SH           SOLE       2     61,478         --        --
GENUINE PARTS CO EQUITY     EQUITY       372460105       5       100.00  SH         DEFINED      4         --         --       100
GENVEC INC                  EQUITY       37246C109     135       57,629  SH           SOLE       1     57,629         --        --
GENVEC INC EQUITY           EQUITY       37246C109      22     9,500.00  SH         DEFINED      4         --         --     9,500
GENWORTH FINANCIAL INC-CL
   A                        EQUITY       37247D106   14953      486,646  SH           SOLE       1    486,646         --        --
GENWORTH FINANCIAL INC-CL
   A                        EQUITY       37247D106      17          558  SH           SOLE       2        558         --        --
GENWORTH FINL INC EQUITY
   CL A                     EQUITY       37247D106       2        67.00  SH         DEFINED      4         --         --        67
GENZYME CORP                EQUITY       372917104    9414      151,940  SH           SOLE       1    151,940         --        --
GENZYME CORP                EQUITY       372917104    7165      115,632  SH           SOLE       2    115,632         --        --
GENZYME CORP EQUITY         EQUITY       372917104      60       966.00  SH         DEFINED      4         --         --       966
GEO GROUP INC EQUITY        EQUITY       36159R103     396    13,375.00  SH         DEFINED      4         --         --    13,375
GEO GROUP INC/THE           EQUITY       36159R103    4356      147,115  SH           SOLE       1    147,115         --        --
GEO GROUP INC/THE           EQUITY       36159R103     761       25,700  SH           SOLE       2     25,700         --        --
GEO GROUP INC/THE           EQUITY       36159R103   11036      372,700  SH           SOLE       3    231,700         --   141,000
GEOEYE INC                  EQUITY       37250W108     394       15,286  SH           SOLE       1     15,286         --        --
GEOEYE INC EQUITY           EQUITY       37250W108       5       200.00  SH         DEFINED      4         --         --       200
GEOGLOBAL RESOURCES INC     EQUITY       37249T109     101       27,947  SH           SOLE       1     27,947         --        --
GEOKINETICS INC             EQUITY       372910307     139        5,936  SH           SOLE       1      5,936         --        --
GEOMET INC                  EQUITY       37250U201      80       15,732  SH           SOLE       1     15,732         --        --
GEOPHARMA INC EQUITY        EQUITY       37250A106       1       200.00  SH         DEFINED      4         --         --       200
GEORGIA GULF CORP           EQUITY       373200203     476       34,246  SH           SOLE       1     34,246         --        --





                                                                                        
GERBER SCIENTIFIC INC       EQUITY       373730100     250       23,028  SH           SOLE       1     23,028         --        --
GERON CORP                  EQUITY       374163103     465       63,577  SH           SOLE       1     63,577         --        --
GERON CORP EQUITY           EQUITY       374163103      18     2,400.00  SH         DEFINED      4         --         --     2,400
GETTY IMAGES INC            EQUITY       374276103    3261      117,136  SH           SOLE       1    117,136         --        --
GETTY IMAGES INC EQUITY     EQUITY       374276103      15       524.00  SH         DEFINED      4         --         --       524
GEVITY HR INC               EQUITY       374393106     248       24,201  SH           SOLE       1     24,201         --        --
GFI GROUP INC               EQUITY       361652209    1202       13,960  SH           SOLE       1     13,960         --        --
GFI GROUP INC               EQUITY       361652209    1163       13,500  SH           SOLE       2     13,500         --        --
GIBRALTAR INDUSTRIES INC    EQUITY       374689107     473       25,580  SH           SOLE       1     25,580         --        --
GIGAMEDIA LIMITED           EQUITY       Y2711Y104     423       26,200  SH           SOLE       2     26,200         --        --
G-III APPAREL GROUP LTD     EQUITY       36237H101     223       11,321  SH           SOLE       1     11,321         --        --
GILDAN ACTIVEWEAR INC       EQUITY       375916103      92        2,532  SH          OTHER       1         --      2,532        --
GILDAN ACTIVEWEAR INC
   EQUITY                   EQUITY       375916103      10       254.00  SH         DEFINED      4         --         --       254
GILEAD SCIENCES INC         EQUITY       375558103   30603      748,794  SH           SOLE       1    748,794         --        --
GILEAD SCIENCES INC         EQUITY       375558103    6399      156,568  SH           SOLE       2    156,568         --        --
GILEAD SCIENCES INC EQUITY  EQUITY       375558103     148     3,629.00  SH         DEFINED      4         --         --     3,629
GIVEN IMAGING ORD SHS       EQUITY       M52020100       3       100.00  SH         DEFINED      4         --         --       100
GLACIER BANCORP INC         EQUITY       37637Q105    1185       52,633  SH           SOLE       1     52,633         --        --
GLADSTONE CAPITAL CORP      EQUITY       376535100     242       12,394  SH           SOLE       1     12,394         --        --
GLATFELTER                  EQUITY       377316104     583       39,255  SH           SOLE       1     39,255         --        --
GLAXOSMITHKLINE PLC
   SPONSORED ADR            EQUITY       37733W105     244     4,580.00  SH         DEFINED      4         --         --     4,580
GLIMCHER RLTY TR SH BEN
   INT                      EQUITY       379302102       4       165.00  SH         DEFINED      4         --         --       165
GLOBAL CASH ACCESS
   HOLDINGS                 EQUITY       378967103     408       38,552  SH           SOLE       1     38,552         --        --
GLOBAL CASH ACCESS
   HOLDINGS                 EQUITY       378967103    1413      133,400  SH           SOLE       2    133,400         --        --
GLOBAL CROSSING LTD SHS
   NEW                      EQUITY       G3921A175      13       631.00  SH         DEFINED      4         --         --       631
GLOBAL INDS LTD EQUITY      EQUITY       379336100     476    18,495.00  SH         DEFINED      4         --         --    18,495
GLOBAL INDUSTRIES LTD       EQUITY       379336100     711       27,586  SH           SOLE       1     27,586         --        --
GLOBAL PAYMENTS INC         EQUITY       37940X102    8855      200,244  SH           SOLE       1    200,244         --        --
GLOBAL PAYMENTS INC         EQUITY       37940X102   14610      330,400  SH           SOLE       2    330,400         --        --
GLOBAL PMTS INC EQUITY      EQUITY       37940X102     294     6,653.27  SH         DEFINED      4         --         --     6,653
GLOBAL SOURCES LIMITED      EQUITY       G39300101     140        6,300  SH           SOLE       2      6,300         --        --
GLOBAL SOURCES LTD ORD      EQUITY       G39300101      10       440.00  SH         DEFINED      4         --         --       440
GLOBALSANTAFE CORP CALL     OPTION       G3930E901                (2.00)        C   DEFINED      4         --         --        (2)
GLOBALSANTAFE CORP SHS      EQUITY       G3930E101     523     6,884.00  SH         DEFINED      4         --         --     6,884
GLOBALSTAR INC              EQUITY       378973408     124       16,863  SH           SOLE       1     16,863         --        --
GLOBECOMM SYSTEMS INC       EQUITY       37956X103    1955      147,400  SH           SOLE       3    147,400         --        --
GLU MOBILE INC              EQUITY       379890106      58        6,417  SH           SOLE       1      6,417         --        --
GMX RESOURCES INC           EQUITY       38011M108     324       10,071  SH           SOLE       1     10,071         --        --
GOLAR LNG LTD BERMUDA SHS   EQUITY       G9456A100       2       100.00  SH         DEFINED      4         --         --       100
GOLDCORP INC                EQUITY       380956409    7907      258,481  SH          OTHER       1         --    258,481        --
GOLDCORP INC NEW EQUITY     EQUITY       380956409     238     7,789.82  SH         DEFINED      4         --         --     7,790
GOLDEN STAR RES LTD CDA
   EQUITY                   EQUITY       38119T104      26     6,500.00  SH         DEFINED      4         --         --     6,500
GOLDEN TELECOM INC          EQUITY       38122G107    1102       13,697  SH           SOLE       1     13,697         --        --
GOLDMAN SACHS GROUP INC     EQUITY       38141G104   55107      254,813  SH           SOLE       1    254,813         --        --
GOLDMAN SACHS GROUP INC     EQUITY       38141G104    5569       25,695  SH           SOLE       2     25,695         --        --
GOLDMAN SACHS GROUP INC
   CALL                     OPTION       38141G904       5         2.00         C   DEFINED      4         --         --         2
GOLDMAN SACHS GROUP INC
   EQUITY                   EQUITY       38141G104    1485     6,855.00  SH         DEFINED      4         --         --     6,855
GOLFSMITH INTL HOLDINGS
   INC EQUITY               EQUITY       38168Y103       7     1,000.00  SH         DEFINED      4         --         --     1,000
GOODMAN GLOBAL INC          EQUITY       38239A100     783       32,786  SH           SOLE       1     32,786         --        --
GOODMAN GLOBAL INC EQUITY   EQUITY       38239A100      12       500.00  SH         DEFINED      4         --         --       500
GOODRICH CORP               EQUITY       382388106    3811       55,857  SH           SOLE       1     55,857         --        --
GOODRICH CORP               EQUITY       382388106      11          158  SH           SOLE       2        158         --        --
GOODRICH CORP EQUITY        EQUITY       382388106    1072    15,710.00  SH         DEFINED      4         --         --    15,710
GOODRICH PETROLEUM CORP     EQUITY       382410405     429       13,537  SH           SOLE       1     13,537         --        --
GOODYEAR TIRE & RUBBER CO   EQUITY       382550101    4100      134,815  SH           SOLE       1    134,815         --        --
GOODYEAR TIRE & RUBBER CO   EQUITY       382550101       8          266  SH           SOLE       2        266         --        --
GOODYEAR TIRE & RUBR CO
   EQUITY                   EQUITY       382550101       3        87.00  SH         DEFINED      4         --         --        87
GOOGLE INC CL A             EQUITY       38259P508     736     1,298.00  SH         DEFINED      4         --         --     1,298
GOOGLE INC-CL A             EQUITY       38259P508   91995      162,171  SH           SOLE       1    162,171         --        --
GOOGLE INC-CL A             EQUITY       38259P508   21154       37,291  SH           SOLE       2     37,291         --        --
GORMAN-RUPP CO              EQUITY       383082104     332       10,025  SH           SOLE       1     10,025         --        --
GRACE W R & CO DEL NEW
   EQUITY                   EQUITY       38388F108       5       200.00  SH         DEFINED      4         --         --       200
GRACO INC                   EQUITY       384109104    6355      162,503  SH           SOLE       1    162,503         --        --
GRACO INC EQUITY            EQUITY       384109104       8       200.00  SH         DEFINED      4         --         --       200
GRAFTECH INTERNATIONAL LTD  EQUITY       384313102    1548       86,767  SH           SOLE       1     86,767         --        --
GRAFTECH INTERNATIONAL LTD  EQUITY       384313102     602       33,750  SH           SOLE       2     33,750         --        --
GRAFTECH INTL LTD EQUITY    EQUITY       384313102       1        48.00  SH         DEFINED      4         --         --        48
GRAINGER W W INC EQUITY     EQUITY       384802104      18       200.00  SH         DEFINED      4         --         --       200
GRAMERCY CAPITAL CORP       EQUITY       384871109    2034       80,812  SH           SOLE       1     80,812         --        --
GRANITE CITY FOOD &
   BREWERY                  EQUITY       38724Q107     351       83,500  SH           SOLE       3     83,500         --        --





                                                                                        
GRANITE CONSTRUCTION INC    EQUITY       387328107    6271      118,280  SH           SOLE       1    118,280         --        --
GRANT PRIDECO INC           EQUITY       38821G101   23381      428,851  SH           SOLE       1    428,851         --        --
GRANT PRIDECO INC EQUITY    EQUITY       38821G101      22       403.00  SH         DEFINED      4         --         --       403
GRAPHIC PACKAGING CORP      EQUITY       388688103     270       59,768  SH           SOLE       1     59,768         --        --
GRAY TELEVISION INC         EQUITY       389375106     310       36,572  SH           SOLE       1     36,572         --        --
GREAT AMERN FINL RES INC    EQUITY       389915109     193        7,853  SH           SOLE       1      7,853         --        --
GREAT ATLANTIC & PAC TEA
   CO                       EQUITY       390064103     597       19,594  SH           SOLE       1     19,594         --        --
GREAT LAKES DREDGE & DOCK
   CO                       EQUITY       390607109      63        7,197  SH           SOLE       1      7,197         --        --
GREAT PLAINS ENERGY INC     EQUITY       391164100    6164      213,951  SH           SOLE       1    213,951         --        --
GREAT PLAINS ENERGY INC
   EQUITY                   EQUITY       391164100      19       671.81  SH         DEFINED      4         --         --       672
GREAT SOUTHERN BANCORP INC  EQUITY       390905107     225        9,050  SH           SOLE       1      9,050         --        --
GREAT WOLF RESORTS INC      EQUITY       391523107     331       26,795  SH           SOLE       1     26,795         --        --
GREATBATCH INC              EQUITY       39153L106     593       22,290  SH           SOLE       1     22,290         --        --
GREATBATCH INC EQUITY       EQUITY       39153L106       5       180.00  SH         DEFINED      4         --         --       180
GREATER BAY BANCORP         EQUITY       391648102    1238       44,536  SH           SOLE       1     44,536         --        --
GREEN MOUNTAIN COFFEE
   ROASTE                   EQUITY       393122106     498       15,014  SH           SOLE       1     15,014         --        --
GREENBRIER COMPANIES INC    EQUITY       393657101     373       13,957  SH           SOLE       1     13,957         --        --
GREENFIELD ONLINE           EQUITY       395150105     289       18,974  SH           SOLE       1     18,974         --        --
GREENHILL & CO INC          EQUITY       395259104    1013       16,588  SH           SOLE       1     16,588         --        --
GREENHILL & CO INC          EQUITY       395259104     784       12,850  SH           SOLE       2     12,850         --        --
GREIF INC CL B              EQUITY       397624206     170     3,000.00  SH         DEFINED      4         --         --     3,000
GREIF INC-CL A              EQUITY       397624107    2476       40,807  SH           SOLE       1     40,807         --        --
GREY WOLF INC               EQUITY       397888108    1055      161,014  SH           SOLE       1    161,014         --        --
GREY WOLF INC EQUITY        EQUITY       397888108       2       300.00  SH         DEFINED      4         --         --       300
GRIFFON CORPORATION         EQUITY       398433102     443       29,347  SH           SOLE       1     29,347         --        --
GROUP 1 AUTOMOTIVE INC      EQUITY       398905109     812       24,180  SH           SOLE       1     24,180         --        --
GRUBB & ELLIS CO            EQUITY       400095204     128       13,747  SH           SOLE       1     13,747         --        --
GRUBB & ELLIS CO            EQUITY       400095204    3286      353,300  SH           SOLE       2    353,300         --        --
GRUPO AEROPORTUARIO CTR
   NORT SPON ADR            EQUITY       400501102      29     1,019.00  SH         DEFINED      4         --         --     1,019
GRUPO SIMEC S A B DE C V
   ADR                      EQUITY       400491106       2       200.00  SH         DEFINED      4         --         --       200
GRUPO TELEVISA SA DE CV
   SP ADR REP ORD           EQUITY       40049J206       4       164.00  SH         DEFINED      4         --         --       164
GSI COMMERCE INC            EQUITY       36238G102     464       17,436  SH           SOLE       1     17,436         --        --
GSI COMMERCE INC            EQUITY       36238G102    1141       42,900  SH           SOLE       2     42,900         --        --
GSI EQUITYMERCE INC EQUITY  EQUITY       36238G102      16       600.00  SH         DEFINED      4         --         --       600
GTX INC                     EQUITY       40052B108     239       14,655  SH           SOLE       1     14,655         --        --
GUESS INC EQUITY            EQUITY       401617105       1        28.00  SH         DEFINED      4         --         --        28
GUESS? INC                  EQUITY       401617105    1591       32,449  SH           SOLE       1     32,449         --        --
GUIDANCE SOFTWARE INC       EQUITY       401692108      36        2,846  SH           SOLE       1      2,846         --        --
GUITAR CENTER INC           EQUITY       402040109    5032       84,861  SH           SOLE       1     84,861         --        --
GULF ISLAND FABRICATION
   INC                      EQUITY       402307102     412       10,739  SH           SOLE       1     10,739         --        --
GULFMARK OFFSHORE INC       EQUITY       402629109     969       19,922  SH           SOLE       1     19,922         --        --
GULFMARK OFFSHORE INC
   EQUITY                   EQUITY       402629109       4        82.00  SH         DEFINED      4         --         --        82
GULFPORT ENERGY CORP        EQUITY       402635304     406       17,179  SH           SOLE       1     17,179         --        --
GULFPORT ENERGY CORP
   EQUITY NEW               EQUITY       402635304      12       500.00  SH         DEFINED      4         --         --       500
GYMBOREE CORP               EQUITY       403777105    1079       30,625  SH           SOLE       1     30,625         --        --
H&E EQUIPMENT SERVICES INC  EQUITY       404030108     278       15,472  SH           SOLE       1     15,472         --        --
H.B. FULLER CO.             EQUITY       359694106    1795       60,484  SH           SOLE       1     60,484         --        --
HAEMONETICS CORP/MASS       EQUITY       405024100    1308       26,457  SH           SOLE       1     26,457         --        --
HAIN CELESTIAL GROUP INC    EQUITY       405217100    1271       39,556  SH           SOLE       1     39,556         --        --
HAIN CELESTIAL GROUP INC
   EQUITY                   EQUITY       405217100       5       155.00  SH         DEFINED      4         --         --       155
HALLIBURTON CO              EQUITY       406216101   27392      713,345  SH           SOLE       1    713,345         --        --
HALLIBURTON CO              EQUITY       406216101    9152      238,322  SH           SOLE       2    238,322         --        --
HALLIBURTON CO EQUITY       EQUITY       406216101    1602    41,711.00  SH         DEFINED      4         --         --    41,711
HALLIBURTON CO NOTE
   3.125% 7/1               FIXED INCOME 406216AM3       6         3.00  PRN        DEFINED      4         --         --         3
HALLMARK FINL SERVICES INC  EQUITY       40624Q203      56        3,976  SH           SOLE       1      3,976         --        --
HALOZYME THERAPEUTICS INC   EQUITY       40637H109     488       56,164  SH           SOLE       1     56,164         --        --
HALOZYME THERAPEUTICS INC   EQUITY       40637H109     267       30,750  SH           SOLE       2     30,750         --        --
HANCOCK HOLDING CO          EQUITY       410120109     934       23,306  SH           SOLE       1     23,306         --        --
HANCOCK JOHN INEQUITYE
   SECS TR EQUITY           EQUITY       410123103      16     1,177.49  SH         DEFINED      4         --         --     1,177
HANCOCK JOHN PATRIOT PREM
   II EQUITY SH BEN INT     EQUITY       41013T105     119    11,255.00  SH         DEFINED      4         --         --    11,255
HANCOCK JOHN PATRIOT
   SELCT D EQUITY           EQUITY       41013U102       6       500.00  SH         DEFINED      4         --         --       500
HANCOCK JOHN PFD
   INEQUITYE FD I EQUITY    EQUITY       41013X106     714    32,432.05  SH         DEFINED      4         --         --    32,432
HANCOCK JOHN PFD
   INEQUITYE FD I EQUITY    EQUITY       41021P103      30     1,500.00  SH         DEFINED      4         --         --     1,500
HANCOCK JOHN PFD
   INEQUITYE FD SH BEN INT  EQUITY       41013W108     221     9,987.75  SH         DEFINED      4         --         --     9,988
HANCOCK JOHN TAX-ADV DIV
   INC EQUITY               EQUITY       41013V100      39     2,048.91  SH         DEFINED      4         --         --     2,049
HANDLEMAN CO DEL EQUITY     EQUITY       410252100       4     1,350.00  SH         DEFINED      4         --         --     1,350
HANESBRANDS INC             EQUITY       410345102    6722      239,569  SH           SOLE       1    239,569         --        --
HANESBRANDS INC EQUITY      EQUITY       410345102       4       133.00  SH         DEFINED      4         --         --       133
HANMI FINANCIAL
   CORPORATION              EQUITY       410495105     627       40,489  SH           SOLE       1     40,489         --        --
HANOVER INSURANCE GROUP
   INC/                     EQUITY       410867105    5745      129,996  SH           SOLE       1    129,996         --        --





                                                                                        
HANSEN MEDICAL INC          EQUITY       411307101     226        8,329  SH           SOLE       1      8,329         --        --
HANSEN NATURAL CORPORATION  EQUITY       411310105    8388      147,993  SH           SOLE       1    147,993         --        --
HARDINGE INC                EQUITY       412324303     338        9,707  SH           SOLE       1      9,707         --        --
HARLEY DAVIDSON INC EQUITY  EQUITY       412822108     410     8,872.82  SH         DEFINED      4         --         --     8,873
HARLEY-DAVIDSON INC         EQUITY       412822108   10401      225,071  SH           SOLE       1    225,071         --        --
HARLEY-DAVIDSON INC         EQUITY       412822108      15          317  SH           SOLE       2        317         --        --
HARLEYSVILLE GROUP INC      EQUITY       412824104     436       13,625  SH           SOLE       1     13,625         --        --
HARLEYSVILLE NATIONAL CORP  EQUITY       412850109     400       25,195  SH           SOLE       1     25,195         --        --
HARMAN INTERNATIONAL        EQUITY       413086109    6974       80,606  SH           SOLE       1     80,606         --        --
HARMAN INTERNATIONAL        EQUITY       413086109       7           82  SH           SOLE       2         82         --        --
HARMAN INTL INDS INC
   EQUITY                   EQUITY       413086109      34       397.00  SH         DEFINED      4         --         --       397
HARMONIC INC                EQUITY       413160102     840       79,133  SH           SOLE       1     79,133         --        --
HARRAH'S ENTERTAINMENT INC  EQUITY       413619107   22859      262,958  SH           SOLE       1    262,958         --        --
HARRAH'S ENTERTAINMENT INC  EQUITY       413619107      21          236  SH           SOLE       2        236         --        --
HARRAHS ENTMT INC EQUITY    EQUITY       413619107      46       526.00  SH         DEFINED      4         --         --       526
HARRIS & HARRIS GROUP INC
   EQUITY                   EQUITY       413833104       5       500.00  SH         DEFINED      4         --         --       500
HARRIS CORP                 EQUITY       413875105   19756      341,853  SH           SOLE       1    341,853         --        --
HARRIS CORP DEL EQUITY      EQUITY       413875105       6       100.00  SH         DEFINED      4         --         --       100
HARRIS INTERACTIVE INC      EQUITY       414549105     198       45,876  SH           SOLE       1     45,876         --        --
HARRIS STRATEX
   NETWORKS-CL A            EQUITY       41457P106     385       22,055  SH           SOLE       1     22,055         --        --
HARSCO CORP                 EQUITY       415864107   12380      208,867  SH           SOLE       1    208,867         --        --
HARSCO CORP EQUITY          EQUITY       415864107     131     2,218.00  SH         DEFINED      4         --         --     2,218
HARTE-HANKS INC             EQUITY       416196103    2416      122,772  SH           SOLE       1    122,772         --        --
HARTFORD FINANCIAL SVCS
   GRP                      EQUITY       416515104   76165      823,664  SH           SOLE       1    823,664         --        --
HARTFORD FINANCIAL SVCS
   GRP                      EQUITY       416515104     574        6,201  SH           SOLE       2      6,201         --        --
HARTFORD FINL SVCS GROUP
   INC EQUITY               EQUITY       416515104     172     1,861.00  SH         DEFINED      4         --         --     1,861
HARVEST ENERGY TR TRUST
   UNIT                     EQUITY       41752X101    1816    66,756.00  SH         DEFINED      4         --         --    66,756
HARVEST ENERGY TRUST-UNITS  EQUITY       41752X101      65        2,498  SH          OTHER       1         --      2,498        --
HARVEST NATURAL RESOURCES
   IN                       EQUITY       41754V103     391       32,775  SH           SOLE       1     32,775         --        --
HASBRO INC                  EQUITY       418056107    2072       74,333  SH           SOLE       1     74,333         --        --
HASBRO INC                  EQUITY       418056107    7299      261,802  SH           SOLE       2    261,802         --        --
HAVERTY FURNITURE           EQUITY       419596101     176       20,096  SH           SOLE       1     20,096         --        --
HAWAIIAN ELEC INDUSTRIES
   EQUITY                   EQUITY       419870100      24     1,102.00  SH         DEFINED      4         --         --     1,102
HAWAIIAN ELECTRIC INDS      EQUITY       419870100    4472      205,985  SH           SOLE       1    205,985         --        --
HAYES LEMMERZ
   INTERNATIONAL            EQUITY       420781304     345       82,990  SH           SOLE       1     82,990         --        --
HAYNES INTERNATIONAL INC    EQUITY       420877201   18625      218,164  SH           SOLE       1    218,164         --        --
HCC INS HLDGS INC EQUITY    EQUITY       404132102       5       178.00  SH         DEFINED      4         --         --       178
HCC INSURANCE HOLDINGS INC  EQUITY       404132102    8593      300,043  SH           SOLE       1    300,043         --        --
HCC INSURANCE HOLDINGS INC  EQUITY       404132102   12942      451,900  SH           SOLE       2    451,900         --        --
HCP INC                     EQUITY       40414L109    3243       97,761  SH           SOLE       1     97,761         --        --
HCP INC EQUITY ADDED        EQUITY       40414L109     212     6,395.00  SH         DEFINED      4         --         --     6,395
HEADWATERS INC              EQUITY       42210P102     591       39,687  SH           SOLE       1     39,687         --        --
HEADWATERS INC EQUITY       EQUITY       42210P102       6       370.00  SH         DEFINED      4         --         --       370
HEALTH CARE REIT INC
   EQUITY                   EQUITY       42217K106      11       258.32  SH         DEFINED      4         --         --       258
HEALTH MGMT ASSOC INC NEW
   CL A                     EQUITY       421933102      40     5,765.23  SH         DEFINED      4         --         --     5,765
HEALTH MGMT ASSOCIATES
   INC-A                    EQUITY       421933102    4202      605,448  SH           SOLE       1    605,448         --        --
HEALTH NET INC              EQUITY       42222G108   15022      277,919  SH           SOLE       1    277,919         --        --
HEALTHCARE RLTY TR EQUITY   EQUITY       421946104     180     6,745.18  SH         DEFINED      4         --         --     6,745
HEALTHCARE SERVICES GROUP   EQUITY       421906108     841       41,467  SH           SOLE       1     41,467         --        --
HEALTHEXTRAS INC            EQUITY       422211102    1380       49,603  SH           SOLE       1     49,603         --        --
HEALTHSHARES INC
   EQUITYPOSITE FD          EQUITY       42226E760       6       200.00  SH         DEFINED      4         --         --       200
HEALTHSOUTH CORP            EQUITY       421924309    1201       68,566  SH           SOLE       1     68,566         --        --
HEALTHSOUTH CORP            EQUITY       421924309    4787      273,400  SH           SOLE       2    273,400         --        --
HEALTHSOUTH CORP EQUITY
   NEW                      EQUITY       421924309       1        31.00  SH         DEFINED      4         --         --        31
HEALTHSPRING INC            EQUITY       42224N101     813       41,673  SH           SOLE       1     41,673         --        --
HEALTHSPRING INC EQUITY     EQUITY       42224N101     203    10,395.00  SH         DEFINED      4         --         --    10,395
HEALTHTRONICS INC EQUITY    EQUITY       42222L107       8     1,500.00  SH         DEFINED      4         --         --     1,500
HEALTHWAYS INC              EQUITY       422245100    1888       34,985  SH           SOLE       1     34,985         --        --
HEARST-ARGYLE TELEVISION
   INC                      EQUITY       422317107      11          428  SH           SOLE       1        428         --        --
HEARTLAND EXPRESS INC       EQUITY       422347104     826       57,810  SH           SOLE       1     57,810         --        --
HEARTLAND FINANCIAL USA
   INC                      EQUITY       42234Q102     227       11,049  SH           SOLE       1     11,049         --        --
HEARTLAND PAYMENT SYSTEMS
   IN                       EQUITY       42235N108     365       14,198  SH           SOLE       1     14,198         --        --
HEARTLAND PAYMENT SYSTEMS
   IN                       EQUITY       42235N108    1963       76,400  SH           SOLE       2     76,400         --        --
HEARTLAND PMT SYS INC
   EQUITY                   EQUITY       42235N108     308    12,000.00  SH         DEFINED      4         --         --    12,000
HECLA MINING CO             EQUITY       422704106     938      104,769  SH           SOLE       1    104,769         --        --
HECLA MNG CO EQUITY         EQUITY       422704106      55     6,100.00  SH         DEFINED      4         --         --     6,100
HEELYS INC                  EQUITY       42279M107      45        5,590  SH           SOLE       1      5,590         --        --
HEICO CORP                  EQUITY       422806109    1099       22,262  SH           SOLE       1     22,262         --        --
HEIDRICK & STRUGGLES INTL   EQUITY       422819102     655       17,974  SH           SOLE       1     17,974         --        --
HEIDRICK & STRUGGLES INTL   EQUITY       422819102    2129       58,400  SH           SOLE       2     58,400         --        --





                                                                                        
HEINZ H J CO EQUITY         EQUITY       423074103     108     2,345.84  SH         DEFINED      4         --         --     2,346
HELIX ENERGY SOLUTIONS
   GROUP                    EQUITY       42330P107     545       12,845  SH           SOLE       1     12,845         --        --
HELIX ENERGY SOLUTIONS
   GRP I EQUITY             EQUITY       42330P107       3        62.00  SH         DEFINED      4         --         --        62
HELMERICH & PAYNE           EQUITY       423452101    8474      258,116  SH           SOLE       1    258,116         --        --
HEMISPHERX BIOPHARMA INC
   EQUITY                   EQUITY       42366C103       5     3,000.00  SH         DEFINED      4         --         --     3,000
HENRY SCHEIN INC            EQUITY       806407102   13481      221,587  SH           SOLE       1    221,587         --        --
HERCULES INC                EQUITY       427056106    3146      149,646  SH           SOLE       1    149,646         --        --
HERCULES INC                EQUITY       427056106       3          146  SH           SOLE       2        146         --        --
HERCULES INC EQUITY         EQUITY       427056106       1        48.00  SH         DEFINED      4         --         --        48
HERCULES OFFSHORE INC       EQUITY       427093109    1889       72,338  SH           SOLE       1     72,338         --        --
HERCULES TECH GROWTH CAP
   INC EQUITY               EQUITY       427096508     195    14,184.00  SH         DEFINED      4         --         --    14,184
HERCULES TECHNOLOGY GROWTH  EQUITY       427096508     272       20,514  SH           SOLE       1     20,514         --        --
HERCULES TECHNOLOGY GROWTH  EQUITY       427096508    5308      400,000  SH           SOLE       2    400,000         --        --
HERITAGE COMMERCE CORP      EQUITY       426927109     216       10,189  SH           SOLE       1     10,189         --        --
HERLEY INDS INC DEL EQUITY  EQUITY       427398102       6       388.00  SH         DEFINED      4         --         --       388
HERMAN MILLER INC           EQUITY       600544100    5621      207,107  SH           SOLE       1    207,107         --        --
HERSHA HOSPITALITY TRUST    EQUITY       427825104     352       35,604  SH           SOLE       1     35,604         --        --
HERSHEY CO EQUITY           EQUITY       427866108      28       599.00  SH         DEFINED      4         --         --       599
HERSHEY CO/THE              EQUITY       427866108    8159      176,476  SH           SOLE       1    176,476         --        --
HERSHEY CO/THE              EQUITY       427866108    1760       37,913  SH           SOLE       2     37,913         --        --
HERTZ GLOBAL HOLDINGS INC   EQUITY       42805T105     221        9,720  SH           SOLE       1      9,720         --        --
HESS CORP                   EQUITY       42809H107    8624      129,630  SH           SOLE       1    129,630         --        --
HESS CORP                   EQUITY       42809H107      23          349  SH           SOLE       2        349         --        --
HESS CORP EQUITY            EQUITY       42809H107       3        43.00  SH         DEFINED      4         --         --        43
HEWITT ASSOCIATES INC-CL A  EQUITY       42822Q100     103        2,934  SH           SOLE       1      2,934         --        --
HEWLETT PACKARD CO EQUITY   EQUITY       428236103     965    19,376.73  SH         DEFINED      4         --         --    19,377
HEWLETT-PACKARD CO          EQUITY       428236103  179429    3,603,627  SH           SOLE       1  3,603,627         --        --
HEWLETT-PACKARD CO          EQUITY       428236103   42424      852,051  SH           SOLE       2    852,051         --        --
HEXCEL CORP                 EQUITY       428291108    1866       82,149  SH           SOLE       1     82,149         --        --
HEXCEL CORP                 EQUITY       428291108     545       24,000  SH           SOLE       2     24,000         --        --
HFF INC-CLASS A             EQUITY       40418F108     170       14,309  SH           SOLE       1     14,309         --        --
HIBBETT SPORTS INC          EQUITY       428567101     780       31,463  SH           SOLE       1     31,463         --        --
HIGHWOODS PPTYS INC EQUITY  EQUITY       431284108       2        55.00  SH         DEFINED      4         --         --        55
HIGHWOODS PROPERTIES INC    EQUITY       431284108    6987      190,550  SH           SOLE       1    190,550         --        --
HILAND HLDGS GP LP UNIT
   LP INT                   EQUITY       43129M107      11       400.00  SH         DEFINED      4         --         --       400
HILB ROGAL & HOBBS CO       EQUITY       431294107    1589       36,671  SH           SOLE       1     36,671         --        --
HILLENBRAND INDS INC
   EQUITY                   EQUITY       431573104      17       300.00  SH         DEFINED      4         --         --       300
HILLENBRAND INDUSTRIES      EQUITY       431573104    8538      155,188  SH           SOLE       1    155,188         --        --
HILLTOP HOLDINGS INC        EQUITY       432748101     486       41,380  SH           SOLE       1     41,380         --        --
HILTON HOTELS CORP          EQUITY       432848109   26291      565,527  SH           SOLE       1    565,527         --        --
HILTON HOTELS CORP          EQUITY       432848109      23          492  SH           SOLE       2        492         --        --
HILTON HOTELS CORP EQUITY   EQUITY       432848109      56     1,213.00  SH         DEFINED      4         --         --     1,213
HILTON HOTELS CORP NOTE
   3.375% 4/1               FIXED INCOME 432848AZ2       8         4.00  PRN        DEFINED      4         --         --         4
HITACHI LIMITED ADR 10
   EQUITY                   EQUITY       433578507       7       112.00  SH         DEFINED      4         --         --       112
HITTITE MICROWAVE CORP      EQUITY       43365Y104     630       14,272  SH           SOLE       1     14,272         --        --
HJ HEINZ CO                 EQUITY       423074103   11719      253,648  SH           SOLE       1    253,648         --        --
HJ HEINZ CO                 EQUITY       423074103      19          402  SH           SOLE       2        402         --        --
HLTH CORP                   EQUITY       40422Y101    1334       94,168  SH           SOLE       1     94,168         --        --
HMS HLDGS CORP EQUITY       EQUITY       40425J101      10       400.00  SH         DEFINED      4         --         --       400
HMS HOLDINGS CORP           EQUITY       40425J101    2097       85,219  SH           SOLE       1     85,219         --        --
HMS HOLDINGS CORP           EQUITY       40425J101    5518      224,200  SH           SOLE       3    192,600         --    31,600
HNI CORP                    EQUITY       404251100    4325      120,144  SH           SOLE       1    120,144         --        --
HOLLY CORP                  EQUITY       435758305    1033       17,270  SH           SOLE       1     17,270         --        --
HOLLY CORP EQUITY PAR
   $0.01                    EQUITY       435758305       6       400.00  SH         DEFINED      4         --         --       400
HOLOGIC INC                 EQUITY       436440101   32733      536,600  SH           SOLE       2    536,600         --        --
HOME BANCSHARES INC         EQUITY       436893200     218        9,998  SH           SOLE       1      9,998         --        --
HOME DEPOT INC              EQUITY       437076102   25042      771,955  SH           SOLE       1    771,955         --        --
HOME DEPOT INC              EQUITY       437076102    2632       81,129  SH           SOLE       2     81,129         --        --
HOME DEPOT INC CALL         OPTION       437076902                (9.00)        C   DEFINED      4         --         --        (9)
HOME DEPOT INC EQUITY       EQUITY       437076102     811    25,008.24  SH         DEFINED      4         --         --    25,008
HOME DIAGNOSTICS INC        EQUITY       437080104    2260      235,900  SH           SOLE       2    235,900         --        --
HOME INNS & HOTELS MGMT
   INC SPON ADR             EQUITY       43713W107       3       100.00  SH     P   DEFINED      4         --         --       100
HOME PROPERTIES INC         EQUITY       437306103    1511       28,958  SH           SOLE       1     28,958         --        --
HOME PROPERTIES INC EQUITY  EQUITY       437306103       1        15.00  SH         DEFINED      4         --         --        15
HOME SOLUTIONS OF AMERICA
   IN                       EQUITY       437355100     116       34,301  SH           SOLE       1     34,301         --        --
HONDA MOTOR LTD AMERN SHS   EQUITY       438128308      39     1,180.00  SH         DEFINED      4         --         --     1,180
HONEYWELL INTERNATIONAL
   INC                      EQUITY       438516106   20669      347,547  SH           SOLE       1    347,547         --        --
HONEYWELL INTERNATIONAL
   INC                      EQUITY       438516106   30743      516,944  SH           SOLE       2    516,944         --        --
HONEYWELL INTL INC EQUITY   EQUITY       438516106    1160    19,509.55  SH         DEFINED      4         --         --    19,510
HOOKER FURNITURE CORP       EQUITY       439038100     207       10,353  SH           SOLE       1     10,353         --        --





                                                                                        
HOOPER HOLMES INC           EQUITY       439104100      20        8,640  SH           SOLE       1      8,640         --        --
HORACE MANN EDUCATORS       EQUITY       440327104    2841      144,138  SH           SOLE       1    144,138         --        --
HORIZON FINANCIAL CORP      EQUITY       44041F105     216       10,660  SH           SOLE       1     10,660         --        --
HORIZON LINES INC EQUITY    EQUITY       44044K101     107     3,494.00  SH         DEFINED      4         --         --     3,494
HORIZON LINES INC-CL A      EQUITY       44044K101     895       29,309  SH           SOLE       1     29,309         --        --
HORIZON OFFSHORE INC        EQUITY       44043J204    9133      553,506  SH           SOLE       1    553,506         --        --
HORMEL FOODS CORP           EQUITY       440452100    6467      180,746  SH           SOLE       1    180,746         --        --
HORMEL FOODS CORP EQUITY    EQUITY       440452100       7       200.00  SH         DEFINED      4         --         --       200
HORNBECK OFFSHORE SERVICES  EQUITY       440543106     841       22,929  SH           SOLE       1     22,929         --        --
HOSPIRA INC                 EQUITY       441060100    2872       69,286  SH           SOLE       1     69,286         --        --
HOSPIRA INC                 EQUITY       441060100       8          198  SH           SOLE       2        198         --        --
HOSPIRA INC EQUITY          EQUITY       441060100      16       397.00  SH         DEFINED      4         --         --       397
HOSPITALITY PPTYS TR
   EQUITY SH BEN INT        EQUITY       44106M102     246     6,054.47  SH         DEFINED      4         --         --     6,054
HOSPITALITY PROPERTIES
   TRUST                    EQUITY       44106M102     654       16,083  SH           SOLE       1     16,083         --        --
HOST HOTELS & RESORTS INC   EQUITY       44107P104   20481      912,702  SH           SOLE       1    912,702         --        --
HOST HOTELS & RESORTS INC   EQUITY       44107P104      15          659  SH           SOLE       2        659         --        --
HOST HOTELS & RESORTS INC
   EQUITY                   EQUITY       44107P104       8       348.00  SH         DEFINED      4         --         --       348
HOT TOPIC INC               EQUITY       441339108     330       44,256  SH           SOLE       1     44,256         --        --
HOUSTON WIRE & CABLE CO     EQUITY       44244K109     265       14,636  SH           SOLE       1     14,636         --        --
HOUSTON WIRE & CABLE CO     EQUITY       44244K109    1413       78,000  SH           SOLE       2     78,000         --        --
HOVNANIAN ENTERPRISES INC
   CL A                     EQUITY       442487203       4       382.00  SH         DEFINED      4         --         --       382
HOVNANIAN ENTERPRISES INC
   PUT                      OPTION       442487953       2        15.00         P   DEFINED      4         --         --        15
HOVNANIAN ENTERPRISES-A     EQUITY       442487203    1700      153,262  SH           SOLE       1    153,262         --        --
HRPT PPTYS TR EQUITY SH
   BEN INT                  EQUITY       40426W101      83     8,389.00  SH         DEFINED      4         --         --     8,389
HSBC HLDGS PLC SPON ADR
   NEW                      EQUITY       404280406     127     1,371.00  SH         DEFINED      4         --         --     1,371
HSBC HOLDINGS PLC           FIXED INCOME 404280604    1202       54,000  PRN          SOLE       1     54,000         --        --
HUB GROUP INC-CL A          EQUITY       443320106    1163       38,742  SH           SOLE       1     38,742         --        --
HUBBELL INC CL B            EQUITY       443510201      54       950.00  SH         DEFINED      4         --         --       950
HUBBELL INC -CL B           EQUITY       443510201    8533      149,395  SH           SOLE       1    149,395         --        --
HUDSON CITY BANCORP INC     EQUITY       443683107    3741      243,246  SH           SOLE       1    243,246         --        --
HUDSON CITY BANCORP INC     EQUITY       443683107      10          671  SH           SOLE       2        671         --        --
HUDSON HIGHLAND GROUP INC   EQUITY       443792106     279       21,943  SH           SOLE       1     21,943         --        --
HUDSON HIGHLAND GROUP INC
   EQUITY                   EQUITY       443792106                14.00  SH         DEFINED      4         --         --        14
HUGHES COMMUNICATIONS INC   EQUITY       444398101     290        5,593  SH           SOLE       1      5,593         --        --
HUGOTON RTY TR TEX UNIT
   BEN INT                  EQUITY       444717102      56     2,376.07  SH         DEFINED      4         --         --     2,376
HUMAN GENOME SCIENCES INC   EQUITY       444903108    1203      116,932  SH           SOLE       1    116,932         --        --
HUMAN GENOME SCIENCES INC
   EQUITY                   EQUITY       444903108                34.00  SH         DEFINED      4         --         --        34
HUMANA INC                  EQUITY       444859102   14059      201,963  SH           SOLE       1    201,963         --        --
HUMANA INC                  EQUITY       444859102      15          213  SH           SOLE       2        213         --        --
HUMANA INC EQUITY           EQUITY       444859102     102     1,454.00  SH         DEFINED      4         --         --     1,454
HUNGARIAN TELEPHONE &
   CABLE                    EQUITY       445542103      61        3,117  SH           SOLE       1      3,117         --        --
HUNT (JB) TRANSPRT SVCS
   INC                      EQUITY       445658107    6070      230,812  SH           SOLE       1    230,812         --        --
HUNT J B TRANS SVCS INC
   EQUITY                   EQUITY       445658107       5       200.00  SH         DEFINED      4         --         --       200
HUNTINGTON BANCSHARES INC   EQUITY       446150104   14611      855,688  SH           SOLE       1    855,688         --        --
HUNTINGTON BANCSHARES INC   EQUITY       446150104       8          461  SH           SOLE       2        461         --        --
HUNTINGTON BANCSHARES INC
   EQUITY                   EQUITY       446150104      20     1,182.00  SH         DEFINED      4         --         --     1,182
HUNTSMAN CORP               EQUITY       447011107      90        3,402  SH           SOLE       1      3,402         --        --
HURCO COMPANIES INC         EQUITY       447324104     263        4,856  SH           SOLE       1      4,856         --        --
HURON CONSULTING GROUP INC  EQUITY       447462102    1179       16,241  SH           SOLE       1     16,241         --        --
HURON CONSULTING GROUP INC  EQUITY       447462102     414        5,700  SH           SOLE       2      5,700         --        --
HURON CONSULTING GROUP
   INC EQUITY               EQUITY       447462102       1        19.00  SH         DEFINED      4         --         --        19
HUTCHINSON TECH             EQUITY       448407106     638       25,919  SH           SOLE       1     25,919         --        --
HUTCHINSON TECH             EQUITY       448407106    4305      175,000  SH           SOLE       2    175,000         --        --
HUTTIG BLDG PRODS INC
   EQUITY                   EQUITY       448451104       8     1,500.00  SH         DEFINED      4         --         --     1,500
HYPERCOM CORP               EQUITY       44913M105     209       46,319  SH           SOLE       1     46,319         --        --
HYTHIAM INC                 EQUITY       44919F104     196       26,498  SH           SOLE       1     26,498         --        --
I2 TECHNOLOGIES INC         EQUITY       465754208     205       13,461  SH           SOLE       1     13,461         --        --
I2 TECHNOLOGIES INC
   EQUITY NEW               EQUITY       465754208                13.00  SH         DEFINED      4         --         --        13
IAC INTERACTIVECORP *W
   EXP 02/04/200            WTS          44919P128                 4.00  SH         DEFINED      4         --         --         4
IAC INTERACTIVECORP
   EQUITY NEW               EQUITY       44919P300      13       425.00  SH         DEFINED      4         --         --       425
IAC/INTERACTIVECORP         EQUITY       44919P300    7558      255,159  SH           SOLE       1    255,159         --        --
IAC/INTERACTIVECORP         EQUITY       44919P300       7          241  SH           SOLE       2        241         --        --
IBASIS INC                  EQUITY       450732201     310       28,851  SH           SOLE       1     28,851         --        --
IBERIABANK CORP             EQUITY       450828108     531       10,092  SH           SOLE       1     10,092         --        --
ICICI BK LTD ADR            EQUITY       45104G104      11       200.00  SH         DEFINED      4         --         --       200
ICO GLOBAL COM HLDG
   LTD-NEW                  EQUITY       44930K108     311       89,463  SH           SOLE       1     89,463         --        --
ICON PUB LTD CO SPONSORED
   ADR                      EQUITY       45103T107      10       200.00  SH         DEFINED      4         --         --       200
ICONIX BRAND GROUP INC      EQUITY       451055107    1221       51,308  SH           SOLE       1     51,308         --        --
ICT GROUP INC               EQUITY       44929Y101      95        7,049  SH           SOLE       1      7,049         --        --
ICU MEDICAL INC             EQUITY       44930G107     499       12,890  SH           SOLE       1     12,890         --        --





                                                                                        
IDACORP INC                 EQUITY       451107106   10413      318,063  SH           SOLE       1    318,063         --        --
IDAHO GENERAL MINES INC     EQUITY       451272306     280       42,223  SH           SOLE       1     42,223         --        --
IDEARC INC                  EQUITY       451663108     172        5,458  SH           SOLE       1      5,458         --        --
IDEARC INC EQUITY           EQUITY       451663108      31       978.36  SH         DEFINED      4         --         --       978
IDENIX PHARMACEUTICALS INC  EQUITY       45166R204      62       21,561  SH           SOLE       1     21,561         --        --
IDEX CORP                   EQUITY       45167R104    7333      201,511  SH           SOLE       1    201,511         --        --
IDEX CORP                   EQUITY       45167R104    4118      113,164  SH           SOLE       2    113,164         --        --
IDEXX LABORATORIES INC      EQUITY       45168D104     471        4,297  SH           SOLE       1      4,297         --        --
IDEXX LABORATORIES INC      EQUITY       45168D104     548        5,000  SH           SOLE       2      5,000         --        --
IDEXX LABS INC EQUITY       EQUITY       45168D104      60       544.00  SH         DEFINED      4         --         --       544
IDT CORP-CL B               EQUITY       448947309     362       43,227  SH           SOLE       1     43,227         --        --
I-FLOW CORP                 EQUITY       449520303     333       17,924  SH           SOLE       1     17,924         --        --
IGATE CORP                  EQUITY       45169U105     163       18,995  SH           SOLE       1     18,995         --        --
IHOP CORP                   EQUITY       449623107    1080       17,051  SH           SOLE       1     17,051         --        --
IHS INC-CLASS A             EQUITY       451734107    1548       27,399  SH           SOLE       1     27,399         --        --
II-VI INC                   EQUITY       902104108     713       20,655  SH           SOLE       1     20,655         --        --
IKON OFFICE SOLUTIONS INC   EQUITY       451713101    1203       93,631  SH           SOLE       1     93,631         --        --
ILLINOIS TOOL WKS INC CALL  OPTION       452308909                (1.00)        C   DEFINED      4         --         --        (1)
ILLINOIS TOOL WKS INC
   EQUITY                   EQUITY       452308109      25       411.00  SH         DEFINED      4         --         --       411
ILLINOIS TOOL WORKS         EQUITY       452308109   16938      283,996  SH           SOLE       1    283,996         --        --
ILLINOIS TOOL WORKS         EQUITY       452308109      32          529  SH           SOLE       2        529         --        --
ILLUMINA INC                EQUITY       452327109    2423       46,696  SH           SOLE       1     46,696         --        --
ILLUMINA INC                EQUITY       452327109     389        7,500  SH           SOLE       2      7,500         --        --
ILLUMINA INC EQUITY         EQUITY       452327109       5       100.00  SH         DEFINED      4         --         --       100
IMATION CORP                EQUITY       45245A107    2822      115,058  SH           SOLE       1    115,058         --        --
IMCLONE SYS INC EQUITY      EQUITY       45245W109                10.00  SH         DEFINED      4         --         --        10
IMCLONE SYSTEMS             EQUITY       45245W109       3           61  SH           SOLE       1         61         --        --
IMCLONE SYSTEMS             EQUITY       45245W109     364        8,800  SH           SOLE       2      8,800         --        --
IMERGENT INC                EQUITY       45247Q100     240       10,715  SH           SOLE       1     10,715         --        --
IMERGENT INC EQUITY         EQUITY       45247Q100      17       771.00  SH         DEFINED      4         --         --       771
IMMERSION CORP EQUITY       EQUITY       452521107      36     2,200.00  SH         DEFINED      4         --         --     2,200
IMMERSION CORPORATION       EQUITY       452521107     372       22,723  SH           SOLE       1     22,723         --        --
IMMTECH PHARMACEUTICALS
   INC EQUITY               EQUITY       452519101      11     1,350.00  SH         DEFINED      4         --         --     1,350
IMMUCOR INC                 EQUITY       452526106    2456       68,704  SH           SOLE       1     68,704         --        --
IMMUCOR INC                 EQUITY       452526106     854       23,900  SH           SOLE       2     23,900         --        --
IMMUCOR INC EQUITY          EQUITY       452526106       7       200.00  SH         DEFINED      4         --         --       200
IMMUNOMEDICS INC            EQUITY       452907108     115       50,413  SH           SOLE       1     50,413         --        --
IMPAC MORTGAGE HOLDINGS
   INC                      EQUITY       45254P102     102       66,059  SH           SOLE       1     66,059         --        --
IMPERIAL CAPITAL BANCORP
   INC                      EQUITY       452680101     135        4,782  SH           SOLE       1      4,782         --        --
IMPERIAL OIL LTD            EQUITY       453038408     346        6,990  SH          OTHER       1         --      6,990        --
IMPERIAL OIL LTD EQUITY
   NEW                      EQUITY       453038408     536    10,800.00  SH         DEFINED      4         --         --    10,800
IMPERIAL SUGAR CO           EQUITY       453096208     267       10,220  SH           SOLE       1     10,220         --        --
IMPERIAL SUGAR CO NEW
   EQUITY NEW               EQUITY       453096208       6       243.00  SH         DEFINED      4         --         --       243
IMPERIAL TOBACCO GROUP
   PLC SPONSORED ADR        EQUITY       453142101      37       400.00  SH         DEFINED      4         --         --       400
IMS HEALTH INC              EQUITY       449934108    2716       88,648  SH           SOLE       1     88,648         --        --
IMS HEALTH INC              EQUITY       449934108       8          246  SH           SOLE       2        246         --        --
INCYTE CORP                 EQUITY       45337C102     522       73,057  SH           SOLE       1     73,057         --        --
INDEPENDENCE HOLDING CO     EQUITY       453440307     113        5,562  SH           SOLE       1      5,562         --        --
INDEPENDENT BANK CORP -
   MICH                     EQUITY       453838104     245       22,152  SH           SOLE       1     22,152         --        --
INDEPENDENT BANK CORP
   MICH EQUITY              EQUITY       453838104       5       494.90  SH         DEFINED      4         --         --       495
INDEPENDENT BANK CORP/MA    EQUITY       453836108     368       12,398  SH           SOLE       1     12,398         --        --
INDEVUS PHARMACEUTICALS
   INC                      EQUITY       454072109     368       53,222  SH           SOLE       1     53,222         --        --
INDIA FD INC EQUITY         EQUITY       454089103     181     3,332.14  SH         DEFINED      4         --         --     3,332
INDYMAC BANCORP INC         EQUITY       456607100    4355      184,472  SH           SOLE       1    184,472         --        --
INDYMAC BANCORP INC EQUITY  EQUITY       456607100       2       100.00  SH         DEFINED      4         --         --       100
INFINITY PROPERTY &
   CASUALTY                 EQUITY       45665Q103     777       19,330  SH           SOLE       1     19,330         --        --
INFORMATICA CORP            EQUITY       45666Q102    1368       87,163  SH           SOLE       1     87,163         --        --
INFORMATICA CORP            EQUITY       45666Q102     419       26,700  SH           SOLE       2     26,700         --        --
INFORMATION SERVICES GROUP  EQUITY       45675Y104     215       28,133  SH           SOLE       1     28,133         --        --
INFOSPACE INC               EQUITY       45678T201     579       32,954  SH           SOLE       1     32,954         --        --
INFOSPACE INC EQUITY NEW    EQUITY       45678T201                21.00  SH         DEFINED      4         --         --        21
INFOSYS TECHNOLOGIES LTD
   SPONSORED ADR            EQUITY       456788108      12       238.00  SH         DEFINED      4         --         --       238
INFOSYS TECHNOLOGIES-SP
   ADR                      EQUITY       456788108     265        5,467  SH           SOLE       1      5,467         --        --
INFOUSA INC                 EQUITY       456818301     263       28,276  SH           SOLE       1     28,276         --        --
ING CLARION GLB RE EST
   INCM EQUITY              EQUITY       44982G104     403    20,421.49  SH         DEFINED      4         --         --    20,421
ING CLARION REAL EST
   INEQUITYE EQUITY SHS     EQUITY       449788108      25     1,671.00  SH         DEFINED      4         --         --     1,671
ING GLOBAL EQTY DIV &
   PREM O EQUITY            EQUITY       45684E107      86     4,450.00  SH         DEFINED      4         --         --     4,450
ING GROUP N V SPONSORED
   ADR                      EQUITY       456837103      62     1,390.00  SH         DEFINED      4         --         --     1,390
ING PRIME RATE TR SH BEN
   INT                      EQUITY       44977W106     126    17,941.52  SH         DEFINED      4         --         --    17,942
INGERSOLL-RAND CO LTD-CL A  EQUITY       G4776G101      20          361  SH           SOLE       2        361         --        --





                                                                                        
INGERSOLL-RAND EQUITYPANY
   LTD CL A                 EQUITY       G4776G101     119     2,181.36  SH         DEFINED      4         --         --     2,181
INGLES MARKETS INC  -CL A   EQUITY       457030104     309       10,785  SH           SOLE       1     10,785         --        --
INGRAM MICRO INC-CL A       EQUITY       457153104    7101      362,107  SH           SOLE       1    362,107         --        --
INLAND REAL ESTATE CORP     EQUITY       457461200     897       57,927  SH           SOLE       1     57,927         --        --
INLAND REAL ESTATE CORP
   EQUITY NEW               EQUITY       457461200     118     7,631.23  SH         DEFINED      4         --         --     7,631
INNERWORKINGS INC           EQUITY       45773Y105     349       20,269  SH           SOLE       1     20,269         --        --
INNOPHOS HOLDINGS INC       EQUITY       45774N108     277       18,174  SH           SOLE       1     18,174         --        --
INNOSPEC INC                EQUITY       45768S105     477       20,943  SH           SOLE       1     20,943         --        --
INNOSPEC INC EQUITY         EQUITY       45768S105       1        50.00  SH         DEFINED      4         --         --        50
INNOVATIVE SOLUTIONS &
   SUPP                     EQUITY       45769N105     208       10,972  SH           SOLE       1     10,972         --        --
INOVIO BIOMEDICAL CORP
   EQUITY                   EQUITY       45773H102       4     2,600.00  SH         DEFINED      4         --         --     2,600
INPHONIC INC                EQUITY       45772G105      59       21,430  SH           SOLE       1     21,430         --        --
INSIGHT ENTERPRISES INC     EQUITY       45765U103    1246       48,282  SH           SOLE       1     48,282         --        --
INSITUFORM
   TECHNOLOGIES-CL A        EQUITY       457667103     415       27,249  SH           SOLE       1     27,249         --        --
INSTEEL INDUSTRIES INC      EQUITY       45774W108     244       15,900  SH           SOLE       1     15,900         --        --
INSULET CORP                EQUITY       45784P101     148        6,823  SH           SOLE       1      6,823         --        --
INSURED MUN INEQUITYE FD
   EQUITY                   EQUITY       45809F104      14     1,036.00  SH         DEFINED      4         --         --     1,036
INSWEB CORP                 EQUITY       45809K202      83        9,194  SH           SOLE       1      9,194         --        --
INTEGRA BANK CORPORATION    EQUITY       45814P105     329       18,140  SH           SOLE       1     18,140         --        --
INTEGRA LIFESCIENCES
   HOLDING                  EQUITY       457985208     874       17,999  SH           SOLE       1     17,999         --        --
INTEGRAL SYSTEMS INC/MD     EQUITY       45810H107     166        7,739  SH           SOLE       1      7,739         --        --
INTEGRATED DEVICE TECH INC  EQUITY       458118106    7595      490,660  SH           SOLE       1    490,660         --        --
INTEGRATED ELECTRICAL
   SERVIC                   EQUITY       45811E301     298       11,638  SH           SOLE       1     11,638         --        --
INTEGRYS ENERGY GROUP INC   EQUITY       45822P105    1792       34,981  SH           SOLE       1     34,981         --        --
INTEGRYS ENERGY GROUP INC   EQUITY       45822P105       5           96  SH           SOLE       2         96         --        --
INTEGRYS ENERGY GROUP INC
   EQUITY                   EQUITY       45822P105      10       200.00  SH         DEFINED      4         --         --       200
INTEL CORP                  EQUITY       458140100  128299    4,961,770  SH           SOLE       1  4,961,770         --        --
INTEL CORP                  EQUITY       458140100   22420      866,967  SH           SOLE       2    866,967         --        --
INTEL CORP CALL             OPTION       458140900                (2.00)        C   DEFINED      4         --         --        (2)
INTEL CORP EQUITY           EQUITY       458140100    2760   106,739.36  SH         DEFINED      4         --         --   106,739
INTELLI-CHECK INC EQUITY    EQUITY       45817G102       5     1,080.00  SH         DEFINED      4         --         --     1,080
INTER PARFUMS INC           EQUITY       458334109     177        7,486  SH           SOLE       1      7,486         --        --
INTERACTIVE BROKERS
   GRO-CL A                 EQUITY       45841N107     915       34,842  SH           SOLE       1     34,842         --        --
INTERACTIVE DATA CORP       EQUITY       45840J107     886       31,435  SH           SOLE       1     31,435         --        --
INTERACTIVE INTELLIGENCE
   INC                      EQUITY       45839M103     215       11,331  SH           SOLE       1     11,331         --        --
INTERACTIVE INTELLIGENCE
   INC                      EQUITY       45839M103     361       19,000  SH           SOLE       2     19,000         --        --
INTERACTIVE INTELLIGENCE
   INC EQUITY               EQUITY       45839M103       1        59.00  SH         DEFINED      4         --         --        59
INTERCONTINENTALEXCHANGE
   INC                      EQUITY       45865V100    4615       30,385  SH           SOLE       1     30,385         --        --
INTERCONTINENTALEXCHANGE
   INC                      EQUITY       45865V100      14           90  SH           SOLE       2         90         --        --
INTERCONTINENTALEXCHANGE
   INC                      EQUITY       45865V100    7808       51,400  SH           SOLE       3     22,600         --    28,800
INTERCONTINENTALEXCHANGE
   INC EQUITY               EQUITY       45865V100       1         7.00  SH         DEFINED      4         --         --         7
INTERDIGITAL INC            EQUITY       45867G101     849       40,861  SH           SOLE       1     40,861         --        --
INTERDIGITAL INC EQUITY
   ADDED                    EQUITY       45867G101       1        50.00  SH         DEFINED      4         --         --        50
INTERFACE INC-CL A          EQUITY       458665106    1922      106,466  SH           SOLE       1    106,466         --        --
INTERLINE BRANDS INC        EQUITY       458743101     555       24,124  SH           SOLE       1     24,124         --        --
INTERMEC INC                EQUITY       458786100    1378       52,771  SH           SOLE       1     52,771         --        --
INTERMEC INC EQUITY         EQUITY       458786100     106     4,050.00  SH         DEFINED      4         --         --     4,050
INTERMUNE INC               EQUITY       45884X103     450       23,517  SH           SOLE       1     23,517         --        --
INTERNAP NETWORK SERVICES   EQUITY       45885A300     604       42,648  SH           SOLE       1     42,648         --        --
INTERNAP NETWORK SVCS
   CORP EQUITY PAR $.001    EQUITY       45885A300      11       800.00  SH         DEFINED      4         --         --       800
INTERNATIONAL BANCSHARES
   COR EQUITY               EQUITY       459044103     764    35,212.00  SH         DEFINED      4         --         --    35,212
INTERNATIONAL BANCSHARES
   CRP                      EQUITY       459044103     968       44,630  SH           SOLE       1     44,630         --        --
INTERNATIONAL BUSINESS
   MACHS CALL               OPTION       459200901      -1        (3.00)        C   DEFINED      4         --         --        (3)
INTERNATIONAL BUSINESS
   MACHS EQUITY             EQUITY       459200101    3940    33,447.44  SH         DEFINED      4         --         --    33,447
INTERNATIONAL COAL GROUP
   INC                      EQUITY       45928H106     492      110,851  SH           SOLE       1    110,851         --        --
INTERNATIONAL GAME
   TECHNOLOG EQUITY         EQUITY       459902102    1235    28,656.72  SH         DEFINED      4         --         --    28,657
INTERNATIONAL PAPER CO      EQUITY       460146103    8263      230,354  SH           SOLE       1    230,354         --        --
INTERNATIONAL PAPER CO      EQUITY       460146103    3886      108,342  SH           SOLE       2    108,342         --        --
INTERNATIONAL RECTIFIER
   CORP EQUITY              EQUITY       460254105       3       100.00  SH         DEFINED      4         --         --       100
INTERNATIONAL SHIPHOLDING
   CO EQUITY NEW            EQUITY       460321201       5       250.00  SH         DEFINED      4         --         --       250
INTERNATIONAL SPEEDWAY
   CORP CL A                EQUITY       460335201       4        80.00  SH         DEFINED      4         --         --        80
INTERNET CAPITAL GROUP INC  EQUITY       46059C205     405       33,747  SH           SOLE       1     33,747         --        --
INTERPUBLIC GROUP COS INC
   EQUITY                   EQUITY       460690100       7       670.00  SH         DEFINED      4         --         --       670
INTERPUBLIC GROUP OF COS
   INC                      EQUITY       460690100    2199      211,893  SH           SOLE       1    211,893         --        --
INTERPUBLIC GROUP OF COS
   INC                      EQUITY       460690100       6          594  SH           SOLE       2        594         --        --
INTERSIL CORP CL A          EQUITY       46069S109       1        19.00  SH         DEFINED      4         --         --        19
INTERSIL CORP -CL A         EQUITY       46069S109   11133      333,028  SH           SOLE       1    333,028         --        --
INTERSIL CORP -CL A         EQUITY       46069S109    6281      187,900  SH           SOLE       3     84,700         --   103,200
INTERSTATE HOTELS &
   RESRTS I EQUITY          EQUITY       46088S106                80.00  SH         DEFINED      4         --         --        80
INTERVOICE INC              EQUITY       461142101     319       33,947  SH           SOLE       1     33,947         --        --





                                                                                        
INTERWOVEN INC              EQUITY       46114T508     541       38,008  SH           SOLE       1     38,008         --        --
INTEVAC INC                 EQUITY       461148108     324       21,319  SH           SOLE       1     21,319         --        --
INTL BUSINESS MACHINES
   CORP                     EQUITY       459200101  124881    1,060,565  SH           SOLE       1  1,060,565         --        --
INTL BUSINESS MACHINES
   CORP                     EQUITY       459200101   44401      376,915  SH           SOLE       2    376,915         --        --
INTL FLAVORS & FRAGRANCES   EQUITY       459506101    2114       39,988  SH           SOLE       1     39,988         --        --
INTL FLAVORS & FRAGRANCES   EQUITY       459506101       6          113  SH           SOLE       2        113         --        --
INTL GAME TECHNOLOGY        EQUITY       459902102    6450      149,658  SH           SOLE       1    149,658         --        --
INTL GAME TECHNOLOGY        EQUITY       459902102      18          423  SH           SOLE       2        423         --        --
INTL PAPER CO EQUITY        EQUITY       460146103     181     5,041.00  SH         DEFINED      4         --         --     5,041
INTL RECTIFIER CORP         EQUITY       460254105    5972      181,026  SH           SOLE       1    181,026         --        --
INTL SECURITIES EXCHANGE
   HOL                      EQUITY       46031W204    2252       33,874  SH           SOLE       1     33,874         --        --
INTL SPEEDWAY CORP-CL A     EQUITY       460335201    4134       90,140  SH           SOLE       1     90,140         --        --
INTUIT EQUITY               EQUITY       461202103       2        80.00  SH         DEFINED      4         --         --        80
INTUIT INC                  EQUITY       461202103    5609      185,118  SH           SOLE       1    185,118         --        --
INTUIT INC                  EQUITY       461202103      13          427  SH           SOLE       2        427         --        --
INTUITIVE SURGICAL INC      EQUITY       46120E602   22112       96,139  SH           SOLE       1     96,139         --        --
INTUITIVE SURGICAL INC      EQUITY       46120E602    8050       35,000  SH           SOLE       3     15,700         --    19,300
INTUITIVE SURGICAL INC
   EQUITY NEW               EQUITY       46120E602    1314     5,446.00  SH         DEFINED      4         --         --     5,446
INVACARE CORP               EQUITY       461203101     681       29,115  SH           SOLE       1     29,115         --        --
INVENTIV HEALTH INC         EQUITY       46122E105    1366       31,165  SH           SOLE       1     31,165         --        --
INVENTIV HEALTH INC         EQUITY       46122E105    1039       23,700  SH           SOLE       2     23,700         --        --
INVERNESS MEDICAL
   INNOVATION               EQUITY       46126P106    2265       40,941  SH           SOLE       1     40,941         --        --
INVERNESS MEDICAL
   INNOVATION               EQUITY       46126P106    4370       79,000  SH           SOLE       2     79,000         --        --
INVESTMENT GRADE MUN
   INEQUITYE EQUITY         EQUITY       461368102      13       937.03  SH         DEFINED      4         --         --       937
INVESTMENT TECHNOLOGY
   GROUP                    EQUITY       46145F105     240        5,581  SH           SOLE       1      5,581         --        --
INVESTMENT TECHNOLOGY
   GROUP                    EQUITY       46145F105    1010       23,500  SH           SOLE       2     23,500         --        --
INVESTOOLS INC              EQUITY       46145P103     551       45,607  SH           SOLE       1     45,607         --        --
INVESTORS BANCORP INC       EQUITY       46146P102     630       44,500  SH           SOLE       1     44,500         --        --
INVESTORS REAL ESTATE
   TRUST                    EQUITY       461730103    2075      192,129  SH           SOLE       1    192,129         --        --
INVITROGEN CORP             EQUITY       46185R100    9687      118,523  SH           SOLE       1    118,523         --        --
IOMEGA CORP EQUITY NEW      EQUITY       462030305                40.00  SH         DEFINED      4         --         --        40
IONATRON INC                EQUITY       462070103      95       27,643  SH           SOLE       1     27,643         --        --
IONATRON INC EQUITY         EQUITY       462070103       2       500.00  SH         DEFINED      4         --         --       500
IOWA TELECOMMUNICATIONS
   SERV                     EQUITY       462594201    3656      184,201  SH           SOLE       1    184,201         --        --
IPASS INC                   EQUITY       46261V108     184       43,905  SH           SOLE       1     43,905         --        --
IPCS INC                    EQUITY       44980Y305   88323    2,580,198  SH           SOLE       1  2,580,198         --        --
IPCS INC                    EQUITY       44980Y305   12490      363,187  SH           SOLE       2    363,187         --        --
IPG PHOTONICS CORP          EQUITY       44980X109     172        8,740  SH           SOLE       1      8,740         --        --
IROBOT CORP                 EQUITY       462726100     266       13,363  SH           SOLE       1     13,363         --        --
IROBOT CORP EQUITY          EQUITY       462726100      10       500.00  SH         DEFINED      4         --         --       500
IRON MOUNTAIN INC           EQUITY       462846106      66        2,169  SH           SOLE       1      2,169         --        --
IRON MOUNTAIN INC           EQUITY       462846106   12418      407,400  SH           SOLE       2    407,400         --        --
IRON MTN INC EQUITY         EQUITY       462846106      12       390.00  SH         DEFINED      4         --         --       390
IRWIN FINANCIAL CORP        EQUITY       464119106     206       18,723  SH           SOLE       1     18,723         --        --
ISHARES EQUITYEX GOLD TR
   ISHARES                  EQUITY       464285105     790    10,731.00  SH         DEFINED      4         --         --    10,731
ISHARES INC MSCI AUSTRALIA  EQUITY       464286103     236     7,423.03  SH         DEFINED      4         --         --     7,423
ISHARES INC MSCI AUSTRIA    EQUITY       464286202       5       120.00  SH         DEFINED      4         --         --       120
ISHARES INC MSCI BELGIUM    EQUITY       464286301       8       305.00  SH         DEFINED      4         --         --       305
ISHARES INC MSCI BRAZIL     EQUITY       464286400   17944   242,300.00  SH         DEFINED      4         --         --   242,300
ISHARES INC MSCI CDA INDEX  EQUITY       464286509    3228    98,638.00  SH         DEFINED      4         --         --    98,638
ISHARES INC MSCI EMU INDEX  EQUITY       464286608     836     6,915.00  SH         DEFINED      4         --         --     6,915
ISHARES INC MSCI FRANCE     EQUITY       464286707      23       600.00  SH         DEFINED      4         --         --       600
ISHARES INC MSCI GERMAN     EQUITY       464286806     166     4,800.00  SH         DEFINED      4         --         --     4,800
ISHARES INC MSCI HONG KONG  EQUITY       464286871   18371   873,754.00  SH         DEFINED      4         --         --   873,754
ISHARES INC MSCI ITALY      EQUITY       464286855       3       100.00  SH         DEFINED      4         --         --       100
ISHARES INC MSCI JAPAN      EQUITY       464286848     505    35,326.00  SH         DEFINED      4         --         --    35,326
ISHARES INC MSCI MALAYSIA   EQUITY       464286830      53     4,493.00  SH         DEFINED      4         --         --     4,493
ISHARES INC MSCI MEXICO     EQUITY       464286822     154     2,618.00  SH         DEFINED      4         --         --     2,618
ISHARES INC MSCI NETHERLND  EQUITY       464286814      61     1,900.00  SH         DEFINED      4         --         --     1,900
ISHARES INC MSCI PAC J IDX  EQUITY       464286665   25082   150,826.00  SH         DEFINED      4         --         --   150,826
ISHARES INC MSCI S KOREA    EQUITY       464286772    2370    34,824.00  SH         DEFINED      4         --         --    34,824
ISHARES INC MSCI SINGAPORE  EQUITY       464286673   20368 1,374,864.00  SH         DEFINED      4         --         -- 1,374,864
ISHARES INC MSCI SPAIN      EQUITY       464286764      21       340.00  SH         DEFINED      4         --         --       340
ISHARES INC MSCI STH AFRCA  EQUITY       464286780      16       120.00  SH         DEFINED      4         --         --       120
ISHARES INC MSCI SWEDEN     EQUITY       464286756    8191   221,487.00  SH         DEFINED      4         --         --   221,487
ISHARES INC MSCI SWITZERLD  EQUITY       464286749      13       500.00  SH         DEFINED      4         --         --       500
ISHARES INC MSCI UTD KINGD  EQUITY       464286699      42     1,625.00  SH         DEFINED      4         --         --     1,625
ISHARES MSCI EAFE INDEX
   FUND                     EQUITY       464287465   62496      756,700  SH           SOLE       1    756,700         --        --
ISHARES MSCI HONG KONG
   INDEX                    EQUITY       464286871    3523      167,500  SH           SOLE       1    167,500         --        --
ISHARES MSCI JAPAN INDEX
   FD                       EQUITY       464286848    7658      534,000  SH           SOLE       1    534,000         --        --





                                                                                        
ISHARES RUSSELL 2000        EQUITY       464287655    5428       67,800  SH           SOLE       1     67,800         --        --
ISHARES S&P GLOBAL 100      EQUITY       464287572     291        3,500  SH           SOLE       1      3,500         --        --
ISHARES S&P GSCI
   EQUITYMODITY I UNIT
   BEN INT                  EQUITY       46428R107     136     2,876.00  SH         DEFINED      4         --         --     2,876
ISHARES S&P SMALLCAP 600    EQUITY       464287804    2490       35,700  SH           SOLE       1     35,700         --        --
ISHARES SILVER TRUST
   ISHARES                  EQUITY       46428Q109     115       841.00  SH         DEFINED      4         --         --       841
ISHARES TR 1-3 YR TRS BD    EQUITY       464287457    3661    44,903.76  SH         DEFINED      4         --         --    44,904
ISHARES TR 20+ YR TRS BD    EQUITY       464287432    4454    50,203.00  SH         DEFINED      4         --         --    50,203
ISHARES TR 7-10 YR TRS BD   EQUITY       464287440    1863    22,121.00  SH         DEFINED      4         --         --    22,121
ISHARES TR COHEN&ST RLTY    EQUITY       464287564    1667    17,810.22  SH         DEFINED      4         --         --    17,810
ISHARES TR CONS GOODS IDX   EQUITY       464287812     931    14,553.00  SH         DEFINED      4         --         --    14,553
ISHARES TR CONS SRVC IDX    EQUITY       464287580     832    12,285.00  SH         DEFINED      4         --         --    12,285
ISHARES TR DJ SEL DIV INX   EQUITY       464287168    9844   142,043.63  SH         DEFINED      4         --         --   142,044
ISHARES TR DJ US BAS MATL   EQUITY       464287838    2313    31,191.00  SH         DEFINED      4         --         --    31,191
ISHARES TR DJ US ENERGY     EQUITY       464287796    2203    16,892.00  SH         DEFINED      4         --         --    16,892
ISHARES TR DJ US FINL SEC   EQUITY       464287788    2242    20,452.00  SH         DEFINED      4         --         --    20,452
ISHARES TR DJ US FINL SVC   EQUITY       464287770    1775    14,561.00  SH         DEFINED      4         --         --    14,561
ISHARES TR DJ US HEALTHCR   EQUITY       464287762    1638    23,135.73  SH         DEFINED      4         --         --    23,136
ISHARES TR DJ US INDUSTRL   EQUITY       464287754     969    12,797.00  SH         DEFINED      4         --         --    12,797
ISHARES TR DJ US REAL EST   EQUITY       464287739    1048    13,699.62  SH         DEFINED      4         --         --    13,700
ISHARES TR DJ US TECH SEC   EQUITY       464287721     634    10,091.17  SH         DEFINED      4         --         --    10,091
ISHARES TR DJ US
   TELEEQUITYM              EQUITY       464287713    1294    38,229.00  SH         DEFINED      4         --         --    38,229
ISHARES TR DJ US TOTL MKT   EQUITY       464287846     176     2,368.00  SH         DEFINED      4         --         --     2,368
ISHARES TR DJ US UTILS      EQUITY       464287697    1794    18,513.51  SH         DEFINED      4         --         --    18,514
ISHARES TR FTSE XNHUA IDX   EQUITY       464287184     971     5,246.00  SH         DEFINED      4         --         --     5,246
ISHARES TR IBOXX INV CPBD   EQUITY       464287242     661     6,270.32  SH         DEFINED      4         --         --     6,270
ISHARES TR LEHMAN AGG BND   EQUITY       464287226    4528    45,269.00  SH         DEFINED      4         --         --    45,269
ISHARES TR LRGE CORE INDX   EQUITY       464287127       6        73.00  SH         DEFINED      4         --         --        73
ISHARES TR LRGE GRW INDX    EQUITY       464287119    4377    60,309.00  SH         DEFINED      4         --         --    60,309
ISHARES TR MSCI EAFE IDX    EQUITY       464287465   42508   514,452.07  SH         DEFINED      4         --         --   514,452
ISHARES TR MSCI EMERG MKT   EQUITY       464287234   20775   138,983.40  SH         DEFINED      4         --         --   138,983
ISHARES TR NASDQ BIO INDX   EQUITY       464287556    1464    17,634.00  SH         DEFINED      4         --         --    17,634
ISHARES TR NYSE 100INX FD   EQUITY       464287135       6        79.00  SH         DEFINED      4         --         --        79
ISHARES TR NYSE EQUITYP
   INDX                     EQUITY       464287143      12       132.00  SH         DEFINED      4         --         --       132
ISHARES TR RUSL 2000 GROW   EQUITY       464287648     672     7,889.12  SH         DEFINED      4         --         --     7,889
ISHARES TR RUSL 2000 VALU   EQUITY       464287630    2214    28,783.21  SH         DEFINED      4         --         --    28,783
ISHARES TR RUSL 3000 GROW   EQUITY       464287671     641    12,827.00  SH         DEFINED      4         --         --    12,827
ISHARES TR RUSL 3000 VALU   EQUITY       464287663    1770    15,894.00  SH         DEFINED      4         --         --    15,894
ISHARES TR RUSSELL 1000     EQUITY       464287622     294     3,542.88  SH         DEFINED      4         --         --     3,543
ISHARES TR RUSSELL 2000     EQUITY       464287655    4663    58,249.11  SH         DEFINED      4         --         --    58,249
ISHARES TR RUSSELL 3000     EQUITY       464287689      70       795.00  SH         DEFINED      4         --         --       795
ISHARES TR RUSSELL MCP GR   EQUITY       464287481    1803    15,525.60  SH         DEFINED      4         --         --    15,526
ISHARES TR RUSSELL MCP VL   EQUITY       464287473    2621    17,324.05  SH         DEFINED      4         --         --    17,324
ISHARES TR RUSSELL MIDCAP   EQUITY       464287499    2188    20,091.00  SH         DEFINED      4         --         --    20,091
ISHARES TR RUSSELL1000GRW   EQUITY       464287614   13861   224,543.00  SH         DEFINED      4         --         --   224,543
ISHARES TR RUSSELL1000VAL   EQUITY       464287598   18676   217,287.97  SH         DEFINED      4         --         --   217,288
ISHARES TR S&P 100 IDX FD   EQUITY       464287101    2296    32,101.00  SH         DEFINED      4         --         --    32,101
ISHARES TR S&P 1500 INDEX   EQUITY       464287150      49       360.00  SH         DEFINED      4         --         --       360
ISHARES TR S&P 500 INDEX    EQUITY       464287200    4124    26,960.55  SH         DEFINED      4         --         --    26,961
ISHARES TR S&P 500 VALUE    EQUITY       464287408    6797    83,407.45  SH         DEFINED      4         --         --    83,407
ISHARES TR S&P EURO PLUS    EQUITY       464287861     352     2,955.00  SH         DEFINED      4         --         --     2,955
ISHARES TR S&P GBL ENER     EQUITY       464287341    2214    16,041.38  SH         DEFINED      4         --         --    16,041
ISHARES TR S&P GBL FIN      EQUITY       464287333    1469    16,332.00  SH         DEFINED      4         --         --    16,332
ISHARES TR S&P GBL HLTHCR   EQUITY       464287325    6251   104,548.00  SH         DEFINED      4         --         --   104,548
ISHARES TR S&P GBL INF      EQUITY       464287291    1014    15,080.00  SH         DEFINED      4         --         --    15,080
ISHARES TR S&P GBL TELCM    EQUITY       464287275    1585    20,378.00  SH         DEFINED      4         --         --    20,378
ISHARES TR S&P GLB100INDX   EQUITY       464287572      74       890.00  SH         DEFINED      4         --         --       890
ISHARES TR S&P GSSI NATL    EQUITY       464287374    4866    37,798.00  SH         DEFINED      4         --         --    37,798
ISHARES TR S&P GSTI NTWRK   EQUITY       464287531     924    25,277.00  SH         DEFINED      4         --         --    25,277
ISHARES TR S&P GSTI SEMIC   EQUITY       464287523     574     8,510.00  SH         DEFINED      4         --         --     8,510
ISHARES TR S&P GSTI SOFTW   EQUITY       464287515     458     9,157.00  SH         DEFINED      4         --         --     9,157
ISHARES TR S&P GSTI TECHN   EQUITY       464287549     666    11,077.00  SH         DEFINED      4         --         --    11,077
ISHARES TR S&P LTN AM 40    EQUITY       464287390    5574    23,081.00  SH         DEFINED      4         --         --    23,081
ISHARES TR S&P MC 400 GRW   EQUITY       464287606     430     4,754.44  SH         DEFINED      4         --         --     4,754
ISHARES TR S&P MIDCAP 400   EQUITY       464287507    1478    16,762.81  SH         DEFINED      4         --         --    16,763
ISHARES TR S&P MIDCP VALU   EQUITY       464287705     468     5,563.76  SH         DEFINED      4         --         --     5,564
ISHARES TR S&P SMLCAP 600   EQUITY       464287804    1727    24,758.08  SH         DEFINED      4         --         --    24,758
ISHARES TR S&P SMLCP GROW   EQUITY       464287887    6378    44,504.00  SH         DEFINED      4         --         --    44,504
ISHARES TR S&P SMLCP VALU   EQUITY       464287879    5860    77,621.33  SH         DEFINED      4         --         --    77,621
ISHARES TR S&P/TOPIX 150    EQUITY       464287382       7        54.00  SH         DEFINED      4         --         --        54
ISHARES TR S&P500 GRW       EQUITY       464287309    7309   102,692.44  SH         DEFINED      4         --         --   102,692





                                                                                        
ISHARES TR TRANSP AVE IDX   EQUITY       464287192     998    11,514.54  SH         DEFINED      4         --         --    11,515
ISHARES TR US TIPS BD FD    EQUITY       464287176    3628    35,530.70  SH         DEFINED      4         --         --    35,531
ISHARES TRUST DJ AEROSPACE  EQUITY       464288760    2970    42,652.00  SH         DEFINED      4         --         --    42,652
ISHARES TRUST DJ
   BROKER-DEAL              EQUITY       464288794      10       190.00  SH         DEFINED      4         --         --       190
ISHARES TRUST DJ HEALTH
   CARE                     EQUITY       464288828     888    15,040.00  SH         DEFINED      4         --         --    15,040
ISHARES TRUST DJ MED
   DEVICES                  EQUITY       464288810      13       220.00  SH         DEFINED      4         --         --       220
ISHARES TRUST DJ OIL EQUIP  EQUITY       464288844     956    14,975.00  SH         DEFINED      4         --         --    14,975
ISHARES TRUST DJ OIL&GAS
   EXP                      EQUITY       464288851    1455    24,550.00  SH         DEFINED      4         --         --    24,550
ISHARES TRUST DJ PHARMA
   INDX                     EQUITY       464288836    1015    13,820.00  SH         DEFINED      4         --         --    13,820
ISHARES TRUST HIGH YLD
   CORP                     EQUITY       464288513     692     6,653.00  SH         DEFINED      4         --         --     6,653
ISHARES TRUST LARGE VAL
   INDX                     EQUITY       464288109    1490    17,055.00  SH         DEFINED      4         --         --    17,055
ISHARES TRUST LEHMAN 1-3
   YR                       EQUITY       464288646      15       149.00  SH         DEFINED      4         --         --       149
ISHARES TRUST MID CORE
   INDEX                    EQUITY       464288208      83       938.00  SH         DEFINED      4         --         --       938
ISHARES TRUST MID GRWTH
   INDX                     EQUITY       464288307      74       732.00  SH         DEFINED      4         --         --       732
ISHARES TRUST MID VAL
   INDEX                    EQUITY       464288406     113     1,317.00  SH         DEFINED      4         --         --     1,317
ISHARES TRUST MSCI GRW IDX  EQUITY       464288885     931    11,721.00  SH         DEFINED      4         --         --    11,721
ISHARES TRUST MSCI VAL IDX  EQUITY       464288877     654     8,373.00  SH         DEFINED      4         --         --     8,373
ISHARES TRUST RSSL MCRCP
   IDX                      EQUITY       464288869      47       812.00  SH         DEFINED      4         --         --       812
ISHARES TRUST S&G GL
   MATERIA                  EQUITY       464288695       8       100.00  SH         DEFINED      4         --         --       100
ISHARES TRUST S&P GL C
   STAPL                    EQUITY       464288737     190     3,143.00  SH         DEFINED      4         --         --     3,143
ISHARES TRUST S&P GL
   UTILITI                  EQUITY       464288711    1360    20,865.00  SH         DEFINED      4         --         --    20,865
ISHARES TRUST SMLL CORE
   INDX                     EQUITY       464288505     580     6,658.00  SH         DEFINED      4         --         --     6,658
ISHARES TRUST SMLL GRWTH
   IDX                      EQUITY       464288604      54       652.00  SH         DEFINED      4         --         --       652
ISHARES TRUST SMLL VAL
   INDX                     EQUITY       464288703    1728    21,921.00  SH         DEFINED      4         --         --    21,921
ISILON SYSTEMS INC          EQUITY       46432L104      57        7,414  SH           SOLE       1      7,414         --        --
ISIS PHARMACEUTICALS INC    EQUITY       464330109    1076       71,886  SH           SOLE       1     71,886         --        --
ISIS PHARMACEUTICALS INC
   EQUITY                   EQUITY       464330109      34     2,300.00  SH         DEFINED      4         --         --     2,300
ISLE OF CAPRI CASINOS       EQUITY       464592104     273       14,052  SH           SOLE       1     14,052         --        --
ISONICS CORP EQUITY NO PAR  EQUITY       464895309               450.00  SH         DEFINED      4         --         --       450
ISTAR FINANCIAL INC         EQUITY       45031U101     164        4,828  SH           SOLE       1      4,828         --        --
ISTAR FINL INC EQUITY       EQUITY       45031U101      35     1,020.00  SH         DEFINED      4         --         --     1,020
ITC HOLDINGS CORP           EQUITY       465685105    1834       37,023  SH           SOLE       1     37,023         --        --
ITRON INC                   EQUITY       465741106    2788       29,960  SH           SOLE       1     29,960         --        --
ITRON INC                   EQUITY       465741106     828        8,900  SH           SOLE       2      8,900         --        --
ITT CORP                    EQUITY       450911102    8592      126,487  SH           SOLE       1    126,487         --        --
ITT CORP                    EQUITY       450911102      15          228  SH           SOLE       2        228         --        --
ITT CORP NEW EQUITY         EQUITY       450911102      45       664.00  SH         DEFINED      4         --         --       664
ITT EDUCATIONAL SERVICES
   INC                      EQUITY       45068B109    9332       76,685  SH           SOLE       1     76,685         --        --
ITT EDUCATIONAL SERVICES
   INC                      EQUITY       45068B109     438        3,600  SH           SOLE       2      3,600         --        --
IVANHOE MINES LTD           EQUITY       46579N103    2608      200,997  SH          OTHER       1         --    200,997        --
IXIA                        EQUITY       45071R109     332       38,110  SH           SOLE       1     38,110         --        --
IXYS CORPORATION            EQUITY       46600W106     235       22,515  SH           SOLE       1     22,515         --        --
J & J SNACK FOODS CORP      EQUITY       466032109     487       13,985  SH           SOLE       1     13,985         --        --
J CREW GROUP INC            EQUITY       46612H402    2201       53,026  SH           SOLE       1     53,026         --        --
J CREW GROUP INC            EQUITY       46612H402     208        5,000  SH           SOLE       2      5,000         --        --
J CREW GROUP INC            EQUITY       46612H402    6968      167,900  SH           SOLE       3     81,400         --    86,500
J CREW GROUP INC EQUITY     EQUITY       46612H402      12       300.00  SH         DEFINED      4         --         --       300
J.C. PENNEY CO INC          EQUITY       708160106    9535      150,473  SH           SOLE       1    150,473         --        --
J.C. PENNEY CO INC          EQUITY       708160106      18          279  SH           SOLE       2        279         --        --
J2 GLOBAL COMMUNICATIONS
   INC                      EQUITY       46626E205    1612       49,242  SH           SOLE       1     49,242         --        --
JA SOLAR HOLDINGS CO
   LTD-ADR                  EQUITY       466090107     989       22,000  SH           SOLE       1     22,000         --        --
JA SOLAR HOLDINGS CO
   LTD-ADR                  EQUITY       466090107     685       15,250  SH           SOLE       2     15,250         --        --
JABIL CIRCUIT INC           EQUITY       466313103    2116       92,666  SH           SOLE       1     92,666         --        --
JABIL CIRCUIT INC           EQUITY       466313103       6          262  SH           SOLE       2        262         --        --
JABIL CIRCUIT INC EQUITY    EQUITY       466313103       5       202.00  SH         DEFINED      4         --         --       202
JACK HENRY & ASSOCIATES
   INC                      EQUITY       426281101    6788      262,477  SH           SOLE       1    262,477         --        --
JACK IN THE BOX INC         EQUITY       466367109    2025       31,226  SH           SOLE       1     31,226         --        --
JACK IN THE BOX INC EQUITY  EQUITY       466367109       1        23.00  SH         DEFINED      4         --         --        23
JACKSON HEWITT TAX SERVICE  EQUITY       468202106     732       26,196  SH           SOLE       1     26,196         --        --
JACKSON HEWITT TAX SERVICE  EQUITY       468202106   10921      390,600  SH           SOLE       2    390,600         --        --
JACOBS ENGINEERING GROUP
   INC                      EQUITY       469814107   22505      297,758  SH           SOLE       1    297,758         --        --
JACOBS ENGR GROUP INC DEL
   EQUITY                   EQUITY       469814107     712     9,415.00  SH         DEFINED      4         --         --     9,415
JAGUAR MNG INC EQUITY
   ADDED                    EQUITY       47009M103      13     1,500.00  SH         DEFINED      4         --         --     1,500
JAKKS PACIFIC INC           EQUITY       47012E106     748       28,020  SH           SOLE       1     28,020         --        --
JAMBA INC                   EQUITY       47023A101     319       45,448  SH           SOLE       1     45,448         --        --
JAMES RIVER COAL CO
   EQUITY NEW               EQUITY       470355207       2       400.00  SH         DEFINED      4         --         --       400
JAMES RIVER GROUP INC       EQUITY       470359100     164        5,071  SH           SOLE       1      5,071         --        --
JANUS CAP GROUP INC EQUITY  EQUITY       47102X105      28     1,000.00  SH         DEFINED      4         --         --     1,000
JANUS CAPITAL GROUP INC     EQUITY       47102X105    1996       70,573  SH           SOLE       1     70,573         --        --
JANUS CAPITAL GROUP INC     EQUITY       47102X105       6          199  SH           SOLE       2        199         --        --





                                                                                        
JAPAN SMALLER CAPTLZTN FD
   IN EQUITY                EQUITY       47109U104       7       700.00  SH         DEFINED      4         --         --       700
JARDEN CORP                 EQUITY       471109108      87        2,813  SH           SOLE       1      2,813         --        --
JARDEN CORP EQUITY          EQUITY       471109108       1        44.00  SH         DEFINED      4         --         --        44
JAVELIN PHARMACEUTICALS
   INC                      EQUITY       471894105     186       36,977  SH           SOLE       1     36,977         --        --
JDA SOFTWARE GROUP INC      EQUITY       46612K108     531       25,693  SH           SOLE       1     25,693         --        --
JDS UNIPHASE CORP           EQUITY       46612J507    1407       94,018  SH           SOLE       1     94,018         --        --
JDS UNIPHASE CORP           EQUITY       46612J507       4          267  SH           SOLE       2        267         --        --
JDS UNIPHASE CORP EQUITY
   PAR $0.001               EQUITY       46612J507       5       311.00  SH         DEFINED      4         --         --       311
JEFFERIES GROUP INC (NEW)   EQUITY       472319102    7803      280,363  SH           SOLE       1    280,363         --        --
JETBLUE AIRWAYS CORP        EQUITY       477143101    5529      599,709  SH           SOLE       1    599,709         --        --
JETBLUE AWYS CORP EQUITY    EQUITY       477143101       4       391.00  SH         DEFINED      4         --         --       391
JM SMUCKER CO/THE-NEW
   COMMON                   EQUITY       832696405    7694      144,033  SH           SOLE       1    144,033         --        --
JO-ANN STORES INC           EQUITY       47758P307     526       24,909  SH           SOLE       1     24,909         --        --
JOHNSON & JOHNSON           EQUITY       478160104  149691    2,279,887  SH           SOLE       1  2,279,887         --        --
JOHNSON & JOHNSON           EQUITY       478160104   26021      396,059  SH           SOLE       2    396,059         --        --
JOHNSON & JOHNSON EQUITY    EQUITY       478160104    2013    30,640.45  SH         DEFINED      4         --         --    30,640
JOHNSON CONTROLS INC        EQUITY       478366107   10027       84,898  SH           SOLE       1     84,898         --        --
JOHNSON CONTROLS INC        EQUITY       478366107      30          250  SH           SOLE       2        250         --        --
JOHNSON CTLS INC EQUITY     EQUITY       478366107     127     1,079.00  SH         DEFINED      4         --         --     1,079
JONES APPAREL GROUP INC     EQUITY       480074103     878       41,543  SH           SOLE       1     41,543         --        --
JONES APPAREL GROUP INC     EQUITY       480074103       2          118  SH           SOLE       2        118         --        --
JONES LANG LASALLE INC      EQUITY       48020Q107    9565       93,082  SH           SOLE       1     93,082         --        --
JONES SODA CO               EQUITY       48023P106     271       22,493  SH           SOLE       1     22,493         --        --
JOS A BANK CLOTHIERS INC    EQUITY       480838101     603       18,053  SH           SOLE       1     18,053         --        --
JOURNAL COMMUNICATIONS
   INC-A                    EQUITY       481130102     390       41,106  SH           SOLE       1     41,106         --        --
JOURNAL EQUITYMUNICATIONS
   INC CL A                 EQUITY       481130102       9     1,000.00  SH         DEFINED      4         --         --     1,000
JOY GLOBAL INC              EQUITY       481165108   13908      273,447  SH           SOLE       1    273,447         --        --
JP MORGAN CHASE & CO
   EQUITY                   EQUITY       46625H100    2900    63,293.14  SH         DEFINED      4         --         --    63,293
JPMORGAN CHASE & CO         EQUITY       46625H100  178620    3,895,034  SH           SOLE       1  3,895,034         --        --
JPMORGAN CHASE & CO         EQUITY       46625H100   17002      371,067  SH           SOLE       2    371,067         --        --
JUNIPER NETWORKS INC        EQUITY       48203R104   24267      664,441  SH           SOLE       1    664,441         --        --
JUNIPER NETWORKS INC        EQUITY       48203R104      24          648  SH           SOLE       2        648         --        --
JUNIPER NETWORKS INC        EQUITY       48203R104    6813      186,100  SH           SOLE       3     84,000         --   102,100
JUNIPER NETWORKS INC
   EQUITY                   EQUITY       48203R104      37     1,004.00  SH         DEFINED      4         --         --     1,004
KADANT INC                  EQUITY       48282T104     341       12,170  SH           SOLE       1     12,170         --        --
KAISER ALUMINUM CORP        EQUITY       483007704     928       13,155  SH           SOLE       1     13,155         --        --
KAISER ALUMINUM CORP
   EQUITY PAR $0.01         EQUITY       483007704      96     1,360.00  SH         DEFINED      4         --         --     1,360
KAMAN CORP                  EQUITY       483548103     840       24,304  SH           SOLE       1     24,304         --        --
KAMAN CORP EQUITY           EQUITY       483548103      24       700.00  SH         DEFINED      4         --         --       700
KANSAS CITY LIFE INS CO     EQUITY       484836101     178        4,044  SH           SOLE       1      4,044         --        --
KANSAS CITY SOUTHERN        EQUITY       485170302     573       17,824  SH           SOLE       1     17,824         --        --
KANSAS CITY SOUTHERN
   EQUITY NEW               EQUITY       485170302       6       200.00  SH         DEFINED      4         --         --       200
KAYDON CORP                 EQUITY       486587108    1465       28,187  SH           SOLE       1     28,187         --        --
KAYNE ANDERSON ENERGY
   DEVELO                   EQUITY       48660Q102     222        8,698  SH           SOLE       1      8,698         --        --
KAYNE ANDERSON ENRGY TTL
   RT EQUITY                EQUITY       48660P104      11       385.00  SH         DEFINED      4         --         --       385
KAYNE ANDERSON MLP
   INVSMNT C EQUITY         EQUITY       486606106       2        75.00  SH         DEFINED      4         --         --        75
KB HOME                     EQUITY       48666K109    9895      394,858  SH           SOLE       1    394,858         --        --
KB HOME                     EQUITY       48666K109    1980       78,997  SH           SOLE       2     78,997         --        --
KBR INC                     EQUITY       48242W106   16363      422,055  SH           SOLE       1    422,055         --        --
KBW INC                     EQUITY       482423100     734       25,506  SH           SOLE       1     25,506         --        --
KEARNY FINANCIAL CORP       EQUITY       487169104     238       18,621  SH           SOLE       1     18,621         --        --
KEITHLEY INSTRUMENTS INC    EQUITY       487584104      19        1,779  SH           SOLE       1      1,779         --        --
KELLOGG CO                  EQUITY       487836108    9044      161,492  SH           SOLE       1    161,492         --        --
KELLOGG CO                  EQUITY       487836108    1520       27,135  SH           SOLE       2     27,135         --        --
KELLOGG CO EQUITY           EQUITY       487836108      74     1,328.00  SH         DEFINED      4         --         --     1,328
KELLWOOD CO                 EQUITY       488044108     443       25,958  SH           SOLE       1     25,958         --        --
KELLY SERVICES INC -CL A    EQUITY       488152208    1552       78,326  SH           SOLE       1     78,326         --        --
KEMET CORP                  EQUITY       488360108    2057      279,918  SH           SOLE       1    279,918         --        --
KENDLE INTERNATIONAL INC    EQUITY       48880L107     527       12,684  SH           SOLE       1     12,684         --        --
KENEXA CORP                 EQUITY       488879107     678       22,027  SH           SOLE       1     22,027         --        --
KENNAMETAL INC              EQUITY       489170100    8277       98,564  SH           SOLE       1     98,564         --        --
KENNETH COLE PRODUCTIONS-A  EQUITY       193294105     167        8,645  SH           SOLE       1      8,645         --        --
KENSEY NASH CORP            EQUITY       490057106     310       11,877  SH           SOLE       1     11,877         --        --
KERYX BIOPHARMACEUTICALS    EQUITY       492515101     378       38,031  SH           SOLE       1     38,031         --        --
KEYCORP                     EQUITY       493267108   19588      603,074  SH           SOLE       1    603,074         --        --
KEYCORP                     EQUITY       493267108      16          491  SH           SOLE       2        491         --        --
KEYCORP NEW EQUITY          EQUITY       493267108      38     1,166.00  SH         DEFINED      4         --         --     1,166
KEYNOTE SYSTEMS INC         EQUITY       493308100     187       13,649  SH           SOLE       1     13,649         --        --
KEYSTONE AUTOMOTIVE INDS
   INC                      EQUITY       49338N109    2438       51,041  SH           SOLE       1     51,041         --        --
KEYSTONE AUTOMOTIVE INDS
   INC EQUITY               EQUITY       49338N109       1        29.00  SH         DEFINED      4         --         --        29





                                                                                        
K-FED BANCORP               EQUITY       48246S101      56        4,249  SH           SOLE       1      4,249         --        --
KFORCE INC                  EQUITY       493732101     362       28,172  SH           SOLE       1     28,172         --        --
KILROY REALTY CORP          EQUITY       49427F108    3723       61,413  SH           SOLE       1     61,413         --        --
KILROY RLTY CORP EQUITY     EQUITY       49427F108       3        42.00  SH         DEFINED      4         --         --        42
KIMBALL INTERNATIONAL-B     EQUITY       494274103     262       23,000  SH           SOLE       1     23,000         --        --
KIMBERLY CLARK CORP EQUITY  EQUITY       494368103     538     7,651.55  SH         DEFINED      4         --         --     7,652
KIMBERLY-CLARK CORP         EQUITY       494368103   12840      182,749  SH           SOLE       1    182,749         --        --
KIMBERLY-CLARK CORP         EQUITY       494368103    3236       46,058  SH           SOLE       2     46,058         --        --
KIMCO REALTY CORP           EQUITY       49446R109   15422      341,111  SH           SOLE       1    341,111         --        --
KIMCO REALTY CORP           EQUITY       49446R109      14          318  SH           SOLE       2        318         --        --
KIMCO REALTY CORP EQUITY    EQUITY       49446R109       5       119.00  SH         DEFINED      4         --         --       119
KINDER MORGAN ENERGY
   PARTNER UT LTD PARTNER   EQUITY       494550106     301     6,096.72  SH         DEFINED      4         --         --     6,097
KINDER MORGAN MANAGEMENT
   LLC SHS                  EQUITY       49455U100      22       475.00  SH         DEFINED      4         --         --       475
KINDRED HEALTHCARE INC      EQUITY       494580103    1886      105,287  SH           SOLE       1    105,287         --        --
KINDRED HEALTHCARE INC
   EQUITY                   EQUITY       494580103      92     5,130.00  SH         DEFINED      4         --         --     5,130
KINETIC CONCEPTS INC        EQUITY       49460W208     107        1,908  SH           SOLE       1      1,908         --        --
KINETIC CONCEPTS INC
   EQUITY NEW               EQUITY       49460W208      52       920.00  SH         DEFINED      4         --         --       920
KING PHARMACEUTICALS INC    EQUITY       495582108    6698      571,479  SH           SOLE       1    571,479         --        --
KING PHARMACEUTICALS INC    EQUITY       495582108       4          308  SH           SOLE       2        308         --        --
KINROSS GOLD CORP           EQUITY       496902404    6636      443,470  SH          OTHER       1         --    443,470        --
KINROSS GOLD CORP EQUITY
   NO PAR                   EQUITY       496902404     122     8,164.00  SH         DEFINED      4         --         --     8,164
KIRBY CORP                  EQUITY       497266106    1137       25,748  SH           SOLE       1     25,748         --        --
KLA-TENCOR CORP EQUITY      EQUITY       482480100       7       125.00  SH         DEFINED      4         --         --       125
KLA-TENCOR CORPORATION      EQUITY       482480100    5515       98,866  SH           SOLE       1     98,866         --        --
KLA-TENCOR CORPORATION      EQUITY       482480100      14          244  SH           SOLE       2        244         --        --
KMG CHEMICALS INC EQUITY    EQUITY       482564101      25       940.00  SH         DEFINED      4         --         --       940
KNBT BANCORP INC            EQUITY       482921103     397       23,993  SH           SOLE       1     23,993         --        --
KNIGHT CAPITAL GROUP INC
   CL A                     EQUITY       499005106       1        80.00  SH         DEFINED      4         --         --        80
KNIGHT CAPITAL GROUP INC-A  EQUITY       499005106    1082       90,448  SH           SOLE       1     90,448         --        --
KNIGHT TRANSPORTATION INC   EQUITY       499064103     983       57,120  SH           SOLE       1     57,120         --        --
KNIGHTSBRIDGE TANKERS LTD
   ORD                      EQUITY       G5299G106      27     1,000.00  SH         DEFINED      4         --         --     1,000
KNOLL INC                   EQUITY       498904200     768       43,289  SH           SOLE       1     43,289         --        --
KNOLL INC EQUITY NEW        EQUITY       498904200       1        31.00  SH         DEFINED      4         --         --        31
KNOLOGY INC                 EQUITY       499183804     380       22,730  SH           SOLE       1     22,730         --        --
KNOT INC (THE)              EQUITY       499184109     585       27,506  SH           SOLE       1     27,506         --        --
KOHLBERG CAPITAL CORP       EQUITY       500233101     187       12,424  SH           SOLE       1     12,424         --        --
KOHLS CORP                  EQUITY       500255104    7748      135,156  SH           SOLE       1    135,156         --        --
KOHLS CORP                  EQUITY       500255104   26148      456,101  SH           SOLE       2    456,101         --        --
KOHLS CORP EQUITY           EQUITY       500255104      59     1,031.00  SH         DEFINED      4         --         --     1,031
KONA GRILL INC              EQUITY       50047H201     978       55,100  SH           SOLE       3     55,100         --        --
KONINKLIJKE AHOLD N V
   SPON ADR 2007 ADDED      EQUITY       500467402      15     1,000.00  SH         DEFINED      4         --         --     1,000
KONINKLIJKE PHILIPS
   ELECTRS NY REG SH NEW    EQUITY       500472303      51     1,125.00  SH         DEFINED      4         --         --     1,125
KOPIN CORP                  EQUITY       500600101      33        8,545  SH           SOLE       1      8,545         --        --
KOPIN CORP EQUITY           EQUITY       500600101       1       375.00  SH         DEFINED      4         --         --       375
KOPPERS HOLDINGS INC        EQUITY       50060P106     590       15,291  SH           SOLE       1     15,291         --        --
KOPPERS HOLDINGS INC        EQUITY       50060P106     444       11,500  SH           SOLE       2     11,500         --        --
KOREA ELECTRIC PWR
   SPONSORED ADR            EQUITY       500631106       5       200.00  SH         DEFINED      4         --         --       200
KOREA FD EQUITY             EQUITY       500634100       6       125.00  SH         DEFINED      4         --         --       125
KORN/FERRY INTERNATIONAL    EQUITY       500643200    2657      160,919  SH           SOLE       1    160,919         --        --
KOSAN BIOSCIENCES INC       EQUITY       50064W107     185       37,001  SH           SOLE       1     37,001         --        --
KRAFT FOODS INC CL A        EQUITY       50075N104    2432    70,532.62  SH         DEFINED      4         --         --    70,533
KRAFT FOODS INC-CLASS A     EQUITY       50075N104   32352      937,481  SH           SOLE       1    937,481         --        --
KRAFT FOODS INC-CLASS A     EQUITY       50075N104   20226      586,087  SH           SOLE       2    586,087         --        --
KRISPY KREME DOUGHNUTS INC  EQUITY       501014104     225       56,228  SH           SOLE       1     56,228         --        --
KRISPY KREME DOUGHNUTS
   INC EQUITY               EQUITY       501014104       1       220.00  SH         DEFINED      4         --         --       220
KROGER CO                   EQUITY       501044101   14404      504,971  SH           SOLE       1    504,971         --        --
KROGER CO                   EQUITY       501044101     259        9,092  SH           SOLE       2      9,092         --        --
KROGER CO EQUITY            EQUITY       501044101     100     3,502.00  SH         DEFINED      4         --         --     3,502
KRONOS WORLDWIDE INC        EQUITY       50105F105      39        2,078  SH           SOLE       1      2,078         --        --
K-SWISS INC  -CL A          EQUITY       482686102     592       25,846  SH           SOLE       1     25,846         --        --
KT CORP SPONSORED ADR       EQUITY       48268K101       8       300.00  SH         DEFINED      4         --         --       300
KULICKE & SOFFA INDUSTRIES  EQUITY       501242101     482       56,865  SH           SOLE       1     56,865         --        --
KV PHARMACEUTICAL CO-CL A   EQUITY       482740206    2806       98,109  SH           SOLE       1     98,109         --        --
KYPHON INC                  EQUITY       501577100   10702      152,887  SH           SOLE       1    152,887         --        --
KYPHON INC                  EQUITY       501577100     805       11,500  SH           SOLE       2     11,500         --        --
L-1 IDENTITY SOLUTIONS INC  EQUITY       50212A106     972       51,588  SH           SOLE       1     51,588         --        --
L-1 IDENTITY SOLUTIONS
   INC EQUITY               EQUITY       50212A106      69     3,672.00  SH         DEFINED      4         --         --     3,672
L-3 COMMUNICATIONS
   HOLDINGS                 EQUITY       502424104    5914       57,905  SH           SOLE       1     57,905         --        --
L-3 COMMUNICATIONS
   HOLDINGS                 EQUITY       502424104    4878       47,759  SH           SOLE       2     47,759         --        --
L-3 EQUITYMUNICATIONS
   HLDGS INC EQUITY         EQUITY       502424104    1400    13,711.00  SH         DEFINED      4         --         --    13,711





                                                                                        
LABOR READY INC             EQUITY       505401208     857       46,298  SH           SOLE       1     46,298         --        --
LABORATORY CORP AMER
   HLDGS EQUITY NEW         EQUITY       50540R409     139     1,783.00  SH         DEFINED      4         --         --     1,783
LABORATORY CRP OF AMER
   HLDGS                    EQUITY       50540R409    4101       52,416  SH           SOLE       1     52,416         --        --
LABORATORY CRP OF AMER
   HLDGS                    EQUITY       50540R409      12          148  SH           SOLE       2        148         --        --
LABRANCHE & CO INC          EQUITY       505447102     248       53,058  SH           SOLE       1     53,058         --        --
LACLEDE GROUP INC/THE       EQUITY       505597104     694       21,510  SH           SOLE       1     21,510         --        --
LADENBURG THALMANN
   FINANCIAL                EQUITY       50575Q102     167       85,186  SH           SOLE       1     85,186         --        --
LADISH CO INC               EQUITY       505754200     701       12,644  SH           SOLE       1     12,644         --        --
LAIDLAW INTERNATIONAL       EQUITY       50730R102   29989      851,469  SH           SOLE       1    851,469         --        --
LAKELAND BANCORP INC        EQUITY       511637100     226       16,614  SH           SOLE       1     16,614         --        --
LAKELAND FINANCIAL CORP     EQUITY       511656100     245       10,601  SH           SOLE       1     10,601         --        --
LAKES ENTERTAINMENT INC     EQUITY       51206P109     148       15,494  SH           SOLE       1     15,494         --        --
LAKES ENTMNT INC EQUITY     EQUITY       51206P109       5       480.00  SH         DEFINED      4         --         --       480
LAM RESEARCH CORP           EQUITY       512807108   18209      341,884  SH           SOLE       1    341,884         --        --
LAMAR ADVERTISING CO CL A   EQUITY       512815101       6       120.00  SH         DEFINED      4         --         --       120
LAMAR ADVERTISING CO-CL A   EQUITY       512815101     274        5,594  SH           SOLE       1      5,594         --        --
LAMSON & SESSIONS CO        EQUITY       513696104     333       12,364  SH           SOLE       1     12,364         --        --
LANCASTER COLONY CORP       EQUITY       513847103    2808       73,574  SH           SOLE       1     73,574         --        --
LANCASTER COLONY CORP
   EQUITY                   EQUITY       513847103      10       252.00  SH         DEFINED      4         --         --       252
LANCE INC                   EQUITY       514606102     712       30,932  SH           SOLE       1     30,932         --        --
LANDAMERICA FINANCIAL
   GROUP                    EQUITY       514936103     664       17,024  SH           SOLE       1     17,024         --        --
LANDAUER INC                EQUITY       51476K103     407        7,993  SH           SOLE       1      7,993         --        --
LANDEC CORP                 EQUITY       514766104     292       18,893  SH           SOLE       1     18,893         --        --
LANDRY'S RESTAURANTS INC    EQUITY       51508L103     438       16,563  SH           SOLE       1     16,563         --        --
LANDSTAR SYS INC EQUITY     EQUITY       515098101     207     4,940.72  SH         DEFINED      4         --         --     4,941
LANDSTAR SYSTEM INC         EQUITY       515098101    2045       48,715  SH           SOLE       1     48,715         --        --
LANOPTICS LTD ORD           EQUITY       M6706C103      19     1,000.00  SH         DEFINED      4         --         --     1,000
LAS VEGAS SANDS CORP        EQUITY       517834107    1494       11,200  SH           SOLE       2     11,200         --        --
LAS VEGAS SANDS CORP
   EQUITY                   EQUITY       517834107      27       200.00  SH         DEFINED      4         --         --       200
LASALLE HOTEL PROPERTIES    EQUITY       517942108    1470       34,935  SH           SOLE       1     34,935         --        --
LASERCARD CORP EQUITY       EQUITY       51807U101       6       500.00  SH         DEFINED      4         --         --       500
LATTICE SEMICONDUCTOR CORP  EQUITY       518415104    1720      383,019  SH           SOLE       1    383,019         --        --
LAUDER ESTEE COS INC CL A   EQUITY       518439104       4       100.00  SH         DEFINED      4         --         --       100
LAWSON PRODUCTS INC         EQUITY       520776105     145        4,165  SH           SOLE       1      4,165         --        --
LAWSON SOFTWARE INC         EQUITY       52078P102    2243      224,047  SH           SOLE       1    224,047         --        --
LAWSON SOFTWARE INC         EQUITY       52078P102    2154      215,200  SH           SOLE       3    163,000         --    52,200
LAWSON SOFTWARE INC NEW
   EQUITY                   EQUITY       52078P102      40     4,000.00  SH         DEFINED      4         --         --     4,000
LAYNE CHRISTENSEN CO
   EQUITY                   EQUITY       521050104      11       200.00  SH         DEFINED      4         --         --       200
LAYNE CHRISTENSEN COMPANY   EQUITY       521050104     671       12,091  SH           SOLE       1     12,091         --        --
LAZARD GLB TTL RET&INCM
   FD I EQUITY              EQUITY       52106W103      22     1,000.00  SH         DEFINED      4         --         --     1,000
LA-Z-BOY INC                EQUITY       505336107     379       51,356  SH           SOLE       1     51,356         --        --
LCA-VISION INC              EQUITY       501803308     589       20,024  SH           SOLE       1     20,024         --        --
LEAP WIRELESS INTL INC      EQUITY       521863308     111        1,362  SH           SOLE       1      1,362         --        --
LEAP WIRELESS INTL INC
   EQUITY NEW               EQUITY       521863308       1         9.00  SH         DEFINED      4         --         --         9
LEAPFROG ENTERPRISES INC    EQUITY       52186N106     247       29,952  SH           SOLE       1     29,952         --        --
LEAPFROG ENTERPRISES INC
   CL A                     EQUITY       52186N106                40.00  SH         DEFINED      4         --         --        40
LEAR CORP                   EQUITY       521865105    8249      256,988  SH           SOLE       1    256,988         --        --
LEAR CORP EQUITY            EQUITY       521865105       7       205.00  SH         DEFINED      4         --         --       205
LECG CORP                   EQUITY       523234102     329       22,061  SH           SOLE       1     22,061         --        --
LEE ENTERPRISES             EQUITY       523768109    2152      138,245  SH           SOLE       1    138,245         --        --
LEGG MASON INC              EQUITY       524901105   10989      130,371  SH           SOLE       1    130,371         --        --
LEGG MASON INC              EQUITY       524901105      14          167  SH           SOLE       2        167         --        --
LEGG MASON INC EQUITY       EQUITY       524901105      13       149.00  SH         DEFINED      4         --         --       149
LEGGETT & PLATT INC         EQUITY       524660107    7059      368,417  SH           SOLE       1    368,417         --        --
LEGGETT & PLATT INC         EQUITY       524660107       4          220  SH           SOLE       2        220         --        --
LEGGETT & PLATT INC EQUITY  EQUITY       524660107      19     1,016.00  SH         DEFINED      4         --         --     1,016
LEHMAN BROS HLDGS INC *W
   EXP 02/13/200            WTS          52520W721    1390   324,700.00  SH         DEFINED      4         --         --   324,700
LEHMAN BROS HLDGS INC
   EQUITY                   EQUITY       524908100     121     1,955.00  SH         DEFINED      4         --         --     1,955
LEHMAN BROTHERS HOLDINGS
   INC                      EQUITY       524908100   19375      313,862  SH           SOLE       1    313,862         --        --
LEHMAN BROTHERS HOLDINGS
   INC                      EQUITY       524908100      41          669  SH           SOLE       2        669         --        --
LENNAR CORP-CL A            EQUITY       526057104    2644      116,714  SH           SOLE       1    116,714         --        --
LENNAR CORP-CL A            EQUITY       526057104       4          176  SH           SOLE       2        176         --        --
LENNOX INTERNATIONAL INC    EQUITY       526107107     312        9,225  SH           SOLE       1      9,225         --        --
LENOX GROUP INC EQUITY      EQUITY       526262100                50.00  SH         DEFINED      4         --         --        50
LEUCADIA NATIONAL CORP      EQUITY       527288104    3655       75,791  SH           SOLE       1     75,791         --        --
LEUCADIA NATIONAL CORP      EQUITY       527288104      10          208  SH           SOLE       2        208         --        --
LEUCADIA NATL CORP EQUITY   EQUITY       527288104     145     3,000.00  SH         DEFINED      4         --         --     3,000
LEVEL 3 COMMUNICATIONS INC  EQUITY       52729N100     491      105,591  SH           SOLE       1    105,591         --        --
LEVEL 3 EQUITYMUNICATIONS
   INC EQUITY               EQUITY       52729N100      64    13,674.00  SH         DEFINED      4         --         --    13,674
LEXINGTON REALTY TRUST      EQUITY       529043101    1314       65,688  SH           SOLE       1     65,688         --        --





                                                                                        
LEXINGTON REALTY TRUST
   EQUITY                   EQUITY       529043101       6       300.00  SH         DEFINED      4         --         --       300
LEXMARK INTERNATIONAL
   INC-A                    EQUITY       529771107    1885       45,387  SH           SOLE       1     45,387         --        --
LEXMARK INTERNATIONAL
   INC-A                    EQUITY       529771107       5          119  SH           SOLE       2        119         --        --
LEXMARK INTL NEW CL A       EQUITY       529771107      10       250.00  SH         DEFINED      4         --         --       250
LHC GROUP INC               EQUITY       50187A107     310       14,429  SH           SOLE       1     14,429         --        --
LHC GROUP INC EQUITY        EQUITY       50187A107      11       523.00  SH         DEFINED      4         --         --       523
LIBBEY INC                  EQUITY       529898108     251       14,350  SH           SOLE       1     14,350         --        --
LIBBEY INC EQUITY           EQUITY       529898108      10       585.00  SH         DEFINED      4         --         --       585
LIBERTY ALL STAR EQUITY
   FD SH BEN INT            EQUITY       530158104       9     1,078.00  SH         DEFINED      4         --         --     1,078
LIBERTY GLOBAL INC EQUITY
   SER A                    EQUITY       530555101       4       108.00  SH         DEFINED      4         --         --       108
LIBERTY GLOBAL INC EQUITY
   SER C                    EQUITY       530555309       5       123.00  SH         DEFINED      4         --         --       123
LIBERTY GLOBAL INC-A        EQUITY       530555101     831       20,258  SH           SOLE       1     20,258         --        --
LIBERTY MEDIA CORP DEB
   3.250% 3/1               FIXED INCOME 530715AR2       1         1.00  PRN        DEFINED      4         --         --         1
LIBERTY MEDIA CORP DEB
   3.500% 1/1               FIXED INCOME 530715AN1       1         1.00  PRN        DEFINED      4         --         --         1
LIBERTY MEDIA CORP NEW
   DEB 0.750% 3/3           FIXED INCOME 530718AF2       3         3.00  PRN        DEFINED      4         --         --         3
LIBERTY MEDIA CORP-CAP
   SER A                    EQUITY       53071M302     607        4,860  SH           SOLE       1      4,860         --        --
LIBERTY MEDIA HLDG CORP
   CAP EQUITY SER A         EQUITY       53071M302      42       336.00  SH         DEFINED      4         --         --       336
LIBERTY MEDIA HLDG CORP
   INT EQUITY SER A         EQUITY       53071M104       6       288.00  SH         DEFINED      4         --         --       288
LIBERTY MEDIA-INTERACTIVE
   A                        EQUITY       53071M104     893       46,509  SH           SOLE       1     46,509         --        --
LIBERTY PPTY TR SH BEN INT  EQUITY       531172104      11       277.00  SH         DEFINED      4         --         --       277
LIBERTY PROPERTY TRUST      EQUITY       531172104    9164      227,903  SH           SOLE       1    227,903         --        --
LIFE TIME FITNESS INC       EQUITY       53217R207    6492      105,844  SH           SOLE       1    105,844         --        --
LIFE TIME FITNESS INC       EQUITY       53217R207     681       11,100  SH           SOLE       2     11,100         --        --
LIFECELL CORP EQUITY        EQUITY       531927101      56     1,500.00  SH         DEFINED      4         --         --     1,500
LIFECELL CORPORATION        EQUITY       531927101    1253       33,353  SH           SOLE       1     33,353         --        --
LIFECORE BIOMEDICAL INC
   EQUITY                   EQUITY       532187101      22     1,672.00  SH         DEFINED      4         --         --     1,672
LIFEPOINT HOSPITALS INC     EQUITY       53219L109    4374      145,761  SH           SOLE       1    145,761         --        --
LIFEPOINT HOSPITALS INC
   EQUITY                   EQUITY       53219L109       1        49.00  SH         DEFINED      4         --         --        49
LIFETIME BRANDS INC         EQUITY       53222Q103     192        9,470  SH           SOLE       1      9,470         --        --
LIGAND PHARMACEUTICALS-CL
   B                        EQUITY       53220K207     420       78,682  SH           SOLE       1     78,682         --        --
LILLY ELI & CO EQUITY       EQUITY       532457108     114     2,005.00  SH         DEFINED      4         --         --     2,005
LIMCO-PIEDMONT INC          EQUITY       53261T109    1673      126,100  SH           SOLE       3    126,100         --        --
LIMITED BRANDS INC          EQUITY       532716107    3351      146,385  SH           SOLE       1    146,385         --        --
LIMITED BRANDS INC          EQUITY       532716107    4660      203,602  SH           SOLE       2    203,602         --        --
LIMITED BRANDS INC EQUITY   EQUITY       532716107      18       770.00  SH         DEFINED      4         --         --       770
LIN TV CORP-CL A            EQUITY       532774106     310       23,825  SH           SOLE       1     23,825         --        --
LINCARE HLDGS INC DBCV
   3.000% 6/1               FIXED INCOME 532791AB6       1         1.00  PRN        DEFINED      4         --         --         1
LINCARE HLDGS INC EQUITY    EQUITY       532791100       4       101.00  SH         DEFINED      4         --         --       101
LINCARE HOLDINGS INC        EQUITY       532791100    7761      211,748  SH           SOLE       1    211,748         --        --
LINCOLN EDUCATIONAL
   SERVICES                 EQUITY       533535100      53        4,060  SH           SOLE       1      4,060         --        --
LINCOLN ELEC HLDGS INC
   EQUITY                   EQUITY       533900106      13       167.00  SH         DEFINED      4         --         --       167
LINCOLN ELECTRIC HOLDINGS   EQUITY       533900106    8307      107,034  SH           SOLE       1    107,034         --        --
LINCOLN NATIONAL CORP       EQUITY       534187109   28148      427,447  SH           SOLE       1    427,447         --        --
LINCOLN NATIONAL CORP       EQUITY       534187109      22          341  SH           SOLE       2        341         --        --
LINCOLN NATL CORP IND
   EQUITY                   EQUITY       534187109    1133    17,172.00  SH         DEFINED      4         --         --    17,172
LINDSAY CORP                EQUITY       535555106     509       11,622  SH           SOLE       1     11,622         --        --
LINDSAY CORP EQUITY         EQUITY       535555106      15       350.00  SH         DEFINED      4         --         --       350
LINEAR TECHNOLOGY CORP      EQUITY       535678106    3997      114,221  SH           SOLE       1    114,221         --        --
LINEAR TECHNOLOGY CORP      EQUITY       535678106      10          280  SH           SOLE       2        280         --        --
LINN ENERGY LLC UNIT LTD
   LIAB                     EQUITY       536020100      19       600.00  SH         DEFINED      4         --         --       600
LIONBRIDGE TECHNOLOGIES
   INC                      EQUITY       536252109     210       52,634  SH           SOLE       1     52,634         --        --
LIONS GATE ENTMNT CORP
   EQUITY NEW               EQUITY       535919203       1        80.00  SH         DEFINED      4         --         --        80
LIQUIDITY SERVICES INC      EQUITY       53635B107     101        9,214  SH           SOLE       1      9,214         --        --
LITHIA MOTORS INC-CL A      EQUITY       536797103     270       15,817  SH           SOLE       1     15,817         --        --
LITTELFUSE INC              EQUITY       537008104     792       22,189  SH           SOLE       1     22,189         --        --
LIVE NATION INC             EQUITY       538034109    1389       65,367  SH           SOLE       1     65,367         --        --
LIVE NATION INC             EQUITY       538034109     387       18,200  SH           SOLE       2     18,200         --        --
LIVEPERSON INC              EQUITY       538146101     197       31,936  SH           SOLE       1     31,936         --        --
LIZ CLAIBORNE INC           EQUITY       539320101    1660       48,347  SH           SOLE       1     48,347         --        --
LIZ CLAIBORNE INC           EQUITY       539320101       4          129  SH           SOLE       2        129         --        --
LIZ CLAIBORNE INC EQUITY    EQUITY       539320101       3        80.00  SH         DEFINED      4         --         --        80
LKQ CORP                    EQUITY       501889208    1613       46,350  SH           SOLE       1     46,350         --        --
LLOYDS TSB GROUP PLC
   SPONSORED ADR            EQUITY       539439109     608    13,600.00  SH         DEFINED      4         --         --    13,600
LMP CAP & INEQUITYE FD
   INC EQUITY               EQUITY       50208A102      54     2,727.00  SH         DEFINED      4         --         --     2,727
LOCKHEED MARTIN CORP        EQUITY       539830109   19310      177,988  SH           SOLE       1    177,988         --        --
LOCKHEED MARTIN CORP        EQUITY       539830109     340        3,138  SH           SOLE       2      3,138         --        --
LOCKHEED MARTIN CORP DBCV
   8/1                      FIXED INCOME 539830AP4       5         3.00  PRN        DEFINED      4         --         --         3
LOCKHEED MARTIN CORP
   EQUITY                   EQUITY       539830109    2487    22,926.37  SH         DEFINED      4         --         --    22,926
LODGENET ENTERTAINMENT
   CORP                     EQUITY       540211109     501       19,765  SH           SOLE       1     19,765         --        --
LODGIAN INC                 EQUITY       54021P403     194       16,431  SH           SOLE       1     16,431         --        --





                                                                                        
LOEWS CORP                  EQUITY       540424108   10688      221,257  SH           SOLE       1    221,257         --        --
LOEWS CORP                  EQUITY       540424108      27          561  SH           SOLE       2        561         --        --
LOEWS CORP - CAROLINA
   GROUP                    EQUITY       540424207     214        2,598  SH           SOLE       1      2,598         --        --
LOEWS CORP CAROLNA GP STK   EQUITY       540424207      22       265.00  SH         DEFINED      4         --         --       265
LOEWS CORP EQUITY           EQUITY       540424108      48     1,000.00  SH         DEFINED      4         --         --     1,000
LO-JACK CORP EQUITY         EQUITY       539451104       4       200.00  SH         DEFINED      4         --         --       200
LOJACK CORPORATION          EQUITY       539451104    1719       90,645  SH           SOLE       1     90,645         --        --
LONGS DRUG STORES CORP      EQUITY       543162101    1624       32,688  SH           SOLE       1     32,688         --        --
LOOKSMART LTD EQUITY NEW    EQUITY       543442503       1       200.00  SH         DEFINED      4         --         --       200
LOOPNET INC                 EQUITY       543524300    1401       68,198  SH           SOLE       1     68,198         --        --
LORAL SPACE &
   COMMUNICATIONS           EQUITY       543881106    8127      204,465  SH           SOLE       1    204,465         --        --
LOUISIANA PAC CORP EQUITY   EQUITY       546347105       3       174.00  SH         DEFINED      4         --         --       174
LOUISIANA-PACIFIC CORP      EQUITY       546347105    4429      261,001  SH           SOLE       1    261,001         --        --
LOUISIANA-PACIFIC CORP      EQUITY       546347105    4646      273,800  SH           SOLE       2    273,800         --        --
LOWE'S COS INC              EQUITY       548661107   18142      647,464  SH           SOLE       1    647,464         --        --
LOWES COS INC EQUITY        EQUITY       548661107     169     6,025.00  SH         DEFINED      4         --         --     6,025
LSB INDS INC EQUITY         EQUITY       502160104       1        35.00  SH         DEFINED      4         --         --        35
LSB INDUSTRIES INC          EQUITY       502160104     305       12,908  SH           SOLE       1     12,908         --        --
LSI CORP                    EQUITY       502161102    2421      326,233  SH           SOLE       1    326,233         --        --
LSI CORP                    EQUITY       502161102       7          903  SH           SOLE       2        903         --        --
LSI CORPORATION EQUITY      EQUITY       502161102      10     1,411.00  SH         DEFINED      4         --         --     1,411
LSI CORPORATION NOTE
   4.000% 5/1               FIXED INCOME 502161AJ1       1         1.00  PRN        DEFINED      4         --         --         1
LSI INDUSTRIES INC          EQUITY       50216C108     328       15,965  SH           SOLE       1     15,965         --        --
LTC PROPERTIES INC          EQUITY       502175102     548       23,165  SH           SOLE       1     23,165         --        --
LTX CORP                    EQUITY       502392103     193       54,034  SH           SOLE       1     54,034         --        --
LUBRIZOL CORP               EQUITY       549271104   11214      172,357  SH           SOLE       1    172,357         --        --
LUBRIZOL CORP EQUITY        EQUITY       549271104      20       300.00  SH         DEFINED      4         --         --       300
LUFKIN INDUSTRIES INC       EQUITY       549764108     825       14,994  SH           SOLE       1     14,994         --        --
LUMINENT MORTGAGE CAPITAL
   IN                       EQUITY       550278303      68       40,649  SH           SOLE       1     40,649         --        --
LUMINEX CORP                EQUITY       55027E102     470       31,162  SH           SOLE       1     31,162         --        --
LUNA INNOVATIONS EQUITY     EQUITY       550351100       6     1,351.00  SH         DEFINED      4         --         --     1,351
LUNDIN MINING CORP          EQUITY       550372106    1548      121,400  SH          OTHER       1         --    121,400        --
LUNDIN MINING CORP EQUITY   EQUITY       550372106      11       855.00  SH         DEFINED      4         --         --       855
LYDALL INC                  EQUITY       550819106      19        2,073  SH           SOLE       1      2,073         --        --
LYONDELL CHEMICAL CO
   EQUITY                   EQUITY       552078107     108     2,330.00  SH         DEFINED      4         --         --     2,330
LYONDELL CHEMICAL COMPANY   EQUITY       552078107   34724      749,166  SH           SOLE       1    749,166         --        --
M & F WORLDWIDE CORP        EQUITY       552541104     531       10,575  SH           SOLE       1     10,575         --        --
M & T BANK CORP             EQUITY       55261F104    4327       41,830  SH           SOLE       1     41,830         --        --
M & T BANK CORP             EQUITY       55261F104      10           95  SH           SOLE       2         95         --        --
M/I HOMES INC               EQUITY       55305B101     167       12,045  SH           SOLE       1     12,045         --        --
MACATAWA BANK CORP          EQUITY       554225102     182       13,465  SH           SOLE       1     13,465         --        --
MACERICH CO EQUITY          EQUITY       554382101       5        56.00  SH         DEFINED      4         --         --        56
MACERICH CO/THE             EQUITY       554382101   11321      129,268  SH           SOLE       1    129,268         --        --
MACK CALI RLTY CORP EQUITY  EQUITY       554489104      16       400.00  SH         DEFINED      4         --         --       400
MACQUARIE GLBL INFRA TOTL
   RE EQUITY                EQUITY       55608D101      51     1,750.00  SH         DEFINED      4         --         --     1,750
MACROVISION CORP            EQUITY       555904101    4475      181,689  SH           SOLE       1    181,689         --        --
MACY'S INC                  EQUITY       55616P104   15078      466,467  SH           SOLE       1    466,467         --        --
MACY'S INC                  EQUITY       55616P104     254        7,847  SH           SOLE       2      7,847         --        --
MACYS INC EQUITY            EQUITY       55616P104      31       958.00  SH         DEFINED      4         --         --       958
MADISON STRTG SECTOR PREM
   FD EQUITY                EQUITY       558268108     115     6,500.00  SH         DEFINED      4         --         --     6,500
MAGELLAN HEALTH SERVICES
   INC                      EQUITY       559079207    1382       34,057  SH           SOLE       1     34,057         --        --
MAGELLAN HEALTH SERVICES
   INC                      EQUITY       559079207    6481      159,700  SH           SOLE       2    159,700         --        --
MAGELLAN MIDSTREAM
   HOLDINGS                 EQUITY       55907R108    1837       69,600  SH           SOLE       1     69,600         --        --
MAGMA DESIGN AUTOMATION
   INC                      EQUITY       559181102     473       33,647  SH           SOLE       1     33,647         --        --
MAGNA ENTERTAINMENT -CL A   EQUITY       559211107      80       35,462  SH           SOLE       1     35,462         --        --
MAGNA INTERNATIONAL
   INC-CL A                 EQUITY       559222401     205        2,207  SH          OTHER       1         --      2,207        --
MAGNETEK INC                EQUITY       559424106      18        3,800  SH           SOLE       1      3,800         --        --
MAIDENFORM BRANDS INC       EQUITY       560305104     358       22,515  SH           SOLE       1     22,515         --        --
MAIDENFORM BRANDS INC
   EQUITY                   EQUITY       560305104                30.00  SH         DEFINED      4         --         --        30
MAINSOURCE FINANCIAL
   GROUP I                  EQUITY       56062Y102     289       16,366  SH           SOLE       1     16,366         --        --
MANAGED HIGH YIELD PLUS
   FD I EQUITY              EQUITY       561911108       4     1,021.00  SH         DEFINED      4         --         --     1,021
MANHATTAN ASSOCIATES INC    EQUITY       562750109     734       26,774  SH           SOLE       1     26,774         --        --
MANITOWOC COMPANY INC       EQUITY       563571108    1680       37,949  SH           SOLE       1     37,949         --        --
MANITOWOC INC EQUITY        EQUITY       563571108     172     3,877.00  SH         DEFINED      4         --         --     3,877
MANNATECH INC               EQUITY       563771104     126       15,551  SH           SOLE       1     15,551         --        --
MANNKIND CORP               EQUITY       56400P201     353       36,422  SH           SOLE       1     36,422         --        --
MANOR CARE INC              EQUITY       564055101    6505      101,016  SH           SOLE       1    101,016         --        --
MANOR CARE INC              EQUITY       564055101       6           92  SH           SOLE       2         92         --        --
MANOR CARE INC NEW EQUITY   EQUITY       564055101       3        43.00  SH         DEFINED      4         --         --        43
MANPOWER INC                EQUITY       56418H100   13582      211,061  SH           SOLE       1    211,061         --        --





                                                                                        
MANPOWER INC EQUITY         EQUITY       56418H100      13       202.00  SH     P   DEFINED      4         --         --       202
MANTECH INTERNATIONAL
   CORP-A                   EQUITY       564563104     700       19,469  SH           SOLE       1     19,469         --        --
MANULIFE FINANCIAL CORP     EQUITY       56501R106    1375       33,802  SH          OTHER       1         --     33,802        --
MANULIFE FINL CORP EQUITY   EQUITY       56501R106     623    15,091.00  SH         DEFINED      4         --         --    15,091
MARATHON ACQUISITION CORP   EQUITY       565756103     260       32,918  SH           SOLE       1     32,918         --        --
MARATHON OIL CORP           EQUITY       565849106   24380      427,567  SH           SOLE       1    427,567         --        --
MARATHON OIL CORP           EQUITY       565849106    3328       58,359  SH           SOLE       2     58,359         --        --
MARATHON OIL CORP EQUITY    EQUITY       565849106    4505    79,016.00  SH         DEFINED      4         --         --    79,016
MARCHEX INC-CLASS B         EQUITY       56624R108     231       24,335  SH           SOLE       1     24,335         --        --
MARCUS CORP EQUITY          EQUITY       566330106       1        71.00  SH         DEFINED      4         --         --        71
MARCUS CORPORATION          EQUITY       566330106     406       21,127  SH           SOLE       1     21,127         --        --
MARINE PRODUCTS CORP        EQUITY       568427108      88       10,429  SH           SOLE       1     10,429         --        --
MARINEMAX INC               EQUITY       567908108     241       16,582  SH           SOLE       1     16,582         --        --
MARINER ENERGY INC          EQUITY       56845T305    1572       75,898  SH           SOLE       1     75,898         --        --
MARKEL CORP                 EQUITY       570535104     200          414  SH           SOLE       1        414         --        --
MARKEL CORP EQUITY          EQUITY       570535104       1         2.00  SH         DEFINED      4         --         --         2
MARKET VECTORS ETF TR
   AGRIBUS ETF ADDED        EQUITY       57060U605    3282    71,345.00  SH         DEFINED      4         --         --    71,345
MARKET VECTORS ETF TR
   GOLD MINER ETF           EQUITY       57060U100    1078    23,770.00  SH         DEFINED      4         --         --    23,770
MARKET VECTORS ETF TR MV
   ENVIR SVCS               EQUITY       57060U209      60     1,110.00  SH         DEFINED      4         --         --     1,110
MARKET VECTORS ETF TR NUC
   ENERGY ETF ADDED         EQUITY       57060U704    6710   158,639.00  SH         DEFINED      4         --         --   158,639
MARKETAXESS HOLDINGS INC    EQUITY       57060D108     406       27,096  SH           SOLE       1     27,096         --        --
MARKWEST ENERGY PARTNERS
   L P UNIT LTD PARTN       EQUITY       570759100       1        40.00  SH         DEFINED      4         --         --        40
MARKWEST HYDROCARBON INC    EQUITY       570762104     324        5,570  SH           SOLE       1      5,570         --        --
MARRIOTT INTERNATIONAL-CL
   A                        EQUITY       571903202    7612      175,116  SH           SOLE       1    175,116         --        --
MARRIOTT INTL INC NEW CL A  EQUITY       571903202      40       923.00  SH         DEFINED      4         --         --       923
MARSH & MCLENNAN COS        EQUITY       571748102    5987      234,773  SH           SOLE       1    234,773         --        --
MARSH & MCLENNAN COS        EQUITY       571748102      17          683  SH           SOLE       2        683         --        --
MARSH & MCLENNAN COS INC
   EQUITY                   EQUITY       571748102      43     1,690.22  SH         DEFINED      4         --         --     1,690
MARSHALL & ILSLEY CORP      EQUITY       571834100    5444      124,386  SH           SOLE       1    124,386         --        --
MARSHALL & ILSLEY CORP      EQUITY       571834100     168        3,836  SH           SOLE       2      3,836         --        --
MARTEK BIOSCIENCES CORP     EQUITY       572901106     934       32,170  SH           SOLE       1     32,170         --        --
MARTEN TRANSPORT LTD        EQUITY       573075108     205       13,294  SH           SOLE       1     13,294         --        --
MARTHA STEWART LIVING -CL
   A                        EQUITY       573083102     269       23,105  SH           SOLE       1     23,105         --        --
MARTHA STEWART LIVING
   OMNIME CL A              EQUITY       573083102       8       660.00  SH         DEFINED      4         --         --       660
MARTIN MARIETTA MATERIALS   EQUITY       573284106   13890      104,005  SH           SOLE       1    104,005         --        --
MARVEL ENTERTAINMENT INC    EQUITY       57383T103    1106       47,204  SH           SOLE       1     47,204         --        --
MARVEL ENTERTAINMENT INC
   EQUITY                   EQUITY       57383T103       3       135.00  SH         DEFINED      4         --         --       135
MARVELL TECHNOLOGY GROUP
   LTD ORD                  EQUITY       G5876H105      14       850.00  SH         DEFINED      4         --         --       850
MASCO CORP                  EQUITY       574599106   16404      693,298  SH           SOLE       1    693,298         --        --
MASCO CORP                  EQUITY       574599106    4450      192,063  SH           SOLE       2    192,063         --        --
MASCO CORP EQUITY           EQUITY       574599106      54     2,317.00  SH         DEFINED      4         --         --     2,317
MASSEY ENERGY CO            EQUITY       576206106     288       13,183  SH           SOLE       1     13,183         --        --
MASSEY ENERGY CORP EQUITY   EQUITY       576206106      13       584.00  SH         DEFINED      4         --         --       584
MASSMUTUAL CORPORATE INVS
   IN EQUITY                EQUITY       576292106     122     3,821.94  SH         DEFINED      4         --         --     3,822
MASTEC INC                  EQUITY       576323109     521       37,025  SH           SOLE       1     37,025         --        --
MASTERCARD INC CL A         EQUITY       57636Q104       8        54.00  SH         DEFINED      4         --         --        54
MASTERCARD INC-CLASS A      EQUITY       57636Q104    6661       44,811  SH           SOLE       1     44,811         --        --
MASTERCARD INC-CLASS A      EQUITY       57636Q104    7177       48,500  SH           SOLE       3     21,700         --    26,800
MATERIAL SCIENCES CORP      EQUITY       576674105      17        1,599  SH           SOLE       1      1,599         --        --
MATRIA HEALTHCARE INC       EQUITY       576817209     557       21,285  SH           SOLE       1     21,285         --        --
MATRITECH INC EQUITY        EQUITY       576818108             2,300.00  SH         DEFINED      4         --         --     2,300
MATRIX SERVICE CO           EQUITY       576853105     555       26,468  SH           SOLE       1     26,468         --        --
MATRIX SVC CO EQUITY        EQUITY       576853105       2       100.00  SH         DEFINED      4         --         --       100
MATSUSHITA ELEC INDL ADR    EQUITY       576879209       7       375.00  SH         DEFINED      4         --         --       375
MATTEL INC                  EQUITY       577081102    4430      188,828  SH           SOLE       1    188,828         --        --
MATTEL INC                  EQUITY       577081102      12          498  SH           SOLE       2        498         --        --
MATTEL INC EQUITY           EQUITY       577081102      54     2,287.29  SH         DEFINED      4         --         --     2,287
MATTHEWS INTL CORP-CL A     EQUITY       577128101    4591      104,819  SH           SOLE       1    104,819         --        --
MATTSON TECHNOLOGY INC      EQUITY       577223100     398       45,960  SH           SOLE       1     45,960         --        --
MAUI LAND & PINEAPPLE CO    EQUITY       577345101     117        3,856  SH           SOLE       1      3,856         --        --
MAXIM INTEGRATED PRODS
   INC EQUITY               EQUITY       57772K101       2        56.00  SH         DEFINED      4         --         --        56
MAXIM INTEGRATED PRODUCTS   EQUITY       57772K101     845       28,774  SH           SOLE       1     28,774         --        --
MAXIMUS INC                 EQUITY       577933104     952       21,850  SH           SOLE       1     21,850         --        --
MAXYGEN INC                 EQUITY       577776107     145       21,219  SH           SOLE       1     21,219         --        --
MB FINANCIAL INC            EQUITY       55264U108    1098       31,782  SH           SOLE       1     31,782         --        --
MBIA CAP CLAYMORE MNG DUR
   IN EQUITY                EQUITY       55266X100      21     1,666.00  SH         DEFINED      4         --         --     1,666
MBIA INC                    EQUITY       55262C100    7140      116,952  SH           SOLE       1    116,952         --        --
MBIA INC                    EQUITY       55262C100      10          160  SH           SOLE       2        160         --        --
MCAFEE INC                  EQUITY       579064106   13855      397,327  SH           SOLE       1    397,327         --        --
MCAFEE INC EQUITY           EQUITY       579064106      29       825.00  SH         DEFINED      4         --         --       825





                                                                                        
MCCLATCHY CO CL A           EQUITY       579489105      15       736.00  SH         DEFINED      4         --         --       736
MCCLATCHY CO-CLASS A        EQUITY       579489105      34        1,702  SH           SOLE       1      1,702         --        --
MCCORMICK & CO INC EQUITY
   VTG                      EQUITY       579780107       1        33.00  SH         DEFINED      4         --         --        33
MCCORMICK & CO-NON VTG
   SHRS                     EQUITY       579780206    2101       58,402  SH           SOLE       1     58,402         --        --
MCCORMICK & CO-NON VTG
   SHRS                     EQUITY       579780206    2919       81,164  SH           SOLE       2     81,164         --        --
MCCORMICK & SCHMICK'S
   SEAFOO                   EQUITY       579793100     240       12,737  SH           SOLE       1     12,737         --        --
MCDERMOTT INTL INC          EQUITY       580037109     208        3,853  SH           SOLE       1      3,853         --        --
MCDERMOTT INTL INC EQUITY   EQUITY       580037109    1427    26,384.00  SH         DEFINED      4         --         --    26,384
MCDONALD'S CORP             EQUITY       580135101   84453    1,550,457  SH           SOLE       1  1,550,457         --        --
MCDONALD'S CORP             EQUITY       580135101      82        1,503  SH           SOLE       2      1,503         --        --
MCDONALDS CORP EQUITY       EQUITY       580135101     750    13,773.00  SH         DEFINED      4         --         --    13,773
MCG CAPITAL CORP            EQUITY       58047P107    2173      150,983  SH           SOLE       1    150,983         --        --
MCG CAPITAL CORP EQUITY     EQUITY       58047P107     197    13,022.00  SH         DEFINED      4         --         --    13,022
MCGRATH RENTCORP            EQUITY       580589109     730       21,950  SH           SOLE       1     21,950         --        --
MCGRAW HILL COS INC EQUITY  EQUITY       580645109      68     1,338.00  SH         DEFINED      4         --         --     1,338
MCGRAW-HILL COMPANIES INC   EQUITY       580645109   27353      537,661  SH           SOLE       1    537,661         --        --
MCGRAW-HILL COMPANIES INC   EQUITY       580645109      22          427  SH           SOLE       2        427         --        --
MCKESSON CORP               EQUITY       58155Q103   12148      206,637  SH           SOLE       1    206,637         --        --
MCKESSON CORP               EQUITY       58155Q103      22          373  SH           SOLE       2        373         --        --
MCKESSON CORP EQUITY        EQUITY       58155Q103      19       322.00  SH         DEFINED      4         --         --       322
MCMORAN EXPLORATION CO      EQUITY       582411104     337       25,092  SH           SOLE       1     25,092         --        --
MDC HOLDINGS INC            EQUITY       552676108    3564       87,047  SH           SOLE       1     87,047         --        --
MDS INC                     EQUITY       55269P302      59        2,759  SH          OTHER       1         --      2,759        --
MDU RES GROUP INC EQUITY    EQUITY       552690109     150     5,374.23  SH         DEFINED      4         --         --     5,374
MDU RESOURCES GROUP INC     EQUITY       552690109   12699      456,150  SH           SOLE       1    456,150         --        --
MEADOWBROOK INSURANCE
   GROUP                    EQUITY       58319P108     251       27,877  SH           SOLE       1     27,877         --        --
MEADWESTVACO CORP           EQUITY       583334107    2554       86,483  SH           SOLE       1     86,483         --        --
MEADWESTVACO CORP           EQUITY       583334107       7          231  SH           SOLE       2        231         --        --
MEADWESTVACO CORP EQUITY    EQUITY       583334107      16       558.00  SH         DEFINED      4         --         --       558
MEASUREMENT SPECIALTIES
   INC                      EQUITY       583421102     346       12,407  SH           SOLE       1     12,407         --        --
MECHEL OAO SPONSORED ADR    EQUITY       583840103      15       300.00  SH         DEFINED      4         --         --       300
MECHEL-ADR                  EQUITY       583840103   27561      540,410  SH           SOLE       1    540,410         --        --
MEDAREX INC                 EQUITY       583916101    1553      109,701  SH           SOLE       1    109,701         --        --
MEDCATH CORPORATION         EQUITY       58404W109     288       10,481  SH           SOLE       1     10,481         --        --
MEDCO HEALTH SOLUTIONS INC  EQUITY       58405U102   12687      140,353  SH           SOLE       1    140,353         --        --
MEDCO HEALTH SOLUTIONS INC  EQUITY       58405U102   30239      334,541  SH           SOLE       2    334,541         --        --
MEDCO HEALTH SOLUTIONS
   INC EQUITY               EQUITY       58405U102     126     1,392.00  SH         DEFINED      4         --         --     1,392
MEDIA GENERAL INC -CL A     EQUITY       584404107    2067       75,128  SH           SOLE       1     75,128         --        --
MEDIACOM
   COMMUNICATIONS-CL A      EQUITY       58446K105     334       47,363  SH           SOLE       1     47,363         --        --
MEDICAL ACTION IND INC      EQUITY       58449L100     286       12,102  SH           SOLE       1     12,102         --        --
MEDICAL PPTYS TRUST INC
   EQUITY                   EQUITY       58463J304      27     2,000.00  SH         DEFINED      4         --         --     2,000
MEDICAL PROPERTIES TRUST
   INC                      EQUITY       58463J304     657       49,361  SH           SOLE       1     49,361         --        --
MEDICINES COMPANY           EQUITY       584688105     803       45,078  SH           SOLE       1     45,078         --        --
MEDICIS PHARMACEUTICAL-CL
   A                        EQUITY       584690309    5685      186,343  SH           SOLE       1    186,343         --        --
MEDIS TECHNOLOGIES LTD      EQUITY       58500P107     259       19,912  SH           SOLE       1     19,912         --        --
MEDIVATION INC              EQUITY       58501N101     374       18,635  SH           SOLE       1     18,635         --        --
MEDIVATION INC              EQUITY       58501N101     602       30,000  SH           SOLE       2     30,000         --        --
MEDTRONIC INC               EQUITY       585055106   48005      851,000  SH           SOLE       1    851,000         --        --
MEDTRONIC INC               EQUITY       585055106    9095      161,230  SH           SOLE       2    161,230         --        --
MEDTRONIC INC EQUITY        EQUITY       585055106     263     4,662.27  SH         DEFINED      4         --         --     4,662
MELCO PBL ENTMNT LTD ADR    EQUITY       585464100      28       850.00  SH         DEFINED      4         --         --       850
MELLANOX TECHNOLOGIES LTD   EQUITY       M51363113     586       30,000  SH           SOLE       2     30,000         --        --
MEMC ELECTR MATLS INC CALL  OPTION       552715904      -1        (1.00)        C   DEFINED      4         --         --        (1)
MEMC ELECTR MATLS INC
   EQUITY                   EQUITY       552715104     890    15,127.00  SH         DEFINED      4         --         --    15,127
MEMC ELECTR MATLS INC PUT   OPTION       552715954      -9       (10.00)        P   DEFINED      4         --         --       (10)
MEMC ELECTRONIC MATERIALS   EQUITY       552715104    6545      111,188  SH           SOLE       1    111,188         --        --
MEMC ELECTRONIC MATERIALS   EQUITY       552715104      17          284  SH           SOLE       2        284         --        --
MENS WEARHOUSE INC EQUITY   EQUITY       587118100       5        93.00  SH         DEFINED      4         --         --        93
MENTOR CORP                 EQUITY       587188103    1775       38,545  SH           SOLE       1     38,545         --        --
MENTOR CORP                 EQUITY       587188103     612       13,300  SH           SOLE       2     13,300         --        --
MENTOR GRAPHICS CORP        EQUITY       587200106    4458      295,208  SH           SOLE       1    295,208         --        --
MERCER INTL INC-SBI         EQUITY       588056101     262       27,716  SH           SOLE       1     27,716         --        --
MERCK & CO INC EQUITY       EQUITY       589331107    2551    49,358.29  SH         DEFINED      4         --         --    49,358
MERCK & CO. INC.            EQUITY       589331107   85791    1,660,334  SH           SOLE       1  1,660,334         --        --
MERCK & CO. INC.            EQUITY       589331107   15811      305,877  SH           SOLE       2    305,877         --        --
MERCURY COMPUTER SYSTEMS
   INC                      EQUITY       589378108     228       22,177  SH           SOLE       1     22,177         --        --
MERCURY GENERAL CORP        EQUITY       589400100    4775       88,541  SH           SOLE       1     88,541         --        --
MEREDITH CORP               EQUITY       589433101    1985       34,641  SH           SOLE       1     34,641         --        --
MEREDITH CORP               EQUITY       589433101       3           49  SH           SOLE       2         49         --        --
MERIDIAN BIOSCIENCE INC     EQUITY       589584101    1201       39,606  SH           SOLE       1     39,606         --        --





                                                                                        
MERIDIAN GOLD INC           EQUITY       589975101    7336      220,341  SH          OTHER       1         --    220,341        --
MERIDIAN RESOURCE CORP      EQUITY       58977Q109     193       77,737  SH           SOLE       1     77,737         --        --
MERIT MEDICAL SYSTEMS INC   EQUITY       589889104     356       27,419  SH           SOLE       1     27,419         --        --
MERITAGE HOMES CORP         EQUITY       59001A102     370       26,186  SH           SOLE       1     26,186         --        --
MERRILL LYNCH & CO INC      EQUITY       590188108   51623      724,068  SH           SOLE       1    724,068         --        --
MERRILL LYNCH & CO INC      EQUITY       590188108   14904      209,087  SH           SOLE       2    209,087         --        --
MERRILL LYNCH & CO INC
   EQUITY                   EQUITY       590188108     305     4,278.18  SH         DEFINED      4         --         --     4,278
MERUELO MADDUX PROPERTIES
   IN                       EQUITY       590473104     235       39,782  SH           SOLE       1     39,782         --        --
MESA AIR GROUP INC          EQUITY       590479101      16        3,617  SH           SOLE       1      3,617         --        --
MESA RTY TR UNIT BEN INT    EQUITY       590660106      18       305.00  SH         DEFINED      4         --         --       305
METABOLIX INC               EQUITY       591018809     305       12,562  SH           SOLE       1     12,562         --        --
METABOLIX INC               EQUITY       591018809     422       17,400  SH           SOLE       2     17,400         --        --
METAL MANAGEMENT INC        EQUITY       591097209    1209       22,311  SH           SOLE       1     22,311         --        --
METAL MGMT INC EQUITY NEW   EQUITY       591097209       1        24.00  SH         DEFINED      4         --         --        24
METHANEX CORP               EQUITY       59151K108      49        2,202  SH          OTHER       1         --      2,202        --
METHANEX CORP EQUITY        EQUITY       59151K108      65     2,560.00  SH         DEFINED      4         --         --     2,560
METHODE ELECTRONICS INC     EQUITY       591520200     551       36,587  SH           SOLE       1     36,587         --        --
METLIFE INC                 EQUITY       59156R108   28531      409,160  SH           SOLE       1    409,160         --        --
METLIFE INC                 EQUITY       59156R108    5623       80,637  SH           SOLE       2     80,637         --        --
METLIFE INC EQUITY          EQUITY       59156R108      78     1,113.00  SH         DEFINED      4         --         --     1,113
METROPCS COMMUNICATIONS
   INC                      EQUITY       591708102      33        1,222  SH           SOLE       1      1,222         --        --
METSO CORP SPONSORED ADR    EQUITY       592671101      12       173.00  SH         DEFINED      4         --         --       173
METTLER TOLEDO
   INTERNATIONAL EQUITY     EQUITY       592688105      11       109.00  SH         DEFINED      4         --         --       109
METTLER-TOLEDO
   INTERNATIONAL            EQUITY       592688105     113        1,107  SH           SOLE       1      1,107         --        --
METTLER-TOLEDO
   INTERNATIONAL            EQUITY       592688105     408        4,000  SH           SOLE       2      4,000         --        --
MF GLOBAL LTD               EQUITY       G60642108   25941      894,500  SH           SOLE       2    894,500         --        --
MF GLOBAL LTD SHS ADDED     EQUITY       G60642108      17       600.00  SH         DEFINED      4         --         --       600
MFA MORTGAGE INVESTMENTS
   INC                      EQUITY       55272X102     570       70,765  SH           SOLE       1     70,765         --        --
MFA MORTGAGE INVESTMENTS
   INC                      EQUITY       55272X102    6440      800,000  SH           SOLE       2    800,000         --        --
MFA MTG INVTS INC EQUITY    EQUITY       55272X102       2       200.00  SH         DEFINED      4         --         --       200
MFS CHARTER INEQUITYE TR
   SH BEN INT               EQUITY       552727109       3       374.75  SH         DEFINED      4         --         --       375
MFS INTER INEQUITYE TR SH
   BEN INT                  EQUITY       55273C107       9     1,400.00  SH         DEFINED      4         --         --     1,400
MFS INTERMEDIATE HIGH INC
   FD SH BEN INT ADDED      EQUITY       59318T109     359   110,895.00  SH         DEFINED      4         --         --   110,895
MFS MULTIMARKET INEQUITYE
   TR SH BEN INT            EQUITY       552737108      60    10,188.00  SH         DEFINED      4         --         --    10,188
MFS MUN INEQUITYE TR SH
   BEN INT                  EQUITY       552738106       2       200.00  SH         DEFINED      4         --         --       200
MGE ENERGY INC              EQUITY       55277P104     619       18,497  SH           SOLE       1     18,497         --        --
MGI PHARMA INC              EQUITY       552880106    2210       79,561  SH           SOLE       1     79,561         --        --
MGI PHARMA INC EQUITY       EQUITY       552880106      21       760.00  SH         DEFINED      4         --         --       760
MGIC INVESTMENT CORP        EQUITY       552848103    6160      189,249  SH           SOLE       1    189,249         --        --
MGIC INVESTMENT CORP        EQUITY       552848103       3          103  SH           SOLE       2        103         --        --
MGIC INVT CORP WIS EQUITY   EQUITY       552848103       7       205.00  SH         DEFINED      4         --         --       205
MGM MIRAGE                  EQUITY       552953101      13          145  SH           SOLE       1        145         --        --
MGM MIRAGE                  EQUITY       552953101     894       10,000  SH           SOLE       2     10,000         --        --
MGM MIRAGE EQUITY           EQUITY       552953101      72       807.00  SH         DEFINED      4         --         --       807
MGP INGREDIENTS INC         EQUITY       55302G103      88        8,606  SH           SOLE       1      8,606         --        --
MI DEVELOPMENTS INC-CLASS
   A                        EQUITY       55304X104      24          735  SH          OTHER       1         --        735        --
MICREL INC                  EQUITY       594793101    2011      186,237  SH           SOLE       1    186,237         --        --
MICROCHIP TECHNOLOGY INC    EQUITY       595017104    3874      106,671  SH           SOLE       1    106,671         --        --
MICROCHIP TECHNOLOGY INC    EQUITY       595017104      10          274  SH           SOLE       2        274         --        --
MICROCHIP TECHNOLOGY INC
   EQUITY                   EQUITY       595017104      11       300.00  SH         DEFINED      4         --         --       300
MICRON TECHNOLOGY INC       EQUITY       595112103    3868      348,447  SH           SOLE       1    348,447         --        --
MICRON TECHNOLOGY INC       EQUITY       595112103      11          954  SH           SOLE       2        954         --        --
MICRON TECHNOLOGY INC
   EQUITY                   EQUITY       595112103       9       788.00  SH         DEFINED      4         --         --       788
MICROS SYSTEMS INC          EQUITY       594901100    2630       40,425  SH           SOLE       1     40,425         --        --
MICROS SYSTEMS INC          EQUITY       594901100     950       14,600  SH           SOLE       2     14,600         --        --
MICROSEMI CORP              EQUITY       595137100    3464      124,234  SH           SOLE       1    124,234         --        --
MICROSEMI CORP              EQUITY       595137100     669       24,000  SH           SOLE       2     24,000         --        --
MICROSEMI CORP EQUITY       EQUITY       595137100      58     2,078.00  SH         DEFINED      4         --         --     2,078
MICROSOFT CORP              EQUITY       594918104  199821    6,785,601  SH           SOLE       1  6,785,601         --        --
MICROSOFT CORP              EQUITY       594918104   52284    1,774,744  SH           SOLE       2  1,774,744         --        --
MICROSOFT CORP CALL         OPTION       594918904      -1       (18.00)        C   DEFINED      4         --         --       (18)
MICROSOFT CORP EQUITY       EQUITY       594918104    2580    87,560.22  SH         DEFINED      4         --         --    87,560
MICROSTRATEGY INC-CL A      EQUITY       594972408     662        8,338  SH           SOLE       1      8,338         --        --
MICROTUNE INC               EQUITY       59514P109     282       46,849  SH           SOLE       1     46,849         --        --
MICROVISION INC DEL EQUITY  EQUITY       594960106      21     4,500.00  SH         DEFINED      4         --         --     4,500
MICRUS ENDOVASCULAR CORP    EQUITY       59518V102     238       13,049  SH           SOLE       1     13,049         --        --
MICRUS ENDOVASCULAR CORP
   EQUITY                   EQUITY       59518V102      10       540.00  SH         DEFINED      4         --         --       540
MID PENN BANCORP INC
   EQUITY                   EQUITY       59540G107     307    11,826.00  SH         DEFINED      4         --         --    11,826
MIDAS INC                   EQUITY       595626102     918       48,642  SH           SOLE       1     48,642         --        --
MIDCAP SPDR TR UNIT SER 1   EQUITY       595635103    5101    31,683.24  SH         DEFINED      4         --         --    31,683





                                                                                        
MIDDLEBY CORP               EQUITY       596278101     769       11,921  SH           SOLE       1     11,921         --        --
MIDLAND CO                  EQUITY       597486109     473        8,600  SH           SOLE       1      8,600         --        --
MIDWAY GAMES INC            EQUITY       598148104      88       20,115  SH           SOLE       1     20,115         --        --
MIDWEST AIR GROUP INC       EQUITY       597911106     353       21,475  SH           SOLE       1     21,475         --        --
MIDWEST BANC HOLDINGS INC   EQUITY       598251106     251       16,981  SH           SOLE       1     16,981         --        --
MILACRON INC EQUITY NEW     EQUITY       598709301      10     1,400.00  SH         DEFINED      4         --         --     1,400
MILLENNIUM PHARMACEUTICALS  EQUITY       599902103    8382      825,771  SH           SOLE       1    825,771         --        --
MILLENNIUM
   PHARMACEUTICALS I
   EQUITY                   EQUITY       599902103       9       890.00  SH         DEFINED      4         --         --       890
MILLER HERMAN INC EQUITY    EQUITY       600544100      26       974.00  SH         DEFINED      4         --         --       974
MILLER INDUSTRIES INC/TENN  EQUITY       600551204     149        8,703  SH           SOLE       1      8,703         --        --
MILLIEQUITY INTL CELLULAR
   S A SHS NEW              EQUITY       L6388F110       3        38.00  SH         DEFINED      4         --         --        38
MILLIPORE CORP              EQUITY       601073109    3696       48,759  SH           SOLE       1     48,759         --        --
MILLIPORE CORP              EQUITY       601073109       5           68  SH           SOLE       2         68         --        --
MINDRAY MEDICAL INTL LTD
   SPON ADR                 EQUITY       602675100     103     2,400.00  SH         DEFINED      4         --         --     2,400
MINDSPEED TECHNOLOGIES
   INC EQUITY               EQUITY       602682106                28.00  SH         DEFINED      4         --         --        28
MINE SAFETY APPLIANCES CO   EQUITY       602720104    4565       96,899  SH           SOLE       1     96,899         --        --
MINERALS TECHNOLOGIES INC   EQUITY       603158106    4303       64,222  SH           SOLE       1     64,222         --        --
MINRAD INTERNATIONAL INC    EQUITY       60443P103     196       40,961  SH           SOLE       1     40,961         --        --
MIPS TECHNOLOGIES INC       EQUITY       604567107     299       37,909  SH           SOLE       1     37,909         --        --
MIRAMAR MINING CORP         EQUITY       60466E100    7297    1,542,800  SH          OTHER       1         --  1,542,800        --
MIRANT CORP                 EQUITY       60467R100   32274      797,814  SH           SOLE       1    797,814         --        --
MIRANT CORP NEW *W EXP
   01/03/201                WTS          60467R118       2       100.00  SH         DEFINED      4         --         --       100
MIRANT CORP NEW EQUITY      EQUITY       60467R100      39       952.00  SH         DEFINED      4         --         --       952
MISSION WEST PPTYS INC
   EQUITY                   EQUITY       605203108      18     1,500.00  SH         DEFINED      4         --         --     1,500
MISSION WEST PROPERTIES     EQUITY       605203108     208       17,084  SH           SOLE       1     17,084         --        --
MITSUBISHI UFJ FINL GROUP
   IN SPONSORED ADR         EQUITY       606822104       7       775.00  SH         DEFINED      4         --         --       775
MIVA INC                    EQUITY       55311R108      19        4,055  SH           SOLE       1      4,055         --        --
MKS INSTRUMENTS INC         EQUITY       55306N104     959       50,445  SH           SOLE       1     50,445         --        --
MOBILE MINI INC             EQUITY       60740F105     866       35,864  SH           SOLE       1     35,864         --        --
MOBILE TELESYSTEMS OJSC
   SPONSORED ADR            EQUITY       607409109      39       565.00  SH         DEFINED      4         --         --       565
MOBILE TELESYSTEMS-SP ADR   EQUITY       607409109   17241      243,470  SH           SOLE       1    243,470         --        --
MODINE MANUFACTURING CO     EQUITY       607828100    2913      109,447  SH           SOLE       1    109,447         --        --
MODTECH HLDGS INC EQUITY    EQUITY       60783C100                85.00  SH         DEFINED      4         --         --        85
MOHAWK INDUSTRIES INC       EQUITY       608190104   11294      138,914  SH           SOLE       1    138,914         --        --
MOLECULAR INSIGHT
   PHARMACEUT               EQUITY       60852M104      30        4,358  SH           SOLE       1      4,358         --        --
MOLEX INC                   EQUITY       608554101    1784       66,250  SH           SOLE       1     66,250         --        --
MOLEX INC                   EQUITY       608554101    4621      171,581  SH           SOLE       2    171,581         --        --
MOLINA HEALTHCARE INC       EQUITY       60855R100     431       11,880  SH           SOLE       1     11,880         --        --
MOLINA HEALTHCARE INC
   EQUITY                   EQUITY       60855R100      18       500.00  SH         DEFINED      4         --         --       500
MOLSON COORS BREWING CO -B  EQUITY       60871R209    3083       30,937  SH           SOLE       1     30,937         --        --
MOLSON COORS BREWING CO -B  EQUITY       60871R209       9           86  SH           SOLE       2         86         --        --
MOLSON COORS BREWING CO
   CL B                     EQUITY       60871R209      13       132.00  SH         DEFINED      4         --         --       132
MOMENTA PHARMACEUTICALS
   INC                      EQUITY       60877T100     235       20,618  SH           SOLE       1     20,618         --        --
MONACO COACH CORP           EQUITY       60886R103     418       29,808  SH           SOLE       1     29,808         --        --
MONARCH CASINO & RESORT
   INC                      EQUITY       609027107     349       12,272  SH           SOLE       1     12,272         --        --
MONEYGRAM INTERNATIONAL
   INC                      EQUITY       60935Y109    4618      204,415  SH           SOLE       1    204,415         --        --
MONEYGRAM INTERNATIONAL
   INC                      EQUITY       60935Y109   27153    1,202,000  SH           SOLE       2  1,202,000         --        --
MONEYGRAM INTL INC EQUITY   EQUITY       60935Y109       9       400.00  SH         DEFINED      4         --         --       400
MONOLITHIC POWER SYSTEMS
   INC                      EQUITY       609839105     526       20,695  SH           SOLE       1     20,695         --        --
MONRO MUFFLER BRAKE INC     EQUITY       610236101     371       10,966  SH           SOLE       1     10,966         --        --
MONSANTO CO                 EQUITY       61166W101   34465      401,972  SH           SOLE       1    401,972         --        --
MONSANTO CO                 EQUITY       61166W101    7810       91,088  SH           SOLE       2     91,088         --        --
MONSANTO CO                 EQUITY       61166W101     626        7,300  SH           SOLE       3      7,300         --        --
MONSANTO CO NEW EQUITY      EQUITY       61166W101    5889    68,680.56  SH         DEFINED      4         --         --    68,681
MONSTER WORLDWIDE INC       EQUITY       611742107    2281       66,963  SH           SOLE       1     66,963         --        --
MONSTER WORLDWIDE INC       EQUITY       611742107       6          167  SH           SOLE       2        167         --        --
MONSTER WORLDWIDE INC
   EQUITY                   EQUITY       611742107       6       168.00  SH         DEFINED      4         --         --       168
MOODY'S CORP                EQUITY       615369105   12735      253,345  SH           SOLE       1    253,345         --        --
MOODY'S CORP                EQUITY       615369105    5669      112,479  SH           SOLE       2    112,479         --        --
MOODYS CORP EQUITY          EQUITY       615369105      12       248.00  SH         DEFINED      4         --         --       248
MOOG INC-CLASS A            EQUITY       615394202    1685       38,350  SH           SOLE       1     38,350         --        --
MORGAN STANLEY              EQUITY       617446448   61693      979,256  SH           SOLE       1    979,256         --        --
MORGAN STANLEY              EQUITY       617446448    8620      136,827  SH           SOLE       2    136,827         --        --
MORGAN STANLEY ASIA PAC
   FD I EQUITY              EQUITY       61744U106      95     4,226.00  SH         DEFINED      4         --         --     4,226
MORGAN STANLEY EMER MKTS
   DEB EQUITY               EQUITY       61744H105      13     1,400.00  SH         DEFINED      4         --         --     1,400
MORGAN STANLEY EQUITY NEW   EQUITY       617446448      70     1,104.00  SH         DEFINED      4         --         --     1,104
MORGAN STANLEY INDIA INVS
   FD EQUITY                EQUITY       61745C105       2        30.00  SH         DEFINED      4         --         --        30
MORGAN STANLEY INSD MUN
   INCM                     EQUITY       61745P791      19     1,400.00  SH         DEFINED      4         --         --     1,400
MORGAN STANLEY INSD MUN TR  EQUITY       61745P866      11       840.00  SH         DEFINED      4         --         --       840
MORGAN STANLEY MUN PREM
   INEQUITY                 EQUITY       61745P429      26     3,000.00  SH         DEFINED      4         --         --     3,000





                                                                                        
MORGAN STANLEY N Y QULTY
   MUN                      EQUITY       61745P528      50     3,800.00  SH         DEFINED      4         --         --     3,800
MORGANS HOTEL GROUP CO      EQUITY       61748W108     387       17,796  SH           SOLE       1     17,796         --        --
MORNINGSTAR INC             EQUITY       617700109     658       10,719  SH           SOLE       1     10,719         --        --
MORNINGSTAR INC             EQUITY       617700109     721       11,750  SH           SOLE       2     11,750         --        --
MORTON'S RESTAURANT GROUP   EQUITY       619430101     147        9,254  SH           SOLE       1      9,254         --        --
MOSAIC CO/THE               EQUITY       61945A107     234        4,370  SH           SOLE       1      4,370         --        --
MOTOROLA INC                EQUITY       620076109   26688    1,440,272  SH           SOLE       1  1,440,272         --        --
MOTOROLA INC                EQUITY       620076109      54        2,918  SH           SOLE       2      2,918         --        --
MOTOROLA INC EQUITY         EQUITY       620076109     243    13,131.67  SH         DEFINED      4         --         --    13,132
MOVADO GROUP INC            EQUITY       624580106     557       17,435  SH           SOLE       1     17,435         --        --
MOVADO GROUP INC EQUITY     EQUITY       624580106       7       216.00  SH         DEFINED      4         --         --       216
MOVE INC                    EQUITY       62458M108     250       90,718  SH           SOLE       1     90,718         --        --
MPS GROUP INC               EQUITY       553409103    3796      340,491  SH           SOLE       1    340,491         --        --
MRV COMMUNICATIONS INC      EQUITY       553477100     272      109,569  SH           SOLE       1    109,569         --        --
MSC INDL DIRECT INC CL A    EQUITY       553530106      20       387.00  SH         DEFINED      4         --         --       387
MSC INDUSTRIAL DIRECT CO-A  EQUITY       553530106    5963      117,861  SH           SOLE       1    117,861         --        --
MSC.SOFTWARE CORP           EQUITY       553531104     520       38,166  SH           SOLE       1     38,166         --        --
MTC TECHNOLOGIES INC        EQUITY       55377A106     159        8,209  SH           SOLE       1      8,209         --        --
MTR GAMING GROUP INC        EQUITY       553769100     170       17,830  SH           SOLE       1     17,830         --        --
MTS SYSTEMS CORP            EQUITY       553777103     737       17,709  SH           SOLE       1     17,709         --        --
MUELLER INDUSTRIES INC      EQUITY       624756102    1335       36,930  SH           SOLE       1     36,930         --        --
MUELLER WATER PRODUCTS
   INC-A                    EQUITY       624758108    1238       99,932  SH           SOLE       1     99,932         --        --
MUELLER WATER PRODUCTS
   INC-B                    EQUITY       624758207      20        1,862  SH           SOLE       1      1,862         --        --
MUELLER WTR PRODS INC
   EQUITY SER A             EQUITY       624758108       1        50.00  SH         DEFINED      4         --         --        50
MUELLER WTR PRODS INC
   EQUITY SER B             EQUITY       624758207       1        82.00  SH         DEFINED      4         --         --        82
MULTI-COLOR CORP            EQUITY       625383104     162        7,089  SH           SOLE       1      7,089         --        --
MULTI-FINELINE ELECTRONIX
   IN                       EQUITY       62541B101     109        7,375  SH           SOLE       1      7,375         --        --
MULTIMEDIA GAMES INC        EQUITY       625453105     206       24,151  SH           SOLE       1     24,151         --        --
MUNICIPAL MTG & EQUITY L
   L C GROWTH SHS           EQUITY       62624B101      69     2,650.00  SH         DEFINED      4         --         --     2,650
MURPHY OIL CORP             EQUITY       626717102   15195      217,419  SH           SOLE       1    217,419         --        --
MURPHY OIL CORP             EQUITY       626717102      17          238  SH           SOLE       2        238         --        --
MVC CAPITAL INC             EQUITY       553829102     393       21,182  SH           SOLE       1     21,182         --        --
MWI VETERINARY SUPPLY INC   EQUITY       55402X105     989       26,208  SH           SOLE       1     26,208         --        --
MWI VETERINARY SUPPLY INC   EQUITY       55402X105    2371       62,800  SH           SOLE       3     53,900         --     8,900
MYERS INDUSTRIES INC        EQUITY       628464109     554       27,971  SH           SOLE       1     27,971         --        --
MYLAN INC                   EQUITY       628530107    7687      481,655  SH           SOLE       1    481,655         --        --
MYLAN INC                   EQUITY       628530107       5          314  SH           SOLE       2        314         --        --
MYLAN LABS INC EQUITY       EQUITY       628530107     183    11,476.93  SH         DEFINED      4         --         --    11,477
MYRIAD GENETICS INC         EQUITY       62855J104    1955       37,497  SH           SOLE       1     37,497         --        --
MYRIAD GENETICS INC EQUITY  EQUITY       62855J104      12       225.00  SH         DEFINED      4         --         --       225
N B T BANCORP INC           EQUITY       628778102     644       29,644  SH           SOLE       1     29,644         --        --
NABI BIOPHARMACEUTICALS     EQUITY       629519109     214       52,769  SH           SOLE       1     52,769         --        --
NABORS INDUSTRIES LTD       EQUITY       G6359F103      11          355  SH           SOLE       2        355         --        --
NABORS INDUSTRIES LTD SHS   EQUITY       G6359F103    1682    54,648.00  SH         DEFINED      4         --         --    54,648
NACCO INDUSTRIES-CL A       EQUITY       629579103     525        5,076  SH           SOLE       1      5,076         --        --
NALCO HOLDING CO            EQUITY       62985Q101      55        1,849  SH           SOLE       1      1,849         --        --
NALCO HOLDING EQUITYPANY
   EQUITY                   EQUITY       62985Q101       1        29.00  SH         DEFINED      4         --         --        29
NAPCO SEC SYS INC EQUITY    EQUITY       630402105       1       225.00  SH         DEFINED      4         --         --       225
NAPSTER INC                 EQUITY       630797108      19        5,841  SH           SOLE       1      5,841         --        --
NARA BANCORP INC            EQUITY       63080P105     348       22,282  SH           SOLE       1     22,282         --        --
NASB FINANCIAL INC          EQUITY       628968109     119        3,313  SH           SOLE       1      3,313         --        --
NASDAQ STOCK MARKET INC     EQUITY       631103108      73        1,933  SH           SOLE       1      1,933         --        --
NASDAQ STOCK MARKET INC
   EQUITY                   EQUITY       631103108      25       660.00  SH         DEFINED      4         --         --       660
NASH FINCH CO               EQUITY       631158102     533       13,393  SH           SOLE       1     13,393         --        --
NASTECH PHARMACEUTICAL CO   EQUITY       631728409     295       22,162  SH           SOLE       1     22,162         --        --
NATCO GROUP INC-A           EQUITY       63227W203     903       17,447  SH           SOLE       1     17,447         --        --
NATIONAL BEVERAGE CORP      EQUITY       635017106      75        8,871  SH           SOLE       1      8,871         --        --
NATIONAL BK GREECE S A
   SPONSORED ADR            EQUITY       633643408      34     2,615.00  SH         DEFINED      4         --         --     2,615
NATIONAL CINEMEDIA INC      EQUITY       635309107     820       36,589  SH           SOLE       1     36,589         --        --
NATIONAL CITY CORP          EQUITY       635405103   20812      828,403  SH           SOLE       1    828,403         --        --
NATIONAL CITY CORP          EQUITY       635405103      20          798  SH           SOLE       2        798         --        --
NATIONAL CITY CORP EQUITY   EQUITY       635405103      65     2,601.00  SH         DEFINED      4         --         --     2,601
NATIONAL FINANCIAL PARTNERS EQUITY       63607P208    1738       32,808  SH           SOLE       1     32,808         --        --
NATIONAL FUEL GAS CO        EQUITY       636180101    9771      208,733  SH           SOLE       1    208,733         --        --
NATIONAL FUEL GAS CO N J
    EQUITY                  EQUITY       636180101      24       514.00  SH         DEFINED      4         --         --       514
NATIONAL GRID PLC SPON
    ADR NEW                 EQUITY       636274300      99     1,239.00  SH         DEFINED      4         --         --     1,239
NATIONAL HEALTH INVS INC
    EQUITY                  EQUITY       63633D104       9       300.00  SH         DEFINED      4         --         --       300
NATIONAL HEALTHCARE CORP    EQUITY       635906100     312        6,073  SH           SOLE       1      6,073         --        --
NATIONAL INSTRUMENTS CORP   EQUITY       636518102    4879      142,131  SH           SOLE       1    142,131         --        --
NATIONAL INTERSTATE CORP    EQUITY       63654U100     142        4,612  SH           SOLE       1      4,612         --        --



                                                                                        
NATIONAL LAMPOON INC NEW
    EQUITY                  EQUITY       636637100      24    11,000.00   SH        DEFINED   4            --         --    11,000
NATIONAL OILWELL VARCO INC  EQUITY       637071101   44593      309,348   SH          SOLE    1       309,348         --        --
NATIONAL OILWELL VARCO INC  EQUITY       637071101    1420        9,825   SH          SOLE    2         9,825         --        --
NATIONAL OILWELL VARCO INC
    EQUITY                  EQUITY       637071101     831     5,749.00   SH        DEFINED   4            --         --     5,749
NATIONAL PENN BANCSHARES
    INC EQUITY              EQUITY       637138108     104     6,365.00   SH        DEFINED   4            --         --     6,365
NATIONAL PRESTO INDS INC    EQUITY       637215104     237        4,471   SH          SOLE    1         4,471         --        --
NATIONAL R V HLDGS INC
    EQUITY                  EQUITY       637277104       1     3,000.00   SH        DEFINED   4            --         --     3,000
NATIONAL RETAIL PROPERTIES  EQUITY       637417106    1623       66,578   SH          SOLE    1        66,578         --        --
NATIONAL RETAIL PROPERTIES
    I EQUITY                EQUITY       637417106    1196    49,067.61   SH        DEFINED   4            --         --    49,068
NATIONAL SEMICONDUCTOR CORP EQUITY       637640103    6866      253,165   SH          SOLE    1       253,165         --        --
NATIONAL SEMICONDUCTOR CORP EQUITY       637640103       8          303   SH          SOLE    2           303         --        --
NATIONAL SEMICONDUCTOR CORP
    EQUITY                  EQUITY       637640103      43     1,570.00   SH        DEFINED   4            --         --     1,570
NATIONWIDE FINANCIAL SERV-A EQUITY       638612101     122        2,266   SH          SOLE    1         2,266         --        --
NATIONWIDE FINL SVCS INC
    CL A                    EQUITY       638612101       5       101.43   SH        DEFINED   4            --         --       101
NATIONWIDE HEALTH PPTYS INC EQUITY       638620104   11839      392,916   SH          SOLE    1       392,916         --        --
NATIONWIDE HEALTH PPTYS INC
    EQUITY                  EQUITY       638620104      43     1,420.00   SH        DEFINED   4            --         --     1,420
NATL PENN BCSHS INC         EQUITY       637138108     700       42,757   SH          SOLE    1        42,757         --        --
NATL WESTERN LIFE INS-CL A  EQUITY       638522102     504        1,968   SH          SOLE    1         1,968         --        --
NATURAL ALTERNATIVES INTL
    IN EQUITY NEW           EQUITY       638842302       1       100.00   SH        DEFINED   4            --         --       100
NATURAL GAS SERVICES GROUP
    EQUITY                  EQUITY       63886Q109       3       200.00   SH        DEFINED   4            --         --       200
NATURAL RESOURCE PARTNERS L
    EQUITY UNIT L P         EQUITY       63900P103       2        70.00   SH        DEFINED   4            --         --        70
NATUS MEDICAL INC           EQUITY       639050103     301       18,862   SH          SOLE    1        18,862         --        --
NAUTILUS INC                EQUITY       63910B102     250       31,409   SH          SOLE    1        31,409         --        --
NAVIGANT CONSULTING INC     EQUITY       63935N107    1918      151,500   SH          SOLE    1       151,500         --        --
NAVIGATORS GROUP INC        EQUITY       638904102     621       11,441   SH          SOLE    1        11,441         --        --
NAVIGATORS GROUP INC        EQUITY       638904102     448        8,250   SH          SOLE    2         8,250         --        --
NAVISITE INC EQUITY NEW     EQUITY       63935M208       1       123.00   SH        DEFINED   4            --         --       123
NAVTEQ CORP                 EQUITY       63936L100     162        2,075   SH          SOLE    1         2,075         --        --
NAVTEQ CORP                 EQUITY       63936L100    2573       33,000   SH          SOLE    2        33,000         --        --
NAVTEQ CORP                 EQUITY       63936L100   12335      158,200   SH          SOLE    3        64,400         --    93,800
NAVTEQ CORP EQUITY          EQUITY       63936L100       2        25.00   SH        DEFINED   4            --         --        25
NBT BANCORP INC EQUITY      EQUITY       628778102     267    12,263.31   SH        DEFINED   4            --         --    12,263
NBTY INC                    EQUITY       628782104    5762      141,927   SH          SOLE    1       141,927         --        --
NCI BUILDING SYSTEMS INC    EQUITY       628852105     868       20,096   SH          SOLE    1        20,096         --        --
NCR CORP NEW EQUITY         EQUITY       62886E108      81     1,627.00   SH        DEFINED   4            --         --     1,627
NCR CORPORATION             EQUITY       62886E108    4165       83,636   SH          SOLE    1        83,636         --        --
NCR CORPORATION             EQUITY       62886E108      11          228   SH          SOLE    2           228         --        --
NEENAH PAPER INC            EQUITY       640079109     490       14,806   SH          SOLE    1        14,806         --        --
NEENAH PAPER INC EQUITY     EQUITY       640079109       1        30.00   SH        DEFINED   4            --         --        30
NEKTAR THERAPEUTICS         EQUITY       640268108     706       79,905   SH          SOLE    1        79,905         --        --
NEKTAR THERAPEUTICS         FIXED INCOME 640268AH1    4267    5,000,000  PRN          SOLE    1     5,000,000         --        --
NEKTAR THERAPEUTICS EQUITY  EQUITY       640268108       3       300.00   SH        DEFINED   4            --         --       300
NELNET INC-CL A             EQUITY       64031N108     278       15,228   SH          SOLE    1        15,228         --        --
NELNET INC-CL A             EQUITY       64031N108    1175       64,400   SH          SOLE    2        64,400         --        --
NESS TECHNOLOGIES INC       EQUITY       64104X108     559       51,193   SH          SOLE    1        51,193         --        --
NET 1 UEPS TECHNOLOGIES INC EQUITY       64107N206     990       36,431   SH          SOLE    1        36,431         --        --
NETFLIX INC                 EQUITY       64110L106    3378      162,820   SH          SOLE    1       162,820         --        --
NETFLIX INC EQUITY          EQUITY       64110L106       2       101.00   SH        DEFINED   4            --         --       101
NETGEAR INC                 EQUITY       64111Q104    1051       34,564   SH          SOLE    1        34,564         --        --
NETLOGIC MICROSYSTEMS INC   EQUITY       64118B100    2079       57,561   SH          SOLE    1        57,561         --        --
NETLOGIC MICROSYSTEMS INC   EQUITY       64118B100    6243      172,900   SH          SOLE    3       152,500         --    20,400
NETWORK APPLIANCE INC       EQUITY       64120L104    4800      178,360   SH          SOLE    1       178,360         --        --
NETWORK APPLIANCE INC       EQUITY       64120L104    2515       93,449   SH          SOLE    2        93,449         --        --
NETWORK APPLIANCE INC
    EQUITY                  EQUITY       64120L104       7       277.00   SH        DEFINED   4            --         --       277
NETWORK EQUIPMENT TECH INC  EQUITY       641208103     383       26,399   SH          SOLE    1        26,399         --        --
NEUBERGER BERMAN DIV ADVANT
    EQUITY                  EQUITY       64127J102      14       600.00   SH        DEFINED   4            --         --       600
NEUBERGER BERMAN INEQUITYE
    OPP EQUITY SHS          EQUITY       64126L108      34     2,369.00   SH        DEFINED   4            --         --     2,369
NEUBERGER BERMAN RE ES
    SEC F EQUITY            EQUITY       64190A103      18     1,140.00   SH        DEFINED   4            --         --     1,140
NEUBERGER BERMAN RLTY INC
    FD EQUITY               EQUITY       64126G109      21     1,000.00   SH        DEFINED   4            --         --     1,000
NEURALSTEM INC EQUITY ADDED EQUITY       64127R302       9     2,800.00   SH        DEFINED   4            --         --     2,800
NEUROCRINE BIOSCIENCES INC  EQUITY       64125C109     332       33,178   SH          SOLE    1        33,178         --        --
NEUROCRINE BIOSCIENCES INC
    EQUITY                  EQUITY       64125C109                12.00   SH        DEFINED   4            --         --        12
NEUROGEN CORP               EQUITY       64124E106     122       27,481   SH          SOLE    1        27,481         --        --
NEUSTAR INC CL A            EQUITY       64126X201       1        18.00   SH        DEFINED   4            --         --        18
NEUSTAR INC-CLASS A         EQUITY       64126X201    8123      236,904   SH          SOLE    1       236,904         --        --
NEUSTAR INC-CLASS A         EQUITY       64126X201    9498      277,000   SH          SOLE    2       277,000         --        --
NEVADA CHEMICALS INC EQUITY EQUITY       64127C107      75     7,850.00   SH        DEFINED   4            --         --     7,850
NEW AMER HIGH INEQUITYE FD
    INC EQUITY              EQUITY       641876107      55    29,000.00   SH        DEFINED   4            --         --    29,000
NEW JERSEY RES EQUITY       EQUITY       646025106      17       340.00   SH        DEFINED   4            --         --       340
NEW JERSEY RESOURCES CORP   EQUITY       646025106    1385       27,936   SH          SOLE    1        27,936         --        --





                                                                                        
NEW ORIENTAL ED & TECH GRP
    I SPON ADR              EQUITY       647581107      13       200.00   SH        DEFINED   4            --         --       200
NEW YORK & CO               EQUITY       649295102     115       18,898   SH          SOLE    1        18,898         --        --
NEW YORK CMNTY BANCORP INC
    EQUITY                  EQUITY       649445103     192    10,058.24   SH        DEFINED   4            --         --    10,058
NEW YORK COMMUNITY BANCORP  EQUITY       649445103   14958      785,172   SH          SOLE    1       785,172         --        --
NEW YORK TIMES CO -CL A     EQUITY       650111107    1363       68,962   SH          SOLE    1        68,962         --        --
NEW YORK TIMES CO -CL A     EQUITY       650111107       4          181   SH          SOLE    2           181         --        --
NEWALLIANCE BANCSHARES INC  EQUITY       650203102    1451       98,818   SH          SOLE    1        98,818         --        --
NEWBRIDGE BANCORP EQUITY
    ADDED                   EQUITY       65080T102       4       321.00   SH        DEFINED   4            --         --       321
NEWCASTLE INVESTMENT CORP   EQUITY       65105M108    3021      171,439   SH          SOLE    1       171,439         --        --
NEWCASTLE INVT CORP EQUITY  EQUITY       65105M108      72     3,600.00   SH        DEFINED   4            --         --     3,600
NEWELL RUBBERMAID INC       EQUITY       651229106   10649      369,497   SH          SOLE    1       369,497         --        --
NEWELL RUBBERMAID INC       EQUITY       651229106      10          348   SH          SOLE    2           348         --        --
NEWELL RUBBERMAID INC
    EQUITY                  EQUITY       651229106      47     1,626.00   SH        DEFINED   4            --         --     1,626
NEWFIELD EXPL CO EQUITY     EQUITY       651290108     100     2,074.00   SH        DEFINED   4            --         --     2,074
NEWFIELD EXPLORATION CO     EQUITY       651290108   15638      324,708   SH          SOLE    1       324,708         --        --
NEWMARKET CORP              EQUITY       651587107     658       13,329   SH          SOLE    1        13,329         --        --
NEWMONT MINING CORP         EQUITY       651639106    8555      191,250   SH          SOLE    1       191,250         --        --
NEWMONT MINING CORP         EQUITY       651639106     280        6,269   SH          SOLE    2         6,269         --        --
NEWMONT MINING CORP EQUITY  EQUITY       651639106      48     1,070.00   SH        DEFINED   4            --         --     1,070
NEWPARK RESOURCES INC       EQUITY       651718504     421       78,457   SH          SOLE    1        78,457         --        --
NEWPORT CORP                EQUITY       651824104     541       35,490   SH          SOLE    1        35,490         --        --
NEWS CORP CL A              EQUITY       65248E104      12       528.00   SH        DEFINED   4            --         --       528
NEWS CORP CL B              EQUITY       65248E203      67     2,867.00   SH        DEFINED   4            --         --     2,867
NEWS CORP-CL A              EQUITY       65248E104   65260    2,970,499   SH          SOLE    1     2,970,499         --        --
NEWS CORP-CL A              EQUITY       65248E104   14548      661,564   SH          SOLE    2       661,564         --        --
NEWSTAR FINANCIAL INC       EQUITY       65251F105     135       11,999   SH          SOLE    1        11,999         --        --
NEWTEK BUSINESS SERVICES
    INC                     EQUITY       652526104    2152    1,280,683   SH          SOLE    1     1,280,683         --        --
NEXCEN BRANDS INC           EQUITY       653351106     246       36,561   SH          SOLE    1        36,561         --        --
NEXEN INC                   EQUITY       65334H102    6026      197,210   SH         OTHER    1            --    197,210        --
NEXEN INC EQUITY            EQUITY       65334H102     695    22,718.00   SH        DEFINED   4            --         --    22,718
NEXSTAR BROADCASTING
    GROUP-A                 EQUITY       65336K103      98        9,347   SH          SOLE    1         9,347         --        --
NEXTEL EQUITYMUNICATIONS
    INC NOTE 5.250% 1/1     FIXED INCOME 65332VAY9      10        10.00  PRN        DEFINED   4            --         --        10
NEXTWAVE WIRELESS INC       EQUITY       65337Y102     148       25,853   SH          SOLE    1        25,853         --        --
NFJ DIVID INT & PREM STRTGY
    EQUITY SHS              EQUITY       65337H109    1306    54,990.00   SH        DEFINED   4            --         --    54,990
NGP CAPITAL RESOURCES CO    EQUITY       62912R107     246       15,173   SH          SOLE    1        15,173         --        --
NIC INC                     EQUITY       62914B100     237       34,109   SH          SOLE    1        34,109         --        --
NIC INC                     EQUITY       62914B100     278       40,000   SH          SOLE    2        40,000         --        --
NIC INC EQUITY              EQUITY       62914B100       1       200.00   SH        DEFINED   4            --         --       200
NICE SYS LTD SPONSORED ADR  EQUITY       653656108       5       127.00   SH        DEFINED   4            --         --       127
NICHOLAS APPLEGATE CV&INC
    FD EQUITY               EQUITY       65370G109     431    29,205.39   SH        DEFINED   4            --         --    29,205
NICHOLAS-APPLEGATE CV &
    INC EQUITY              EQUITY       65370F101    2576   173,010.43   SH        DEFINED   4            --         --   173,010
NICHOLAS-APPLGT INTL & PRM
    S EQUITY                EQUITY       65370C108      14       500.00   SH        DEFINED   4            --         --       500
NICOR INC                   EQUITY       654086107   21245      495,220   SH          SOLE    1       495,220         --        --
NICOR INC                   EQUITY       654086107       2           57   SH          SOLE    2            57         --        --
NICOR INC EQUITY            EQUITY       654086107       4       100.00   SH        DEFINED   4            --         --       100
NIGHTHAWK RADIOLOGY HLDGS
    IN EQUITY               EQUITY       65411N105      29     1,200.00   SH        DEFINED   4            --         --     1,200
NIGHTHAWK RADIOLOGY
    HOLDINGS                EQUITY       65411N105     451       18,392   SH          SOLE    1        18,392         --        --
NII HLDGS INC CL B NEW      EQUITY       62913F201      63       761.00   SH        DEFINED   4            --         --       761
NII HOLDINGS INC            EQUITY       62913F201     910       11,080   SH          SOLE    1        11,080         --        --
NII HOLDINGS INC            EQUITY       62913F201    5192       63,200   SH          SOLE    2        63,200         --        --
NIKE INC CL B               EQUITY       654106103     119     2,029.88   SH        DEFINED   4            --         --     2,030
NIKE INC -CL B              EQUITY       654106103   52443      894,360   SH          SOLE    1       894,360         --        --
NIKE INC -CL B              EQUITY       654106103      29          487   SH          SOLE    2           487         --        --
NIPPON TELEG & TEL CORP
    SPONSORED ADR           EQUITY       654624105       4       155.00   SH        DEFINED   4            --         --       155
NISOURCE INC                EQUITY       65473P105   19423    1,014,070   SH          SOLE    1     1,014,070         --        --
NISOURCE INC                EQUITY       65473P105       7          346   SH          SOLE    2           346         --        --
NISOURCE INC EQUITY         EQUITY       65473P105       9       449.60   SH        DEFINED   4            --         --       450
NISSAN MOTORS SPONSORED ADR EQUITY       654744408       7       362.00   SH        DEFINED   4            --         --       362
NITROMED INC                EQUITY       654798503     235      133,346   SH          SOLE    1       133,346         --        --
NL INDS INC EQUITY NEW      EQUITY       629156407      16     1,400.00   SH        DEFINED   4            --         --     1,400
NL INDUSTRIES               EQUITY       629156407      70        6,189   SH          SOLE    1         6,189         --        --
NOBLE CORP                  EQUITY       G65422100      17          339   SH          SOLE    2           339         --        --
NOBLE CORPORATION SHS       EQUITY       G65422100     220     4,476.00   SH        DEFINED   4            --         --     4,476
NOBLE ENERGY INC            EQUITY       655044105   40294      575,303   SH          SOLE    1       575,303         --        --
NOBLE INTERNATIONAL LTD     EQUITY       655053106     217       10,215   SH          SOLE    1        10,215         --        --
NOKIA CORP CALL             OPTION       654902904      -3        (2.00)     C      DEFINED   4            --         --        (2)
NOKIA CORP SPONSORED ADR    EQUITY       654902204     542    14,281.00   SH        DEFINED   4            --         --    14,281
NOKIA CORP-SPON ADR         EQUITY       654902204    1358       35,800   SH          SOLE    1        35,800         --        --
NOMURA HLDGS INC SPONSORED
    ADR                     EQUITY       65535H208       5       313.00   SH        DEFINED   4            --         --       313
NORDIC AMERICAN TANKER
    SHIPP EQUITY            EQUITY       G65773106      14       350.00   SH        DEFINED   4            --         --       350





                                                                                        
NORDSON CORP                EQUITY       655663102    5661      112,742   SH          SOLE    1       112,742         --        --
NORDSTROM INC               EQUITY       655664100    4229       90,192   SH          SOLE    1        90,192         --        --
NORDSTROM INC               EQUITY       655664100      12          249   SH          SOLE    2           249         --        --
NORDSTROM INC EQUITY        EQUITY       655664100      54     1,157.00   SH        DEFINED   4            --         --     1,157
NORFOLK SOUTHERN CORP       EQUITY       655844108   24156      465,339   SH          SOLE    1       465,339         --        --
NORFOLK SOUTHERN CORP       EQUITY       655844108      26          496   SH          SOLE    2           496         --        --
NORFOLK SOUTHERN CORP
    EQUITY                  EQUITY       655844108     122     2,346.00   SH        DEFINED   4            --         --     2,346
NORTEL NETWORKS CORP        EQUITY       656568508     149        8,996   SH         OTHER    1            --      8,996        --
NORTEL NETWORKS CORP NEW
    EQUITY NEW              EQUITY       656568508       3       156.00   SH        DEFINED   4            --         --       156
NORTEL NETWORKS CORP NEW
    NOTE 4.250% 9/0         FIXED INCOME 656568AB8       1         1.00  PRN        DEFINED   4            --         --         1
NORTH EUROPEAN OIL RTY TR
    SH BEN INT              EQUITY       659310106      50     1,500.00   SH        DEFINED   4            --         --     1,500
NORTH PITTSBURGH SYSTEMS    EQUITY       661562108     312       13,113   SH          SOLE    1        13,113         --        --
NORTHEAST UTILITIES         EQUITY       664397106   11134      389,714   SH          SOLE    1       389,714         --        --
NORTHERN ORION RES INC
    EQUITY                  EQUITY       665575106       3       400.00   SH        DEFINED   4            --         --       400
NORTHERN TRUST CORP         EQUITY       665859104    7775      117,317   SH          SOLE    1       117,317         --        --
NORTHERN TRUST CORP         EQUITY       665859104      16          241   SH          SOLE    2           241         --        --
NORTHFIELD LABS INC EQUITY  EQUITY       666135108       2     1,000.00   SH        DEFINED   4            --         --     1,000
NORTHGATE MINERALS CORP
    EQUITY                  EQUITY       666416102       6     2,000.00   SH        DEFINED   4            --         --     2,000
NORTHROP GRUMMAN CORP       EQUITY       666807102   18202      233,361   SH          SOLE    1       233,361         --        --
NORTHROP GRUMMAN CORP       EQUITY       666807102      34          433   SH          SOLE    2           433         --        --
NORTHROP GRUMMAN CORP
    EQUITY                  EQUITY       666807102    2334    29,924.00   SH        DEFINED   4            --         --    29,924
NORTHSTAR NEUROSCIENCE INC  EQUITY       66704V101     190       16,987   SH          SOLE    1        16,987         --        --
NORTHWEST AIRLINES CORP     EQUITY       667280408     413       23,176   SH          SOLE    1        23,176         --        --
NORTHWEST AIRLS CORP EQUITY EQUITY       667280408       9       518.00   SH        DEFINED   4            --         --       518
NORTHWEST BANCORP INC       EQUITY       667328108     454       15,945   SH          SOLE    1        15,945         --        --
NORTHWEST NAT GAS CO EQUITY EQUITY       667655104      79     1,734.65   SH        DEFINED   4            --         --     1,735
NORTHWEST NATURAL GAS CO    EQUITY       667655104    1228       26,863   SH          SOLE    1        26,863         --        --
NORTHWEST PIPE COMPANY      EQUITY       667746101     865       22,870   SH          SOLE    1        22,870         --        --
NORTHWESTERN CORP           EQUITY       668074305     850       31,285   SH          SOLE    1        31,285         --        --
NOVA BIOSOURCE FUELS INC    EQUITY       65488W103      76       27,163   SH          SOLE    1        27,163         --        --
NOVA CHEMICALS CORP         EQUITY       66977W109      72        1,839   SH         OTHER    1            --      1,839        --
NOVACEA INC                 EQUITY       66987B103      46        5,726   SH          SOLE    1         5,726         --        --
NOVAGOLD RESOURCES INC      EQUITY       66987E206    7017      425,000   SH          SOLE    2       425,000         --        --
NOVARTIS A G SPONSORED ADR  EQUITY       66987V109      81     1,477.00   SH        DEFINED   4            --         --     1,477
NOVASTAR FINANCIAL INC      EQUITY       669947889      73        8,225   SH          SOLE    1         8,225         --        --
NOVATEL WIRELESS INC        EQUITY       66987M604     694       30,647   SH          SOLE    1        30,647         --        --
NOVATEL WIRELESS INC
    EQUITY NEW              EQUITY       66987M604       1        29.00   SH        DEFINED   4            --         --        29
NOVELL INC                  EQUITY       670006105    2093      273,933   SH          SOLE    1       273,933         --        --
NOVELL INC                  EQUITY       670006105       3          441   SH          SOLE    2           441         --        --
NOVELL INC EQUITY           EQUITY       670006105       8     1,000.00   SH        DEFINED   4            --         --     1,000
NOVELLUS SYS INC EQUITY     EQUITY       670008101       7       249.00   SH        DEFINED   4            --         --       249
NOVELLUS SYSTEMS INC        EQUITY       670008101    4162      152,690   SH          SOLE    1       152,690         --        --
NOVELLUS SYSTEMS INC        EQUITY       670008101       4          156   SH          SOLE    2           156         --        --
NOVEN PHARMACEUTICALS INC   EQUITY       670009109     395       24,822   SH          SOLE    1        24,822         --        --
NOVO-NORDISK A S ADR        EQUITY       670100205               100.00   SH        DEFINED   4            --         --       100
NRG ENERGY INC              EQUITY       629377508   11230      265,551   SH          SOLE    1       265,551         --        --
NRG ENERGY INC EQUITY NEW   EQUITY       629377508       1        32.00   SH        DEFINED   4            --         --        32
NSTAR                       EQUITY       67019E107    9383      269,556   SH          SOLE    1       269,556         --        --
NTELOS HOLDINGS CORP        EQUITY       67020Q107     713       24,187   SH          SOLE    1        24,187         --        --
NTN BUZZTIME INC            EQUITY       629410309      38       45,639   SH          SOLE    1        45,639         --        --
NTR ACQUISITION CO          EQUITY       629415100     203       21,370   SH          SOLE    1        21,370         --        --
NU SKIN ENTERPRISES INC-- A EQUITY       67018T105     708       43,837   SH          SOLE    1        43,837         --        --
NUANCE COMMUNICATIONS INC   EQUITY       67020Y100    2216      114,770   SH          SOLE    1       114,770         --        --
NUANCE EQUITYMUNICATIONS
    INC EQUITY              EQUITY       67020Y100      13       650.00   SH        DEFINED   4            --         --       650
NUCO2 INC                   EQUITY       629428103     345       13,413   SH          SOLE    1        13,413         --        --
NUCOR CORP                  EQUITY       670346105   22862      385,541   SH          SOLE    1       385,541         --        --
NUCOR CORP                  EQUITY       670346105      22          363   SH          SOLE    2           363         --        --
NUCOR CORP EQUITY           EQUITY       670346105     211     3,554.00   SH        DEFINED   4            --         --     3,554
NUSTAR ENERGY LP            EQUITY       67058H102    2258       38,000   SH          SOLE    1        38,000         --        --
NUSTAR ENERGY LP UNIT
    EQUITY                  EQUITY       67058H102     143     2,401.00   SH        DEFINED   4            --         --     2,401
NUTRISYSTEM INC             EQUITY       67069D108      34          730   SH          SOLE    1           730         --        --
NUTRISYSTEM INC             EQUITY       67069D108   30733      655,422   SH          SOLE    2       655,422         --        --
NUTRITION 21 INC EQUITY     EQUITY       67069V108       5     5,700.00   SH        DEFINED   4            --         --     5,700
NUVASIVE INC                EQUITY       670704105    1817       50,563   SH          SOLE    1        50,563         --        --
NUVEEN CA DIVIDEND ADV MUN
    F EQUITY SHS            EQUITY       67066Y105     208    14,600.00   SH        DEFINED   4            --         --    14,600
NUVEEN CA SELECT QUALITY
    MUN EQUITY              EQUITY       670975101     209    15,190.00   SH        DEFINED   4            --         --    15,190
NUVEEN DIV ADV MUNI FD 3
    EQUITY SH BEN INT       EQUITY       67070X101      13       876.68   SH        DEFINED   4            --         --       877
NUVEEN DIV ADVANTAGE MUN FD
    EQUITY                  EQUITY       67070F100     483    31,182.00   SH        DEFINED   4            --         --    31,182
NUVEEN DIVERSIFIED DIV INCM
    EQUITY                  EQUITY       6706EP105       2       133.00   SH        DEFINED   4            --         --       133
NUVEEN DIVID ADVANTAGE MUN F
    EQUITY                  EQUITY       67066V101      43     3,000.00   SH        DEFINED   4            --         --     3,000





                                                                                        
NUVEEN EQTY PRM OPPORTUNITYF
    EQUITY                  EQUITY       6706EM102      52     3,000.00   SH P      DEFINED   4            --         --     3,000
NUVEEN EQUITY PREM & GROWTH
    EQUITY                  EQUITY       6706EW100       3       155.00   SH        DEFINED   4            --         --       155
NUVEEN EQUITY PREM
    INEQUITYE FD EQUITY     EQUITY       6706ER101       9       500.00   SH        DEFINED   4            --         --       500
NUVEEN FLOATING RATE
    INEQUITYE EQUITY        EQUITY       67072T108     142    11,224.00   SH        DEFINED   4            --         --    11,224
NUVEEN FLTNG RTE INCM OPP
    FD EQUITY SHS           EQUITY       6706EN100      17     1,350.00   SH        DEFINED   4            --         --     1,350
NUVEEN INSD DIVID ADVANTAGE
    EQUITY                  EQUITY       67071L106      28     2,000.00   SH        DEFINED   4            --         --     2,000
NUVEEN INSD MUN OPPORTUNITY
    EQUITY                  EQUITY       670984103       8       600.00   SH        DEFINED   4            --         --       600
NUVEEN INSD NEW YORK DIVID
    EQUITY                  EQUITY       67071N102      21     1,500.00   SH        DEFINED   4            --         --     1,500
NUVEEN INSD PREM INEQUITYE
    MUN EQUITY              EQUITY       6706D8104      28     2,225.00   SH        DEFINED   4            --         --     2,225
NUVEEN INSD QUALITY MUN FD
    I EQUITY                EQUITY       67062N103      11       788.00   SH        DEFINED   4            --         --       788
NUVEEN INVESTMENTS-CL A     EQUITY       67090F106   17305      279,388   SH          SOLE    1       279,388         --        --
NUVEEN MULTI STRAT INC &
    GR EQUITY               EQUITY       67073B106     335    27,896.00   SH        DEFINED   4            --         --    27,896
NUVEEN MULTI STRAT INC GR
    FD EQUITY SHS           EQUITY       67073D102     450    37,209.45   SH        DEFINED   4            --         --    37,209
NUVEEN MUN MKT OPPORTUNITY
    F EQUITY                EQUITY       67062W103      16     1,148.35   SH        DEFINED   4            --         --     1,148
NUVEEN MUN VALUE FD INC
    EQUITY                  EQUITY       670928100      76     7,928.81   SH        DEFINED   4            --         --     7,929
NUVEEN NC DIVID ADVANTAGE
    MU EQUITY SH BEN INT    EQUITY       67069N106      19     1,300.00   SH        DEFINED   4            --         --     1,300
NUVEEN NJ PREM INEQUITYE
    MUN FD EQUITY           EQUITY       67101N106     119     8,600.00   SH        DEFINED   4            --         --     8,600
NUVEEN NY DIVID ADVNTG MUN
    F EQUITY                EQUITY       67066X107      43     3,000.00   SH        DEFINED   4            --         --     3,000
NUVEEN NY QUALITY INCM MUN
    F EQUITY                EQUITY       670986108      33     2,455.00   SH        DEFINED   4            --         --     2,455
NUVEEN NY SELECT QUALITY
    MUN EQUITY              EQUITY       670976109      35     2,534.00   SH        DEFINED   4            --         --     2,534
NUVEEN NY SELECT TAX FREE
    PR SH BEN INT           EQUITY       67063V104      10       750.00   SH        DEFINED   4            --         --       750
NUVEEN PA PREM INEQUITYE
    MUN FD EQUITY           EQUITY       67061F101      23     1,800.00   SH        DEFINED   4            --         --     1,800
NUVEEN PREM INEQUITYE MUN
    FD 2 EQUITY             EQUITY       67063W102      24     1,790.00   SH        DEFINED   4            --         --     1,790
NUVEEN PREM INEQUITYE MUN
    FD 4 EQUITY             EQUITY       6706K4105      13     1,095.47   SH        DEFINED   4            --         --     1,095
NUVEEN PREMIER INSD MUN
    INCO EQUITY             EQUITY       670987106     436    31,650.00   SH        DEFINED   4            --         --    31,650
NUVEEN QUALITY PFD INC FD
    3 EQUITY                EQUITY       67072W101      23     1,855.00   SH        DEFINED   4            --         --     1,855
NUVEEN QUALITY PFD
    INEQUITYE FD EQUITY     EQUITY       67071S101      15     1,266.00   SH        DEFINED   4            --         --     1,266
NUVEEN QUALITY PFD
    INEQUITYE FD EQUITY     EQUITY       67072C105       9       700.00   SH        DEFINED   4            --         --       700
NUVEEN REAL ESTATE
    INEQUITYE FD EQUITY     EQUITY       67071B108      14       600.00   SH        DEFINED   4            --         --       600
NUVEEN SELECT QUALITY
    MUN FD EQUITY           EQUITY       670973106      66     4,467.32   SH        DEFINED   4            --         --     4,467
NUVEEN SELECT TAX FREE
    INCM SH BEN INT         EQUITY       67063X100       3       189.00   SH        DEFINED   4            --         --       189
NUVEEN TAX ADV FLTG RATE
    FUN EQUITY              EQUITY       6706EV102     157    11,798.00   SH        DEFINED   4            --         --    11,798
NUVEEN TAX FREE ADV MUN
    FD EQUITY               EQUITY       670657105     289    20,326.00   SH        DEFINED   4            --         --    20,326
NVIDIA CORP                 EQUITY       67066G104   15189      419,123   SH          SOLE    1       419,123         --        --
NVIDIA CORP                 EQUITY       67066G104     232        6,392   SH          SOLE    2         6,392         --        --
NVIDIA CORP                 EQUITY       67066G104    6264      172,850   SH          SOLE    3        70,450         --   102,400
NVIDIA CORP EQUITY          EQUITY       67066G104     131     3,614.00   SH        DEFINED   4            --         --     3,614
NVR INC                     EQUITY       62944T105    7117       15,135   SH          SOLE    1        15,135         --        --
NXSTAGE MEDICAL INC         EQUITY       67072V103     255       17,567   SH          SOLE    1        17,567         --        --
NYMAGIC INC                 EQUITY       629484106     141        5,072   SH          SOLE    1         5,072         --        --
NYMAGIC INC EQUITY          EQUITY       629484106                11.00   SH        DEFINED   4            --         --        11
NYMEX HOLDINGS INC          EQUITY       62948N104     238        1,831   SH          SOLE    1         1,831         --        --
NYMEX HOLDINGS INC          EQUITY       62948N104    2760       21,200   SH          SOLE    2        21,200         --        --
NYMEX HOLDINGS INC EQUITY   EQUITY       62948N104      33       250.00   SH        DEFINED   4            --         --       250
NYSE EURONEXT EQUITY        EQUITY       629491101     553     6,999.00   SH        DEFINED   4            --         --     6,999
OAKLEY INC                  EQUITY       673662102     622       21,433   SH          SOLE    1        21,433         --        --
OBAGI MEDICAL PRODUCTS INC  EQUITY       67423R108      85        4,628   SH          SOLE    1         4,628         --        --
OBAGI MEDICAL PRODUCTS INC  EQUITY       67423R108     667       36,100   SH          SOLE    2        36,100         --        --
OCCIDENTAL PETE CORP DEL
    EQUITY                  EQUITY       674599105     185     2,881.00   SH        DEFINED   4            --         --     2,881
OCCIDENTAL PETROLEUM CORP   EQUITY       674599105   49220      768,304   SH          SOLE    1       768,304         --        --
OCCIDENTAL PETROLEUM CORP   EQUITY       674599105      67        1,047   SH          SOLE    2         1,047         --        --
OCEANEERING INTL INC        EQUITY       675232102     554        7,308   SH          SOLE    1         7,308         --        --
OCEANEERING INTL INC        EQUITY       675232102    1069       14,100   SH          SOLE    2        14,100         --        --
OCEANEERING INTL INC EQUITY EQUITY       675232102       2        20.00   SH        DEFINED   4            --         --        20
O'CHARLEYS INC              EQUITY       670823103     362       23,886   SH          SOLE    1        23,886         --        --
OCULUS INNOVATIVE SCIENCES
    I EQUITY                EQUITY       67575P108      13     1,700.00   SH        DEFINED   4            --         --     1,700
OCWEN FINANCIAL CORP        EQUITY       675746309     291       30,887   SH          SOLE    1        30,887         --        --
OCWEN FINL CORP EQUITY NEW  EQUITY       675746309       1        54.00   SH        DEFINED   4            --         --        54
ODYSSEY HEALTHCARE INC      EQUITY       67611V101     324       33,676   SH          SOLE    1        33,676         --        --
ODYSSEY MARINE EXPLORATION  EQUITY       676118102     221       35,746   SH          SOLE    1        35,746         --        --
ODYSSEY RE HLDGS CORP
    EQUITY                  EQUITY       67612W108       1        30.00   SH        DEFINED   4            --         --        30
ODYSSEY RE HOLDINGS CORP    EQUITY       67612W108     916       24,683   SH          SOLE    1        24,683         --        --
OFFICE DEPOT INC            EQUITY       676220106    2488      120,659   SH          SOLE    1       120,659         --        --
OFFICE DEPOT INC            EQUITY       676220106    2133      103,444   SH          SOLE    2       103,444         --        --
OFFICE DEPOT INC EQUITY     EQUITY       676220106       2        90.00   SH        DEFINED   4            --         --        90
OFFICEMAX INC               EQUITY       67622P101    1214       35,425   SH          SOLE    1        35,425         --        --
OFFICEMAX INC               EQUITY       67622P101       3           95   SH          SOLE    2            95         --        --
OFFICEMAX INC DEL EQUITY    EQUITY       67622P101       1        15.00   SH        DEFINED   4            --         --        15
OGE ENERGY CORP             EQUITY       670837103    7652      231,193   SH          SOLE    1       231,193         --        --
OGE ENERGY CORP EQUITY      EQUITY       670837103     144     4,351.29   SH        DEFINED   4            --         --     4,351





                                                                                        
OIL STATES INTERNATIONAL
    INC                     EQUITY       678026105    2072       42,891   SH          SOLE    1        42,891         --        --
OIL SVC HOLDRS TR DEPOSTRY
    RCPT                    EQUITY       678002106    1439     7,500.00   SH        DEFINED   4            --         --     7,500
OILSANDS QUEST INC          EQUITY       678046103     420       94,915   SH          SOLE    1        94,915         --        --
OILSANDS QUEST INC COMMON   EQUITY       6780461*3    1555      350,000   SH         OTHER    1            --    350,000        --
OLD DOMINION FREIGHT LINE   EQUITY       679580100     705       29,432   SH          SOLE    1        29,432         --        --
OLD NATL BANCORP/IN         EQUITY       680033107     959       57,858   SH          SOLE    1        57,858         --        --
OLD REPUBLIC INTL CORP      EQUITY       680223104   10843      578,585   SH          SOLE    1       578,585         --        --
OLD SECOND BANCORP INC      EQUITY       680277100     302       10,612   SH          SOLE    1        10,612         --        --
OLIN CORP                   EQUITY       680665205    6647      297,027   SH          SOLE    1       297,027         --        --
OLIN CORP                   EQUITY       680665205    4476      200,000   SH          SOLE    2       200,000         --        --
OLIN CORP EQUITY PAR $1     EQUITY       680665205      23     1,040.00   SH        DEFINED   4            --         --     1,040
OLYMPIC STEEL INC           EQUITY       68162K106     206        7,602   SH          SOLE    1         7,602         --        --
OM GROUP INC                EQUITY       670872100    1571       29,745   SH          SOLE    1        29,745         --        --
OM GROUP INC EQUITY         EQUITY       670872100       5       100.00   SH        DEFINED   4            --         --       100
OMEGA FINANCIAL CORP        EQUITY       682092101     292       11,054   SH          SOLE    1        11,054         --        --
OMEGA HEALTHCARE INVESTORS  EQUITY       681936100     417       26,851   SH          SOLE    1        26,851         --        --
OMEGA HEALTHCARE INVS INC
    EQUITY                  EQUITY       681936100       3       225.25   SH        DEFINED   4            --         --       225
OMEGA PROTEIN CORP          EQUITY       68210P107    2923      323,000   SH          SOLE    3       323,000         --        --
OMNI ENERGY SERVICES
    EQUITY NEW              EQUITY       68210T208       9     1,100.00   SH        DEFINED   4            --         --     1,100
OMNICARE INC                EQUITY       681904108   10086      304,436   SH          SOLE    1       304,436         --        --
OMNICARE INC EQUITY         EQUITY       681904108               200.00   SH        DEFINED   4            --         --       200
OMNICELL INC                EQUITY       68213N109    1969       68,985   SH          SOLE    1        68,985         --        --
OMNICELL INC                EQUITY       68213N109    3311      116,000   SH          SOLE    3        99,300         --    16,700
OMNICOM GROUP               EQUITY       681919106   25050      518,606   SH          SOLE    1       518,606         --        --
OMNICOM GROUP               EQUITY       681919106      20          414   SH          SOLE    2           414         --        --
OMNIEQUITY GROUP INC EQUITY EQUITY       681919106      35       736.00   SH        DEFINED   4            --         --       736
OMNITURE INC                EQUITY       68212S109     854       28,171   SH          SOLE    1        28,171         --        --
OMNIVISION TECHNOLOGIES INC EQUITY       682128103    1087       47,840   SH          SOLE    1        47,840         --        --
OMNIVISION TECHNOLOGIES INC
    EQUITY                  EQUITY       682128103     115     5,047.00   SH        DEFINED   4            --         --     5,047
OMNOVA SOLUTIONS INC        EQUITY       682129101      31        5,304   SH          SOLE    1         5,304         --        --
OMRIX BIOPHARMACEUTICALS
    INC                     EQUITY       681989109     422       11,956   SH          SOLE    1        11,956         --        --
OMRIX BIOPHARMACEUTICALS
    INC                     EQUITY       681989109    5900      167,100   SH          SOLE    2       167,100         --        --
ON ASSIGNMENT INC           EQUITY       682159108     328       35,143   SH          SOLE    1        35,143         --        --
ON SEMICONDUCTOR
    CORPORATION             EQUITY       682189105    2656      211,431   SH          SOLE    1       211,431         --        --
ON SEMICONDUCTOR
    CORPORATION             EQUITY       682189105    1231       98,000   SH          SOLE    2        98,000         --        --
ON2 TECHNOLOGIES INC        EQUITY       68338A107     114       98,198   SH          SOLE    1        98,198         --        --
ON2 TECHNOLOGIES INC EQUITY EQUITY       68338A107      12    10,000.00   SH        DEFINED   4            --         --    10,000
ONCOLYTICS BIOTECH INC
    EQUITY                  EQUITY       682310107       6     3,000.00   SH        DEFINED   4            --         --     3,000
ONEOK INC                   EQUITY       682680103   12389      261,371   SH          SOLE    1       261,371         --        --
ONEOK PARTNERS LP UNIT LTD
    PARTN                   EQUITY       68268N103      59     1,000.00   SH        DEFINED   4            --         --     1,000
ONLINE RES CORP EQUITY      EQUITY       68273G101       1       100.00   SH        DEFINED   4            --         --       100
ONLINE RESOURCES CORP       EQUITY       68273G101     288       22,748   SH          SOLE    1        22,748         --        --
ONLINE RESOURCES CORP       EQUITY       68273G101     989       78,214   SH          SOLE    2        78,214         --        --
ONYX PHARMACEUTICALS INC    EQUITY       683399109    1830       42,060   SH          SOLE    1        42,060         --        --
OPEN JT STK CO-VIMPEL
    EQUITYMUN SPONSORED ADR EQUITY       68370R109       6       235.00   SH        DEFINED   4            --         --       235
OPEN TEXT CORP              EQUITY       683715106      39        1,496   SH         OTHER    1            --      1,496        --
OPEN TEXT CORP EQUITY       EQUITY       683715106     132     5,077.00   SH        DEFINED   4            --         --     5,077
OPENWAVE SYSTEMS INC        EQUITY       683718308     315       71,973   SH          SOLE    1        71,973         --        --
OPLINK COMMUNICATIONS INC   EQUITY       68375Q403     265       19,375   SH          SOLE    1        19,375         --        --
OPNEXT INC                  EQUITY       68375V105     188       16,236   SH          SOLE    1        16,236         --        --
OPTIMAL GROUP INC CL A NEW  EQUITY       68388R208      11     2,000.00   SH        DEFINED   4            --         --     2,000
OPTIONSXPRESS HOLDINGS INC  EQUITY       684010101    1140       43,599   SH          SOLE    1        43,599         --        --
OPTIUM CORP                 EQUITY       68402T107     110       10,607   SH          SOLE    1        10,607         --        --
ORACLE CORP                 EQUITY       68389X105   81752    3,776,081   SH          SOLE    1     3,776,081         --        --
ORACLE CORP                 EQUITY       68389X105   10835      500,464   SH          SOLE    2       500,464         --        --
ORACLE CORP EQUITY          EQUITY       68389X105    1575    72,762.00   SH        DEFINED   4            --         --    72,762
ORASURE TECHNOLOGIES INC    EQUITY       68554V108     404       40,163   SH          SOLE    1        40,163         --        --
ORBCOMM INC                 EQUITY       68555P100     172       22,817   SH          SOLE    1        22,817         --        --
ORBITAL SCIENCES CORP       EQUITY       685564106    1527       68,661   SH          SOLE    1        68,661         --        --
O'REILLY AUTOMOTIVE INC     EQUITY       686091109    9516      284,833   SH          SOLE    1       284,833         --        --
OREXIGEN THERAPEUTICS INC   EQUITY       686164104      83        6,318   SH          SOLE    1         6,318         --        --
ORIENTAL FINANCIAL GROUP    EQUITY       68618W100     207       18,030   SH          SOLE    1        18,030         --        --
ORITANI FINANCIAL CORP      EQUITY       686323106     168       10,582   SH          SOLE    1        10,582         --        --
ORMAT TECHNOLOGIES INC      EQUITY       686688102     555       11,969   SH          SOLE    1        11,969         --        --
ORTHOFIX INTERNATIONAL NV   EQUITY       N6748L102    4978      101,655   SH          SOLE    2       101,655         --        --
OSCIENT PHARMACEUTICALS     FIXED INCOME 68812RAC9    4539    7,628,000  PRN          SOLE    1     7,628,000         --        --
OSCIENT PHARMACEUTICALS
    CORP                    EQUITY       68812R303     191       74,221   SH          SOLE    1        74,221         --        --
OSHKOSH TRUCK CORP          EQUITY       688239201   11341      183,011   SH          SOLE    1       183,011         --        --
OSI PHARMACEUTICALS INC     EQUITY       671040103    1707       50,226   SH          SOLE    1        50,226         --        --
OSI SYSTEMS INC             EQUITY       671044105     298       13,243   SH          SOLE    1        13,243         --        --





                                                                                        
OSIRIS THERAPEUTICS INC     EQUITY       68827R108     145       11,222   SH          SOLE    1        11,222         --        --
OSTEOTECH INC               EQUITY       688582105      16        2,194   SH          SOLE    1         2,194         --        --
OTTER TAIL CORP             EQUITY       689648103     923       25,897   SH          SOLE    1        25,897         --        --
OTTER TAIL CORP EQUITY      EQUITY       689648103     113     3,160.00   SH        DEFINED   4            --         --     3,160
OVERLAND STORAGE INC EQUITY EQUITY       690310107      17    10,000.00   SH        DEFINED   4            --         --    10,000
OVERSEAS SHIPHOLDING GROUP  EQUITY       690368105    5441       70,817   SH          SOLE    1        70,817         --        --
OVERSTOCK.COM INC           EQUITY       690370101     414       14,374   SH          SOLE    1        14,374         --        --
OWENS & MINOR INC           EQUITY       690732102    1537       40,361   SH          SOLE    1        40,361         --        --
OWENS CORNING INC           EQUITY       690742101    7597      303,269   SH          SOLE    1       303,269         --        --
OWENS ILL INC EQUITY NEW    EQUITY       690768403            29,899.00   SH        DEFINED   4            --         --    29,899
OWENS-ILLINOIS INC          EQUITY       690768403     155        3,737   SH          SOLE    1         3,737         --        --
OXFORD INDUSTRIES INC       EQUITY       691497309     556       15,384   SH          SOLE    1        15,384         --        --
OYO GEOSPACE CORP           EQUITY       671074102     322        3,472   SH          SOLE    1         3,472         --        --
P G & E CORP                EQUITY       69331C108   20797      435,083   SH          SOLE    1       435,083         --        --
P G & E CORP                EQUITY       69331C108     600       12,546   SH          SOLE    2        12,546         --        --
PACCAR INC                  EQUITY       693718108   24275      284,753   SH          SOLE    1       284,753         --        --
PACCAR INC                  EQUITY       693718108      27          313   SH          SOLE    2           313         --        --
PACER INTERNATIONAL INC     EQUITY       69373H106     608       31,941   SH          SOLE    1        31,941         --        --
PACER INTL INC TENN EQUITY  EQUITY       69373H106       3       147.00   SH        DEFINED   4            --         --       147
PACHOLDER HIGH YIELD FD INC
    EQUITY                  EQUITY       693742108      21     2,313.00   SH        DEFINED   4            --         --     2,313
PACIFIC CAPITAL BANCORP     EQUITY       69404P101    1077       40,958   SH          SOLE    1        40,958         --        --
PACIFIC ETHANOL INC         EQUITY       69423U107     298       30,939   SH          SOLE    1        30,939         --        --
PACIFIC ETHANOL INC EQUITY  EQUITY       69423U107       5       500.00   SH        DEFINED   4            --         --       500
PACIFIC SUNWEAR OF CALIF    EQUITY       694873100    3461      233,858   SH          SOLE    1       233,858         --        --
PACKAGING CORP AMER EQUITY  EQUITY       695156109       3       100.00   SH        DEFINED   4            --         --       100
PACKAGING CORP OF AMERICA   EQUITY       695156109    6741      231,887   SH          SOLE    1       231,887         --        --
PACKETEER INC               EQUITY       695210104     238       31,291   SH          SOLE    1        31,291         --        --
PACTIV CORP EQUITY          EQUITY       695257105      21       748.00   SH        DEFINED   4            --         --       748
PACTIV CORPORATION          EQUITY       695257105    8217      286,700   SH          SOLE    1       286,700         --        --
PACTIV CORPORATION          EQUITY       695257105       5          165   SH          SOLE    2           165         --        --
PAETEC HOLDING CORP         EQUITY       695459107     766       61,399   SH          SOLE    1        61,399         --        --
PAETEC HOLDING CORP         EQUITY       695459107     624       50,000   SH          SOLE    2        50,000         --        --
PAIN THERAPEUTICS INC       EQUITY       69562K100     293       31,300   SH          SOLE    1        31,300         --        --
PAIN THERAPEUTICS INC
    EQUITY                  EQUITY       69562K100       1       100.00   SH        DEFINED   4            --         --       100
PAINCARE HLDGS INC EQUITY   EQUITY       69562E104       1     4,500.00   SH        DEFINED   4            --         --     4,500
PALATIN TECHNOLOGIES INC
    EQUITY NEW              EQUITY       696077304       2     4,608.00   SH        DEFINED   4            --         --     4,608
PALL CORP                   EQUITY       696429307    5339      137,262   SH          SOLE    1       137,262         --        --
PALL CORP                   EQUITY       696429307       6          155   SH          SOLE    2           155         --        --
PALL CORP EQUITY            EQUITY       696429307       2        48.00   SH        DEFINED   4            --         --        48
PALM HARBOR HOMES INC       EQUITY       696639103     106        8,508   SH          SOLE    1         8,508         --        --
PALM INC                    EQUITY       696643105    5642      346,788   SH          SOLE    1       346,788         --        --
PALM INC NEW EQUITY         EQUITY       696643105       3       179.00   SH        DEFINED   4            --         --       179
PALOMAR MED TECHNOLOGIES
    INC EQUITY NEW          EQUITY       697529303      31     1,081.00   SH        DEFINED   4            --         --     1,081
PALOMAR MEDICAL
    TECHNOLOGIES            EQUITY       697529303     520       18,258   SH          SOLE    1        18,258         --        --
PAN AMERICAN SILVER CORP    EQUITY       697900108    2835       97,457   SH         OTHER    1            --     97,457        --
PAN AMERICAN SILVER CORP
    EQUITY                  EQUITY       697900108       3       110.00   SH        DEFINED   4            --         --       110
PANERA BREAD CO CL A        EQUITY       69840W108     245     6,012.00   SH        DEFINED   4            --         --     6,012
PANERA BREAD COMPANY-CL A   EQUITY       69840W108     146        3,571   SH          SOLE    1         3,571         --        --
PANTRY INC                  EQUITY       698657103     511       19,951   SH          SOLE    1        19,951         --        --
PANTRY INC                  EQUITY       698657103    2517       98,200   SH          SOLE    2        98,200         --        --
PANTRY INC EQUITY           EQUITY       698657103       3       109.00   SH        DEFINED   4            --         --       109
PAPA JOHN'S INTL INC        EQUITY       698813102     525       21,474   SH          SOLE    1        21,474         --        --
PAR PHARMACEUTICAL COS INC  EQUITY       69888P106    2207      118,917   SH          SOLE    1       118,917         --        --
PARAGON SHIPPING INC CL A
    ADDED                   EQUITY       69913R309       3       200.00   SH        DEFINED   4            --         --       200
PARALLEL PETROLEUM CORP     EQUITY       699157103     558       32,864   SH          SOLE    1        32,864         --        --
PARAMETRIC TECHNOLOGY CORP  EQUITY       699173209    6680      383,448   SH          SOLE    1       383,448         --        --
PARAMETRIC TECHNOLOGY CORP
    EQUITY NEW              EQUITY       699173209       2       120.00   SH        DEFINED   4            --         --       120
PAREXEL INTERNATIONAL CORP  EQUITY       699462107    1144       27,717   SH          SOLE    1        27,717         --        --
PAREXEL INTL CORP EQUITY    EQUITY       699462107     729    17,675.00   SH        DEFINED   4            --         --    17,675
PARK ELECTROCHEMICAL CORP   EQUITY       700416209    3194       95,125   SH          SOLE    1        95,125         --        --
PARK NATIONAL CORP          EQUITY       700658107     920       10,550   SH          SOLE    1        10,550         --        --
PARK NATL CORP EQUITY       EQUITY       700658107     359     4,115.00   SH        DEFINED   4            --         --     4,115
PARKER DRILLING CO          EQUITY       701081101     790       97,266   SH          SOLE    1        97,266         --        --
PARKER HANNIFIN CORP        EQUITY       701094104    7645       68,359   SH          SOLE    1        68,359         --        --
PARKER HANNIFIN CORP        EQUITY       701094104      16          146   SH          SOLE    2           146         --        --
PARKER HANNIFIN CORP EQUITY EQUITY       701094104      12       110.00   SH        DEFINED   4            --         --       110
PARK-OHIO HOLDINGS CORP     EQUITY       700666100     181        6,975   SH          SOLE    1         6,975         --        --
PARKWAY PROPERTIES INC      EQUITY       70159Q104     698       15,821   SH          SOLE    1        15,821         --        --
PARTICLE DRILLING
    TECHNOLOGI EQUITY       EQUITY       70212G101       3     1,000.00   SH        DEFINED   4            --         --     1,000
PARTNER EQUITYMUNICATIONS
    CO LT ADR               EQUITY       70211M109      39     2,368.00   SH        DEFINED   4            --         --     2,368





                                                                                        
PARTNERS TRUST FINANCIAL
    GRP                     EQUITY       70213F102     463       38,035   SH          SOLE    1        38,035         --        --
PATHMARK STORES INC         EQUITY       70322A101     357       28,024   SH          SOLE    1        28,024         --        --
PATRIOT CAPITAL FUNDING INC EQUITY       70335Y104     212       15,878   SH          SOLE    1        15,878         --        --
PATRIOT TRANSPORTATION HLDG EQUITY       70337B102     138        1,402   SH          SOLE    1         1,402         --        --
PATTERSON COS INC           EQUITY       703395103    2669       69,121   SH          SOLE    1        69,121         --        --
PATTERSON COS INC           EQUITY       703395103       7          176   SH          SOLE    2           176         --        --
PATTERSON UTI ENERGY INC
    CALL                    OPTION       703481901                (1.00)     C      DEFINED   4            --         --        (1)
PATTERSON UTI ENERGY INC
    EQUITY                  EQUITY       703481101       5       200.00   SH        DEFINED   4            --         --       200
PATTERSON-UTI ENERGY INC    EQUITY       703481101    9029      400,062   SH          SOLE    1       400,062         --        --
PAYCHEX INC                 EQUITY       704326107    9687      236,260   SH          SOLE    1       236,260         --        --
PAYCHEX INC                 EQUITY       704326107    3228       78,729   SH          SOLE    2        78,729         --        --
PAYCHEX INC EQUITY          EQUITY       704326107     119     2,897.33   SH        DEFINED   4            --         --     2,897
PC CONNECTION INC           EQUITY       69318J100     101        8,087   SH          SOLE    1         8,087         --        --
PC-TEL INC                  EQUITY       69325Q105      21        2,832   SH          SOLE    1         2,832         --        --
PDF SOLUTIONS INC           EQUITY       693282105     195       19,758   SH          SOLE    1        19,758         --        --
PDL BIOPHARMA INC           EQUITY       69329Y104    6304      291,715   SH          SOLE    1       291,715         --        --
PDL BIOPHARMA INC EQUITY    EQUITY       69329Y104      35     1,600.00   SH        DEFINED   4            --         --     1,600
PEABODY ENERGY CORP         EQUITY       704549104   50523    1,055,418   SH          SOLE    1     1,055,418         --        --
PEABODY ENERGY CORP         EQUITY       704549104    4789      100,035   SH          SOLE    2       100,035         --        --
PEABODY ENERGY CORP CALL    OPTION       704549904                (4.00)     C      DEFINED   4            --         --        (4)
PEABODY ENERGY CORP EQUITY  EQUITY       704549104    4231    88,383.67   SH        DEFINED   4            --         --    88,384
PEARSON PLC SPONSORED ADR   EQUITY       705015105       3       180.00   SH        DEFINED   4            --         --       180
PEDIATRIX MED GROUP EQUITY  EQUITY       705324101      13       200.00   SH        DEFINED   4            --         --       200
PEDIATRIX MEDICAL GROUP INC EQUITY       705324101     442        6,757   SH          SOLE    1         6,757         --        --
PEDIATRIX MEDICAL GROUP INC EQUITY       705324101    1089       16,650   SH          SOLE    2        16,650         --        --
PEETS COFFEE & TEA INC      EQUITY       705560100     377       13,493   SH          SOLE    1        13,493         --        --
PEGASYSTEMS INC             EQUITY       705573103     139       11,665   SH          SOLE    1        11,665         --        --
PENFORD CORP                EQUITY       707051108      43        1,134   SH          SOLE    1         1,134         --        --
PENFORD CORP EQUITY         EQUITY       707051108    1307    32,675.00   SH        DEFINED   4            --         --    32,675
PENGROWTH ENERGY TR TR UNIT
    NEW                     EQUITY       706902509     415    21,681.00   SH        DEFINED   4            --         --    21,681
PENN NATIONAL GAMING INC    EQUITY       707569109      92        1,560   SH          SOLE    1         1,560         --        --
PENN NATL GAMING INC EQUITY EQUITY       707569109      24       400.00   SH        DEFINED   4            --         --       400
PENN TREATY AMERN CORP
    EQUITY NEW              EQUITY       707874400       2       300.00   SH        DEFINED   4            --         --       300
PENN VA RESOURCES PARTNERS
    L EQUITY                EQUITY       707884102      93     3,400.00   SH        DEFINED   4            --         --     3,400
PENN VIRGINIA CORP          EQUITY       707882106    1650       37,515   SH          SOLE    1        37,515         --        --
PENN WEST ENERGY TR TR UNIT EQUITY       707885109     375    11,761.00   SH        DEFINED   4            --         --    11,761
PENN WEST ENERGY TRUST      EQUITY       707885109     146        4,997   SH         OTHER    1            --      4,997        --
PENNANTPARK INVESTMENT CORP EQUITY       708062104     233       17,389   SH          SOLE    1        17,389         --        --
PENNEY J C INC EQUITY       EQUITY       708160106     102     1,613.00   SH        DEFINED   4            --         --     1,613
PENNSYLVANIA EQUITYM
    BANCORP IN EQUITY       EQUITY       708677109      35     1,100.00   SH        DEFINED   4            --         --     1,100
PENNSYLVANIA RL ESTATE
    INVT SH BEN INT         EQUITY       709102107       4       100.00   SH        DEFINED   4            --         --       100
PENSON WORLDWIDE INC        EQUITY       709600100     234       12,647   SH          SOLE    1        12,647         --        --
PENTAIR INC                 EQUITY       709631105    8281      249,586   SH          SOLE    1       249,586         --        --
PENTAIR INC EQUITY          EQUITY       709631105       1        24.00   SH        DEFINED   4            --         --        24
PENWEST PHARMACEUTICALS CO  EQUITY       709754105     223       20,257   SH          SOLE    1        20,257         --        --
PEOPLES BANCORP INC         EQUITY       709789101     240        9,151   SH          SOLE    1         9,151         --        --
PEOPLE'S UNITED FINANCIAL   EQUITY       712704105      74        4,306   SH          SOLE    1         4,306         --        --
PEOPLES UNITED FINANCIAL
    INC EQUITY              EQUITY       712704105      70     4,060.00   SH        DEFINED   4            --         --     4,060
PEOPLESUPPORT INC           EQUITY       712714302     245       20,490   SH          SOLE    1        20,490         --        --
PEOPLESUPPORT INC EQUITY    EQUITY       712714302     138    11,500.00   SH        DEFINED   4            --         --    11,500
PEP BOYS-MANNY MOE & JACK   EQUITY       713278109     561       40,010   SH          SOLE    1        40,010         --        --
PEPCO HOLDINGS INC          EQUITY       713291102   23098      852,954   SH          SOLE    1       852,954         --        --
PEPCO HOLDINGS INC EQUITY   EQUITY       713291102     202     7,476.00   SH        DEFINED   4            --         --     7,476
PEPSI BOTTLING GROUP INC    EQUITY       713409100   33556      902,766   SH          SOLE    1       902,766         --        --
PEPSI BOTTLING GROUP INC    EQUITY       713409100       7          177   SH          SOLE    2           177         --        --
PEPSI BOTTLING GROUP INC
    EQUITY                  EQUITY       713409100      19       520.00   SH        DEFINED   4            --         --       520
PEPSIAMERICAS INC           EQUITY       71343P200    4784      147,464   SH          SOLE    1       147,464         --        --
PEPSIAMERICAS INC EQUITY    EQUITY       71343P200      13       400.00   SH        DEFINED   4            --         --       400
PEPSICO INC                 EQUITY       713448108  112165    1,531,054   SH          SOLE    1     1,531,054         --        --
PEPSICO INC                 EQUITY       713448108   20772      283,537   SH          SOLE    2       283,537         --        --
PEPSICO INC EQUITY          EQUITY       713448108    1731    23,633.19   SH        DEFINED   4            --         --    23,633
PERFICIENT INC              EQUITY       71375U101     641       29,293   SH          SOLE    1        29,293         --        --
PERFICIENT INC EQUITY       EQUITY       71375U101      22     1,000.00   SH        DEFINED   4            --         --     1,000
PERFORMANCE FOOD GROUP CO   EQUITY       713755106    1062       35,239   SH          SOLE    1        35,239         --        --
PERFORMANCE FOOD GROUP CO
    EQUITY                  EQUITY       713755106       1        38.00   SH        DEFINED   4            --         --        38
PERICOM SEMICONDUCTOR CORP  EQUITY       713831105     304       25,901   SH          SOLE    1        25,901         --        --
PERINI CORP                 EQUITY       713839108    1300       23,248   SH          SOLE    1        23,248         --        --
PERINI CORP EQUITY          EQUITY       713839108      24       425.00   SH        DEFINED   4            --         --       425
PERKINELMER INC             EQUITY       714046109    1642       56,211   SH          SOLE    1        56,211         --        --
PERKINELMER INC             EQUITY       714046109       4          153   SH          SOLE    2           153         --        --





                                                                                        
PERMA-FIX ENVIRONMENTAL
    SVCS EQUITY             EQUITY       714157104      27    10,000.00   SH        DEFINED   4            --         --    10,000
PERMIAN BASIN RTY TR UNIT
    BEN INT                 EQUITY       714236106     267    17,242.00   SH        DEFINED   4            --         --    17,242
PEROT SYSTEMS CORP-CL A     EQUITY       714265105    1286       76,037   SH          SOLE    1        76,037         --        --
PERRIGO CO                  EQUITY       714290103    5524      258,741   SH          SOLE    1       258,741         --        --
PERRY ELLIS INTERNATIONAL   EQUITY       288853104     275        9,930   SH          SOLE    1         9,930         --        --
PETMED EXPRESS INC          EQUITY       716382106     303       21,640   SH          SOLE    1        21,640         --        --
PETRO-CANADA                EQUITY       71644E102     615       10,669   SH         OTHER    1            --     10,669        --
PETRO-CDA EQUITY            EQUITY       71644E102    5232    91,070.00   SH        DEFINED   4            --         --    91,070
PETROCHINA CO LTD -ADR      EQUITY       71646E100   23682      127,935   SH          SOLE    1       127,935         --        --
PETROCHINA CO LTD SPONSORED
    ADR                     EQUITY       71646E100    7325    39,570.00   SH        DEFINED   4            --         --    39,570
PETROHAWK ENERGY CORP       EQUITY       716495106    3519      214,318   SH          SOLE    1       214,318         --        --
PETROLEO BRASILEIRO S.A.
   --ADR                    EQUITY       71654V408   83435    1,105,095   SH          SOLE    1     1,105,095         --        --
PETROLEO BRASILEIRO SA
    PETRO SPONSORED ADR     EQUITY       71654V408    3898    51,626.00   SH        DEFINED   4            --         --    51,626
PETROLEO BRASILEIRO-SPON
    ADR                     EQUITY       71654V101   17905      276,738   SH          SOLE    1       276,738         --        --
PETROLEUM DEV CORP EQUITY   EQUITY       716578109      13       295.00   SH        DEFINED   4            --         --       295
PETROLEUM DEVELOPMENT CORP  EQUITY       716578109     659       14,856   SH          SOLE    1        14,856         --        --
PETROQUEST ENERGY INC       EQUITY       716748108     389       36,240   SH          SOLE    1        36,240         --        --
PETSMART INC                EQUITY       716768106   10891      341,403   SH          SOLE    1       341,403         --        --
PETSMART INC EQUITY         EQUITY       716768106      29       904.00   SH        DEFINED   4            --         --       904
PF CHANG'S CHINA BISTRO INC EQUITY       69333Y108     761       25,721   SH          SOLE    1        25,721         --        --
PFF BANCORP INC             EQUITY       69331W104     322       20,976   SH          SOLE    1        20,976         --        --
PFIZER INC                  EQUITY       717081103  104750    4,287,519   SH          SOLE    1     4,287,519         --        --
PFIZER INC                  EQUITY       717081103   15519      635,239   SH          SOLE    2       635,239         --        --
PFIZER INC CALL             OPTION       717081903               (15.00)     C      DEFINED   4            --         --       (15)
PFIZER INC EQUITY           EQUITY       717081103    1872    76,616.35   SH        DEFINED   4            --         --    76,616
PG&E CORP EQUITY            EQUITY       69331C108     207     4,324.00   SH        DEFINED   4            --         --     4,324
PGT INC                     EQUITY       69336V101      73        9,175   SH          SOLE    1         9,175         --        --
PGT INC EQUITY              EQUITY       69336V101       1       100.00   SH        DEFINED   4            --         --       100
PHARMACEUTICAL HLDRS TR
    DEPOSITRY RCPT          EQUITY       71712A206      38       500.00   SH        DEFINED   4            --         --       500
PHARMACEUTICAL PROD DEV
    INC EQUITY              EQUITY       717124101     441    12,445.00   SH        DEFINED   4            --         --    12,445
PHARMACEUTICAL PRODUCT
    DEVEL                   EQUITY       717124101    9180      259,028   SH          SOLE    1       259,028         --        --
PHARMANET DEVELOPMENT GROUP EQUITY       717148100     541       18,632   SH          SOLE    1        18,632         --        --
PHARMERICA CORP             EQUITY       71714F104     457       30,610   SH          SOLE    1        30,610         --        --
PHARMION CORP               EQUITY       71715B409    1046       22,664   SH          SOLE    1        22,664         --        --
PHARMION CORP               EQUITY       71715B409     461       10,000   SH          SOLE    2        10,000         --        --
PHASE FORWARD INC           EQUITY       71721R406    1942       97,044   SH          SOLE    1        97,044         --        --
PHASE FORWARD INC           EQUITY       71721R406     710       35,500   SH          SOLE    2        35,500         --        --
PHASE FORWARD INC           EQUITY       71721R406    3722      186,000   SH          SOLE    3       160,100         --    25,900
PHH CORP                    EQUITY       693320202    1224       46,594   SH          SOLE    1        46,594         --        --
PHH CORP EQUITY NEW         EQUITY       693320202                 1.00   SH        DEFINED   4            --         --         1
PHI INC-NON VOTING          EQUITY       69336T205     357       11,838   SH          SOLE    1        11,838         --        --
PHILADELPHIA CONS HLDG CO   EQUITY       717528103     327        7,920   SH          SOLE    1         7,920         --        --
PHILADELPHIA CONS HLDG CORP
    EQUITY                  EQUITY       717528103      43     1,052.00   SH        DEFINED   4            --         --     1,052
PHILLIPS-VAN HEUSEN         EQUITY       718592108    7387      140,749   SH          SOLE    1       140,749         --        --
PHILLIPS-VAN HEUSEN         EQUITY       718592108    1795       34,200   SH          SOLE    2        34,200         --        --
PHOENIX COMPANIES INC       EQUITY       71902E109    1402       99,371   SH          SOLE    1        99,371         --        --
PHOENIX COS INC NEW EQUITY  EQUITY       71902E109       1        48.00   SH        DEFINED   4            --         --        48
PHOENIX TECHNOLOGIES LTD    EQUITY       719153108      36        3,366   SH          SOLE    1         3,366         --        --
PHOTON DYNAMICS INC         EQUITY       719364101      19        2,096   SH          SOLE    1         2,096         --        --
PHOTRONICS INC              EQUITY       719405102     476       41,736   SH          SOLE    1        41,736         --        --
PICO HOLDINGS INC           EQUITY       693366205     551       13,257   SH          SOLE    1        13,257         --        --
PIEDMONT NAT GAS INC EQUITY EQUITY       720186105       9       360.00   SH        DEFINED   4            --         --       360
PIEDMONT NATURAL GAS CO     EQUITY       720186105    1865       74,335   SH          SOLE    1        74,335         --        --
PIER 1 IMPORTS INC          EQUITY       720279108     363       76,798   SH          SOLE    1        76,798         --        --
PIER 1 IMPORTS INC EQUITY   EQUITY       720279108                30.00   SH        DEFINED   4            --         --        30
PIKE ELEC CORP EQUITY       EQUITY       721283109       6       300.00   SH        DEFINED   4            --         --       300
PIKE ELECTRIC CORP          EQUITY       721283109     290       15,453   SH          SOLE    1        15,453         --        --
PILGRIM'S PRIDE CORP        EQUITY       721467108    1222       35,183   SH          SOLE    1        35,183         --        --
PIMCO CORPORATE INEQUITYE
    FD EQUITY               EQUITY       72200U100     234    16,270.00   SH        DEFINED   4            --         --    16,270
PIMCO CORPORATE OPP FD
    EQUITY                  EQUITY       72201B101    2539   170,396.95   SH        DEFINED   4            --         --   170,397
PIMCO FLOATING RATE
    INEQUITYE F EQUITY      EQUITY       72201H108     219    11,886.19   SH        DEFINED   4            --         --    11,886
PIMCO FLOATING RATE
    STRTGY F EQUITY         EQUITY       72201J104     401    23,167.42   SH        DEFINED   4            --         --    23,167
PIMCO HIGH INEQUITYE FD
    EQUITY SHS              EQUITY       722014107    1125    77,190.00   SH        DEFINED   4            --         --    77,190
PIMCO MUN INEQUITYE FD
    II EQUITY               EQUITY       72200W106       7       500.00   SH        DEFINED   4            --         --       500
PIMCO NEW YORK MUN FD
    II EQUITY               EQUITY       72200Y102      15     1,042.00   SH        DEFINED   4            --         --     1,042
PIMCO STRATEGIC GBL GOV
    FD I EQUITY             EQUITY       72200X104      31     3,080.00   SH        DEFINED   4            --         --     3,080
PINNACLE AIRLINES CORP      EQUITY       723443107     274       17,112   SH          SOLE    1        17,112         --        --
PINNACLE ENTERTAINMENT INC  EQUITY       723456109    1620       59,501   SH          SOLE    1        59,501         --        --
PINNACLE FINANCIAL PARTNERS EQUITY       72346Q104     389       13,512   SH          SOLE    1        13,512         --        --
PINNACLE WEST CAPITAL       EQUITY       723484101    6520      165,012   SH          SOLE    1       165,012         --        --





                                                                                        
PINNACLE WEST CAPITAL       EQUITY       723484101       5          126   SH          SOLE    2           126         --        --
PIONEER DRILLING CO CALL    OPTION       723655906                (4.00)     C      DEFINED   4            --         --        (4)
PIONEER DRILLING CO EQUITY  EQUITY       723655106      23     1,850.00   SH        DEFINED   4            --         --     1,850
PIONEER DRILLING COMPANY    EQUITY       723655106     602       49,412   SH          SOLE    1        49,412         --        --
PIONEER FLOATING RATE TR
    EQUITY                  EQUITY       72369J102       8       420.00   SH        DEFINED   4            --         --       420
PIONEER HIGH INEQUITYE TR
    EQUITY                  EQUITY       72369H106      16       926.00   SH        DEFINED   4            --         --       926
PIONEER MUN HIGH INC ADV TR
    EQUITY                  EQUITY       723762100      15     1,000.00   SH        DEFINED   4            --         --     1,000
PIONEER NAT RES CO EQUITY   EQUITY       723787107     104     2,301.21   SH        DEFINED   4            --         --     2,301
PIONEER NATURAL RESOURCES
    CO                      EQUITY       723787107   13638      303,192   SH          SOLE    1       303,192         --        --
PIPER JAFFRAY COS           EQUITY       724078100    1006       18,776   SH          SOLE    1        18,776         --        --
PIPER JAFFRAY COS EQUITY    EQUITY       724078100       3        52.00   SH        DEFINED   4            --         --        52
PITNEY BOWES INC            EQUITY       724479100   25830      568,138   SH          SOLE    1       568,138         --        --
PITNEY BOWES INC            EQUITY       724479100      13          277   SH          SOLE    2           277         --        --
PITNEY BOWES INC EQUITY     EQUITY       724479100     138     3,046.00   SH        DEFINED   4            --         --     3,046
PLAINS ALL AMERN PIPELINE L
    UNIT LTD PARTN          EQUITY       726503105     287     5,262.86   SH        DEFINED   4            --         --     5,263
PLAINS EXPL& PRODTN CO CALL OPTION       726505900                (1.00)     C      DEFINED   4            --         --        (1)
PLAINS EXPL& PRODTN CO
    EQUITY                  EQUITY       726505100      18       400.00   SH        DEFINED   4            --         --       400
PLAINS EXPLORATION &
    PRODUCT                 EQUITY       726505100    8156      184,434   SH          SOLE    1       184,434         --        --
PLANAR SYSTEMS INC          EQUITY       726900103      15        2,208   SH          SOLE    1         2,208         --        --
PLANTRONICS INC             EQUITY       727493108    4584      160,565   SH          SOLE    1       160,565         --        --
PLAYBOY ENTERPRISES-CLASS B EQUITY       728117300     206       19,171   SH          SOLE    1        19,171         --        --
PLAYTEX PRODS INC EQUITY    EQUITY       72813P100       1        38.00   SH        DEFINED   4            --         --        38
PLAYTEX PRODUCTS INC        EQUITY       72813P100    3394      185,692   SH          SOLE    1       185,692         --        --
PLEXUS CORP                 EQUITY       729132100    1266       46,193   SH          SOLE    1        46,193         --        --
PLEXUS CORP                 EQUITY       729132100     737       26,900   SH          SOLE    2        26,900         --        --
PLUM CREEK TIMBER CO        EQUITY       729251108    7682      171,632   SH          SOLE    1       171,632         --        --
PLUM CREEK TIMBER CO        EQUITY       729251108      10          220   SH          SOLE    2           220         --        --
PLUM CREEK TIMBER CO INC
    EQUITY                  EQUITY       729251108     120     2,684.56   SH        DEFINED   4            --         --     2,685
PLX TECHNOLOGY INC          EQUITY       693417107     269       24,936   SH          SOLE    1        24,936         --        --
PMA CAPITAL CORPORATION-
    CL A                    EQUITY       693419202     270       28,382   SH          SOLE    1        28,382         --        --
PMC -- SIERRA INC           EQUITY       69344F106    1573      187,529   SH          SOLE    1       187,529         --        --
PMI GROUP INC EQUITY        EQUITY       69344M101      12       355.00   SH        DEFINED   4            --         --       355
PMI GROUP INC/THE           EQUITY       69344M101    7779      237,890   SH          SOLE    1       237,890         --        --
PNC FINANCIAL SERVICES
    GROUP                   EQUITY       693475105   23263      340,872   SH          SOLE    1       340,872         --        --
PNC FINANCIAL SERVICES
    GROUP                   EQUITY       693475105     404        5,931   SH          SOLE    2         5,931         --        --
PNC FINL SVCS GROUP INC
    EQUITY                  EQUITY       693475105     323     4,739.48   SH        DEFINED   4            --         --     4,739
PNM RES INC EQUITY          EQUITY       69349H107       7       280.00   SH        DEFINED   4            --         --       280
PNM RESOURCES INC           EQUITY       69349H107    5964      256,193   SH          SOLE    1       256,193         --        --
POGO PRODUCING CO           EQUITY       730448107    7807      147,003   SH          SOLE    1       147,003         --        --
POLARIS INDUSTRIES INC      EQUITY       731068102    1555       35,642   SH          SOLE    1        35,642         --        --
POLO RALPH LAUREN CORP      EQUITY       731572103    3553       45,692   SH          SOLE    1        45,692         --        --
POLO RALPH LAUREN CORP      EQUITY       731572103     239        3,076   SH          SOLE    2         3,076         --        --
POLYCOM INC                 EQUITY       73172K104    8205      305,465   SH          SOLE    1       305,465         --        --
POLYCOM INC                 EQUITY       73172K104     497       18,500   SH          SOLE    2        18,500         --        --
POLYEQUITY INC EQUITY       EQUITY       73172K104       1        23.00   SH        DEFINED   4            --         --        23
POLYMEDICA CORP             EQUITY       731738100    1191       22,679   SH          SOLE    1        22,679         --        --
POLYMEDICA CORP             EQUITY       731738100     441        8,400   SH          SOLE    2         8,400         --        --
POLYONE CORPORATION         EQUITY       73179P106     693       92,777   SH          SOLE    1        92,777         --        --
PONIARD PHARMACEUTICALS INC EQUITY       732449301     115       20,228   SH          SOLE    1        20,228         --        --
POOL CORP                   EQUITY       73278L105     181        7,257   SH          SOLE    1         7,257         --        --
POOL CORPORATION EQUITY     EQUITY       73278L105      10       400.00   SH        DEFINED   4            --         --       400
POPULAR INC                 EQUITY       733174106     176       14,343   SH          SOLE    1        14,343         --        --
PORTFOLIO RECOVERY
    ASSOCIATE               EQUITY       73640Q105     847       15,952   SH          SOLE    1        15,952         --        --
PORTLAND GENERAL
    ELECTRIC CO             EQUITY       736508847     739       26,583   SH          SOLE    1        26,583         --        --
POSCO SPONSORED ADR         EQUITY       693483109      28       154.00   SH        DEFINED   4            --         --       154
POSSIS MEDICAL INC          EQUITY       737407106      29        2,153   SH          SOLE    1         2,153         --        --
POST PPTYS INC EQUITY       EQUITY       737464107       6       160.00   SH        DEFINED   4            --         --       160
POST PROPERTIES INC         EQUITY       737464107    1471       38,014   SH          SOLE    1        38,014         --        --
POTASH CORP OF SASKATCHEWAN EQUITY       73755L107     653        6,621   SH         OTHER    1            --      6,621        --
POTASH CORP SASK INC EQUITY EQUITY       73755L107    6497    61,435.00   SH        DEFINED   4            --         --    61,435
POTLATCH CORP               EQUITY       737630103    1066       23,684   SH          SOLE    1        23,684         --        --
POWELL INDUSTRIES INC       EQUITY       739128106     266        7,008   SH          SOLE    1         7,008         --        --
POWER INTEGRATIONS INC
    EQUITY ADDED            EQUITY       739276103       5       184.00   SH        DEFINED   4            --         --       184
POWER-ONE INC               EQUITY       739308104     311       61,065   SH          SOLE    1        61,065         --        --
POWERSECURE INTERNATIONAL
    IN                      EQUITY       73936N105    3950      317,000   SH          SOLE    2       317,000         --        --
POWERSHARES DB CMDTY IDX
    TRA UNIT BEN INT        EQUITY       73935S105     175     6,223.00   SH        DEFINED   4            --         --     6,223
POWERSHARES DB G10 CURCY
    HAR EQUITY UT BEN INT   EQUITY       73935Y102    4413   155,180.00   SH        DEFINED   4            --         --   155,180
POWERSHARES ETF TRUST
    AERSPC DEF PTF          EQUITY       73935X690      96     4,053.00   SH        DEFINED   4            --         --     4,053
POWERSHARES ETF TRUST
    CLEANTECH PORT          EQUITY       73935X278    1207    38,037.00   SH        DEFINED   4            --         --    38,037
POWERSHARES ETF TRUST
    CON STAPLE SEC          EQUITY       73935X393      21       741.00   SH        DEFINED   4            --         --       741





                                                                                        
POWERSHARES ETF TRUST
    DIV ACHV PRTF           EQUITY       73935X732      23     1,314.00   SH        DEFINED   4            --         --     1,314
POWERSHARES ETF TRUST
    DYMN MC VAL             EQUITY       73935X880       2       115.00   SH        DEFINED   4            --         --       115
POWERSHARES ETF TRUST
    DYN BIOT & GEN          EQUITY       73935X856    1716    89,811.00   SH        DEFINED   4            --         --    89,811
POWERSHARES ETF TRUST
    DYN EN EX PROD          EQUITY       73935X658     253    11,123.00   SH        DEFINED   4            --         --    11,123
POWERSHARES ETF TRUST
    DYN FD & BEV            EQUITY       73935X849     815    47,345.00   SH        DEFINED   4            --         --    47,345
POWERSHARES ETF TRUST
    DYN NETWKG PRT          EQUITY       73935X815       6       285.00   SH        DEFINED   4            --         --       285
POWERSHARES ETF TRUST
    DYN OIL SVCS            EQUITY       73935X625    1133    40,875.00   SH        DEFINED   4            --         --    40,875
POWERSHARES ETF TRUST
    DYN PHRMA PORT          EQUITY       73935X799       5       250.00   SH        DEFINED   4            --         --       250
POWERSHARES ETF TRUST
    DYN RETAIL PTF          EQUITY       73935X617      41     2,305.00   SH        DEFINED   4            --         --     2,305
POWERSHARES ETF TRUST
    DYN SEMCT PORT          EQUITY       73935X781     818    43,775.00   SH        DEFINED   4            --         --    43,775
POWERSHARES ETF TRUST
    DYN UTIL PORTF          EQUITY       73935X591      11       575.00   SH        DEFINED   4            --         --       575
POWERSHARES ETF TRUST
    DYNA BUYBK ACH          EQUITY       73935X286      13       500.00   SH        DEFINED   4            --         --       500
POWERSHARES ETF TRUST
    DYNAM LRGCP PT          EQUITY       73935X450       6       222.00   SH        DEFINED   4            --         --       222
POWERSHARES ETF TRUST
    DYNAMIC HARDWA          EQUITY       73935X831       4       205.00   SH P      DEFINED   4            --         --       205
POWERSHARES ETF TRUST
    DYNAMIC MKT PT          EQUITY       73935X104    1120    21,617.01   SH        DEFINED   4            --         --    21,617
POWERSHARES ETF TRUST
    DYNAMIC OTC PT          EQUITY       73935X203       3        50.00   SH        DEFINED   4            --         --        50
POWERSHARES ETF TRUST
    DYNAMIC TELECO          EQUITY       73935X765     363    16,930.00   SH        DEFINED   4            --         --    16,930
POWERSHARES ETF TRUST
    DYNM LRG CP GR          EQUITY       73935X609     223    11,850.00   SH        DEFINED   4            --         --    11,850
POWERSHARES ETF TRUST
    DYNM LRG CP VL          EQUITY       73935X708      17       800.00   SH        DEFINED   4            --         --       800
POWERSHARES ETF TRUST
    DYNM MC GRWTH           EQUITY       73935X807       9       380.00   SH        DEFINED   4            --         --       380
POWERSHARES ETF TRUST
    DYNM SM CP GRW          EQUITY       73935X872      10       575.00   SH        DEFINED   4            --         --       575
POWERSHARES ETF TRUST
    DYNM SM CP VAL          EQUITY       73935X864       8       440.00   SH        DEFINED   4            --         --       440
POWERSHARES ETF TRUST
    FTSE RAFI 1000          EQUITY       73935X583     357     5,806.00   SH        DEFINED   4            --         --     5,806
POWERSHARES ETF TRUST
    GOLDEN DRG USX          EQUITY       73935X401       6       185.00   SH        DEFINED   4            --         --       185
POWERSHARES ETF TRUST
    HI GRW RT DIV           EQUITY       73935X724       6       338.00   SH        DEFINED   4            --         --       338
POWERSHARES ETF TRUST
    HLTHCR SEC POR          EQUITY       73935X351      11       383.00   SH        DEFINED   4            --         --       383
POWERSHARES ETF TRUST
    INTL DIV ACHV           EQUITY       73935X716     181     8,500.00   SH        DEFINED   4            --         --     8,500
POWERSHARES ETF TRUST
    LX NANOTCH PTF          EQUITY       73935X633     618    35,364.00   SH        DEFINED   4            --         --    35,364
POWERSHARES ETF TRUST
    MAGNIQUANT POR          EQUITY       73935X468    4299   156,462.00   SH        DEFINED   4            --         --   156,462
POWERSHARES ETF TRUST
    TECH SECT PORT          EQUITY       73935X344       3       100.00   SH        DEFINED   4            --         --       100
POWERSHARES ETF TRUST
    VAL LINE TIME           EQUITY       73935X682      38     2,055.00   SH        DEFINED   4            --         --     2,055
POWERSHARES ETF TRUST
    WATER RESOURCE          EQUITY       73935X575     409    19,144.00   SH        DEFINED   4            --         --    19,144
POWERSHARES ETF TRUST
    WILDERHILL PRO          EQUITY       73935X161     123     4,200.00   SH        DEFINED   4            --         --     4,200
POWERSHARES ETF TRUST
    WNDRHLL CLN EN          EQUITY       73935X500   10779   470,917.00   SH        DEFINED   4            --         --   470,917
POWERSHARES ETF TRUST
    ZACKS MC PRTFL          EQUITY       73935X740      41     2,393.00   SH        DEFINED   4            --         --     2,393
POWERSHARES GLOBAL ETF
    TRUST GBL CLEAN ENER    EQUITY       73936T615       9       325.00   SH        DEFINED   4            --         --       325
POWERSHARES GLOBAL ETF
    TRUST GBL WTR PORT      EQUITY       73936T623    9608   372,551.00   SH        DEFINED   4            --         --   372,551
POWERSHARES GLOBAL ETF
    TRUST JAPAN PORTFOLI
    ADDED                   EQUITY       73936T698      16       302.00   SH        DEFINED   4            --         --       302
POWERSHARES QQQ             EQUITY       73935A104   12323      239,700   SH          SOLE    1       239,700         --        --
POWERSHARES QQQ TRUST PUT   OPTION       73935A954      -1       (30.00)     P      DEFINED   4            --         --       (30)
POWERSHARES QQQ TRUST UNIT
    SER 1                   EQUITY       73935A104    2501    46,845.38   SH        DEFINED   4            --         --    46,845
POWERSHS DB MULTI SECT
    EQUITYM DB AGRICULT FD  EQUITY       73936B408     121     4,100.00   SH        DEFINED   4            --         --     4,100
POWERSHS DB MULTI SECT
    EQUITYM DB ENERGY FUND  EQUITY       73936B101     223     7,299.00   SH        DEFINED   4            --         --     7,299
POWERSHS DB MULTI SECT
    EQUITYM DB GOLD FUND    EQUITY       73936B606     113     3,890.00   SH        DEFINED   4            --         --     3,890
POWERWAVE TECHNOLOGIES INC  EQUITY       739363109    2687      436,232   SH          SOLE    1       436,232         --        --
POZEN INC                   EQUITY       73941U102     245       22,157   SH          SOLE    1        22,157         --        --
PPG INDS INC EQUITY         EQUITY       693506107     159     2,105.98   SH        DEFINED   4            --         --     2,106
PPG INDUSTRIES INC          EQUITY       693506107    6658       88,132   SH          SOLE    1        88,132         --        --
PPG INDUSTRIES INC          EQUITY       693506107    6332       83,807   SH          SOLE    2        83,807         --        --
PPL CORP EQUITY             EQUITY       69351T106     567    12,242.93   SH        DEFINED   4            --         --    12,243
PPL CORPORATION             EQUITY       69351T106    8077      174,445   SH          SOLE    1       174,445         --        --
PPL CORPORATION             EQUITY       69351T106      22          483   SH          SOLE    2           483         --        --
PRA INTERNATIONAL           EQUITY       69353C101     508       17,267   SH          SOLE    1        17,267         --        --
PRAXAIR INC                 EQUITY       74005P104   28840      344,323   SH          SOLE    1       344,323         --        --
PRAXAIR INC                 EQUITY       74005P104     628        7,503   SH          SOLE    2         7,503         --        --
PRAXAIR INC EQUITY          EQUITY       74005P104     107     1,279.00   SH        DEFINED   4            --         --     1,279
PRECISION CASTPARTS CORP    EQUITY       740189105   14090       95,217   SH          SOLE    1        95,217         --        --
PRECISION CASTPARTS CORP    EQUITY       740189105    1491       10,074   SH          SOLE    2        10,074         --        --
PRECISION CASTPARTS CORP
    EQUITY                  EQUITY       740189105     223     1,510.00   SH        DEFINED   4            --         --     1,510
PRECISION DRILLING TRUST    EQUITY       740215108      32        1,655   SH         OTHER    1            --      1,655        --
PREFERRED BANK/LOS ANGELES  EQUITY       740367107     317        8,056   SH          SOLE    1         8,056         --        --
PREFORMED LINE PRODUCTS CO  EQUITY       740444104     112        2,147   SH          SOLE    1         2,147         --        --
PREMIER EXHIBITIONS INC     EQUITY       74051E102     385       25,524   SH          SOLE    1        25,524         --        --
PREMIERE GLOBAL
    SERVICES INC            EQUITY       740585104     773       61,109   SH          SOLE    1        61,109         --        --
PREPAID LEGAL SERVICES INC  EQUITY       740065107     499        8,989   SH          SOLE    1         8,989         --        --
PRESIDENTIAL LIFE           EQUITY       740884101     366       21,587   SH          SOLE    1        21,587         --        --
PRESTIGE BRANDS
    HOLDINGS INC            EQUITY       74112D101     324       29,476   SH          SOLE    1        29,476         --        --
PRICE T ROWE GROUP INC
    EQUITY                  EQUITY       74144T108      11       200.00   SH        DEFINED   4            --         --       200
PRICELINE EQUITY INC
    EQUITY NEW              EQUITY       741503403      51       580.00   SH        DEFINED   4            --         --       580
PRICELINE.COM INC           EQUITY       741503403    2929       33,006   SH          SOLE    1        33,006         --        --





                                                                                        
PRICELINE.COM INC           EQUITY       741503403     621        7,000   SH          SOLE    2         7,000         --        --
PRICESMART INC              EQUITY       741511109     275       11,644   SH          SOLE    1        11,644         --        --
PRIDE INTERNATIONAL INC     EQUITY       74153Q102   15184      415,427   SH          SOLE    1       415,427         --        --
PRIDE INTL INC DEL EQUITY   EQUITY       74153Q102     448    12,244.00   SH        DEFINED   4            --         --    12,244
PRIMEDIA INC                EQUITY       74157K846     540       38,446   SH          SOLE    1        38,446         --        --
PRIMEWEST ENERGY TR TR
    UNIT NEW                EQUITY       741930309     246     9,266.00   SH        DEFINED   4            --         --     9,266
PRIMEWEST ENERGY TRUST      EQUITY       741930309      60        2,957   SH         OTHER    1            --      2,957        --
PRINCIPAL FINANCIAL GROUP   EQUITY       74251V102   26749      426,426   SH          SOLE    1       426,426         --        --
PRINCIPAL FINANCIAL GROUP   EQUITY       74251V102      21          335   SH          SOLE    2           335         --        --
PRINCIPAL FINANCIAL GROUP
    IN EQUITY               EQUITY       74251V102     319     5,055.00   SH        DEFINED   4            --         --     5,055
PRIVATEBANCORP INC          EQUITY       742962103     655       18,789   SH          SOLE    1        18,789         --        --
PROASSURANCE CORP           EQUITY       74267C106    1791       33,241   SH          SOLE    1        33,241         --        --
PROCTER & GAMBLE CO         EQUITY       742718109  137077    1,949,380   SH          SOLE    1     1,949,380         --        --
PROCTER & GAMBLE CO         EQUITY       742718109   28687      407,835   SH          SOLE    2       407,835         --        --
PROCTER & GAMBLE CO CALL    OPTION       742718909      -1        (5.00)     C      DEFINED   4            --         --        (5)
PROCTER & GAMBLE CO EQUITY  EQUITY       742718109   20064   285,250.07   SH        DEFINED   4            --         --   285,250
PROGENICS PHARMACEUTICALS   EQUITY       743187106     446       20,187   SH          SOLE    1        20,187         --        --
PROGRESS ENERGY INC         EQUITY       743263105   12481      266,413   SH          SOLE    1       266,413         --        --
PROGRESS ENERGY INC         EQUITY       743263105     348        7,426   SH          SOLE    2         7,426         --        --
PROGRESS ENERGY INC EQUITY  EQUITY       743263105      23       499.00   SH        DEFINED   4            --         --       499
PROGRESS SOFTWARE CORP      EQUITY       743312100    1241       40,973   SH          SOLE    1        40,973         --        --
PROGRESS SOFTWARE CORP      EQUITY       743312100     630       20,800   SH          SOLE    2        20,800         --        --
PROGRESSIVE CORP            EQUITY       743315103    5969      307,545   SH          SOLE    1       307,545         --        --
PROGRESSIVE CORP            EQUITY       743315103      18          913   SH          SOLE    2           913         --        --
PROGRESSIVE CORP OHIO
    EQUITY                  EQUITY       743315103     242    12,473.31   SH        DEFINED   4            --         --    12,473
PROLOGIS                    EQUITY       743410102   18271      275,366   SH          SOLE    1       275,366         --        --
PROLOGIS                    EQUITY       743410102      21          324   SH          SOLE    2           324         --        --
PROLOGIS SH BEN INT         EQUITY       743410102      26       390.00   SH        DEFINED   4            --         --       390
PROS HOLDINGS INC           EQUITY       74346Y103    1293      107,100   SH          SOLE    3       107,100         --        --
PROSHARES TR REAL EST PRO   EQUITY       74347R552     592     6,642.00   SH        DEFINED   4            --         --     6,642
PROSHARES TR SHRT SMLCAP600 EQUITY       74347R784     894    13,460.00   SH        DEFINED   4            --         --    13,460
PROSHARES TR ULTRA DOW 30   EQUITY       74347R305      59       600.00   SH        DEFINED   4            --         --       600
PROSHARES TR ULTRA FINL PRO EQUITY       74347R743     115     2,000.00   SH        DEFINED   4            --         --     2,000
PROSHARES TR ULTRA O&G PRO  EQUITY       74347R719      78       700.00   SH        DEFINED   4            --         --       700
PROSHARES TR ULTRA RUSS2000 EQUITY       74347R842      21       300.00   SH        DEFINED   4            --         --       300
PROSHARES TR ULTRA S&P 500  EQUITY       74347R107      93       975.00   SH        DEFINED   4            --         --       975
PROSHARES TR ULTRA SMCAP600 EQUITY       74347R818      52       700.00   SH        DEFINED   4            --         --       700
PROSHARES TR ULTRA TECH PRO EQUITY       74347R693      77       900.00   SH        DEFINED   4            --         --       900
PROSHARES TR ULTRASHORT QQQ EQUITY       74347R875     189     4,886.00   SH        DEFINED   4            --         --     4,886
PROSHARES TR ULTRASHRT FINL EQUITY       74347R628     602     7,625.00   SH        DEFINED   4            --         --     7,625
PROSHARES TR ULTRASHT SP500 EQUITY       74347R883     729    14,389.00   SH        DEFINED   4            --         --    14,389
PROSHARES TR ULTSHR RU20000 EQUITY       74347R834     543     8,246.00   SH        DEFINED   4            --         --     8,246
PROSPECT CAPITAL CORP       EQUITY       74348T102     294       17,292   SH          SOLE    1        17,292         --        --
PROSPECT CAPITAL
    CORPORATION EQUITY      EQUITY       74348T102     214    12,078.00   SH        DEFINED   4            --         --    12,078
PROSPERITY BANCSHARES INC   EQUITY       743606105    1185       35,745   SH          SOLE    1        35,745         --        --
PROTALIX
    BIOTHERAPEUTICS INC     EQUITY       74365A101     941       27,217   SH          SOLE    1        27,217         --        --
PROTECTION ONE INC          EQUITY       743663403      76        5,657   SH          SOLE    1         5,657         --        --
PROTECTIVE LIFE CORP        EQUITY       743674103    7458      175,740   SH          SOLE    1       175,740         --        --
PROTECTIVE LIFE CORP EQUITY EQUITY       743674103       1        32.00   SH        DEFINED   4            --         --        32
PROVIDENCE SERVICE CORP     EQUITY       743815102     297       10,117   SH          SOLE    1        10,117         --        --
PROVIDENT BANKSHARES CORP   EQUITY       743859100    1164       37,147   SH          SOLE    1        37,147         --        --
PROVIDENT ENERGY TR TR UNIT EQUITY       74386K104     685    53,348.00   SH        DEFINED   4            --         --    53,348
PROVIDENT ENERGY TRUST-UTS  EQUITY       74386K104      51        4,194   SH         OTHER    1            --      4,194        --
PROVIDENT FINANCIAL
    SERVICES                EQUITY       74386T105     940       57,444   SH          SOLE    1        57,444         --        --
PROVIDENT NEW YORK BANCORP  EQUITY       744028101     483       36,869   SH          SOLE    1        36,869         --        --
PRUDENTIAL FINANCIAL INC    EQUITY       744320102   19283      197,609   SH          SOLE    1       197,609         --        --
PRUDENTIAL FINANCIAL INC    EQUITY       744320102      56          579   SH          SOLE    2           579         --        --
PRUDENTIAL FINL INC EQUITY  EQUITY       744320102     273     2,795.00   SH        DEFINED   4            --         --     2,795
PRUDENTIAL PLC 6.75%
    SUB REG S               EQUITY       G7293H114      14       600.00   SH        DEFINED   4            --         --       600
PRUDENTIAL PLC ADR          EQUITY       74435K204      14       463.00   SH        DEFINED   4            --         --       463
PS BUSINESS PARKS INC/CA    EQUITY       69360J107    2180       38,338   SH          SOLE    1        38,338         --        --
PS BUSINESS PKS INC
    CALIF EQUITY            EQUITY       69360J107       2        35.00   SH        DEFINED   4            --         --        35
PSS WORLD MEDICAL INC       EQUITY       69366A100    1282       67,001   SH          SOLE    1        67,001         --        --
PSYCHIATRIC SOLUTIONS INC   EQUITY       74439H108    7121      181,289   SH          SOLE    1       181,289         --        --
PSYCHIATRIC SOLUTIONS INC   EQUITY       74439H108   38612      983,000   SH          SOLE    2       983,000         --        --
PUBLIC SERVICE
    ENTERPRISE GP           EQUITY       744573106    9585      108,938   SH          SOLE    1       108,938         --        --
PUBLIC SERVICE
    ENTERPRISE GP           EQUITY       744573106      28          321   SH          SOLE    2           321         --        --
PUBLIC STORAGE              EQUITY       74460D109    4539       57,710   SH          SOLE    1        57,710         --        --
PUBLIC STORAGE              EQUITY       74460D109    4023       51,157   SH          SOLE    2        51,157         --        --
PUBLIC STORAGE EQUITY       EQUITY       74460D109     133     1,687.74   SH        DEFINED   4            --         --     1,688





                                                                                        
PUBLIC STORAGE EQUITY
    A DP1/1000              EQUITY       74460D729       3       112.00   SH        DEFINED   4            --         --       112
PUBLIC SVC ENTERPRISE
    GROUP EQUITY            EQUITY       744573106     216     2,451.71   SH        DEFINED   4            --         --     2,452
PUGET ENERGY INC            EQUITY       745310102   23560      962,792   SH          SOLE    1       962,792         --        --
PUGET ENERGY INC NEW EQUITY EQUITY       745310102      16       669.00   SH        DEFINED   4            --         --       669
PULTE HOMES INC             EQUITY       745867101    1398      102,707   SH          SOLE    1       102,707         --        --
PULTE HOMES INC             EQUITY       745867101       4          268   SH          SOLE    2           268         --        --
PULTE HOMES INC EQUITY      EQUITY       745867101       3       200.00   SH        DEFINED   4            --         --       200
PUTMAN HIGH INEQUITYE SEC
    FUND SHS BEN INT        EQUITY       746779107      34     4,000.00   SH        DEFINED   4            --         --     4,000
PUTNAM INVT GRADE MUN TR
    EQUITY                  EQUITY       746805100      15     1,549.00   SH        DEFINED   4            --         --     1,549
PUTNAM MASTER INTER
    INEQUITYE T SH BEN INT  EQUITY       746909100      10     1,566.00   SH        DEFINED   4            --         --     1,566
PUTNAM PREMIER INEQUITYE
    TR SH BEN INT           EQUITY       746853100      20     3,100.00   SH        DEFINED   4            --         --     3,100
QAD INC                     EQUITY       74727D108     109       12,568   SH          SOLE    1        12,568         --        --
QC HOLDINGS INC             EQUITY       74729T101     101        6,966   SH          SOLE    1         6,966         --        --
QIAO XING UNIVERSAL
    TELEPHON ORD            EQUITY       G7303A109       1        70.00   SH        DEFINED   4            --         --        70
QLOGIC CORP                 EQUITY       747277101     929       69,071   SH          SOLE    1        69,071         --        --
QLOGIC CORP                 EQUITY       747277101       2          185   SH          SOLE    2           185         --        --
QLOGIC CORP EQUITY          EQUITY       747277101      16     1,192.00   SH        DEFINED   4            --         --     1,192
QLT INC                     EQUITY       746927102       1          110   SH          SOLE    1           110         --        --
QUADRA REALTY TRUST INC     EQUITY       746945104     138       14,508   SH          SOLE    1        14,508         --        --
QUADRA REALTY TRUST INC
    EQUITY                  EQUITY       746945104       5       500.00   SH        DEFINED   4            --         --       500
QUAKER CHEMICAL CORP        EQUITY       747316107      30        1,272   SH          SOLE    1         1,272         --        --
QUALCOMM INC                EQUITY       747525103   63198    1,495,445   SH          SOLE    1     1,495,445         --        --
QUALCOMM INC                EQUITY       747525103   10084      238,611   SH          SOLE    2       238,611         --        --
QUALEQUITYM INC EQUITY      EQUITY       747525103     522    12,356.83   SH        DEFINED   4            --         --    12,357
QUALITY SYS INC EQUITY      EQUITY       747582104       4        97.00   SH        DEFINED   4            --         --        97
QUALITY SYSTEMS INC         EQUITY       747582104     624       17,040   SH          SOLE    1        17,040         --        --
QUANEX CORP                 EQUITY       747620102    1738       36,994   SH          SOLE    1        36,994         --        --
QUANEX CORP EQUITY          EQUITY       747620102     146       100.00   SH        DEFINED   4            --         --       100
QUANTA SERVICES INC         EQUITY       74762E102   12218      461,911   SH          SOLE    1       461,911         --        --
QUANTA SVCS INC EQUITY      EQUITY       74762E102      95     3,580.00   SH        DEFINED   4            --         --     3,580
QUANTUM CORP                EQUITY       747906204     581      170,899   SH          SOLE    1       170,899         --        --
QUEBECOR WORLD INC          EQUITY       748203106      22        2,392   SH         OTHER    1            --      2,392        --
QUEST DIAGNOSTICS           EQUITY       74834L100    4018       69,554   SH          SOLE    1        69,554         --        --
QUEST DIAGNOSTICS           EQUITY       74834L100     312        5,397   SH          SOLE    2         5,397         --        --
QUEST DIAGNOSTICS INC
    EQUITY                  EQUITY       74834L100     103     1,785.00   SH        DEFINED   4            --         --     1,785
QUEST SOFTWARE INC          EQUITY       74834T103    1020       59,430   SH          SOLE    1        59,430         --        --
QUESTAR CORP                EQUITY       748356102    5573      106,091   SH          SOLE    1       106,091         --        --
QUESTAR CORP                EQUITY       748356102      11          218   SH          SOLE    2           218         --        --
QUESTAR CORP EQUITY         EQUITY       748356102     103     1,956.00   SH        DEFINED   4            --         --     1,956
QUICKSILVER RESOURCES INC   EQUITY       74837R104    5930      126,027   SH          SOLE    1       126,027         --        --
QUICKSILVER RESOURCES INC   EQUITY       74837R104    4192       89,100   SH          SOLE    3        20,700         --    68,400
QUIDEL CORP                 EQUITY       74838J101     490       25,045   SH          SOLE    1        25,045         --        --
QUIKSILVER INC              EQUITY       74838C106    1770      123,762   SH          SOLE    1       123,762         --        --
QWEST COMMUNICATIONS INTL   EQUITY       749121109    9997    1,091,347   SH          SOLE    1     1,091,347         --        --
QWEST COMMUNICATIONS INTL   EQUITY       749121109      18        2,014   SH          SOLE    2         2,014         --        --
QWEST EQUITYMUNICATIONS
    INTL IN EQUITY          EQUITY       749121109      41     4,431.00   SH        DEFINED   4            --         --     4,431
R.H. DONNELLEY CORP         EQUITY       74955W307     170        3,043   SH          SOLE    1         3,043         --        --
RACKABLE SYSTEMS INC        EQUITY       750077109     324       25,004   SH          SOLE    1        25,004         --        --
RADIAN GROUP INC            EQUITY       750236101    4739      203,552   SH          SOLE    1       203,552         --        --
RADIANT SYSTEMS INC         EQUITY       75025N102     415       26,233   SH          SOLE    1        26,233         --        --
RADIANT SYSTEMS INC EQUITY  EQUITY       75025N102       8       480.00   SH        DEFINED   4            --         --       480
RADIATION THERAPY SERVICES  EQUITY       750323206     235       11,290   SH          SOLE    1        11,290         --        --
RADIATION THERAPY SERVICES  EQUITY       750323206    1405       67,500   SH          SOLE    2        67,500         --        --
RADIO ONE INC -CL D         EQUITY       75040P405     286       76,744   SH          SOLE    1        76,744         --        --
RADIOSHACK CORP             EQUITY       750438103    5364      258,077   SH          SOLE    1       258,077         --        --
RADIOSHACK CORP             EQUITY       750438103       4          174   SH          SOLE    2           174         --        --
RADIOSHACK CORP EQUITY      EQUITY       750438103       1        72.00   SH        DEFINED   4            --         --        72
RADISYS CORP                EQUITY       750459109     272       21,869   SH          SOLE    1        21,869         --        --
RADYNE CORP                 EQUITY       750611402    3066      290,900   SH          SOLE    2       290,900         --        --
RAIT FINANCIAL TRUST        EQUITY       749227104     454       55,216   SH          SOLE    1        55,216         --        --
RAIT FINANCIAL TRUST EQUITY EQUITY       749227104       3       350.00   SH        DEFINED   4            --         --       350
RALCORP HOLDINGS INC        EQUITY       751028101    1497       26,813   SH          SOLE    1        26,813         --        --
RAMBUS INC                  EQUITY       750917106      22        1,148   SH          SOLE    1         1,148         --        --
RANDGOLD RES LTD ADR        EQUITY       752344309      76     2,300.00   SH        DEFINED   4            --         --     2,300
RANGE RESOURCES CORP        EQUITY       75281A109     128        3,144   SH          SOLE    1         3,144         --        --
RANGE RESOURCES CORP        EQUITY       75281A109    4839      119,000   SH          SOLE    3        40,000         --    79,000
RARE HOSPITALITY INTL INC   EQUITY       753820109    1168       30,637   SH          SOLE    1        30,637         --        --
RASER TECHNOLOGIES INC      EQUITY       754055101     348       27,033   SH          SOLE    1        27,033         --        --
RAVEN INDUSTRIES INC        EQUITY       754212108     559       13,954   SH          SOLE    1        13,954         --        --
RAYMOND JAMES FINANCIAL INC EQUITY       754730109    7734      235,434   SH          SOLE    1       235,434         --        --





                                                                                        
RAYONIER INC                EQUITY       754907103    5211      108,473   SH          SOLE    1       108,473         --        --
RAYONIER INC EQUITY         EQUITY       754907103     159     3,317.72   SH        DEFINED   4            --         --     3,318
RAYTHEON CO EQUITY NEW      EQUITY       755111507     836    13,098.55   SH        DEFINED   4            --         --    13,099
RAYTHEON COMPANY            EQUITY       755111507   29217      457,806   SH          SOLE    1       457,806         --        --
RAYTHEON COMPANY            EQUITY       755111507   36208      567,351   SH          SOLE    2       567,351         --        --
RAYTHEON COMPANY-CW11       EQUITY       755111119      14          513   SH          SOLE    1           513         --        --
RBC BEARINGS INC            EQUITY       75524B104    2060       53,710   SH          SOLE    1        53,710         --        --
RBC BEARINGS INC            EQUITY       75524B104    5250      136,900   SH          SOLE    3       120,300         --    16,600
RBC BEARINGS INC EQUITY     EQUITY       75524B104                12.00   SH        DEFINED   4            --         --        12
RC2 CORP                    EQUITY       749388104     586       21,145   SH          SOLE    1        21,145         --        --
RCN CORP                    EQUITY       749361200     343       27,876   SH          SOLE    1        27,876         --        --
REALNETWORKS INC            EQUITY       75605L104     604       89,082   SH          SOLE    1        89,082         --        --
REALTY INCOME CORP          EQUITY       756109104    2460       88,017   SH          SOLE    1        88,017         --        --
REALTY INEQUITYE CORP
    EQUITY                  EQUITY       756109104     209     7,469.00   SH        DEFINED   4            --         --     7,469
RED HAT INC                 EQUITY       756577102      30        1,512   SH          SOLE    1         1,512         --        --
RED HAT INC EQUITY          EQUITY       756577102       6       300.00   SH        DEFINED   4            --         --       300
RED ROBIN GOURMET BURGERS   EQUITY       75689M101     714       16,636   SH          SOLE    1        16,636         --        --
REDDY ICE HLDGS INC EQUITY  EQUITY       75734R105      31     1,179.00   SH        DEFINED   4            --         --     1,179
REDDY ICE HOLDINGS INC      EQUITY       75734R105    5725      217,114   SH          SOLE    1       217,114         --        --
REDWOOD TRUST INC           EQUITY       758075402     611       18,406   SH          SOLE    1        18,406         --        --
REGAL BELOIT CORP           EQUITY       758750103    1521       31,762   SH          SOLE    1        31,762         --        --
REGAL ENTERTAINMENT GROUP-A EQUITY       758766109   11190      509,804   SH          SOLE    1       509,804         --        --
REGENCY CENTERS CORP        EQUITY       758849103   13389      174,444   SH          SOLE    1       174,444         --        --
REGENCY CTRS CORP EQUITY    EQUITY       758849103      25       321.00   SH        DEFINED   4            --         --       321
REGENERATION TECHNOLOGIES   EQUITY       75886N100     278       25,897   SH          SOLE    1        25,897         --        --
REGENERON PHARMACEUTICALS   EQUITY       75886F107    1135       63,754   SH          SOLE    1        63,754         --        --
REGIONS FINANCIAL CORP      EQUITY       7591EP100   15224      516,421   SH          SOLE    1       516,421         --        --
REGIONS FINANCIAL CORP      EQUITY       7591EP100      26          888   SH          SOLE    2           888         --        --
REGIONS FINANCIAL CORP NEW
    EQUITY                  EQUITY       7591EP100     373    12,665.00   SH        DEFINED   4            --         --    12,665
REGIS CORP                  EQUITY       758932107    4709      147,579   SH          SOLE    1       147,579         --        --
REGIS CORP MINN EQUITY      EQUITY       758932107      14       436.00   SH        DEFINED   4            --         --       436
REHABCARE GROUP INC         EQUITY       759148109     307       17,430   SH          SOLE    1        17,430         --        --
REINSURANCE GROUP AMER INC
    EQUITY                  EQUITY       759351109       1        16.00   SH        DEFINED   4            --         --        16
REINSURANCE GROUP OF
    AMERICA                 EQUITY       759351109      63        1,107   SH          SOLE    1         1,107         --        --
RELIANCE STEEL & ALUMINUM   EQUITY       759509102    9378      165,865   SH          SOLE    1       165,865         --        --
RELIANCE STEEL & ALUMINUM
    CO EQUITY               EQUITY       759509102      65     1,154.00   SH        DEFINED   4            --         --     1,154
RELIANT ENERGY INC          EQUITY       75952B105     319       12,449   SH          SOLE    1        12,449         --        --
RELIANT ENERGY INC EQUITY   EQUITY       75952B105      11       421.00   SH        DEFINED   4            --         --       421
RENAISSANCE LEARNING INC    EQUITY       75968L105      91        7,504   SH          SOLE    1         7,504         --        --
RENAISSANCERE HOLDINGS LTD
    EQUITY                  EQUITY       G7496G103       1        17.00   SH        DEFINED   4            --         --        17
RENASANT CORP               EQUITY       75970E107     341       15,771   SH          SOLE    1        15,771         --        --
RENT-A-CENTER INC           EQUITY       76009N100    4206      231,972   SH          SOLE    1       231,972         --        --
RENTECH INC                 EQUITY       760112102     307      142,185   SH          SOLE    1       142,185         --        --
REPSOL YPF S A SPONSORED
    ADR                     EQUITY       76026T205      51     1,440.00   SH        DEFINED   4            --         --     1,440
REPUBLIC AIRWAYS
    HOLDINGS IN             EQUITY       760276105     672       31,733   SH          SOLE    1        31,733         --        --
REPUBLIC BANCORP INC-CL A   EQUITY       760281204     131        8,245   SH          SOLE    1         8,245         --        --
REPUBLIC PROPERTY TRUST     EQUITY       760737106    1534      104,589   SH          SOLE    1       104,589         --        --
REPUBLIC SERVICES INC       EQUITY       760759100   13988      427,631   SH          SOLE    1       427,631         --        --
REPUBLIC SVCS INC EQUITY    EQUITY       760759100       6       187.00   SH        DEFINED   4            --         --       187
RES-CARE INC                EQUITY       760943100     557       24,380   SH          SOLE    1        24,380         --        --
RESEARCH IN MOTION          EQUITY       760975102     954       10,488   SH         OTHER    1            --     10,488        --
RESEARCH IN MOTION          EQUITY       760975102    3252       33,000   SH          SOLE    2        33,000         --        --
RESEARCH IN MOTION LTD
    EQUITY                  EQUITY       760975102    1706    17,307.00   SH        DEFINED   4            --         --    17,307
RESMED INC                  EQUITY       761152107    8245      192,327   SH          SOLE    1       192,327         --        --
RESOURCE AMERICA INC-CL A   EQUITY       761195205     181       11,491   SH          SOLE    1        11,491         --        --
RESOURCE CAPITAL CORP       EQUITY       76120W302     216       19,156   SH          SOLE    1        19,156         --        --
RESOURCES CONNECTION INC    EQUITY       76122Q105     988       42,696   SH          SOLE    1        42,696         --        --
RESPIRONICS INC             EQUITY       761230101    2175       45,275   SH          SOLE    1        45,275         --        --
RESPIRONICS INC EQUITY      EQUITY       761230101       3        59.00   SH        DEFINED   4            --         --        59
RETAIL VENTURES INC         EQUITY       76128Y102     250       24,053   SH          SOLE    1        24,053         --        --
REUTERS GROUP PLC SPONSORED
    ADR                     EQUITY       76132M102      16       196.00   SH        DEFINED   4            --         --       196
REVLON INC CL A             EQUITY       761525500       1       500.00   SH        DEFINED   4            --         --       500
REVLON INC-CLASS A          EQUITY       761525500     197      171,072   SH          SOLE    1       171,072         --        --
REWARDS NETWORK INC         EQUITY       761557107      16        3,379   SH          SOLE    1         3,379         --        --
REYNOLDS AMERICAN INC       EQUITY       761713106   48811      767,590   SH          SOLE    1       767,590         --        --
REYNOLDS AMERICAN INC       EQUITY       761713106    5241       82,416   SH          SOLE    2        82,416         --        --
REYNOLDS AMERICAN INC
    EQUITY                  EQUITY       761713106      59       932.00   SH        DEFINED   4            --         --       932
RF MICRO DEVICES INC        EQUITY       749941100    1260      187,157   SH          SOLE    1       187,157         --        --
RF MICRODEVICES INC EQUITY  EQUITY       749941100       6       956.00   SH        DEFINED   4            --         --       956
RF MONOLITHICS INC          EQUITY       74955F106      30        4,973   SH          SOLE    1         4,973         --        --





                                                                                        
RIGEL PHARMACEUTICALS INC   EQUITY       766559603     248       26,274   SH          SOLE    1        26,274         --        --
RIGHTNOW TECHNOLOGIES INC   EQUITY       76657R106     253       15,712   SH          SOLE    1        15,712         --        --
RIMAGE CORP                 EQUITY       766721104     197        8,785   SH          SOLE    1         8,785         --        --
RIO TINTO PLC SPONSORED ADR EQUITY       767204100    5793    16,869.00   SH        DEFINED   4            --         --    16,869
RITCHIE BROS AUCTIONEERS
    EQUITY                  EQUITY       767744105      78     1,200.00   SH        DEFINED   4            --         --     1,200
RITCHIE BROS. AUCTIONEERS   EQUITY       767744105      36          552   SH         OTHER    1            --        552        --
RITE AID CORP               EQUITY       767754104     104       22,591   SH          SOLE    1        22,591         --        --
RITE AID CORP EQUITY        EQUITY       767754104      30     6,445.00   SH        DEFINED   4            --         --     6,445
RIVERBED TECHNOLOGY INC     EQUITY       768573107     525       13,000   SH          SOLE    2        13,000         --        --
RIVIERA HOLDINGS CORP       EQUITY       769627100     248        8,845   SH          SOLE    1         8,845         --        --
RLI CORP                    EQUITY       749607107    1182       20,838   SH          SOLE    1        20,838         --        --
RLI CORP EQUITY             EQUITY       749607107       3        50.00   SH        DEFINED   4            --         --        50
RMK ADVANTAGE INEQUITYE FD
    INC EQUITY              EQUITY       74963L103     181    20,810.00   SH        DEFINED   4            --         --    20,810
RMK STRATEGIC INEQUITYE FD
    INC EQUITY              EQUITY       74963H102      10     1,250.00   SH        DEFINED   4            --         --     1,250
RMR ASIA REAL ESTATE FUND
    EQUITY BENE INTER       EQUITY       74964Q101       8       500.00   SH        DEFINED   4            --         --       500
RMR F I R E FD EQUITY       EQUITY       74963M101       9       500.00   SH        DEFINED   4            --         --       500
RMR HOSPITALITY REAL ESTATE
    EQUITY                  EQUITY       74963J108      37     2,000.00   SH        DEFINED   4            --         --     2,000
RMR REAL ESTATE FD SH BEN
    INT                     EQUITY       74963F106       7       500.00   SH        DEFINED   4            --         --       500
ROBBINS & MYERS INC         EQUITY       770196103     826       14,426   SH          SOLE    1        14,426         --        --
ROBBINS & MYERS INC EQUITY  EQUITY       770196103       1        16.00   SH        DEFINED   4            --         --        16
ROBERT HALF INTL INC        EQUITY       770323103    2214       74,158   SH          SOLE    1        74,158         --        --
ROBERT HALF INTL INC        EQUITY       770323103       6          207   SH          SOLE    2           207         --        --
ROBERT HALF INTL INC EQUITY EQUITY       770323103                11.00   SH        DEFINED   4            --         --        11
ROCHESTER MED CORP EQUITY   EQUITY       771497104      19     1,031.00   SH        DEFINED   4            --         --     1,031
ROCK-TENN CO CL A           EQUITY       772739207       1        35.00   SH        DEFINED   4            --         --        35
ROCK-TENN COMPANY -CL A     EQUITY       772739207    1012       35,022   SH          SOLE    1        35,022         --        --
ROCKVILLE FINANCIAL INC     EQUITY       774186100     110        7,732   SH          SOLE    1         7,732         --        --
ROCKWELL AUTOMATION INC     EQUITY       773903109    4781       68,783   SH          SOLE    1        68,783         --        --
ROCKWELL AUTOMATION INC     EQUITY       773903109      13          192   SH          SOLE    2           192         --        --
ROCKWELL AUTOMATION INC
    EQUITY                  EQUITY       773903109      21       300.00   SH        DEFINED   4            --         --       300
ROCKWELL COLLINS INC EQUITY EQUITY       774341101      54       740.00   SH        DEFINED   4            --         --       740
ROCKWELL COLLINS INC.       EQUITY       774341101   11274      154,350   SH          SOLE    1       154,350         --        --
ROCKWELL COLLINS INC.       EQUITY       774341101     643        8,810   SH          SOLE    2         8,810         --        --
ROCKWOOD HOLDINGS INC       EQUITY       774415103    1094       30,531   SH          SOLE    1        30,531         --        --
ROFIN SINAR TECHNOLOGIES
    INC EQUITY              EQUITY       775043102       4        62.00   SH        DEFINED   4            --         --        62
ROFIN-SINAR TECHNOLOGIES
    INC                     EQUITY       775043102     951       13,540   SH          SOLE    1        13,540         --        --
ROGERS COMMUNICATIONS -CL B EQUITY       775109200   12292      269,738   SH         OTHER    1            --    269,738        --
ROGERS CORP                 EQUITY       775133101     727       17,638   SH          SOLE    1        17,638         --        --
ROGERS EQUITYMUNICATIONS
    INC CL B                EQUITY       775109200      23       500.00   SH        DEFINED   4            --         --       500
ROHM & HAAS CO EQUITY       EQUITY       775371107       2        27.00   SH        DEFINED   4            --         --        27
ROHM AND HAAS CO            EQUITY       775371107    3527       63,361   SH          SOLE    1        63,361         --        --
ROHM AND HAAS CO            EQUITY       775371107    3135       56,315   SH          SOLE    2        56,315         --        --
ROLLINS INC                 EQUITY       775711104    2541       95,188   SH          SOLE    1        95,188         --        --
ROMA FINANCIAL CORP         EQUITY       77581P109     151        8,825   SH          SOLE    1         8,825         --        --
ROPER INDUSTRIES INC        EQUITY       776696106   14416      220,088   SH          SOLE    1       220,088         --        --
ROPER INDUSTRIES INC        EQUITY       776696106    1015       15,500   SH          SOLE    2        15,500         --        --
ROSETTA RESOURCES INC       EQUITY       777779307     811       44,234   SH          SOLE    1        44,234         --        --
ROSS STORES INC             EQUITY       778296103    8951      349,119   SH          SOLE    1       349,119         --        --
ROWAN COMPANIES INC         EQUITY       779382100    1844       50,399   SH          SOLE    1        50,399         --        --
ROWAN COMPANIES INC         EQUITY       779382100       5          139   SH          SOLE    2           139         --        --
ROWAN COS INC EQUITY        EQUITY       779382100       9       255.00   SH        DEFINED   4            --         --       255
ROYAL BANCSHARES OF PENN-A  EQUITY       780081105     103        4,705   SH          SOLE    1         4,705         --        --
ROYAL BANK OF CANADA        EQUITY       780087102   17935      324,701   SH         OTHER    1            --    324,701        --
ROYAL BK CDA MONTREAL
    QUE EQUITY              EQUITY       780087102      31       568.00   SH        DEFINED   4            --         --       568
ROYAL BK SCOTLAND GROUP
    PLC SP ADR L RP PF      EQUITY       780097788      13       625.00   SH        DEFINED   4            --         --       625
ROYAL BK SCOTLAND GROUP
    PLC SPON ADR F          EQUITY       780097804       3       100.00   SH        DEFINED   4            --         --       100
ROYAL BK SCOTLND GRP PLC    FIXED INCOME 780097754     603       25,000  PRN          SOLE    1        25,000         --        --
ROYAL BK SCOTLND GRP PLC    FIXED INCOME 780097770    1235       55,000  PRN          SOLE    1        55,000         --        --
ROYAL BK SCOTLND GRP PLC    FIXED INCOME 780097804    2299       90,000  PRN          SOLE    1        90,000         --        --
ROYAL BK SCOTLND GRP PLC    FIXED INCOME 780097747    2325      106,900  PRN          SOLE    1       106,900         --        --
ROYAL DUTCH SHELL PLC
    SPONS ADR A             EQUITY       780259206     356     4,337.00   SH        DEFINED   4            --         --     4,337
ROYAL GOLD INC              EQUITY       780287108     691       21,095   SH          SOLE    1        21,095         --        --
ROYALE ENERGY INC EQUITY
    NEW                     EQUITY       78074G200               100.00   SH        DEFINED   4            --         --       100
ROYCE MICRO-CAP TR INC
    EQUITY                  EQUITY       780915104      49     3,714.00   SH        DEFINED   4            --         --     3,714
ROYCE VALUE TR INC EQUITY   EQUITY       780910105     110     5,677.00   SH        DEFINED   4            --         --     5,677
RPC INC                     EQUITY       749660106     398       28,017   SH          SOLE    1        28,017         --        --
RPC INC EQUITY              EQUITY       749660106      21     1,450.00   SH        DEFINED   4            --         --     1,450
RPM INTERNATIONAL INC       EQUITY       749685103    7232      301,947   SH          SOLE    1       301,947         --        --
RPM INTL INC EQUITY         EQUITY       749685103      44     1,825.00   SH        DEFINED   4            --         --     1,825
RR DONNELLEY & SONS CO      EQUITY       257867101    3833      104,835   SH          SOLE    1       104,835         --        --





                                                                                        
RR DONNELLEY & SONS CO      EQUITY       257867101      10          280   SH          SOLE    2           280         --        --
RSC HOLDINGS INC            EQUITY       74972L102     297       18,120   SH          SOLE    1        18,120         --        --
RSC HOLDINGS INC            EQUITY       74972L102    4699      286,500   SH          SOLE    2       286,500         --        --
RTI INTERNATIONAL METALS
    INC                     EQUITY       74973W107    1823       22,996   SH          SOLE    1        22,996         --        --
RTI INTL METALS INC EQUITY  EQUITY       74973W107      32       400.00   SH        DEFINED   4            --         --       400
RUBY TUESDAY INC            EQUITY       781182100    3208      174,907   SH          SOLE    1       174,907         --        --
RUDDICK CORP                EQUITY       781258108    4259      126,995   SH          SOLE    1       126,995         --        --
RUDOLPH TECHNOLOGIES INC    EQUITY       781270103     402       29,082   SH          SOLE    1        29,082         --        --
RURAL CELLULAR CORP-CL A    EQUITY       781904107     463       10,641   SH          SOLE    1        10,641         --        --
RUSH ENTERPRISES INC-CL A   EQUITY       781846209     488       19,245   SH          SOLE    1        19,245         --        --
RUSS BERRIE & CO INC        EQUITY       782233100     278       16,566   SH          SOLE    1        16,566         --        --
RUTH'S CHRIS STEAK HOUSE    EQUITY       783332109     270       18,931   SH          SOLE    1        18,931         --        --
RYANAIR HOLDINGS PLC-SP ADR EQUITY       783513104     504       12,150   SH          SOLE    1        12,150         --        --
RYDER SYSTEM INC            EQUITY       783549108    1376       28,088   SH          SOLE    1        28,088         --        --
RYDER SYSTEM INC            EQUITY       783549108       4           75   SH          SOLE    2            75         --        --
RYDEX ETF TRUST S&P 500 EQ
    TRD                     EQUITY       78355W106    1494    29,883.00   SH        DEFINED   4            --         --    29,883
RYDEX ETF TRUST TOP 50 ETF  EQUITY       78355W205     265     2,307.00   SH        DEFINED   4            --         --     2,307
RYERSON INC                 EQUITY       78375P107     892       26,446   SH          SOLE    1        26,446         --        --
RYERSON INC EQUITY          EQUITY       78375P107      34       998.00   SH        DEFINED   4            --         --       998
RYLAND GROUP INC            EQUITY       783764103    2279      106,342   SH          SOLE    1       106,342         --        --
S & T BANCORP INC           EQUITY       783859101     693       21,610   SH          SOLE    1        21,610         --        --
S & T BANCORP INC EQUITY    EQUITY       783859101      26       800.00   SH        DEFINED   4            --         --       800
S.Y. BANCORP INC            EQUITY       785060104     291       10,745   SH          SOLE    1        10,745         --        --
S1 CORPORATION              EQUITY       78463B101     433       47,880   SH          SOLE    1        47,880         --        --
SABINE ROYALTY TR UNIT BEN
    INT                     EQUITY       785688102     217     4,793.00   SH        DEFINED   4            --         --     4,793
SAFECO CORP                 EQUITY       786429100    4524       73,904   SH          SOLE    1        73,904         --        --
SAFECO CORP                 EQUITY       786429100       8          131   SH          SOLE    2           131         --        --
SAFEGUARD SCIENTIFICS INC   EQUITY       786449108     241      105,180   SH          SOLE    1       105,180         --        --
SAFEGUARD SCIENTIFICS INC
    EQUITY                  EQUITY       786449108       1       570.00   SH        DEFINED   4            --         --       570
SAFETY INS GROUP INC EQUITY EQUITY       78648T100      23       640.00   SH        DEFINED   4            --         --       640
SAFETY INSURANCE GROUP INC  EQUITY       78648T100     581       16,156   SH          SOLE    1        16,156         --        --
SAFEWAY INC                 EQUITY       786514208   23117      697,495   SH          SOLE    1       697,495         --        --
SAFEWAY INC                 EQUITY       786514208      18          554   SH          SOLE    2           554         --        --
SAFEWAY INC EQUITY NEW      EQUITY       786514208      12       365.00   SH        DEFINED   4            --         --       365
SAIA INC                    EQUITY       78709Y105     205       12,402   SH          SOLE    1        12,402         --        --
SAIC INC                    EQUITY       78390X101    1895       98,767   SH          SOLE    1        98,767         --        --
SAIC INC EQUITY             EQUITY       78390X101      10       500.00   SH        DEFINED   4            --         --       500
SAKS INC                    EQUITY       79377W108    6168      359,627   SH          SOLE    1       359,627         --        --
SAKS INC EQUITY             EQUITY       79377W108       6       350.00   SH        DEFINED   4            --         --       350
SALARY.COM INC              EQUITY       794006106     662       56,538   SH          SOLE    1        56,538         --        --
SALEM COMMUNICATIONS -CL A  EQUITY       794093104      64        7,956   SH          SOLE    1         7,956         --        --
SALESFORCE.COM INC          EQUITY       79466L302      63        1,234   SH          SOLE    1         1,234         --        --
SALIX PHARMACEUTICALS INC
    EQUITY                  EQUITY       795435106       1        86.00   SH        DEFINED   4            --         --        86
SALIX PHARMACEUTICALS LTD   EQUITY       795435106     511       41,131   SH          SOLE    1        41,131         --        --
SALLY BEAUTY HLDGS INC
    EQUITY                  EQUITY       79546E104      20     2,400.00   SH        DEFINED   4            --         --     2,400
SALLY BEAUTY HOLDINGS INC   EQUITY       79546E104     689       81,560   SH          SOLE    1        81,560         --        --
SAN JUAN BASIN RTY TR UNIT
    BEN INT                 EQUITY       798241105     258     7,631.00   SH        DEFINED   4            --         --     7,631
SANDERS MORRIS HARRIS GRP
    IN                      EQUITY       80000Q104     164       16,176   SH          SOLE    1        16,176         --        --
SANDERSON FARMS INC         EQUITY       800013104     695       16,667   SH          SOLE    1        16,667         --        --
SANDISK CORP                EQUITY       80004C101    7345      133,306   SH          SOLE    1       133,306         --        --
SANDISK CORP                EQUITY       80004C101      16          287   SH          SOLE    2           287         --        --
SANDISK CORP EQUITY         EQUITY       80004C101     155     2,817.00   SH        DEFINED   4            --         --     2,817
SANDISK CORP PUT            OPTION       80004C951    -- 2       (15.00)     P      DEFINED   4            --         --       (15)
SANDY SPRING BANCORP INC    EQUITY       800363103     412       13,686   SH          SOLE    1        13,686         --        --
SANGAMO BIOSCIENCES INC     EQUITY       800677106    1270       90,000   SH          SOLE    2        90,000         --        --
SANGAMO BIOSCIENCES INC
    EQUITY                  EQUITY       800677106      34     2,400.00   SH        DEFINED   4            --         --     2,400
SANMINA-SCI CORP            EQUITY       800907107      61       28,869   SH          SOLE    1        28,869         --        --
SANOFI AVENTIS SPONSORED
    ADR                     EQUITY       80105N105       1        30.00   SH        DEFINED   4            --         --        30
SANTA FE ENERGY TR RCPT DEP
    UNITS                   EQUITY       802013102       1        50.00   SH        DEFINED   4            --         --        50
SANTANDER BANCORP           EQUITY       802809103      49        3,798   SH          SOLE    1         3,798         --        --
SANTARUS INC                EQUITY       802817304     117       44,070   SH          SOLE    1        44,070         --        --
SANTARUS INC EQUITY         EQUITY       802817304       1       310.00   SH        DEFINED   4            --         --       310
SAP AKTIENGESELLSCHAFT
    SPONSORED ADR           EQUITY       803054204       3        43.00   SH        DEFINED   4            --         --        43
SAPIENT CORPORATION         EQUITY       803062108     477       71,124   SH          SOLE    1        71,124         --        --
SARA LEE CORP               EQUITY       803111103    5729      343,231   SH          SOLE    1       343,231         --        --
SARA LEE CORP               EQUITY       803111103      15          914   SH          SOLE    2           914         --        --
SARA LEE CORP CALL          OPTION       803111903                (3.00)     C      DEFINED   4            --         --        (3)
SARA LEE CORP EQUITY        EQUITY       803111103     175    10,495.55   SH        DEFINED   4            --         --    10,496
SASOL LTD SPONSORED ADR     EQUITY       803866300       5       109.00   SH        DEFINED   4            --         --       109
SATCON TECHNOLOGY CORP
    EQUITY                  EQUITY       803893106       1     1,000.00   SH        DEFINED   4            --         --     1,000





                                                                                        
SATYAM EQUITYPUTER SERVICES
    LTD ADR                 EQUITY       804098101      61     2,337.00   SH        DEFINED   4            --         --     2,337
SAUER-DANFOSS INC           EQUITY       804137107     255        9,543   SH          SOLE    1         9,543         --        --
SAVIENT PHARMACEUTICALS INC EQUITY       80517Q100     754       51,801   SH          SOLE    1        51,801         --        --
SAVIENT PHARMACEUTICALS INC EQUITY       80517Q100     441       30,300   SH          SOLE    2        30,300         --        --
SAVVIS INC                  EQUITY       805423308     929       23,931   SH          SOLE    1        23,931         --        --
SBA COMMUNICATIONS CORP-
    CL A                    EQUITY       78388J106      30          841   SH          SOLE    1           841         --        --
SBA EQUITYMUNICATIONS CORP
    EQUITY                  EQUITY       78388J106      25       700.00   SH        DEFINED   4            --         --       700
SCANA CORP                  EQUITY       80589M102   11917      307,625   SH          SOLE    1       307,625         --        --
SCANA CORP NEW EQUITY       EQUITY       80589M102      40     1,039.63   SH        DEFINED   4            --         --     1,040
SCANSOURCE INC              EQUITY       806037107     722       25,696   SH          SOLE    1        25,696         --        --
SCBT FINANCIAL CORP         EQUITY       78401V102     277        8,032   SH          SOLE    1         8,032         --        --
SCHAWK INC                  EQUITY       806373106     289       12,803   SH          SOLE    1        12,803         --        --
SCHEIN HENRY INC EQUITY     EQUITY       806407102      68     1,116.00   SH        DEFINED   4            --         --     1,116
SCHERING PLOUGH CORP EQUITY EQUITY       806605101     183     5,779.00   SH        DEFINED   4            --         --     5,779
SCHERING-PLOUGH CORP        EQUITY       806605101   27022      854,308   SH          SOLE    1       854,308         --        --
SCHERING-PLOUGH CORP        EQUITY       806605101    6194      195,842   SH          SOLE    2       195,842         --        --
SCHLUMBERGER LTD            EQUITY       806857108   84723      806,883   SH          SOLE    1       806,883         --        --
SCHLUMBERGER LTD            EQUITY       806857108   16139      153,703   SH          SOLE    2       153,703         --        --
SCHLUMBERGER LTD CALL       OPTION       806857908      -1        (2.00)     C      DEFINED   4            --         --        (2)
SCHLUMBERGER LTD
    DBCV 1.500% 6/0         FIXED INCOME 806857AC2       9         3.00  PRN        DEFINED   4            --         --         3
SCHLUMBERGER LTD EQUITY     EQUITY       806857108     548     5,177.88   SH        DEFINED   4            --         --     5,178
SCHNITZER STEEL INDS INC-A  EQUITY       806882106    1396       19,054   SH          SOLE    1        19,054         --        --
SCHNITZER STL INDS CL A     EQUITY       806882106      15       200.00   SH        DEFINED   4            --         --       200
SCHOLASTIC CORP             EQUITY       807066105    3276       93,975   SH          SOLE    1        93,975         --        --
SCHOOL SPECIALTY INC        EQUITY       807863105     717       20,716   SH          SOLE    1        20,716         --        --
SCHULMAN (A.) INC           EQUITY       808194104     530       26,884   SH          SOLE    1        26,884         --        --
SCHWAB (CHARLES) CORP       EQUITY       808513105   32636    1,514,898   SH          SOLE    1     1,514,898         --        --
SCHWAB (CHARLES) CORP       EQUITY       808513105      26        1,195   SH          SOLE    2         1,195         --        --
SCHWAB CHARLES CORP
    NEW EQUITY              EQUITY       808513105      15       714.86   SH        DEFINED   4            --         --       715
SCHWEITZER-MAUDUIT INTL INC EQUITY       808541106     364       15,638   SH          SOLE    1        15,638         --        --
SCIELE PHARMA INC           EQUITY       808627103     915       35,163   SH          SOLE    1        35,163         --        --
SCIELE PHARMA INC           EQUITY       808627103     427       16,400   SH          SOLE    2        16,400         --        --
SCIENTIFIC GAMES CORP-A     EQUITY       80874P109    6044      160,742   SH          SOLE    1       160,742         --        --
SCOTTS MIRACLE-GRO CO-CL A  EQUITY       810186106    4683      109,550   SH          SOLE    1       109,550         --        --
SCPIE HOLDINGS INC          EQUITY       78402P104      23        1,040   SH          SOLE    1         1,040         --        --
SEABOARD CORP               EQUITY       811543107     604          308   SH          SOLE    1           308         --        --
SEABRIDGE GOLD INC EQUITY   EQUITY       811916105      21       700.00   SH        DEFINED   4            --         --       700
SEABRIGHT INSURANCE
    HOLDINGS                EQUITY       811656107     309       18,089   SH          SOLE    1        18,089         --        --
SEABRIGHT INSURANCE
    HOLDINGS                EQUITY       811656107     427       25,000   SH          SOLE    2        25,000         --        --
SEACHANGE INTERNATIONAL INC EQUITY       811699107     177       25,629   SH          SOLE    1        25,629         --        --
SEACOAST BANKING CORP FL    EQUITY       811707306     241       12,904   SH          SOLE    1        12,904         --        --
SEACOR HOLDINGS INC         EQUITY       811904101     842        8,856   SH          SOLE    1         8,856         --        --
SEACOR HOLDINGS INC EQUITY  EQUITY       811904101      57       600.00   SH        DEFINED   4            --         --       600
SEAGATE TECHNOLOGY SHS      EQUITY       G7945J104      54     2,114.00   SH        DEFINED   4            --         --     2,114
SEALED AIR CORP             EQUITY       81211K100    1935       75,699   SH          SOLE    1        75,699         --        --
SEALED AIR CORP             EQUITY       81211K100       5          204   SH          SOLE    2           204         --        --
SEALED AIR CORP NEW EQUITY  EQUITY       81211K100       5       190.00   SH        DEFINED   4            --         --       190
SEALY CORP                  EQUITY       812139301     546       38,891   SH          SOLE    1        38,891         --        --
SEARS HLDGS CORP EQUITY     EQUITY       812350106     337     2,652.00   SH        DEFINED   4            --         --     2,652
SEARS HOLDINGS CORP         EQUITY       812350106    5052       39,719   SH          SOLE    1        39,719         --        --
SEARS HOLDINGS CORP         EQUITY       812350106      12           95   SH          SOLE    2            95         --        --
SEASPAN CORP SHS            EQUITY       Y75638109      18       556.00   SH        DEFINED   4            --         --       556
SEATTLE GENETICS INC /WA    EQUITY       812578102     412       36,679   SH          SOLE    1        36,679         --        --
SEATTLE GENETICS INC EQUITY EQUITY       812578102               300.00   SH        DEFINED   4            --         --       300
SECURE COMPUTING CORP       EQUITY       813705100     466       47,914   SH          SOLE    1        47,914         --        --
SECURE EQUITYPUTING CORP
    EQUITY                  EQUITY       813705100       2       200.00   SH        DEFINED   4            --         --       200
SECURITY BANK CORP          EQUITY       814047106     178       14,232   SH          SOLE    1        14,232         --        --
SECURITY BANK CORP EQUITY   EQUITY       814047106      16     1,300.00   SH        DEFINED   4            --         --     1,300
SEI INVESTMENTS CO EQUITY   EQUITY       784117103       8       296.00   SH        DEFINED   4            --         --       296
SEI INVESTMENTS COMPANY     EQUITY       784117103    8686      318,417   SH          SOLE    1       318,417         --        --
SELECT COMFORT CORPORATION  EQUITY       81616X103     649       46,523   SH          SOLE    1        46,523         --        --
SELECT SECTOR SPDR TR SBI
    CONS DISCR              EQUITY       81369Y407     787    21,375.00   SH        DEFINED   4            --         --    21,375
SELECT SECTOR SPDR TR SBI
    CONS STPLS              EQUITY       81369Y308     730    26,082.00   SH        DEFINED   4            --         --    26,082
SELECT SECTOR SPDR TR SBI
    HEALTHCARE              EQUITY       81369Y209     188     5,330.00   SH        DEFINED   4            --         --     5,330
SELECT SECTOR SPDR TR SBI
    INT-ENERGY              EQUITY       81369Y506    7832   104,706.11   SH        DEFINED   4            --         --   104,706
SELECT SECTOR SPDR TR SBI
    INT-FINL                EQUITY       81369Y605     180     5,257.00   SH        DEFINED   4            --         --     5,257
SELECT SECTOR SPDR TR SBI
    INT-INDS                EQUITY       81369Y704     198     4,810.00   SH        DEFINED   4            --         --     4,810
SELECT SECTOR SPDR TR SBI
    INT-TECH                EQUITY       81369Y803     131     4,874.00   SH        DEFINED   4            --         --     4,874
SELECT SECTOR SPDR TR SBI
    INT-UTILS               EQUITY       81369Y886     388     9,760.00   SH        DEFINED   4            --         --     9,760
SELECT SECTOR SPDR TR SBI
    MATERIALS               EQUITY       81369Y100      68     1,615.00   SH        DEFINED   4            --         --     1,615





                                                                                        
SELECTIVE INSURANCE GROUP   EQUITY       816300107    1160       54,515   SH          SOLE    1        54,515         --        --
SELIGMAN SELECT MUN FD INC
    EQUITY                  EQUITY       816344105      11     1,089.58   SH        DEFINED   4            --         --     1,090
SEMCO ENERGY INC            EQUITY       78412D109     244       30,899   SH          SOLE    1        30,899         --        --
SEMGROUP ENERGY PARTNERS
    L P EQUITY UNIT LP
    ADDED                   EQUITY       81662W108       3       100.00   SH        DEFINED   4            --         --       100
SEMITOOL INC                EQUITY       816909105     187       19,283   SH          SOLE    1        19,283         --        --
SEMPRA ENERGY               EQUITY       816851109    7373      126,851   SH          SOLE    1       126,851         --        --
SEMPRA ENERGY               EQUITY       816851109      19          333   SH          SOLE    2           333         --        --
SEMPRA ENERGY EQUITY        EQUITY       816851109     246     4,230.00   SH        DEFINED   4            --         --     4,230
SEMTECH CORP                EQUITY       816850101    4335      211,662   SH          SOLE    1       211,662         --        --
SENECA FOODS CORP NEW CL A  EQUITY       817070501                 8.00   SH        DEFINED   4            --         --         8
SENECA FOODS CORP NEW CL B  EQUITY       817070105                 8.00   SH        DEFINED   4            --         --         8
SENIOR HOUSING PROP TRUST   EQUITY       81721M109    1840       83,392   SH          SOLE    1        83,392         --        --
SENIOR HSG PPTYS TR SH BEN
    INT                     EQUITY       81721M109       4       195.00   SH        DEFINED   4            --         --       195
SENOMYX INC                 EQUITY       81724Q107     325       26,499   SH          SOLE    1        26,499         --        --
SENORX INC                  EQUITY       81724W104    5336      625,000   SH          SOLE    1       625,000         --        --
SENSIENT TECHNOLOGIES CORP  EQUITY       81725T100    4539      157,238   SH          SOLE    1       157,238         --        --
SEPRACOR INC                EQUITY       817315104    7484      272,154   SH          SOLE    1       272,154         --        --
SEPRACOR INC EQUITY         EQUITY       817315104      54     1,950.00   SH        DEFINED   4            --         --     1,950
SEQUA CORP-CL A             EQUITY       817320104    4043       24,390   SH          SOLE    1        24,390         --        --
SERVICE CORP INTERNATIONAL  EQUITY       817565104     124        9,614   SH          SOLE    1         9,614         --        --
SERVICE CORP INTL EQUITY    EQUITY       817565104      37     2,900.00   SH        DEFINED   4            --         --     2,900
SHANDA INTERACTIVE ENTMT
    LTD SPONSORED ADR       EQUITY       81941Q203      24       640.00   SH        DEFINED   4            --         --       640
SHANDA INTERACTIVE-SPON ADR EQUITY       81941Q203    2469       66,400   SH          SOLE    1        66,400         --        --
SHANDA INTERACTIVE-SPON ADR EQUITY       81941Q203   15092      405,600   SH          SOLE    3       219,500         --   186,100
SHAW COMMUNICATIONS INC-B   EQUITY       82028K200     186        7,358   SH         OTHER    1            --      7,358        --
SHAW EQUITYMUNICATIONS INC
    CL B CONV               EQUITY       82028K200      30     1,200.00   SH        DEFINED   4            --         --     1,200
SHAW GROUP INC              EQUITY       820280105     709       12,202   SH          SOLE    1        12,202         --        --
SHENANDOAH TELECOMMUN CO    EQUITY       82312B106     442       20,298   SH          SOLE    1        20,298         --        --
SHENGDATECH INC             EQUITY       823213103     150       24,893   SH          SOLE    1        24,893         --        --
SHERWIN WILLIAMS CO EQUITY  EQUITY       824348106      14       220.00   SH        DEFINED   4            --         --       220
SHERWIN-WILLIAMS CO/THE     EQUITY       824348106    3227       49,111   SH          SOLE    1        49,111         --        --
SHERWIN-WILLIAMS CO/THE     EQUITY       824348106       9          137   SH          SOLE    2           137         --        --
SHIP FINANCE INTERNATIONAL
    L SHS                   EQUITY       G81075106     129     4,915.00   SH        DEFINED   4            --         --     4,915
SHOE CARNIVAL INC           EQUITY       824889109     130        8,221   SH          SOLE    1         8,221         --        --
SHUFFLE MASTER INC          EQUITY       825549108     526       35,171   SH          SOLE    1        35,171         --        --
SHUFFLE MASTER INC          EQUITY       825549108    1630      109,000   SH          SOLE    2       109,000         --        --
SHUTTERFLY INC              EQUITY       82568P304     405       12,694   SH          SOLE    1        12,694         --        --
SI INTERNATIONAL INC        EQUITY       78427V102     374       13,108   SH          SOLE    1        13,108         --        --
SIEMENS A G SPONSORED ADR   EQUITY       826197501      91       665.00   SH        DEFINED   4            --         --       665
SIERRA BANCORP              EQUITY       82620P102     189        6,597   SH          SOLE    1         6,597         --        --
SIERRA HEALTH SERVICES INC  EQUITY       826322109     348        8,239   SH          SOLE    1         8,239         --        --
SIERRA PACIFIC RESOURCES    EQUITY       826428104    8669      551,120   SH          SOLE    1       551,120         --        --
SIGMA ALDRICH CORP EQUITY   EQUITY       826552101      19       400.00   SH        DEFINED   4            --         --       400
SIGMA DESIGNS INC           EQUITY       826565103     962       19,949   SH          SOLE    1        19,949         --        --
SIGMA DESIGNS INC EQUITY    EQUITY       826565103      21       425.00   SH        DEFINED   4            --         --       425
SIGMA-ALDRICH               EQUITY       826552101    3198       65,608   SH          SOLE    1        65,608         --        --
SIGMA-ALDRICH               EQUITY       826552101       8          166   SH          SOLE    2           166         --        --
SIGNATURE BANK              EQUITY       82669G104    1042       29,581   SH          SOLE    1        29,581         --        --
SILGAN HOLDINGS INC         EQUITY       827048109    1161       21,601   SH          SOLE    1        21,601         --        --
SILGAN HOLDINGS INC EQUITY  EQUITY       827048109       1        17.00   SH        DEFINED   4            --         --        17
SILICOM LIMITED             EQUITY       M84116108    1829       79,400   SH          SOLE    3        79,400         --        --
SILICON GRAPHICS INC        EQUITY       827056300     112        5,671   SH          SOLE    1         5,671         --        --
SILICON IMAGE INC           EQUITY       82705T102     394       76,599   SH          SOLE    1        76,599         --        --
SILICON IMAGE INC EQUITY    EQUITY       82705T102      20     3,800.00   SH        DEFINED   4            --         --     3,800
SILICON LABORATORIES INC    EQUITY       826919102    7303      174,880   SH          SOLE    1       174,880         --        --
SILICON LABORATORIES INC
    EQUITY                  EQUITY       826919102       1        23.00   SH        DEFINED   4            --         --        23
SILICON MOTION TECHNOLOGY
    CO SPONSORED ADR        EQUITY       82706C108      36     1,600.00   SH        DEFINED   4            --         --     1,600
SILICON STORAGE TECHNOLOGY  EQUITY       827057100     254       78,996   SH          SOLE    1        78,996         --        --
SILICONWARE PRECISION INDS
    L CALL                  OPTION       827084904     -11       (44.00)     C      DEFINED   4            --         --       (44)
SILICONWARE PRECISION INDS
    L SPONSD ADR SPL        EQUITY       827084864      45     4,567.00   SH        DEFINED   4            --         --     4,567
SILIEQUITY LTD ORD          EQUITY       M84116108      16       700.00   SH        DEFINED   4            --         --       700
SILVER STD RES INC EQUITY   EQUITY       82823L106       7       200.00   SH        DEFINED   4            --         --       200
SILVER WHEATON CORP         EQUITY       828336107    2505      179,500   SH         OTHER    1            --    179,500        --
SIMMONS FIRST NATL CORP-
    CL A                    EQUITY       828730200     325       12,339   SH          SOLE    1        12,339         --        --
SIMON PPTY GROUP INC NEW
    EQUITY                  EQUITY       828806109      35       352.00   SH        DEFINED   4            --         --       352
SIMON PROPERTY GROUP INC    EQUITY       828806109   17500      175,003   SH          SOLE    1       175,003         --        --
SIMON PROPERTY GROUP INC    EQUITY       828806109      28          282   SH          SOLE    2           282         --        --
SIMPSON MANUFACTURING CO
    INC                     EQUITY       829073105    1173       36,823   SH          SOLE    1        36,823         --        --
SIMPSON MANUFACTURING CO
    INC EQUITY              EQUITY       829073105       7       220.00   SH        DEFINED   4            --         --       220
SIMULATIONS PLUS INC EQUITY EQUITY       829214105                24.00   SH        DEFINED   4            --         --        24





                                                                                        
SINA CORP                   EQUITY       G81477104     191        4,000   SH          SOLE    2         4,000         --        --
SINA CORP ORD               EQUITY       G81477104      10       200.00   SH        DEFINED   4            --         --       200
SINCLAIR BROADCAST GROUP-A  EQUITY       829226109     516       42,893   SH          SOLE    1        42,893         --        --
SINOPEC SHANGHAI
    PETROCHEMIC SPON ADR H  EQUITY       82935M109    4056    49,985.00   SH        DEFINED   4            --         --    49,985
SIRENZA MICRODEVICES INC    EQUITY       82966T106    5061      292,694   SH          SOLE    1       292,694         --        --
SIRF TECHNOLOGY HLDGS INC
    EQUITY                  EQUITY       82967H101       4       200.00   SH        DEFINED   4            --         --       200
SIRF TECHNOLOGY
    HOLDINGS INC            EQUITY       82967H101     985       46,140   SH          SOLE    1        46,140         --        --
SIRF TECHNOLOGY
    HOLDINGS INC            EQUITY       82967H101   13090      613,100   SH          SOLE    2       613,100         --        --
SIRIUS SATELLITE RADIO INC  EQUITY       82966U103    1746      500,163   SH          SOLE    1       500,163         --        --
SIRIUS SATELLITE RADIO
    INC CALL                OPTION       82966U903                15.00      C      DEFINED   4            --         --        15
SIRIUS SATELLITE RADIO
    INC EQUITY              EQUITY       82966U103     255    72,979.00   SH        DEFINED   4            --         --    72,979
SIRONA DENTAL SYSTEMS INC   EQUITY       82966C103     521       14,608   SH          SOLE    1        14,608         --        --
SIRONA DENTAL SYSTEMS INC   EQUITY       82966C103    8379      234,900   SH          SOLE    2       234,900         --        --
SIRTRIS PHARMACEUTICALS INC EQUITY       82968A105      90        5,249   SH          SOLE    1         5,249         --        --
SIX FLAGS INC               EQUITY       83001P109     212       61,355   SH          SOLE    1        61,355         --        --
SJW CORP                    EQUITY       784305104     452       13,230   SH          SOLE    1        13,230         --        --
SKECHERS USA INC-CL A       EQUITY       830566105     484       21,886   SH          SOLE    1        21,886         --        --
SKILLED HEALTHCARE GROU
   --CL A                   EQUITY       83066R107     307       19,480   SH          SOLE    1        19,480         --        --
SKYLINE CORP                EQUITY       830830105     204        6,791   SH          SOLE    1         6,791         --        --
SKYWEST INC                 EQUITY       830879102    1612       64,037   SH          SOLE    1        64,037         --        --
SKYWEST INC EQUITY          EQUITY       830879102       4       175.00   SH        DEFINED   4            --         --       175
SKYWORKS SOLUTIONS INC      EQUITY       83088M102    1441      159,447   SH          SOLE    1       159,447         --        --
SL GREEN REALTY CORP        EQUITY       78440X101   10324       88,415   SH          SOLE    1        88,415         --        --
SLM CORP                    EQUITY       78442P106   11819      237,960   SH          SOLE    1       237,960         --        --
SLM CORP                    EQUITY       78442P106    4024       81,020   SH          SOLE    2        81,020         --        --
SLM CORP EQUITY             EQUITY       78442P106      40       812.00   SH        DEFINED   4            --         --       812
SMART BALANCE INC EQUITY
    ADDED                   EQUITY       83169Y108      26     2,090.00   SH        DEFINED   4            --         --     2,090
SMF ENERGY CORPORATION
    EQUITY                  EQUITY       78453M109       4     3,000.00   SH        DEFINED   4            --         --     3,000
SMITH & WESSON HLDG CORP
    EQUITY                  EQUITY       831756101       3       150.00   SH        DEFINED   4            --         --       150
SMITH & WESSON HOLDING CORP EQUITY       831756101     494       25,865   SH          SOLE    1        25,865         --        --
SMITH & WESSON HOLDING CORP EQUITY       831756101     754       39,500   SH          SOLE    2        39,500         --        --
SMITH (A.O.) CORP           EQUITY       831865209     909       20,712   SH          SOLE    1        20,712         --        --
SMITH A O EQUITY            EQUITY       831865209       7       150.00   SH        DEFINED   4            --         --       150
SMITH INTERNATIONAL INC     EQUITY       832110100    6379       89,347   SH          SOLE    1        89,347         --        --
SMITH INTERNATIONAL INC     EQUITY       832110100      18          253   SH          SOLE    2           253         --        --
SMITH INTL INC EQUITY       EQUITY       832110100      12       167.00   SH        DEFINED   4            --         --       167
SMITH MICRO SOFTWARE INC    EQUITY       832154108    1796      111,835   SH          SOLE    1       111,835         --        --
SMITHFIELD FOODS INC        EQUITY       832248108    9167      291,005   SH          SOLE    1       291,005         --        --
SMUCKER J M CO EQUITY NEW   EQUITY       832696405     136     2,551.36   SH        DEFINED   4            --         --     2,551
SMURFIT-STONE CONTAINER
    CORP                    EQUITY       832727101     178       15,228   SH          SOLE    1        15,228         --        --
SNAP ON INC EQUITY          EQUITY       833034101      55     1,110.00   SH        DEFINED   4            --         --     1,110
SNAP-ON INC                 EQUITY       833034101    1373       27,714   SH          SOLE    1        27,714         --        --
SNAP-ON INC                 EQUITY       833034101     420        8,473   SH          SOLE    2         8,473         --        --
SOHU EQUITY INC EQUITY      EQUITY       83408W103     346     9,040.00   SH        DEFINED   4            --         --     9,040
SOHU.COM INC                EQUITY       83408W103     903       23,933   SH          SOLE    1        23,933         --        --
SOLECTRON CORP              EQUITY       834182107    1646      422,123   SH          SOLE    1       422,123         --        --
SOLECTRON CORP              EQUITY       834182107       4        1,152   SH          SOLE    2         1,152         --        --
SOLERA HOLDINGS INC         EQUITY       83421A104     412       22,914   SH          SOLE    1        22,914         --        --
SOMAXON PHARMACEUTICALS INC EQUITY       834453102      90        8,835   SH          SOLE    1         8,835         --        --
SONIC AUTOMOTIVE INC-
    CLASS A                 EQUITY       83545G102     740       30,915   SH          SOLE    1        30,915         --        --
SONIC CORP                  EQUITY       835451105    1546       66,051   SH          SOLE    1        66,051         --        --
SONIC CORP EQUITY           EQUITY       835451105      19       800.00   SH        DEFINED   4            --         --       800
SONIC INNOVATIONS INC       EQUITY       83545M109     210       22,946   SH          SOLE    1        22,946         --        --
SONIC SOLUTIONS             EQUITY       835460106     238       22,706   SH          SOLE    1        22,706         --        --
SONICWALL INC               EQUITY       835470105     493       56,440   SH          SOLE    1        56,440         --        --
SONOCO PRODUCTS CO          EQUITY       835495102    7658      253,756   SH          SOLE    1       253,756         --        --
SONOSITE INC                EQUITY       83568G104     442       14,486   SH          SOLE    1        14,486         --        --
SONUS NETWORKS INC          EQUITY       835916107    1341      219,899   SH          SOLE    1       219,899         --        --
SONUS NETWORKS INC EQUITY   EQUITY       835916107      62    10,103.00   SH        DEFINED   4            --         --    10,103
SONY CORP ADR NEW           EQUITY       835699307       8       162.00   SH        DEFINED   4            --         --       162
SOTHEBY'S                   EQUITY       835898107   10555      220,862   SH          SOLE    1       220,862         --        --
SOTHEBY'S                   EQUITY       835898107     817       17,100   SH          SOLE    2        17,100         --        --
SOTHEBYS EQUITY             EQUITY       835898107       8       172.00   SH        DEFINED   4            --         --       172
SOURCE CAP INC EQUITY       EQUITY       836144105      45       700.00   SH        DEFINED   4            --         --       700
SOURCE INTERLINK COS INC    EQUITY       836151209     105       29,916   SH          SOLE    1        29,916         --        --
SOURCEFIRE INC              EQUITY       83616T108     154       16,978   SH          SOLE    1        16,978         --        --
SOURCEFORGE INC             EQUITY       83616W101     144       58,817   SH          SOLE    1        58,817         --        --
SOUTH FINANCIAL GROUP INC   EQUITY       837841105    1680       73,898   SH          SOLE    1        73,898         --        --
SOUTH JERSEY INDS INC
    EQUITY                  EQUITY       838518108     150     4,305.70   SH        DEFINED   4            --         --     4,306
SOUTH JERSEY INDUSTRIES     EQUITY       838518108    1023       29,383   SH          SOLE    1        29,383         --        --





                                                                                        
SOUTHERN CO                 EQUITY       842587107   17405      479,731   SH          SOLE    1       479,731         --        --
SOUTHERN CO                 EQUITY       842587107    5194      143,154   SH          SOLE    2       143,154         --        --
SOUTHERN CO EQUITY          EQUITY       842587107    1262    34,778.02   SH        DEFINED   4            --         --    34,778
SOUTHERN COPPER CORP        EQUITY       84265V105   20416      164,870   SH          SOLE    1       164,870         --        --
SOUTHERN COPPER CORP        EQUITY       84265V105   14240      115,000   SH          SOLE    2       115,000         --        --
SOUTHERN COPPER CORP EQUITY EQUITY       84265V105     613     4,953.00   SH        DEFINED   4            --         --     4,953
SOUTHERN FIRST BANCSHARES
    IN EQUITY ADDED         EQUITY       842873101      23     1,200.00   SH        DEFINED   4            --         --     1,200
SOUTHERN UNION CO           EQUITY       844030106     622       19,994   SH          SOLE    1        19,994         --        --
SOUTHSIDE BANCSHARES INC    EQUITY       84470P109     209        9,443   SH          SOLE    1         9,443         --        --
SOUTHWEST AIRLINES CO       EQUITY       844741108    5061      341,963   SH          SOLE    1       341,963         --        --
SOUTHWEST AIRLINES CO       EQUITY       844741108      14          942   SH          SOLE    2           942         --        --
SOUTHWEST AIRLS CO CALL     OPTION       844741908      -3       (40.00)     C      DEFINED   4            --         --       (40)
SOUTHWEST AIRLS CO EQUITY   EQUITY       844741108     474    32,052.16   SH        DEFINED   4            --         --    32,052
SOUTHWEST BANCORP INC/OKLA  EQUITY       844767103     235       12,496   SH          SOLE    1        12,496         --        --
SOUTHWEST GAS CORP          EQUITY       844895102    1190       42,060   SH          SOLE    1        42,060         --        --
SOUTHWEST WATER CO          EQUITY       845331107     264       20,931   SH          SOLE    1        20,931         --        --
SOUTHWESTERN ENERGY CO      EQUITY       845467109   17743      423,978   SH          SOLE    1       423,978         --        --
SOUTHWESTERN ENERGY CO      EQUITY       845467109    3846       91,900   SH          SOLE    2        91,900         --        --
SOVEREIGN BANCORP INC       EQUITY       845905108    2901      170,256   SH          SOLE    1       170,256         --        --
SOVEREIGN BANCORP INC       EQUITY       845905108       8          453   SH          SOLE    2           453         --        --
SOVEREIGN BANCORP INC
    EQUITY                  EQUITY       845905108     125     7,339.00   SH        DEFINED   4            --         --     7,339
SOVRAN SELF STORAGE INC     EQUITY       84610H108     947       20,651   SH          SOLE    1        20,651         --        --
SPAIN FD EQUITY             EQUITY       846330108       5       300.00   SH        DEFINED   4            --         --       300
SPANISH BROADCASTING SYS-A  EQUITY       846425882      90       35,051   SH          SOLE    1        35,051         --        --
SPANSION INC-CLASS A        EQUITY       84649R101     663       78,420   SH          SOLE    1        78,420         --        --
SPARK NETWORKS INC EQUITY
    ADDED                   EQUITY       84651P100                75.00   SH        DEFINED   4            --         --        75
SPARTAN MOTORS INC          EQUITY       846819100     473       28,100   SH          SOLE    1        28,100         --        --
SPARTAN MTRS INC EQUITY     EQUITY       846819100       1        40.00   SH        DEFINED   4            --         --        40
SPARTAN STORES INC          EQUITY       846822104     488       21,663   SH          SOLE    1        21,663         --        --
SPARTAN STORES INC EQUITY   EQUITY       846822104       1        26.00   SH        DEFINED   4            --         --        26
SPARTECH CORP               EQUITY       847220209     474       27,806   SH          SOLE    1        27,806         --        --
SPDR INDEX SHS FDS DJ
    EURSTX50ETF ADDED       EQUITY       78463X202       9       140.00   SH        DEFINED   4            --         --       140
SPDR INDEX SHS FDS DJ
    STOXX 50ETF ADDED       EQUITY       78463X103    6480   120,340.00   SH        DEFINED   4            --         --   120,340
SPDR INDEX SHS FDS DJWS
    INTL REAL ADDED         EQUITY       78463X863    1275    19,847.00   SH        DEFINED   4            --         --    19,847
SPDR INDEX SHS FDS
    EUROPE ETF ADDED        EQUITY       78463X608     399     6,163.00   SH        DEFINED   4            --         --     6,163
SPDR INDEX SHS FDS
    MSCI ACWI EXUS ADDED    EQUITY       78463X848     138     3,230.00   SH        DEFINED   4            --         --     3,230
SPDR SERIES TRUST
    DJWS LGCAP GRW ADDED    EQUITY       78464A409       8       133.00   SH        DEFINED   4            --         --       133
SPDR SERIES TRUST
    DJWS LGCAP VAL ADDED    EQUITY       78464A508      11       126.00   SH        DEFINED   4            --         --       126
SPDR SERIES TRUST
    DJWS MIDCAP GR ADDED    EQUITY       78464A821      23       333.00   SH        DEFINED   4            --         --       333
SPDR SERIES TRUST
    DJWS REIT ETF ADDED     EQUITY       78464A607     303     3,730.00   SH        DEFINED   4            --         --     3,730
SPDR SERIES TRUST
    DJWS SCAP GR ADDED      EQUITY       78464A201      31       295.00   SH        DEFINED   4            --         --       295
SPDR SERIES TRUST
    DJWS SMCAP VL ADDED     EQUITY       78464A300       4        59.00   SH        DEFINED   4            --         --        59
SPDR SERIES TRUST
    DJWS TOTAL MKT ADDED    EQUITY       78464A805      47       425.00   SH        DEFINED   4            --         --       425
SPDR SERIES TRUST
    KBW BK ETF ADDED        EQUITY       78464A797      10       200.00   SH        DEFINED   4            --         --       200
SPDR SERIES TRUST
    MORGAN STN TCH ADDED    EQUITY       78464A102      31       464.00   SH        DEFINED   4            --         --       464
SPDR TR UNIT SER 1          EQUITY       78462F103    1857    12,172.34   SH        DEFINED   4            --         --    12,172
SPDR TRUST SERIES 1         EQUITY       78462F103   68715      450,356   SH          SOLE    1       450,356         --        --
SPECTRA ENERGY CORP         EQUITY       847560109    7214      294,684   SH          SOLE    1       294,684         --        --
SPECTRA ENERGY CORP         EQUITY       847560109      20          797   SH          SOLE    2           797         --        --
SPECTRA ENERGY CORP EQUITY  EQUITY       847560109     155     6,339.48   SH        DEFINED   4            --         --     6,339
SPECTRANETICS CORP          EQUITY       84760C107    1231       91,288   SH          SOLE    1        91,288         --        --
SPECTRANETICS CORP          EQUITY       84760C107    3187      236,400   SH          SOLE    3       206,200         --    30,200
SPECTRUM BRANDS INC         EQUITY       84762L105     227       39,187   SH          SOLE    1        39,187         --        --
SPECTRUM PHARMACEUTICALS
    INC EQUITY              EQUITY       84763A108      11     2,500.00   SH        DEFINED   4            --         --     2,500
SPEEDWAY MOTORSPORTS INC    EQUITY       847788106     450       12,149   SH          SOLE    1        12,149         --        --
SPHERION CORPORATION        EQUITY       848420105     465       56,276   SH          SOLE    1        56,276         --        --
SPIRIT AEROSYSTEMS HOLD-
    CL A                    EQUITY       848574109      67        1,710   SH          SOLE    1         1,710         --        --
SPIRIT AEROSYSTEMS HOLD-
    CL A                    EQUITY       848574109    2998       77,000   SH          SOLE    2        77,000         --        --
SPRINT NEXTEL CORP          EQUITY       852061100   48611    2,570,162   SH          SOLE    1     2,570,162         --        --
SPRINT NEXTEL CORP          EQUITY       852061100     161        8,489   SH          SOLE    2         8,489         --        --
SPRINT NEXTEL CORP EQUITY
    FON                     EQUITY       852061100      17       884.79   SH        DEFINED   4            --         --       885
SPSS INC                    EQUITY       78462K102     758       18,428   SH          SOLE    1        18,428         --        --
SPX CORP                    EQUITY       784635104   12586      135,972   SH          SOLE    1       135,972         --        --
SPX CORP EQUITY             EQUITY       784635104     111     1,198.00   SH        DEFINED   4            --         --     1,198
SRA INTERNATIONAL INC-CL A  EQUITY       78464R105    3944      140,470   SH          SOLE    1       140,470         --        --
ST JOE CO EQUITY            EQUITY       790148100       2        50.00   SH        DEFINED   4            --         --        50
ST JUDE MED INC EQUITY      EQUITY       790849103      47     1,075.00   SH        DEFINED   4            --         --     1,075
ST JUDE MEDICAL INC         EQUITY       790849103    6672      151,406   SH          SOLE    1       151,406         --        --
ST JUDE MEDICAL INC         EQUITY       790849103     477       10,830   SH          SOLE    2        10,830         --        --
ST MARY LAND & EXPLORATION  EQUITY       792228108     369       10,352   SH          SOLE    1        10,352         --        --





                                                                                        
ST MARY LAND & EXPLORATION  EQUITY       792228108    4548      127,500   SH          SOLE    2       127,500         --        --
STAGE STORES INC            EQUITY       85254C305     785       43,041   SH          SOLE    1        43,041         --        --
STAMPS.COM INC              EQUITY       852857200     207       17,283   SH          SOLE    1        17,283         --        --
STANCORP FINANCIAL GROUP    EQUITY       852891100    6843      138,212   SH          SOLE    1       138,212         --        --
STANCORP FINL GROUP INC
    EQUITY                  EQUITY       852891100      14       284.00   SH        DEFINED   4            --         --       284
STANDARD MICROSYSTEMS CORP  EQUITY       853626109     878       22,844   SH          SOLE    1        22,844         --        --
STANDARD MOTOR PRODS        EQUITY       853666105     144       15,340   SH          SOLE    1        15,340         --        --
STANDARD PARKING CORP       EQUITY       853790103     170        4,279   SH          SOLE    1         4,279         --        --
STANDARD REGISTER CO        EQUITY       853887107     217       17,060   SH          SOLE    1        17,060         --        --
STANDARD-PACIFIC CORP       EQUITY       85375C101     355       64,632   SH          SOLE    1        64,632         --        --
STANDEX INTERNATIONAL CORP  EQUITY       854231107     256       12,377   SH          SOLE    1        12,377         --        --
STANLEY INC                 EQUITY       854532108     192        6,955   SH          SOLE    1         6,955         --        --
STANLEY WKS EQUITY          EQUITY       854616109      18       325.62   SH        DEFINED   4            --         --       326
STANLEY WORKS/THE           EQUITY       854616109    2172       38,694   SH          SOLE    1        38,694         --        --
STANLEY WORKS/THE           EQUITY       854616109       6          104   SH          SOLE    2           104         --        --
STAPLES INC                 EQUITY       855030102    7065      328,737   SH          SOLE    1       328,737         --        --
STAPLES INC                 EQUITY       855030102    3847      179,000   SH          SOLE    2       179,000         --        --
STAPLES INC EQUITY          EQUITY       855030102       9       434.00   SH        DEFINED   4            --         --       434
STAR MARITIME ACQUISITION   EQUITY       85516E107     230       16,412   SH          SOLE    1        16,412         --        --
STAR MARITIME ACQUISITION   EQUITY       85516E107    7750      553,165   SH          SOLE    2       553,165         --        --
STARBUCKS CORP              EQUITY       855244109    9608      366,721   SH          SOLE    1       366,721         --        --
STARBUCKS CORP              EQUITY       855244109    9816      374,640   SH          SOLE    2       374,640         --        --
STARBUCKS CORP EQUITY       EQUITY       855244109     346    13,210.00   SH        DEFINED   4            --         --    13,210
STARTEK INC                 EQUITY       85569C107      14        1,427   SH          SOLE    1         1,427         --        --
STARWOOD HOTELS & RESORTS   EQUITY       85590A401    9843      162,032   SH          SOLE    1       162,032         --        --
STARWOOD HOTELS&RESORTS
    WRLD EQUITY             EQUITY       85590A401       6        96.00   SH        DEFINED   4            --         --        96
STATE AUTO FINANCIAL CORP   EQUITY       855707105     369       12,599   SH          SOLE    1        12,599         --        --
STATE STR CORP EQUITY       EQUITY       857477103      55       811.00   SH        DEFINED   4            --         --       811
STATE STREET CORP           EQUITY       857477103   25557      374,675   SH          SOLE    1       374,675         --        --
STATE STREET CORP           EQUITY       857477103      33          491   SH          SOLE    2           491         --        --
STATION CASINOS INC         EQUITY       857689103     108        1,239   SH          SOLE    1         1,239         --        --
STATOIL ASA SPONSORED ADR   EQUITY       85771P102      17       500.00   SH        DEFINED   4            --         --       500
STEALTHGAS INC              EQUITY       Y81669106    5484      318,298   SH          SOLE    2       318,298         --        --
STEC INC                    EQUITY       784774101     215       28,143   SH          SOLE    1        28,143         --        --
STEEL DYNAMICS INC          EQUITY       858119100   10990      235,339   SH          SOLE    1       235,339         --        --
STEEL DYNAMICS INC EQUITY   EQUITY       858119100     257     5,498.00   SH        DEFINED   4            --         --     5,498
STEELCASE INC CL A          EQUITY       858155203      48     2,650.90   SH        DEFINED   4            --         --     2,651
STEELCASE INC-CL A          EQUITY       858155203     571       31,773   SH          SOLE    1        31,773         --        --
STEIN MART INC              EQUITY       858375108     205       26,921   SH          SOLE    1        26,921         --        --
STEINWAY MUSICAL
    INSTRUMENTS             EQUITY       858495104   10767      363,499   SH          SOLE    1       363,499         --        --
STEMCELLS INC EQUITY        EQUITY       85857R105       1       500.00   SH        DEFINED   4            --         --       500
STEPAN CO                   EQUITY       858586100     167        5,401   SH          SOLE    1         5,401         --        --
STEREOTAXIS INC             EQUITY       85916J102     314       22,748   SH          SOLE    1        22,748         --        --
STERICYCLE INC              EQUITY       858912108   12490      218,503   SH          SOLE    1       218,503         --        --
STERIS CORP                 EQUITY       859152100    5935      217,168   SH          SOLE    1       217,168         --        --
STERLING BANCORP-N Y        EQUITY       859158107     259       18,504   SH          SOLE    1        18,504         --        --
STERLING BANCSHARES INC/TX  EQUITY       858907108     845       74,035   SH          SOLE    1        74,035         --        --
STERLING FINANCIAL
    CORP (PA)               EQUITY       859317109     395       23,041   SH          SOLE    1        23,041         --        --
STERLING FINL CORP/SPOKANE  EQUITY       859319105    1376       51,117   SH          SOLE    1        51,117         --        --
STEVEN MADDEN LTD           EQUITY       556269108     339       17,900   SH          SOLE    1        17,900         --        --
STEWART ENTERPRISES
    INC-CL A                EQUITY       860370105     677       88,841   SH          SOLE    1        88,841         --        --
STEWART INFORMATION
    SERVICES                EQUITY       860372101     591       17,258   SH          SOLE    1        17,258         --        --
STIFEL FINANCIAL CORP       EQUITY       860630102     754       13,030   SH          SOLE    1        13,030         --        --
STILLWATER MINING CO        EQUITY       86074Q102     374       36,362   SH          SOLE    1        36,362         --        --
STONE ENERGY CORP           EQUITY       861642106    1118       27,947   SH          SOLE    1        27,947         --        --
STONERIDGE INC              EQUITY       86183P102     126       12,328   SH          SOLE    1        12,328         --        --
STRATASYS INC               EQUITY       862685104     568       20,623   SH          SOLE    1        20,623         --        --
STRATEGIC GLOBAL INEQUITYE
    FD EQUITY               EQUITY       862719101      55     5,078.00   SH        DEFINED   4            --         --     5,078
STRATEGIC HOTELS &
    RESORTS I               EQUITY       86272T106    1197       58,117   SH          SOLE    1        58,117         --        --
STRATEGIC HOTELS &
    RESORTS I EQUITY        EQUITY       86272T106      21     1,000.00   SH        DEFINED   4            --         --     1,000
STRATUS PROPERTIES INC      EQUITY       863167201     152        4,305   SH          SOLE    1         4,305         --        --
STRAYER ED INC EQUITY       EQUITY       863236105                 1.00   SH        DEFINED   4            --         --         1
STRAYER EDUCATION INC       EQUITY       863236105    8154       48,356   SH          SOLE    1        48,356         --        --
STREETTRACKS GOLD TR
    GOLD SHS                EQUITY       863307104   23435   318,662.00   SH        DEFINED   4            --         --   318,662
STRYKER CORP                EQUITY       863667101   23186      337,204   SH          SOLE    1       337,204         --        --
STRYKER CORP                EQUITY       863667101      21          299   SH          SOLE    2           299         --        --
STRYKER CORP EQUITY         EQUITY       863667101     472     6,867.00   SH        DEFINED   4            --         --     6,867
STUDENT LOAN CORP           EQUITY       863902102     106          587   SH          SOLE    1           587         --        --
STURM RUGER & CO INC        EQUITY       864159108     405       22,625   SH          SOLE    1        22,625         --        --
SUBURBAN PROPANE PARTNERS L
    UNIT LTD PARTN          EQUITY       864482104     370     8,325.00   SH        DEFINED   4            --         --     8,325





                                                                                        
SUEZ SPONSORED ADR          EQUITY       864686100   10402   177,502.00   SH        DEFINED   4            --         --   177,502
SUFFOLK BANCORP             EQUITY       864739107     282        8,782   SH          SOLE    1         8,782         --        --
SULPHCO INC                 EQUITY       865378103     340       38,585   SH          SOLE    1        38,585         --        --
SULPHCO INC EQUITY          EQUITY       865378103       9     1,000.00   SH        DEFINED   4            --         --     1,000
SUMMIT ST BK ROHNERT CA
    EQUITY                  EQUITY       866264203       1       100.00   SH        DEFINED   4            --         --       100
SUN BANCORP INC-NJ          EQUITY       86663B102     224       12,777   SH          SOLE    1        12,777         --        --
SUN HEALTHCARE GROUP INC    EQUITY       866933401    2335      139,740   SH          SOLE    1       139,740         --        --
SUN HEALTHCARE GROUP INC    EQUITY       866933401     650       38,900   SH          SOLE    2        38,900         --        --
SUN HEALTHCARE GROUP INC
    EQUITY NEW              EQUITY       866933401       1        36.00   SH        DEFINED   4            --         --        36
SUN HYDRAULICS CORP         EQUITY       866942105     309        9,699   SH          SOLE    1         9,699         --        --
SUN HYDRAULICS CORP EQUITY  EQUITY       866942105       1        21.00   SH        DEFINED   4            --         --        21
SUN LIFE FINANCIAL INC      EQUITY       866796105    6699      127,799   SH         OTHER    1            --    127,799        --
SUN LIFE FINL INC EQUITY    EQUITY       866796105      80     1,524.00   SH        DEFINED   4            --         --     1,524
SUN MICROSYSTEMS INC        EQUITY       866810104    8936    1,589,970   SH          SOLE    1     1,589,970         --        --
SUN MICROSYSTEMS INC        EQUITY       866810104      25        4,460   SH          SOLE    2         4,460         --        --
SUN MICROSYSTEMS INC EQUITY EQUITY       866810104      55     9,784.00   SH        DEFINED   4            --         --     9,784
SUNAMERICA FCSED ALPHA GRW
    F EQUITY                EQUITY       867037103     279    13,600.00   SH        DEFINED   4            --         --    13,600
SUNCOR ENERGY INC           EQUITY       867229106   10084      106,105   SH         OTHER    1            --    106,105        --
SUNCOR ENERGY INC EQUITY    EQUITY       867229106    5937    62,437.00   SH        DEFINED   4            --         --    62,437
SUNOCO INC                  EQUITY       86764P109    3843       54,292   SH          SOLE    1        54,292         --        --
SUNOCO INC                  EQUITY       86764P109      11          152   SH          SOLE    2           152         --        --
SUNOCO INC EQUITY           EQUITY       86764P109      38       540.00   SH        DEFINED   4            --         --       540
SUNOPTA INC EQUITY          EQUITY       8676EP108      14       939.00   SH        DEFINED   4            --         --       939
SUNPOWER CORP-CLASS A       EQUITY       867652109      39          476   SH          SOLE    1           476         --        --
SUNPOWER CORP-CLASS A       EQUITY       867652109    1441       17,400   SH          SOLE    2        17,400         --        --
SUNRISE SENIOR LIVING INC   EQUITY       86768K106    1576       44,564   SH          SOLE    1        44,564         --        --
SUNRISE SENIOR LIVING INC
    EQUITY                  EQUITY       86768K106      24       681.00   SH        DEFINED   4            --         --       681
SUNSTONE HOTEL INVESTORS
    INC                     EQUITY       867892101    1395       54,397   SH          SOLE    1        54,397         --        --
SUNSTONE HOTEL INVS INC NEW
    EQUITY                  EQUITY       867892101     736    28,560.00   SH        DEFINED   4            --         --    28,560
SUNTECH PWR HLDGS CO LTD
    ADR                     EQUITY       86800C104      46     1,150.00   SH        DEFINED   4            --         --     1,150
SUN-TIMES MEDIA GROUP INC-A EQUITY       86688Q100     129       56,764   SH          SOLE    1        56,764         --        --
SUNTRUST BANKS INC          EQUITY       867914103   23985      316,972   SH          SOLE    1       316,972         --        --
SUNTRUST BANKS INC          EQUITY       867914103     268        3,540   SH          SOLE    2         3,540         --        --
SUNTRUST BKS INC EQUITY     EQUITY       867914103     283     3,737.00   SH        DEFINED   4            --         --     3,737
SUPER MICRO COMPUTER INC    EQUITY       86800U104      78        8,034   SH          SOLE    1         8,034         --        --
SUPERGEN INC                EQUITY       868059106     201       46,428   SH          SOLE    1        46,428         --        --
SUPERIOR BANCORP            EQUITY       86806M106     268       30,389   SH          SOLE    1        30,389         --        --
SUPERIOR ENERGY SERVICES
    INC                     EQUITY       868157108    7146      201,640   SH          SOLE    1       201,640         --        --
SUPERIOR ENERGY SVCS INC
    EQUITY                  EQUITY       868157108       5       138.00   SH        DEFINED   4            --         --       138
SUPERIOR ESSEX INC          EQUITY       86815V105     664       17,802   SH          SOLE    1        17,802         --        --
SUPERIOR INDS INTL INC
    EQUITY                  EQUITY       868168105               617.00   SH        DEFINED   4            --         --       617
SUPERIOR INDUSTRIES INTL    EQUITY       868168105     495       22,840   SH          SOLE    1        22,840         --        --
SUPERIOR OFFSHORE
    INTERNATIO              EQUITY       86825Q104      99        8,828   SH          SOLE    1         8,828         --        --
SUPERIOR WELL SERVICES INC  EQUITY       86837X105     355       15,614   SH          SOLE    1        15,614         --        --
SUPERIOR WELL SVCS INC
    EQUITY                  EQUITY       86837X105      23     1,000.00   SH        DEFINED   4            --         --     1,000
SUPERTEX INC                EQUITY       868532102     466       11,693   SH          SOLE    1        11,693         --        --
SUPERVALU INC               EQUITY       868536103    3832       98,229   SH          SOLE    1        98,229         --        --
SUPERVALU INC               EQUITY       868536103      10          265   SH          SOLE    2           265         --        --
SUPERVALU INC EQUITY        EQUITY       868536103      15       379.00   SH        DEFINED   4            --         --       379
SUREWEST COMMUNICATIONS     EQUITY       868733106     316       12,636   SH          SOLE    1        12,636         --        --
SUREWEST EQUITYMUNICATIONS
    EQUITY                  EQUITY       868733106     202     8,090.00   SH        DEFINED   4            --         --     8,090
SURMODICS INC               EQUITY       868873100     741       15,126   SH          SOLE    1        15,126         --        --
SURMODICS INC EQUITY        EQUITY       868873100      11       225.00   SH        DEFINED   4            --         --       225
SUSQUEHANNA BANCSHARES INC  EQUITY       869099101    1045       51,994   SH          SOLE    1        51,994         --        --
SUSQUEHANNA BANCSHARES INC
    P EQUITY                EQUITY       869099101      91     4,514.00   SH        DEFINED   4            --         --     4,514
SVB FINANCIAL GROUP         EQUITY       78486Q101    5435      114,767   SH          SOLE    1       114,767         --        --
SWIFT ENERGY CO             EQUITY       870738101    1220       29,822   SH          SOLE    1        29,822         --        --
SWITCH & DATA FACILITIES CO EQUITY       871043105    7120      437,093   SH          SOLE    1       437,093         --        --
SWS GROUP INC               EQUITY       78503N107     393       22,239   SH          SOLE    1        22,239         --        --
SWS GROUP INC EQUITY        EQUITY       78503N107       2       100.00   SH        DEFINED   4            --         --       100
SYBASE INC                  EQUITY       871130100    7056      305,049   SH          SOLE    1       305,049         --        --
SYCAMORE NETWORKS INC       EQUITY       871206108     654      160,676   SH          SOLE    1       160,676         --        --
SYCAMORE NETWORKS INC
    EQUITY                  EQUITY       871206108                50.00   SH        DEFINED   4            --         --        50
SYKES ENTERPRISES INC       EQUITY       871237103     543       32,716   SH          SOLE    1        32,716         --        --
SYMANTEC CORP               EQUITY       871503108   14813      764,366   SH          SOLE    1       764,366         --        --
SYMANTEC CORP               EQUITY       871503108      22        1,134   SH          SOLE    2         1,134         --        --
SYMANTEC CORP EQUITY        EQUITY       871503108      19       994.00   SH        DEFINED   4            --         --       994
SYMMETRICOM INC             EQUITY       871543104     217       46,215   SH          SOLE    1        46,215         --        --
SYMMETRY MEDICAL INC        EQUITY       871546206    1995      119,457   SH          SOLE    1       119,457         --        --
SYMS CORP                   EQUITY       871551107      89        5,948   SH          SOLE    1         5,948         --        --





                                                                                        
SYMYX TECHNOLOGIES EQUITY   EQUITY       87155S108       4       500.00   SH        DEFINED   4            --         --       500
SYMYX TECHNOLOGIES INC      EQUITY       87155S108     251       28,903   SH          SOLE    1        28,903         --        --
SYNALLOY CP DEL EQUITY      EQUITY       871565107                13.00   SH        DEFINED   4            --         --        13
SYNAPTICS INC               EQUITY       87157D109    1225       25,649   SH          SOLE    1        25,649         --        --
SYNAPTICS INC               EQUITY       87157D109    1027       21,500   SH          SOLE    2        21,500         --        --
SYNAPTICS INC EQUITY        EQUITY       87157D109      25       525.00   SH        DEFINED   4            --         --       525
SYNCHRONOSS
    TECHNOLOGIES INC        EQUITY       87157B103     675       16,056   SH          SOLE    1        16,056         --        --
SYNCHRONOSS
    TECHNOLOGIES INC        EQUITY       87157B103     631       15,000   SH          SOLE    2        15,000         --        --
SYNGENTA AG SPONSORED ADR   EQUITY       87160A100      51     1,170.00   SH        DEFINED   4            --         --     1,170
SYNIVERSE HOLDINGS INC      EQUITY       87163F106     378       23,745   SH          SOLE    1        23,745         --        --
SYNNEX CORP                 EQUITY       87162W100     334       16,256   SH          SOLE    1        16,256         --        --
SYNOPSYS INC                EQUITY       871607107    9819      362,597   SH          SOLE    1       362,597         --        --
SYNOVUS FINANCIAL CORP      EQUITY       87161C105    5468      194,930   SH          SOLE    1       194,930         --        --
SYNOVUS FINANCIAL CORP      EQUITY       87161C105      12          413   SH          SOLE    2           413         --        --
SYNOVUS FINL CORP EQUITY    EQUITY       87161C105      14       500.00   SH        DEFINED   4            --         --       500
SYNTA PHARMACEUTICALS CORP  EQUITY       87162T206    7995    1,211,421   SH          SOLE    1     1,211,421         --        --
SYNTAX-BRILLIAN CORP        EQUITY       87163L103     203       49,887   SH          SOLE    1        49,887         --        --
SYNTEL INC                  EQUITY       87162H103     455       10,950   SH          SOLE    1        10,950         --        --
SYNTROLEUM CORP EQUITY      EQUITY       871630109               102.00   SH        DEFINED   4            --         --       102
SYNUTRA INTERNATIONAL INC   EQUITY       87164C102     112        3,758   SH          SOLE    1         3,758         --        --
SYSCO CORP                  EQUITY       871829107   11583      325,470   SH          SOLE    1       325,470         --        --
SYSCO CORP                  EQUITY       871829107    5300      148,929   SH          SOLE    2       148,929         --        --
SYSCO CORP EQUITY           EQUITY       871829107     219     6,163.00   SH        DEFINED   4            --         --     6,163
SYSTEMAX INC                EQUITY       871851101     189        9,232   SH          SOLE    1         9,232         --        --
SYSTEMAX INC EQUITY         EQUITY       871851101       1        45.00   SH        DEFINED   4            --         --        45
T ROWE PRICE GROUP INC      EQUITY       74144T108    6603      118,569   SH          SOLE    1       118,569         --        --
T ROWE PRICE GROUP INC      EQUITY       74144T108      19          334   SH          SOLE    2           334         --        --
T-3 ENERGY SERVICES INC     EQUITY       87306E107     203        4,754   SH          SOLE    1         4,754         --        --
T-3 ENERGY SERVICES INC     EQUITY       87306E107    3121       73,200   SH          SOLE    3        64,300         --     8,900
TAIWAN SEMICONDUCTOR
    MFG LTD CALL            OPTION       874039900                (5.00)     C      DEFINED   4            --         --        (5)
TAIWAN SEMICONDUCTOR
    MFG LTD SPONSORED ADR   EQUITY       874039100      90     8,922.00   SH        DEFINED   4            --         --     8,922
TAIWAN SEMICONDUCTOR-SP ADR EQUITY       874039100    5877      580,724   SH          SOLE    1       580,724         --        --
TAKE-TWO INTERACTIVE
    SOFTWRE                 EQUITY       874054109    1244       72,834   SH          SOLE    1        72,834         --        --
TAL INTERNATIONAL GROUP INC EQUITY       874083108     358       14,289   SH          SOLE    1        14,289         --        --
TALBOTS INC                 EQUITY       874161102     363       20,154   SH          SOLE    1        20,154         --        --
TALEO CORP-CLASS A          EQUITY       87424N104     365       14,372   SH          SOLE    1        14,372         --        --
TALISMAN ENERGY INC         EQUITY       87425E103    7743      394,995   SH         OTHER    1            --    394,995        --
TALISMAN ENERGY INC EQUITY  EQUITY       87425E103     110     5,600.00   SH        DEFINED   4            --         --     5,600
TANGER FACTORY OUTLET
    CENTER                  EQUITY       875465106    1266       31,192   SH          SOLE    1        31,192         --        --
TARGET CORP                 EQUITY       87612E106   44444      699,135   SH          SOLE    1       699,135         --        --
TARGET CORP                 EQUITY       87612E106    5274       82,967   SH          SOLE    2        82,967         --        --
TARGET CORP EQUITY          EQUITY       87612E106     328     5,165.99   SH        DEFINED   4            --         --     5,166
TARRAGON CORP               EQUITY       876287103      32       12,030   SH          SOLE    1        12,030         --        --
TASER INTERNATIONAL INC     EQUITY       87651B104     849       54,084   SH          SOLE    1        54,084         --        --
TASER INTL INC EQUITY       EQUITY       87651B104      15       981.00   SH        DEFINED   4            --         --       981
TASTY BAKING CO EQUITY      EQUITY       876553306      10     1,000.00   SH        DEFINED   4            --         --     1,000
TAUBMAN CENTERS INC         EQUITY       876664103    5060       92,421   SH          SOLE    1        92,421         --        --
TAUBMAN CTRS INC EQUITY     EQUITY       876664103       3        50.00   SH        DEFINED   4            --         --        50
TAYLOR CAPITAL GROUP INC    EQUITY       876851106     141        5,033   SH          SOLE    1         5,033         --        --
TCF FINANCIAL CORP          EQUITY       872275102    7170      273,876   SH          SOLE    1       273,876         --        --
TCW STRATEGIC INEQUITYE
    FUND IN EQUITY          EQUITY       872340104      24     5,950.00   SH        DEFINED   4            --         --     5,950
TD AMERITRADE HLDG CORP
    EQUITY                  EQUITY       87236Y108       8       425.00   SH        DEFINED   4            --         --       425
TD AMERITRADE HOLDING CORP  EQUITY       87236Y108      96        5,275   SH          SOLE    1         5,275         --        --
TD AMERITRADE HOLDING CORP  EQUITY       87236Y108   13805      757,700   SH          SOLE    2       757,700         --        --
TEAM INC                    EQUITY       878155100     379       13,826   SH          SOLE    1        13,826         --        --
TECH DATA CORP              EQUITY       878237106    5535      137,955   SH          SOLE    1       137,955         --        --
TECHNE CORP                 EQUITY       878377100    6170       97,812   SH          SOLE    1        97,812         --        --
TECHNE CORP EQUITY          EQUITY       878377100     123     1,943.00   SH        DEFINED   4            --         --     1,943
TECHNITROL INC              EQUITY       878555101    1096       40,676   SH          SOLE    1        40,676         --        --
TECHNOLOGY INVSTMT CAP CORP EQUITY       878717305     248       18,565   SH          SOLE    1        18,565         --        --
TECHNOLOGY INVT CAP CORP
    EQUITY                  EQUITY       878717305     218    15,492.04   SH        DEFINED   4            --         --    15,492
TECHTARGET                  EQUITY       87874R100     113        6,667   SH          SOLE    1         6,667         --        --
TECHWELL INC                EQUITY       87874D101     138       12,986   SH          SOLE    1        12,986         --        --
TECK COMINCO LTD-CL B       EQUITY       878742204     437        9,002   SH         OTHER    1            --      9,002        --
TECK EQUITYINCO LTD CL B    EQUITY       878742204      23       485.00   SH        DEFINED   4            --         --       485
TECO ENERGY INC             EQUITY       872375100    3310      201,442   SH          SOLE    1       201,442         --        --
TECO ENERGY INC             EQUITY       872375100       4          265   SH          SOLE    2           265         --        --
TECO ENERGY INC EQUITY      EQUITY       872375100       6       359.54   SH        DEFINED   4            --         --       360
TECUMSEH PRODUCTS CO-CL A   EQUITY       878895200     259       13,452   SH          SOLE    1        13,452         --        --
TEEKAY LNG PARTNERS L P
    PRTNRSP UNITS           EQUITY       Y8564M105      23       683.00   SH        DEFINED   4            --         --       683





                                                                                        
TEJON RANCH CO              EQUITY       879080109     399        9,649   SH          SOLE    1         9,649         --        --
TEKELEC                     EQUITY       879101103     643       53,110   SH          SOLE    1        53,110         --        --
TEKTRONIX INC               EQUITY       879131100     979       35,282   SH          SOLE    1        35,282         --        --
TEKTRONIX INC               EQUITY       879131100       3           96   SH          SOLE    2            96         --        --
TEKTRONIX INC EQUITY        EQUITY       879131100       5       194.00   SH        DEFINED   4            --         --       194
TELE NORTE LESTE PART S A
    SPON ADR PFD            EQUITY       879246106       9       394.00   SH        DEFINED   4            --         --       394
TELEDYNE TECHNOLOGIES INC   EQUITY       879360105    1862       34,868   SH          SOLE    1        34,868         --        --
TELEEQUITY HLDRS TR
    DEPOSITRY RCPT          EQUITY       87927P200                10.00   SH        DEFINED   4            --         --        10
TELEEQUITY ITALIA S P A
    NEW SPON ADR ORD        EQUITY       87927Y102       3        86.00   SH        DEFINED   4            --         --        86
TELEEQUITYMUNICATION SYS
    INC CL A                EQUITY       87929J103       2       500.00   SH        DEFINED   4            --         --       500
TELEEQUITYUNICACOES
    BRASILEIRAS SPONSORED
    ADR                     EQUITY       879287308       7       294.00   SH        DEFINED   4            --         --       294
TELEFLEX INC                EQUITY       879369106    7700       98,824   SH          SOLE    1        98,824         --        --
TELEFONICA DE ARGENTINA S A
    SPONSORED ADR           EQUITY       879378404       2       122.00   SH        DEFINED   4            --         --       122
TELEFONICA S A SPONSORED
    ADR                     EQUITY       879382208      26       314.00   SH        DEFINED   4            --         --       314
TELEFONOS DE MEXICO S A B
    SPON ADR ORD L          EQUITY       879403780      48     1,460.00   SH        DEFINED   4            --         --     1,460
TELEKOMUNIK INDONESIA-SP
    ADR                     EQUITY       715684106   23324      477,750   SH          SOLE    1       477,750         --        --
TELEPHONE & DATA SYS INC
    EQUITY                  EQUITY       879433100       4        55.00   SH        DEFINED   4            --         --        55
TELEPHONE & DATA SYS INC
    SPL EQUITY              EQUITY       879433860       3        55.00   SH        DEFINED   4            --         --        55
TELEPHONE AND DATA SYSTEMS  EQUITY       879433100   17761      266,078   SH          SOLE    1       266,078         --        --
TELETECH HOLDINGS INC       EQUITY       879939106     871       36,414   SH          SOLE    1        36,414         --        --
TELETECH HOLDINGS INC
    EQUITY                  EQUITY       879939106       1        40.00   SH        DEFINED   4            --         --        40
TELIK INC                   EQUITY       87959M109     133       45,564   SH          SOLE    1        45,564         --        --
TELLABS INC                 EQUITY       879664100    2068      217,270   SH          SOLE    1       217,270         --        --
TELLABS INC                 EQUITY       879664100       5          553   SH          SOLE    2           553         --        --
TELLABS INC EQUITY          EQUITY       879664100       1       100.00   SH        DEFINED   4            --         --       100
TELULAR CORP                EQUITY       87970T208    1459      209,900   SH          SOLE    3       209,900         --        --
TELUS CORP NON-VTG SHS      EQUITY       87971M202      18       319.00   SH        DEFINED   4            --         --       319
TELUS CORPORATION -NON VOTE EQUITY       87971M202     182        3,311   SH         OTHER    1            --      3,311        --
TEMPLE INLAND INC EQUITY    EQUITY       879868107       6       112.00   SH        DEFINED   4            --         --       112
TEMPLE-INLAND INC           EQUITY       879868107    2611       49,610   SH          SOLE    1        49,610         --        --
TEMPLE-INLAND INC           EQUITY       879868107       7          134   SH          SOLE    2           134         --        --
TEMPLETON DRAGON FD INC
    EQUITY                  EQUITY       88018T101      16       491.00   SH P      DEFINED   4            --         --       491
TEMPLETON EMERG MKTS
    INEQUITYE EQUITY        EQUITY       880192109      87     6,179.49   SH        DEFINED   4            --         --     6,179
TEMPLETON EMERGING MKTS
    FD I EQUITY             EQUITY       880191101       5       219.72   SH        DEFINED   4            --         --       220
TEMPLETON GLOBAL INEQUITYE
    FD EQUITY               EQUITY       880198106    3326   343,943.77   SH        DEFINED   4            --         --   343,944
TEMPLETON RUS AND EAST EUR
    F EQUITY                EQUITY       88022F105      50       725.00   SH        DEFINED   4            --         --       725
TEMPUR PEDIC INTL INC
    EQUITY                  EQUITY       88023U101       2        47.00   SH        DEFINED   4            --         --        47
TEMPUR-PEDIC INTERNATIONAL  EQUITY       88023U101    4193      117,292   SH          SOLE    1       117,292         --        --
TEMPUR-PEDIC INTERNATIONAL  EQUITY       88023U101    3128       87,500   SH          SOLE    3        66,300         --    21,200
TENARIS SA-ADR              EQUITY       88031M109   13536      257,237   SH          SOLE    1       257,237         --        --
TENET HEALTHCARE CORP       EQUITY       88033G100     707      210,299   SH          SOLE    1       210,299         --        --
TENET HEALTHCARE CORP       EQUITY       88033G100       2          597   SH          SOLE    2           597         --        --
TENET HEALTHCARE CORP
    EQUITY                  EQUITY       88033G100       1       350.00   SH        DEFINED   4            --         --       350
TENNANT CO                  EQUITY       880345103     715       14,675   SH          SOLE    1        14,675         --        --
TENNECO INC                 EQUITY       880349105    1250       40,311   SH          SOLE    1        40,311         --        --
TENNECO INC EQUITY          EQUITY       880349105       7       220.00   SH        DEFINED   4            --         --       220
TEPPCO PARTNERS L P UT
    LTD PARTNER             EQUITY       872384102      31       815.02   SH        DEFINED   4            --         --       815
TERADYNE INC                EQUITY       880770102    1813      131,408   SH          SOLE    1       131,408         --        --
TERADYNE INC                EQUITY       880770102       3          239   SH          SOLE    2           239         --        --
TERADYNE INC EQUITY         EQUITY       880770102      40     2,872.00   SH        DEFINED   4            --         --     2,872
TERCICA INC                 EQUITY       88078L105     178       28,669   SH          SOLE    1        28,669         --        --
TEREX CORP                  EQUITY       880779103    5984       67,226   SH          SOLE    1        67,226         --        --
TEREX CORP                  EQUITY       880779103      11          128   SH          SOLE    2           128         --        --
TEREX CORP NEW EQUITY       EQUITY       880779103    1634    18,350.00   SH        DEFINED   4            --         --    18,350
TERRA INDS INC EQUITY       EQUITY       880915103     157     5,018.00   SH        DEFINED   4            --         --     5,018
TERRA INDUSTRIES INC        EQUITY       880915103    3641      116,474   SH          SOLE    1       116,474         --        --
TERRA INDUSTRIES INC        EQUITY       880915103     944       30,200   SH          SOLE    2        30,200         --        --
TERRA NITROGEN CO L P
    EQUITY UNIT             EQUITY       881005201     120       950.00   SH        DEFINED   4            --         --       950
TERREMARK WORLDWIDE INC     EQUITY       881448203     300       41,892   SH          SOLE    1        41,892         --        --
TESORO CORP                 EQUITY       881609101    2777       60,337   SH          SOLE    1        60,337         --        --
TESORO CORP                 EQUITY       881609101       8          173   SH          SOLE    2           173         --        --
TESORO CORP EQUITY          EQUITY       881609101     365     7,928.00   SH        DEFINED   4            --         --     7,928
TESSERA TECHNOLOGIES INC    EQUITY       88164L100    1565       41,744   SH          SOLE    1        41,744         --        --
TESSERA TECHNOLOGIES INC    EQUITY       88164L100    8704      232,100   SH          SOLE    2       232,100         --        --
TETRA TECH INC              EQUITY       88162G103    1224       57,946   SH          SOLE    1        57,946         --        --
TETRA TECHNOLOGIES INC      EQUITY       88162F105     169        7,997   SH          SOLE    1         7,997         --        --
TETRA TECHNOLOGIES INC      EQUITY       88162F105    5689      269,100   SH          SOLE    2       269,100         --        --
TEVA PHARMACEUTICAL INDS
    LTD ADR                 EQUITY       881624209     173     3,897.00   SH        DEFINED   4            --         --     3,897
TEVA PHARMACEUTICAL-SP ADR  EQUITY       881624209   38491      865,553   SH          SOLE    1       865,553         --        --
TEXAS CAPITAL BANCSHARES
    INC                     EQUITY       88224Q107     443       20,375   SH          SOLE    1        20,375         --        --





                                                                                        
TEXAS INDUSTRIES INC        EQUITY       882491103    2137       27,229   SH          SOLE    1        27,229         --        --
TEXAS INSTRS INC EQUITY     EQUITY       882508104     210     5,743.00   SH        DEFINED   4            --         --     5,743
TEXAS INSTRUMENTS INC       EQUITY       882508104   47305    1,295,309   SH          SOLE    1     1,295,309         --        --
TEXAS INSTRUMENTS INC       EQUITY       882508104   10139      277,102   SH          SOLE    2       277,102         --        --
TEXAS ROADHOUSE INC-CLASS A EQUITY       882681109     617       52,705   SH          SOLE    1        52,705         --        --
TEXTRON INC                 EQUITY       883203101    7028      112,966   SH          SOLE    1       112,966         --        --
TEXTRON INC                 EQUITY       883203101    1264       20,315   SH          SOLE    2        20,315         --        --
TFS FINANCIAL CORP          EQUITY       87240R107      47        3,660   SH          SOLE    1         3,660         --        --
TFS FINL CORP EQUITY        EQUITY       87240R107      13     1,000.00   SH        DEFINED   4            --         --     1,000
THE BUCKLE INC              EQUITY       118440106     465       12,248   SH          SOLE    1        12,248         --        --
THE COOPER COS INC          EQUITY       216648402     347        6,620   SH          SOLE    1         6,620         --        --
THE FINISH LINE-CL A        EQUITY       317923100     184       42,326   SH          SOLE    1        42,326         --        --
THE MEN'S WEARHOUSE INC     EQUITY       587118100    2724       53,918   SH          SOLE    1        53,918         --        --
THE ST JOE COMPANY          EQUITY       790148100      83        2,463   SH          SOLE    1         2,463         --        --
THE STEAK N SHAKE COMPANY   EQUITY       857873103     425       28,329   SH          SOLE    1        28,329         --        --
THE WALT DISNEY CO          EQUITY       254687106   98274    2,857,620   SH          SOLE    1     2,857,620         --        --
THE WALT DISNEY CO          EQUITY       254687106   29625      861,447   SH          SOLE    2       861,447         --        --
THE9 LTD ADR                EQUITY       88337K104      10       300.00   SH        DEFINED   4            --         --       300
THE9 LTD-ADR                EQUITY       88337K104    3597      104,300   SH          SOLE    1       104,300         --        --
THERAGENICS CORP            EQUITY       883375107      19        4,185   SH          SOLE    1         4,185         --        --
THERAVANCE INC              EQUITY       88338T104    1870       71,684   SH          SOLE    1        71,684         --        --
THERMO FISHER SCIENTIFIC
    INC                     EQUITY       883556102   10512      182,113   SH          SOLE    1       182,113         --        --
THERMO FISHER SCIENTIFIC
    INC                     EQUITY       883556102    7823      135,538   SH          SOLE    2       135,538         --        --
THERMO FISHER SCIENTIFIC
    INC EQUITY              EQUITY       883556102      67     1,159.00   SH        DEFINED   4            --         --     1,159
THESTREET.COM INC           EQUITY       88368Q103     218       17,986   SH          SOLE    1        17,986         --        --
THOMAS & BETTS CORP         EQUITY       884315102    7449      127,025   SH          SOLE    1       127,025         --        --
THOMAS PROPERTIES GROUP     EQUITY       884453101     248       20,653   SH          SOLE    1        20,653         --        --
THOMAS WEISEL PARTNERS
    GROUP                   EQUITY       884481102     820       56,516   SH          SOLE    1        56,516         --        --
THOMSON CORP                EQUITY       884903105     206        4,783   SH         OTHER    1            --      4,783        --
THOMSON CORP EQUITY         EQUITY       884903105      13       300.00   SH        DEFINED   4            --         --       300
THOMSON SPONSORED ADR       EQUITY       885118109      41     2,658.00   SH        DEFINED   4            --         --     2,658
THOR INDS INC EQUITY        EQUITY       885160101      25       559.33   SH        DEFINED   4            --         --       559
THOR INDUSTRIES INC         EQUITY       885160101    3890       86,453   SH          SOLE    1        86,453         --        --
THORATEC CORP               EQUITY       885175307    1867       90,243   SH          SOLE    1        90,243         --        --
THORNBURG MORTGAGE INC      EQUITY       885218107      58        4,552   SH          SOLE    1         4,552         --        --
THORNBURG MTG INC EQUITY    EQUITY       885218107      83     6,494.37   SH        DEFINED   4            --         --     6,494
THQ INC                     EQUITY       872443403    1666       66,677   SH          SOLE    1        66,677         --        --
THQ INC                     EQUITY       872443403     327       13,100   SH          SOLE    2        13,100         --        --
TIBCO SOFTWARE INC          EQUITY       88632Q103    1342      181,587   SH          SOLE    1       181,587         --        --
TIDEWATER INC               EQUITY       886423102    8737      139,043   SH          SOLE    1       139,043         --        --
TIDEWATER INC CALL          OPTION       886423902      -1        (2.00)     C      DEFINED   4            --         --        (2)
TIDEWATER INC EQUITY        EQUITY       886423102      18       279.00   SH        DEFINED   4            --         --       279
TIENS BIOTECH GROUP USA INC EQUITY       88650T104      10        3,028   SH          SOLE    1         3,028         --        --
TIERONE CORP                EQUITY       88650R108     417       15,759   SH          SOLE    1        15,759         --        --
TIERONE CORP EQUITY         EQUITY       88650R108       3       100.00   SH        DEFINED   4            --         --       100
TIFFANY & CO                EQUITY       886547108    3197       61,078   SH          SOLE    1        61,078         --        --
TIFFANY & CO                EQUITY       886547108      67        1,272   SH          SOLE    2         1,272         --        --
TIM HORTONS INC EQUITY      EQUITY       88706M103      14       415.00   SH        DEFINED   4            --         --       415
TIM PARTICIPACOES S A SPONS
    ADR PFD                 EQUITY       88706P106                 1.00   SH        DEFINED   4            --         --         1
TIMBERLAND CO CL A          EQUITY       887100105      20     1,066.00   SH        DEFINED   4            --         --     1,066
TIMBERLAND CO-CL A          EQUITY       887100105    3133      165,234   SH          SOLE    1       165,234         --        --
TIME WARNER CABLE-A         EQUITY       88732J108    5560      169,508   SH          SOLE    1       169,508         --        --
TIME WARNER CABLE-A         EQUITY       88732J108    4025      122,700   SH          SOLE    2       122,700         --        --
TIME WARNER INC             EQUITY       887317105   56315    3,066,881   SH          SOLE    1     3,066,881         --        --
TIME WARNER INC             EQUITY       887317105     246       13,402   SH          SOLE    2        13,402         --        --
TIME WARNER INC EQUITY      EQUITY       887317105     253    13,762.00   SH        DEFINED   4            --         --    13,762
TIME WARNER TELECOM-CLASS A EQUITY       887319101    2769      126,038   SH          SOLE    1       126,038         --        --
TIME WARNER TELECOM-CLASS A EQUITY       887319101    5655      257,400   SH          SOLE    2       257,400         --        --
TIMKEN CO                   EQUITY       887389104    8852      238,287   SH          SOLE    1       238,287         --        --
TITAN INTERNATIONAL INC     EQUITY       88830M102     670       20,995   SH          SOLE    1        20,995         --        --
TITANIUM METALS CORP        EQUITY       888339207   26409      786,926   SH          SOLE    1       786,926         --        --
TITANIUM METALS CORP EQUITY
    NEW                     EQUITY       888339207      16       478.00   SH        DEFINED   4            --         --       478
TIVO INC                    EQUITY       888706108     540       85,017   SH          SOLE    1        85,017         --        --
TIVO INC                    EQUITY       888706108     413       65,000   SH          SOLE    2        65,000         --        --
TJX COMPANIES INC           EQUITY       872540109   22749      777,720   SH          SOLE    1       777,720         --        --
TJX COMPANIES INC           EQUITY       872540109      16          561   SH          SOLE    2           561         --        --
TJX COS INC NEW EQUITY      EQUITY       872540109       8       262.00   SH        DEFINED   4            --         --       262
TLC VISION CORP EQUITY      EQUITY       872549100       1       200.00   SH        DEFINED   4            --         --       200
TNS INC                     EQUITY       872960109     340       21,146   SH          SOLE    1        21,146         --        --
TOLL BROTHERS INC           EQUITY       889478103    6372      318,755   SH          SOLE    1       318,755         --        --





                                                                                        
TOLL BROTHERS INC EQUITY    EQUITY       889478103      13       664.00   SH        DEFINED   4            --         --       664
TOLLGRADE COMMUNICATIONS I
    NC                      EQUITY       889542106      17        1,670   SH          SOLE    1         1,670         --        --
TOMOTHERAPY INC             EQUITY       890088107     237       10,217   SH          SOLE    1        10,217         --        --
TOMPKINS FINANCIAL CORP     EQUITY       890110109     227        5,718   SH          SOLE    1         5,718         --        --
TOOTSIE ROLL INDS           EQUITY       890516107    2592       97,709   SH          SOLE    1        97,709         --        --
TOOTSIE ROLL INDS INC
    EQUITY                  EQUITY       890516107      40     1,505.00   SH        DEFINED   4            --         --     1,505
TOPPS COMPANY INC (THE)     EQUITY       890786106     285       29,364   SH          SOLE    1        29,364         --        --
TORCH ENERGY ROYALTY TRUST
    UNIT BEN INT            EQUITY       891013104       9       925.00   SH        DEFINED   4            --         --       925
TORCHMARK CORP              EQUITY       891027104   12380      198,659   SH          SOLE    1       198,659         --        --
TORCHMARK CORP              EQUITY       891027104       8          121   SH          SOLE    2           121         --        --
TORCHMARK CORP EQUITY       EQUITY       891027104       2        29.00   SH        DEFINED   4            --         --        29
TOREADOR RESOURCES CORP     EQUITY       891050106     156       13,149   SH          SOLE    1        13,149         --        --
TORO CO                     EQUITY       891092108     316        5,365   SH          SOLE    1         5,365         --        --
TORO CO EQUITY              EQUITY       891092108      76     1,300.00   SH        DEFINED   4            --         --     1,300
TORONTO-DOMINION BANK       EQUITY       891160509   15739      204,984   SH         OTHER    1            --    204,984        --
TORTOISE ENERGY CAP CORP
    EQUITY                  EQUITY       89147U100       8       300.00   SH        DEFINED   4            --         --       300
TOTAL S A SPONSORED ADR     EQUITY       89151E109      36       450.00   SH        DEFINED   4            --         --       450
TOTAL SYS SVCS INC EQUITY   EQUITY       891906109       3       100.00   SH        DEFINED   4            --         --       100
TOTAL SYSTEM SERVICES INC   EQUITY       891906109      54        1,942   SH          SOLE    1         1,942         --        --
TOWER FINANCIAL CORP EQUITY EQUITY       891769101      29     2,092.00   SH        DEFINED   4            --         --     2,092
TOWER GROUP INC             EQUITY       891777104     522       19,937   SH          SOLE    1        19,937         --        --
TOWN SPORTS INTERNATIONAL   EQUITY       89214A102     215       14,131   SH          SOLE    1        14,131         --        --
TOYOTA MOTOR CORP SP ADR
    REP2EQUITY              EQUITY       892331307     158     1,351.00   SH        DEFINED   4            --         --     1,351
TRACTOR SUPPLY CO EQUITY    EQUITY       892356106      35       750.00   SH        DEFINED   4            --         --       750
TRACTOR SUPPLY COMPANY      EQUITY       892356106     246        5,346   SH          SOLE    1         5,346         --        --
TRADESTATION GROUP INC      EQUITY       89267P105     338       28,959   SH          SOLE    1        28,959         --        --
TRADESTATION GROUP INC      EQUITY       89267P105    1036       88,800   SH          SOLE    2        88,800         --        --
TRANSALTA CORP              EQUITY       89346D107     142        4,697   SH         OTHER    1            --      4,697        --
TRANSATLANTIC HOLDINGS INC  EQUITY       893521104      56          800   SH          SOLE    1           800         --        --
TRANSATLANTIC HOLDINGS INC  EQUITY       893521104 2749387   39,092,662   SH          SOLE    1    39,092,662         --        --
TRANSCANADA CORP            EQUITY       89353D107     398       10,997   SH         OTHER    1            --     10,997        --
TRANSCANADA CORP EQUITY     EQUITY       89353D107      49     1,333.00   SH        DEFINED   4            --         --     1,333
TRANSCEND SERVICES INC
    EQUITY NEW              EQUITY       893929208       1        36.00   SH        DEFINED   4            --         --        36
TRANSDIGM GROUP INC         EQUITY       893641100     373        8,158   SH          SOLE    1         8,158         --        --
TRANSMERIDIAN EXPLORATION   EQUITY       89376N108     228      109,699   SH          SOLE    1       109,699         --        --
TRANSOCEAN INC              EQUITY       G90078109      41          365   SH          SOLE    2           365         --        --
TRANSOCEAN INC ORD          EQUITY       G90078109    2840    25,125.00   SH        DEFINED   4            --         --    25,125
TRANSWITCH CORP EQUITY      EQUITY       894065101               240.00   SH        DEFINED   4            --         --       240
TRAVELCENTERS OF AMERICA
    LLC EQUITY              EQUITY       894174101      20       607.00   SH        DEFINED   4            --         --       607
TRAVELERS COS INC/THE       EQUITY       89417E109   77437    1,537,209   SH          SOLE    1     1,537,209         --        --
TRAVELERS COS INC/THE       EQUITY       89417E109      42          828   SH          SOLE    2           828         --        --
TRAVELERS EQUITYPANIES
    INC EQUITY              EQUITY       89417E109      62     1,221.73   SH        DEFINED   4            --         --     1,222
TRAVELZOO INC               EQUITY       89421Q106     150        6,527   SH          SOLE    1         6,527         --        --
TRAVELZOO INC EQUITY        EQUITY       89421Q106                10.00   SH        DEFINED   4            --         --        10
TREDEGAR CORP               EQUITY       894650100     525       30,431   SH          SOLE    1        30,431         --        --
TREEHOUSE FOODS INC         EQUITY       89469A104     842       31,118   SH          SOLE    1        31,118         --        --
TREX COMPANY INC            EQUITY       89531P105     116       10,400   SH          SOLE    1        10,400         --        --
TRI CONTL CORP EQUITY       EQUITY       895436103      79     3,252.00   SH        DEFINED   4            --         --     3,252
TRIAD GUARANTY INC          EQUITY       895925105     218       11,517   SH          SOLE    1        11,517         --        --
TRIARC COS-B                EQUITY       895927309     786       62,811   SH          SOLE    1        62,811         --        --
TRIBUNE CO                  EQUITY       896047107     994       36,385   SH          SOLE    1        36,385         --        --
TRIBUNE CO                  EQUITY       896047107       3           97   SH          SOLE    2            97         --        --
TRIBUNE CO NEW EQUITY       EQUITY       896047107      20       716.00   SH        DEFINED   4            --         --       716
TRICO BANCSHARES            EQUITY       896095106     273       12,258   SH          SOLE    1        12,258         --        --
TRICO MARINE SERVICES INC   EQUITY       896106200   22441      728,171   SH          SOLE    1       728,171         --        --
TRICO MARINE SERVICES INC   EQUITY       896106200    1895       63,588   SH          SOLE    2        63,588         --        --
TRIDENT MICROSYSTEMS INC    EQUITY       895919108     791       49,766   SH          SOLE    1        49,766         --        --
TRIDENT MICROSYSTEMS INC    EQUITY       895919108    7694      484,200   SH          SOLE    2       484,200         --        --
TRIDENT MICROSYSTEMS INC
    EQUITY                  EQUITY       895919108      18       800.00   SH        DEFINED   4            --         --       800
TRIMAS CORP                 EQUITY       896215209     155       11,657   SH          SOLE    1        11,657         --        --
TRIMBLE NAVIGATION LTD      EQUITY       896239100     700       17,847   SH          SOLE    1        17,847         --        --
TRINITY INDS INC EQUITY     EQUITY       896522109      75     2,000.00   SH        DEFINED   4            --         --     2,000
TRINITY INDUSTRIES INC      EQUITY       896522109    7600      202,457   SH          SOLE    1       202,457         --        --
TRIQUINT SEMICONDUCTOR INC  EQUITY       89674K103    2281      464,522   SH          SOLE    1       464,522         --        --
TRIUMPH GROUP INC           EQUITY       896818101    1343       16,442   SH          SOLE    1        16,442         --        --
TRIUMPH GROUP INC           EQUITY       896818101     662        8,100   SH          SOLE    2         8,100         --        --
TRIZETTO GROUP INC          EQUITY       896882107     691       39,438   SH          SOLE    1        39,438         --        --
TRONOX INC EQUITY CL B      EQUITY       897051207       1        57.00   SH        DEFINED   4            --         --        57
TRONOX INC-CLASS B          EQUITY       897051207     374       41,407   SH          SOLE    1        41,407         --        --
TRUBION PHARMACEUTICALS INC EQUITY       89778N102      92        7,553   SH          SOLE    1         7,553         --        --





                                                                                        
TRUE RELIGION APPAREL INC   EQUITY       89784N104    1285       73,032   SH          SOLE    1        73,032         --        --
TRUE RELIGION APPAREL INC   EQUITY       89784N104    3766      214,000   SH          SOLE    3       185,200         --    28,800
TRUMP ENTERTAINMENT RESORTS EQUITY       89816T103     175       27,057   SH          SOLE    1        27,057         --        --
TRUSTCO BANK CORP NY        EQUITY       898349105     819       74,903   SH          SOLE    1        74,903         --        --
TRUSTMARK CORP              EQUITY       898402102    1196       42,638   SH          SOLE    1        42,638         --        --
TRUSTMARK CORP EQUITY       EQUITY       898402102      28     1,000.00   SH        DEFINED   4            --         --     1,000
TRW AUTOMOTIVE HOLDINGS
    CORP                    EQUITY       87264S106      83        2,617   SH          SOLE    1         2,617         --        --
TTM TECHNOLOGIES            EQUITY       87305R109     487       42,130   SH          SOLE    1        42,130         --        --
TUESDAY MORNING CORP        EQUITY       899035505     268       29,851   SH          SOLE    1        29,851         --        --
TUPPERWARE BRANDS CORP      EQUITY       899896104    6485      205,932   SH          SOLE    1       205,932         --        --
TUPPERWARE BRANDS CORP
    EQUITY                  EQUITY       899896104      20       621.74   SH        DEFINED   4            --         --       622
TURBOCHEF TECHNOLOGIES INC  EQUITY       900006206     226       17,101   SH          SOLE    1        17,101         --        --
TURKCELL ILETISIM
    HIZMETLERI SPON ADR NEW EQUITY       900111204      21     1,000.00   SH        DEFINED   4            --         --     1,000
TVI CORP NEW EQUITY         EQUITY       872916101       8    21,500.00   SH        DEFINED   4            --         --    21,500
TWEEN BRANDS INC            EQUITY       901166108    1005       30,602   SH          SOLE    1        30,602         --        --
TWIN DISC INC               EQUITY       901476101     231        3,973   SH          SOLE    1         3,973         --        --
TXCO RESOURCES INC          EQUITY       87311M102     264       29,473   SH          SOLE    1        29,473         --        --
TXU CORP EQUITY             EQUITY       873168108     147     2,144.00   SH        DEFINED   4            --         --     2,144
TYCO ELECTRONICS LTD        EQUITY       G9144P105      22          627   SH          SOLE    2           627         --        --
TYCO ELECTRONICS LTD EQUITY
    NEW                     EQUITY       G9144P105      96     2,717.00   SH        DEFINED   4            --         --     2,717
TYCO INTERNATIONAL LTD      EQUITY       G9143X208      28          627   SH          SOLE    2           627         --        --
TYCO INTL LTD BERMUDA CALL  OPTION       G9143X908      -1       (10.00)     C      DEFINED   4            --         --       (10)
TYCO INTL LTD BERMUDA SHS   EQUITY       G9143X208     156     3,516.00   SH        DEFINED   4            --         --     3,516
TYLER TECHNOLOGIES INC      EQUITY       902252105     510       38,223   SH          SOLE    1        38,223         --        --
TYLER TECHNOLOGIES INC
    EQUITY                  EQUITY       902252105      13     1,000.00   SH        DEFINED   4            --         --     1,000
TYSON FOODS INC CL A        EQUITY       902494103      46     2,605.00   SH        DEFINED   4            --         --     2,605
TYSON FOODS INC-CL A        EQUITY       902494103    2301      128,899   SH          SOLE    1       128,899         --        --
TYSON FOODS INC-CL A        EQUITY       902494103       6          347   SH          SOLE    2           347         --        --
U S AIRWAYS GROUP INC
    EQUITY                  EQUITY       90341W108       5       206.00   SH        DEFINED   4            --         --       206
U S CONCRETE INC            EQUITY       90333L102     195       29,570   SH          SOLE    1        29,570         --        --
U S ENERGY SYS INC EQUITY   EQUITY       902951102       3     4,000.00   SH        DEFINED   4            --         --     4,000
U S GOLD CORP               EQUITY       912023207     281       44,814   SH          SOLE    1        44,814         --        --
U S SHIPPING PARTNERS L P
    EQUITY UNIT             EQUITY       903417103      14       730.00   SH        DEFINED   4            --         --       730
U.S. GLOBAL INVESTORS INC-A EQUITY       902952100     195       10,274   SH          SOLE    1        10,274         --        --
UAL CORP                    EQUITY       902549807    1376       29,563   SH          SOLE    1        29,563         --        --
UAP HOLDING CORP            EQUITY       903441103    1406       44,833   SH          SOLE    1        44,833         --        --
UBS AG SHS NEW              EQUITY       H89231338     184     3,442.00   SH        DEFINED   4            --         --     3,442
UCBH HOLDINGS INC           EQUITY       90262T308    1750      100,091   SH          SOLE    1       100,091         --        --
UDR INC                     EQUITY       902653104    8157      335,386   SH          SOLE    1       335,386         --        --
UDR INC EQUITY              EQUITY       902653104       3       111.00   SH        DEFINED   4            --         --       111
UGI CORP                    EQUITY       902681105     453       17,421   SH          SOLE    1        17,421         --        --
UGI CORP NEW EQUITY         EQUITY       902681105       3       120.00   SH        DEFINED   4            --         --       120
UIL HOLDINGS CORP           EQUITY       902748102     790       25,090   SH          SOLE    1        25,090         --        --
ULTIMATE SOFTWARE GROUP INC EQUITY       90385D107     751       21,506   SH          SOLE    1        21,506         --        --
ULTRA CLEAN HLDGS INC
    EQUITY                  EQUITY       90385V107    1851   125,932.00   SH        DEFINED   4            --         --   125,932
ULTRA CLEAN HOLDINGS        EQUITY       90385V107     242       16,503   SH          SOLE    1        16,503         --        --
ULTRA PETROLEUM CORP EQUITY EQUITY       903914109     132     2,127.00   SH        DEFINED   4            --         --     2,127
ULTRATECH INC               EQUITY       904034105     321       23,141   SH          SOLE    1        23,141         --        --
UMB FINANCIAL CORP          EQUITY       902788108    1156       26,978   SH          SOLE    1        26,978         --        --
UMPQUA HLDGS CORP EQUITY    EQUITY       904214103       2       100.00   SH        DEFINED   4            --         --       100
UMPQUA HOLDINGS CORP        EQUITY       904214103    1222       61,070   SH          SOLE    1        61,070         --        --
UNDER ARMOUR INC CL A       EQUITY       904311107      14       227.00   SH        DEFINED   4            --         --       227
UNDER ARMOUR INC-CLASS A    EQUITY       904311107   15687      262,242   SH          SOLE    1       262,242         --        --
UNIBANCO-GDR                EQUITY       90458E107   20294      154,270   SH          SOLE    1       154,270         --        --
UNICA CORP                  EQUITY       904583101      96        8,532   SH          SOLE    1         8,532         --        --
UNIFI INC                   EQUITY       904677101    3909    1,421,500   SH          SOLE    1     1,421,500         --        --
UNIFIRST CORP/MA            EQUITY       904708104     535       14,282   SH          SOLE    1        14,282         --        --
UNILEVER N V N Y SHS NEW    EQUITY       904784709      16       512.00   SH        DEFINED   4            --         --       512
UNILEVER PLC SPON ADR NEW   EQUITY       904767704      74     2,351.00   SH        DEFINED   4            --         --     2,351
UNION BANKSHARES CORP       EQUITY       905399101     264       11,611   SH          SOLE    1        11,611         --        --
UNION DRILLING INC          EQUITY       90653P105     175       11,996   SH          SOLE    1        11,996         --        --
UNION DRILLING INC EQUITY   EQUITY       90653P105      15     1,030.00   SH        DEFINED   4            --         --     1,030
UNION PAC CORP EQUITY       EQUITY       907818108      68       598.00   SH        DEFINED   4            --         --       598
UNION PACIFIC CORP          EQUITY       907818108   16061      142,057   SH          SOLE    1       142,057         --        --
UNION PACIFIC CORP          EQUITY       907818108      38          336   SH          SOLE    2           336         --        --
UNIONBANCAL CORPORATION     EQUITY       908906100     105        1,801   SH          SOLE    1         1,801         --        --
UNISOURCE ENERGY CORP CO    EQUITY       909205106    1051       35,173   SH          SOLE    1        35,173         --        --
UNISYS CORP                 EQUITY       909214108    1073      162,018   SH          SOLE    1       162,018         --        --
UNISYS CORP                 EQUITY       909214108       3          441   SH          SOLE    2           441         --        --
UNIT CORP                   EQUITY       909218109     283        5,837   SH          SOLE    1         5,837         --        --





                                                                                        
UNIT CORP                   EQUITY       909218109    7037      145,400   SH          SOLE    2       145,400         --        --
UNITED AMERICA INDEMNITY-A  EQUITY       90933T109     463       21,520   SH          SOLE    1        21,520         --        --
UNITED BANKSHARES INC       EQUITY       909907107    1163       38,215   SH          SOLE    1        38,215         --        --
UNITED CMNTY BKS BLAIRSVLE
    G CAP STK               EQUITY       90984P105     123     5,036.00   SH        DEFINED   4            --         --     5,036
UNITED CMNTY FINL CORP OHIO
    EQUITY                  EQUITY       909839102       4       500.00   SH        DEFINED   4            --         --       500
UNITED COMMUNITY BANKS/GA   EQUITY       90984P105    1014       41,359   SH          SOLE    1        41,359         --        --
UNITED COMMUNITY FINANCIAL  EQUITY       909839102     169       23,340   SH          SOLE    1        23,340         --        --
UNITED FIRE & CASUALTY CO   EQUITY       910331107     855       21,869   SH          SOLE    1        21,869         --        --
UNITED INDUSTRIAL CORP      EQUITY       910671106     556        7,384   SH          SOLE    1         7,384         --        --
UNITED INDUSTRIAL CORP      EQUITY       910671106    1091       14,500   SH          SOLE    2        14,500         --        --
UNITED MICROELECTRONICS
    CORP SPONSORED ADR      EQUITY       910873207       4     1,149.00   SH        DEFINED   4            --         --     1,149
UNITED NAT FOODS INC EQUITY EQUITY       911163103       5       200.00   SH        DEFINED   4            --         --       200
UNITED NATURAL FOODS INC    EQUITY       911163103    1162       42,673   SH          SOLE    1        42,673         --        --
UNITED ONLINE INC           EQUITY       911268100    1000       66,640   SH          SOLE    1        66,640         --        --
UNITED PARCEL SERVICE INC
    CL B                    EQUITY       911312106    1524    20,298.49   SH        DEFINED   4            --         --    20,298
UNITED PARCEL SERVICE-CL B  EQUITY       911312106  146842    1,955,173   SH          SOLE    1     1,955,173         --        --
UNITED PARCEL SERVICE-CL B  EQUITY       911312106    2300       30,624   SH          SOLE    2        30,624         --        --
UNITED RENTALS INC          EQUITY       911363109   14109      438,576   SH          SOLE    1       438,576         --        --
UNITED RETAIL GROUP INC
    EQUITY                  EQUITY       911380103      13       950.00   SH        DEFINED   4            --         --       950
UNITED SECURITY
    BANCSHARE/CA            EQUITY       911460103     134        7,114   SH          SOLE    1         7,114         --        --
UNITED STATES CELLULAR CORP
    EQUITY                  EQUITY       911684108       1        11.00   SH        DEFINED   4            --         --        11
UNITED STATES NATL GAS FUND
    UNIT                    EQUITY       912318102      61     1,605.00   SH        DEFINED   4            --         --     1,605
UNITED STATES OIL FUND LP
    UNITS                   EQUITY       91232N108      74     1,191.00   SH        DEFINED   4            --         --     1,191
UNITED STATES STEEL CORP    EQUITY       912909108   16372      154,636   SH          SOLE    1       154,636         --        --
UNITED STATES STEEL CORP    EQUITY       912909108      16          149   SH          SOLE    2           149         --        --
UNITED STATES STL CORP NEW
    EQUITY                  EQUITY       912909108     965     9,109.00   SH        DEFINED   4            --         --     9,109
UNITED STATIONERS INC       EQUITY       913004107    1543       27,785   SH          SOLE    1        27,785         --        --
UNITED TECHNOLOGIES CORP    EQUITY       913017109   85801    1,067,171   SH          SOLE    1     1,067,171         --        --
UNITED TECHNOLOGIES CORP    EQUITY       913017109   16599      206,251   SH          SOLE    2       206,251         --        --
UNITED TECHNOLOGIES CORP
    EQUITY                  EQUITY       913017109    1762    21,896.31   SH        DEFINED   4            --         --    21,896
UNITED THERAPEUTICS CORP    EQUITY       91307C102    1205       18,104   SH          SOLE    1        18,104         --        --
UNITED THERAPEUTICS CORP    EQUITY       91307C102     416        6,250   SH          SOLE    2         6,250         --        --
UNITEDHEALTH GROUP INC      EQUITY       91324P102   63485    1,309,801   SH          SOLE    1     1,309,801         --        --
UNITEDHEALTH GROUP INC      EQUITY       91324P102    7689      158,771   SH          SOLE    2       158,771         --        --
UNITEDHEALTH GROUP INC
    CALL                    OPTION       91324P902                (2.00)     C      DEFINED   4            --         --        (2)
UNITEDHEALTH GROUP INC
    EQUITY                  EQUITY       91324P102     710    14,658.54   SH        DEFINED   4            --         --    14,659
UNITRIN INC                 EQUITY       913275103    6462      130,318   SH          SOLE    1       130,318         --        --
UNIVERSAL AMER FINANCIAL
    CRP                     EQUITY       913377107     780       34,187   SH          SOLE    1        34,187         --        --
UNIVERSAL AMERN FINL CORP
    EQUITY                  EQUITY       913377107      19       840.00   SH        DEFINED   4            --         --       840
UNIVERSAL CORP/VA           EQUITY       913456109    4461       91,135   SH          SOLE    1        91,135         --        --
UNIVERSAL DISPLAY CORP      EQUITY       91347P105     383       21,620   SH          SOLE    1        21,620         --        --
UNIVERSAL DISPLAY CORP
    EQUITY                  EQUITY       91347P105      36     2,050.00   SH        DEFINED   4            --         --     2,050
UNIVERSAL ELECTRONICS INC   EQUITY       913483103     468       14,392   SH          SOLE    1        14,392         --        --
UNIVERSAL FOREST PRODUCTS   EQUITY       913543104     507       16,952   SH          SOLE    1        16,952         --        --
UNIVERSAL HEALTH SERVICES-B EQUITY       913903100    7289      133,945   SH          SOLE    1       133,945         --        --
UNIVERSAL STAINLESS & ALLOY EQUITY       913837100     230        5,774   SH          SOLE    1         5,774         --        --
UNIVERSAL STAINLESS & ALLOY
    EQUITY                  EQUITY       913837100      24       600.00   SH        DEFINED   4            --         --       600
UNIVERSAL TECHNICAL
    INSTITUT                EQUITY       913915104     423       23,492   SH          SOLE    1        23,492         --        --
UNIVERSAL TRUCKLOAD
    SERVICES                EQUITY       91388P105     113        5,160   SH          SOLE    1         5,160         --        --
UNIVEST CORP OF
    PENNSYLVANIA            EQUITY       915271100     268       11,288   SH          SOLE    1        11,288         --        --
UNUM GROUP                  EQUITY       91529Y106    4125      168,563   SH          SOLE    1       168,563         --        --
UNUM GROUP                  EQUITY       91529Y106      11          455   SH          SOLE    2           455         --        --
UNUM GROUP EQUITY           EQUITY       91529Y106     292    11,926.00   SH        DEFINED   4            --         --    11,926
URANIUM RES INC EQUITY
    PAR $0.001              EQUITY       916901507       9     1,000.00   SH        DEFINED   4            --         --     1,000
URANIUM RESOURCES INC       EQUITY       916901507     428       45,553   SH          SOLE    1        45,553         --        --
URBAN OUTFITTERS INC        EQUITY       917047102    6095      279,579   SH          SOLE    1       279,579         --        --
URBAN OUTFITTERS INC EQUITY EQUITY       917047102       4       200.00   SH        DEFINED   4            --         --       200
UROLOGIX INC EQUITY         EQUITY       917273104       1       400.00   SH        DEFINED   4            --         --       400
URS CORP                    EQUITY       903236107     445        7,881   SH          SOLE    1         7,881         --        --
URSTADT BIDDLE-- CLASS A    EQUITY       917286205     286       18,470   SH          SOLE    1        18,470         --        --
US AIRWAYS GROUP INC        EQUITY       90341W108     220        8,369   SH          SOLE    1         8,369         --        --
US BANCORP                  EQUITY       902973304   45614    1,402,222   SH          SOLE    1     1,402,222         --        --
US BANCORP                  EQUITY       902973304     364       11,177   SH          SOLE    2        11,177         --        --
US BANCORP DEL EQUITY NEW   EQUITY       902973304     729    22,250.78   SH        DEFINED   4            --         --    22,251
US BIOENERGY CORP           EQUITY       90342V109      78       10,054   SH          SOLE    1        10,054         --        --
US CELLULAR CORP            EQUITY       911684108      28          289   SH          SOLE    1           289         --        --
US GOLD CORPORATION
    EQUITY PAR $0.10        EQUITY       912023207       1       200.00   SH        DEFINED   4            --         --       200
USA MOBILITY INC            EQUITY       90341G103     339       20,075   SH          SOLE    1        20,075         --        --
USANA HEALTH SCIENCES INC   EQUITY       90328M107     368        8,402   SH          SOLE    1         8,402         --        --
USB HOLDING CO INC          EQUITY       902910108     228        9,823   SH          SOLE    1         9,823         --        --





                                                                                        
USEC INC                    EQUITY       90333E108     781       76,155   SH          SOLE    1        76,155         --        --
USEC INC EQUITY             EQUITY       90333E108      25     2,412.00   SH        DEFINED   4            --         --     2,412
USG CORP                    EQUITY       903293405     102        2,714   SH          SOLE    1         2,714         --        --
UST INC                     EQUITY       902911106   51651    1,041,353   SH          SOLE    1     1,041,353         --        --
UST INC                     EQUITY       902911106    4950       99,801   SH          SOLE    2        99,801         --        --
UST INC EQUITY              EQUITY       902911106       2        50.00   SH        DEFINED   4            --         --        50
UTI WORLDWIDE INC           EQUITY       G87210103    6140      267,200   SH          SOLE    2       267,200         --        --
UTSTARCOM INC               EQUITY       918076100    1299      354,886   SH          SOLE    1       354,886         --        --
UTSTAREQUITY INC EQUITY     EQUITY       918076100       1       200.00   SH        DEFINED   4            --         --       200
V F CORP EQUITY             EQUITY       918204108       7        90.00   SH        DEFINED   4            --         --        90
VAALCO ENERGY INC           EQUITY       91851C201     235       51,412   SH          SOLE    1        51,412         --        --
VAIL RESORTS INC            EQUITY       91879Q109    1704       27,359   SH          SOLE    1        27,359         --        --
VALASSIS COMMUNICATIONS INC EQUITY       918866104    1427      159,999   SH          SOLE    1       159,999         --        --
VALEANT PHARMACEUTICALS
    INTE                    EQUITY       91911X104    4792      309,570   SH          SOLE    1       309,570         --        --
VALEANT PHARMACEUTICALS
    INTL EQUITY             EQUITY       91911X104      15       963.00   SH        DEFINED   4            --         --       963
VALENCE TECHNOLOGY INC
    EQUITY                  EQUITY       918914102       1     1,000.00   SH        DEFINED   4            --         --     1,000
VALERO ENERGY CORP          EQUITY       91913Y100   15921      236,995   SH          SOLE    1       236,995         --        --
VALERO ENERGY CORP          EQUITY       91913Y100   29008      431,798   SH          SOLE    2       431,798         --        --
VALERO ENERGY CORP NEW
    EQUITY                  EQUITY       91913Y100    6343    94,419.00   SH        DEFINED   4            --         --    94,419
VALHI INC                   EQUITY       918905100     139        5,858   SH          SOLE    1         5,858         --        --
VALHI INC NEW EQUITY        EQUITY       918905100       7       275.00   SH        DEFINED   4            --         --       275
VALLEY NATIONAL BANCORP     EQUITY       919794107     101        4,533   SH          SOLE    1         4,533         --        --
VALMONT INDS INC EQUITY     EQUITY       920253101       1        16.00   SH        DEFINED   4            --         --        16
VALMONT INDUSTRIES          EQUITY       920253101    1560       18,380   SH          SOLE    1        18,380         --        --
VALSPAR CORP                EQUITY       920355104    6831      251,046   SH          SOLE    1       251,046         --        --
VALUE LINE INC              EQUITY       920437100      58        1,168   SH          SOLE    1         1,168         --        --
VALUECLICK INC              EQUITY       92046N102    7940      353,500   SH          SOLE    1       353,500         --        --
VALUECLICK INC EQUITY       EQUITY       92046N102     305    13,600.00   SH        DEFINED   4            --         --    13,600
VALUEVISION MEDIA INC-CL A  EQUITY       92047K107     198       26,683   SH          SOLE    1        26,683         --        --
VAN KAMPEN MUN OPPORTUNITY
    T EQUITY                EQUITY       920935103      10       634.00   SH        DEFINED   4            --         --       634
VAN KAMPEN SENIOR INEQUITYE
    TR EQUITY               EQUITY       920961109      55     6,942.00   SH        DEFINED   4            --         --     6,942
VAN KAMPEN TR INSD MUNS
    EQUITY                  EQUITY       920928108      33     2,504.00   SH        DEFINED   4            --         --     2,504
VAN KAMPEN TR INVT GRADE
    MUN EQUITY              EQUITY       920929106      39     2,640.00   SH        DEFINED   4            --         --     2,640
VAN KAMPEN TR INVT GRADE
    N Y EQUITY              EQUITY       920931102      10       636.00   SH        DEFINED   4            --         --       636
VANDA PHARMACEUTICALS INC   EQUITY       921659108     323       23,215   SH          SOLE    1        23,215         --        --
VANGUARD BD INDEX FD INC
    TOTAL BND MRKT          EQUITY       921937835      54       715.00   SH        DEFINED   4            --         --       715
VANGUARD INDEX FDS
    EXTEND MKT ETF          EQUITY       922908652     101       904.50   SH        DEFINED   4            --         --       905
VANGUARD INDEX FDS
    GROWTH ETF              EQUITY       922908736      81     1,250.00   SH        DEFINED   4            --         --     1,250
VANGUARD INDEX FDS
    MCAP GR IDXVIP          EQUITY       922908538      84     1,294.00   SH        DEFINED   4            --         --     1,294
VANGUARD INDEX FDS
    MCAP VL IDXVIP          EQUITY       922908512      58     1,000.00   SH        DEFINED   4            --         --     1,000
VANGUARD INDEX FDS
    MID CAP ETF             EQUITY       922908629      34       425.00   SH        DEFINED   4            --         --       425
VANGUARD INDEX FDS
    REIT ETF                EQUITY       922908553      37       512.00   SH        DEFINED   4            --         --       512
VANGUARD INDEX FDS
    SM CP VAL ETF           EQUITY       922908611      57       800.00   SH        DEFINED   4            --         --       800
VANGUARD INDEX FDS
    SMALL CP ETF            EQUITY       922908751     310     4,272.00   SH        DEFINED   4            --         --     4,272
VANGUARD INDEX FDS
    SML CP GRW ETF          EQUITY       922908595      72       970.94   SH        DEFINED   4            --         --       971
VANGUARD INDEX FDS
    STK MRK ETF             EQUITY       922908769     441     2,913.37   SH        DEFINED   4            --         --     2,913
VANGUARD INDEX FDS
    VALUE ETF               EQUITY       922908744      96     1,340.00   SH        DEFINED   4            --         --     1,340
VANGUARD INTL EQUITY I
    NDEX F ALLWRLD EX US    EQUITY       922042775      56       945.00   SH        DEFINED   4            --         --       945
VANGUARD INTL EQUITY
    INDEX F EMR MKT ETF     EQUITY       922042858     278     2,674.00   SH        DEFINED   4            --         --     2,674
VANGUARD INTL EQUITY
    INDEX F EURPEAN ETF     EQUITY       922042874      18       224.00   SH        DEFINED   4            --         --       224
VANGUARD WORLD FDS
    ENERGY ETF              EQUITY       92204A306      44       405.00   SH        DEFINED   4            --         --       405
VANGUARD WORLD FDS
    HEALTH CAR ETF          EQUITY       92204A504    4950    80,582.00   SH        DEFINED   4            --         --    80,582
VANGUARD WORLD FDS
    MATERIALS ETF           EQUITY       92204A801      46       525.30   SH        DEFINED   4            --         --       525
VANGUARD WORLD FDS
    TELEQUITYM ETF          EQUITY       92204A884     104     1,249.00   SH        DEFINED   4            --         --     1,249
VANGUARD WORLD FDS
    UTILITIES ETF           EQUITY       92204A876     113     1,367.00   SH        DEFINED   4            --         --     1,367
VARIAN INC                  EQUITY       922206107    6489      102,009   SH          SOLE    1       102,009         --        --
VARIAN INC EQUITY           EQUITY       922206107      12       185.00   SH        DEFINED   4            --         --       185
VARIAN MED SYS INC EQUITY   EQUITY       92220P105     394     9,416.00   SH        DEFINED   4            --         --     9,416
VARIAN MEDICAL SYSTEMS INC  EQUITY       92220P105    2324       55,475   SH          SOLE    1        55,475         --        --
VARIAN MEDICAL SYSTEMS INC  EQUITY       92220P105    5808      138,659   SH          SOLE    2       138,659         --        --
VARIAN SEMICONDUCTOR EQUIP  EQUITY       922207105     605       11,297   SH          SOLE    1        11,297         --        --
VARIAN SEMICONDUCTOR EQUIP  EQUITY       922207105     388        7,250   SH          SOLE    2         7,250         --        --
VARIAN SEMICONDUCTOR
    EQUIPMN EQUITY          EQUITY       922207105      56    22,264.00   SH        DEFINED   4            --         --    22,264
VASCO DATA SEC INTL INC
    EQUITY                  EQUITY       92230Y104      48     1,369.00   SH        DEFINED   4            --         --     1,369
VASCO DATA SECURITY INTL    EQUITY       92230Y104     805       22,796   SH          SOLE    1        22,796         --        --
VASCO DATA SECURITY INTL    EQUITY       92230Y104     657       18,600   SH          SOLE    2        18,600         --        --
VCA ANTECH INC              EQUITY       918194101    8696      208,284   SH          SOLE    1       208,284         --        --
VECTOR GROUP LTD            EQUITY       92240M108     607       27,082   SH          SOLE    1        27,082         --        --
VECTOR GROUP LTD EQUITY     EQUITY       92240M108     283    12,492.00   SH        DEFINED   4            --         --    12,492
VECTREN CORPORATION         EQUITY       92240G101    5234      191,782   SH          SOLE    1       191,782         --        --





                                                                                        
VEECO INSTRUMENTS INC       EQUITY       922417100     603       31,094   SH          SOLE    1        31,094         --        --
VENOCO INC                  EQUITY       92275P307     212       12,386   SH          SOLE    1        12,386         --        --
VENTANA MEDICAL SYSTEMS     EQUITY       92276H106    8203       95,478   SH          SOLE    1        95,478         --        --
VENTAS INC                  EQUITY       92276F100   10441      252,186   SH          SOLE    1       252,186         --        --
VENTAS INC EQUITY           EQUITY       92276F100      14       335.00   SH        DEFINED   4            --         --       335
VEOLIA ENVIRONNEMENT
    SPONSORED ADR           EQUITY       92334N103    9138   106,080.00   SH        DEFINED   4            --         --   106,080
VERASUN ENERGY CORP         EQUITY       92336G106     316       28,693   SH          SOLE    1        28,693         --        --
VERAZ NETWORKS INC          EQUITY       923359103      55        7,848   SH          SOLE    1         7,848         --        --
VERENIUM CORP               EQUITY       92340P100     187       35,391   SH          SOLE    1        35,391         --        --
VERIFONE HLDGS INC EQUITY   EQUITY       92342Y109       9       200.00   SH        DEFINED   4            --         --       200
VERIFONE HOLDINGS INC       EQUITY       92342Y109    2242       50,583   SH          SOLE    1        50,583         --        --
VERIFONE HOLDINGS INC       EQUITY       92342Y109    9207      207,700   SH          SOLE    2       207,700         --        --
VERIGY LTD                  EQUITY       Y93691106     377       15,250   SH          SOLE    2        15,250         --        --
VERIGY LTD SHS              EQUITY       Y93691106       6       241.00   SH        DEFINED   4            --         --       241
VERISIGN INC                EQUITY       92343E102    4866      144,218   SH          SOLE    1       144,218         --        --
VERISIGN INC                EQUITY       92343E102      10          307   SH          SOLE    2           307         --        --
VERISIGN INC EQUITY         EQUITY       92343E102       7       199.00   SH        DEFINED   4            --         --       199
VERIZON COMMUNICATIONS INC  EQUITY       92343V104   92791    2,095,584   SH          SOLE    1     2,095,584         --        --
VERIZON COMMUNICATIONS INC  EQUITY       92343V104   19242      434,555   SH          SOLE    2       434,555         --        --
VERIZON EQUITYMUNICATIONS
    CALL                    OPTION       92343V904                (9.00)     C      DEFINED   4            --         --        (9)
VERIZON EQUITYMUNICATIONS
    EQUITY                  EQUITY       92343V104    1729    39,039.74   SH        DEFINED   4            --         --    39,040
VERTEX PHARMACEUTICALS INC  EQUITY       92532F100   12833      334,096   SH          SOLE    1       334,096         --        --
VERTEX PHARMACEUTICALS INC
    EQUITY                  EQUITY       92532F100                13.00   SH        DEFINED   4            --         --        13
VF CORP                     EQUITY       918204108    3337       41,330   SH          SOLE    1        41,330         --        --
VF CORP                     EQUITY       918204108    6154       76,212   SH          SOLE    2        76,212         --        --
VIACOM INC-CLASS B          EQUITY       92553P201   16401      420,870   SH          SOLE    1       420,870         --        --
VIACOM INC-CLASS B          EQUITY       92553P201      34          866   SH          SOLE    2           866         --        --
VIAD CORP                   EQUITY       92552R406     757       21,015   SH          SOLE    1        21,015         --        --
VIAD CORP EQUITY NEW        EQUITY       92552R406                 8.00   SH        DEFINED   4            --         --         8
VIAEQUITY INC NEW CL A      EQUITY       92553P102      39       989.00   SH        DEFINED   4            --         --       989
VIAEQUITY INC NEW CL B      EQUITY       92553P201     118     3,033.00   SH        DEFINED   4            --         --     3,033
VIASAT INC                  EQUITY       92552V100     751       24,375   SH          SOLE    1        24,375         --        --
VIASAT INC EQUITY           EQUITY       92552V100       3       102.00   SH        DEFINED   4            --         --       102
VICAL INC EQUITY            EQUITY       925602104       2       500.00   SH        DEFINED   4            --         --       500
VICON INDS INC EQUITY       EQUITY       925811101       3       220.00   SH        DEFINED   4            --         --       220
VICOR CORP                  EQUITY       925815102     234       19,326   SH          SOLE    1        19,326         --        --
VIEWPOINT FINANCIAL GROUP   EQUITY       926727108     187       10,101   SH          SOLE    1        10,101         --        --
VIGNETTE CORP EQUITY NEW    EQUITY       926734401      26     1,296.00   SH        DEFINED   4            --         --     1,296
VIGNETTE CORPORATION        EQUITY       926734401     499       24,840   SH          SOLE    1        24,840         --        --
VILLAGE SUPER MARKET-
    CLASS A                 EQUITY       927107409     139        2,665   SH          SOLE    1         2,665         --        --
VIMPELCOM-SP ADR            EQUITY       68370R109   47277    1,743,286   SH          SOLE    1     1,743,286         --        --
VIRGIN MEDIA INC            EQUITY       92769L101     670       27,588   SH          SOLE    1        27,588         --        --
VIRGINIA COMMERCE BANCORP   EQUITY       92778Q109     214       14,905   SH          SOLE    1        14,905         --        --
VIROPHARMA INC              EQUITY       928241108     620       69,651   SH          SOLE    1        69,651         --        --
VIROPHARMA INC EQUITY       EQUITY       928241108      42     4,700.00   SH        DEFINED   4            --         --     4,700
VIRTUSA CORP                EQUITY       92827P102    1621      108,100   SH          SOLE    3       108,100         --        --
VISHAY INTERTECHNOLOGY INC  EQUITY       928298108    6056      464,789   SH          SOLE    1       464,789         --        --
VISHAY INTERTECHNOLOGY INC
    EQUITY                  EQUITY       928298108                28.00   SH        DEFINED   4            --         --        28
VISHAY INTERTECHNOLOGY INC
    NOTE 3.625% 8/0         FIXED INCOME 928298AF5       1         1.00  PRN        DEFINED   4            --         --         1
VISICU INC                  EQUITY       92831L204     101       13,355   SH          SOLE    1        13,355         --        --
VISTEON CORP                EQUITY       92839U107     582      113,038   SH          SOLE    1       113,038         --        --
VISTEON CORP EQUITY         EQUITY       92839U107       6     1,159.00   SH P      DEFINED   4            --         --     1,159
VISUAL SCIENCES INC         EQUITY       92845H108     256       17,745   SH          SOLE    1        17,745         --        --
VITAL IMAGES INC            EQUITY       92846N104     290       14,846   SH          SOLE    1        14,846         --        --
VITAL SIGNS INC             EQUITY       928469105     543       10,423   SH          SOLE    1        10,423         --        --
VITAL SIGNS INC EQUITY      EQUITY       928469105      36       700.00   SH        DEFINED   4            --         --       700
VIVO PARTICIPACOES S A SPON
    ADR PFD                 EQUITY       92855S101                38.00   SH        DEFINED   4            --         --        38
VIVUS INC                   EQUITY       928551100     252       50,758   SH          SOLE    1        50,758         --        --
VIVUS INC EQUITY            EQUITY       928551100      52    10,400.00   SH        DEFINED   4            --         --    10,400
VMWARE INC CL A EQUITY
    ADDED                   EQUITY       928563402       9       100.00   SH        DEFINED   4            --         --       100
VMWARE INC-CLASS A          EQUITY       928563402      77          900   SH          SOLE    2           900         --        --
VOCUS INC                   EQUITY       92858J108    1338       45,772   SH          SOLE    1        45,772         --        --
VOCUS INC                   EQUITY       92858J108   10181      348,200   SH          SOLE    3       234,100         --   114,100
VODAFONE GROUP PLC NEW
    SPONS ADR NEW           EQUITY       92857W209    2073    56,896.00   SH        DEFINED   4            --         --    56,896
VOLCANO CORP                EQUITY       928645100     339       20,610   SH          SOLE    1        20,610         --        --
VOLCANO CORPORATION EQUITY  EQUITY       928645100       2       100.00   SH        DEFINED   4            --         --       100
VOLCOM INC                  EQUITY       92864N101    1582       37,211   SH          SOLE    1        37,211         --        --
VOLCOM INC                  EQUITY       92864N101    1871       44,000   SH          SOLE    3        33,300         --    10,700
VOLT INFO SCIENCES INC      EQUITY       928703107     248       14,057   SH          SOLE    1        14,057         --        --
VOLTERRA SEMICONDUCTOR CORP EQUITY       928708106     227       18,509   SH          SOLE    1        18,509         --        --





                                                                                        
VONAGE HOLDINGS CORP        EQUITY       92886T201      58       56,149   SH          SOLE    1        56,149         --        --
VORNADO REALTY TRUST        EQUITY       929042109   15274      139,680   SH          SOLE    1       139,680         --        --
VORNADO REALTY TRUST        EQUITY       929042109      18          169   SH          SOLE    2           169         --        --
VORNADO RLTY TR SH BEN INT  EQUITY       929042109      18       161.00   SH        DEFINED   4            --         --       161
VULCAN MATERIALS CO         EQUITY       929160109    3826       42,914   SH          SOLE    1        42,914         --        --
VULCAN MATERIALS CO         EQUITY       929160109      11          120   SH          SOLE    2           120         --        --
VULCAN MATLS CO EQUITY      EQUITY       929160109      77       867.00   SH        DEFINED   4            --         --       867
W HOLDING COMPANY INC       EQUITY       929251106     222       99,255   SH          SOLE    1        99,255         --        --
W P CAREY & CO LLC EQUITY   EQUITY       92930Y107      35     1,101.00   SH        DEFINED   4            --         --     1,101
W&T OFFSHORE INC            EQUITY       92922P106      30        1,222   SH          SOLE    1         1,222         --        --
WABASH NATIONAL CORP        EQUITY       929566107     343       30,362   SH          SOLE    1        30,362         --        --
WABCO HLDGS INC EQUITY
    ADDED                   EQUITY       92927K102       2        33.00   SH        DEFINED   4            --         --        33
WABCO HOLDINGS INC          EQUITY       92927K102      60        1,279   SH          SOLE    1         1,279         --        --
WABTEC CORP                 EQUITY       929740108    1589       42,414   SH          SOLE    1        42,414         --        --
WABTEC CORP                 EQUITY       929740108     571       15,250   SH          SOLE    2        15,250         --        --
WACHOVIA CORP               EQUITY       929903102   65014    1,296,386   SH          SOLE    1     1,296,386         --        --
WACHOVIA CORP               EQUITY       929903102    7487      149,299   SH          SOLE    2       149,299         --        --
WACHOVIA CORP NEW EQUITY    EQUITY       929903102    1135    22,622.55   SH        DEFINED   4            --         --    22,623
WADDELL & REED FINANCIAL-A  EQUITY       930059100    7566      279,902   SH          SOLE    1       279,902         --        --
WADDELL & REED FINL INC
    CL A                    EQUITY       930059100       6       225.00   SH        DEFINED   4            --         --       225
WAL MART STORES INC CALL    OPTION       931142903                (8.00)     C      DEFINED   4            --         --        (8)
WAL MART STORES INC EQUITY  EQUITY       931142103    1003    22,979.23   SH        DEFINED   4            --         --    22,979
WALGREEN CO                 EQUITY       931422109   41768      884,164   SH          SOLE    1       884,164         --        --
WALGREEN CO                 EQUITY       931422109     177        3,753   SH          SOLE    2         3,753         --        --
WALGREEN CO EQUITY          EQUITY       931422109     694    14,697.21   SH        DEFINED   4            --         --    14,697
WAL-MART STORES INC         EQUITY       931142103   71622    1,640,402   SH          SOLE    1     1,640,402         --        --
WAL-MART STORES INC         EQUITY       931142103    4571      104,726   SH          SOLE    2       104,726         --        --
WALT DISNEY COMPANY         FIXED INCOME 254687AU0     670      550,000  PRN          SOLE    1       550,000         --        --
WALTER INDUSTRIES INC       EQUITY       93317Q105    2011       74,762   SH          SOLE    1        74,762         --        --
WARNACO GROUP INC EQUITY
    NEW                     EQUITY       934390402      41     1,062.00   SH        DEFINED   4            --         --     1,062
WARNACO GROUP INC/THE       EQUITY       934390402    5959      152,521   SH          SOLE    1       152,521         --        --
WARNACO GROUP INC/THE       EQUITY       934390402     664       17,000   SH          SOLE    2        17,000         --        --
WARREN RESOURCES INC        EQUITY       93564A100     594       47,361   SH          SOLE    1        47,361         --        --
WASHINGTON FEDERAL INC      EQUITY       938824109    5702      217,126   SH          SOLE    1       217,126         --        --
WASHINGTON GROUP INTL INC   EQUITY       938862208    2232       25,421   SH          SOLE    1        25,421         --        --
WASHINGTON GROUP INTL INC
    EQUITY NEW              EQUITY       938862208      11       120.00   SH        DEFINED   4            --         --       120
WASHINGTON MUT INC EQUITY   EQUITY       939322103     257     7,284.86   SH        DEFINED   4            --         --     7,285
WASHINGTON MUTUAL INC       EQUITY       939322103   23663      670,149   SH          SOLE    1       670,149         --        --
WASHINGTON MUTUAL INC       EQUITY       939322103      39        1,104   SH          SOLE    2         1,104         --        --
WASHINGTON POST --CL B      EQUITY       939640108   11755       14,643   SH          SOLE    1        14,643         --        --
WASHINGTON REAL ESTATE INV  EQUITY       939653101    1302       39,247   SH          SOLE    1        39,247         --        --
WASHINGTON REAL ESTATE INVT
    SH BEN INT              EQUITY       939653101      10       315.00   SH        DEFINED   4            --         --       315
WASHINGTON TRUST BANCORP    EQUITY       940610108     268        9,932   SH          SOLE    1         9,932         --        --
WASTE CONNECTIONS INC       EQUITY       941053100    2172       68,401   SH          SOLE    1        68,401         --        --
WASTE INDUSTRIES USA INC    EQUITY       941057101     126        4,401   SH          SOLE    1         4,401         --        --
WASTE MANAGEMENT INC        EQUITY       94106L109   60869    1,611,539   SH          SOLE    1     1,611,539         --        --
WASTE MANAGEMENT INC        EQUITY       94106L109    3670       97,255   SH          SOLE    2        97,255         --        --
WASTE MGMT INC DEL EQUITY   EQUITY       94106L109      56     1,488.00   SH        DEFINED   4            --         --     1,488
WASTE SERVICES INC          EQUITY       941075202     164       16,920   SH          SOLE    1        16,920         --        --
WATERS CORP                 EQUITY       941848103    2976       44,474   SH          SOLE    1        44,474         --        --
WATERS CORP                 EQUITY       941848103       8          126   SH          SOLE    2           126         --        --
WATERS CORP EQUITY          EQUITY       941848103      10       148.00   SH        DEFINED   4            --         --       148
WATSCO INC                  EQUITY       942622200    1070       23,037   SH          SOLE    1        23,037         --        --
WATSON PHARMACEUTICALS INC  EQUITY       942683103    7482      230,932   SH          SOLE    1       230,932         --        --
WATSON PHARMACEUTICALS INC  EQUITY       942683103       4          129   SH          SOLE    2           129         --        --
WATSON PHARMACEUTICALS INC
    DBCV 1.750% 3/1         FIXED INCOME 942683AC7       3         3.00  PRN        DEFINED   4            --         --         3
WATSON WYATT WORLDWIDE INC
    CL A                    EQUITY       942712100       1        24.00   SH        DEFINED   4            --         --        24
WATSON WYATT WORLDWIDE
    INC-A                   EQUITY       942712100    1913       42,565   SH          SOLE    1        42,565         --        --
WATSON WYATT WORLDWIDE
    INC-A                   EQUITY       942712100     571       12,700   SH          SOLE    2        12,700         --        --
WATTS WATER TECHNOLOGIES-A  EQUITY       942749102     961       31,312   SH          SOLE    1        31,312         --        --
WAUSAU PAPER CORP           EQUITY       943315101     504       45,166   SH          SOLE    1        45,166         --        --
WAUWATOSA HOLDINGS INC      EQUITY       94348P108     138        8,516   SH          SOLE    1         8,516         --        --
WCI CMNTYS INC EQUITY       EQUITY       92923C104       1       200.00   SH        DEFINED   4            --         --       200
WCI COMMUNITIES INC         EQUITY       92923C104     161       26,858   SH          SOLE    1        26,858         --        --
WD-40 CO                    EQUITY       929236107     598       17,509   SH          SOLE    1        17,509         --        --
WEATHERFORD INTERNATIONAL
    LT EQUITY               EQUITY       G95089101      62       920.00   SH        DEFINED   4            --         --       920
WEATHERFORD INTL LTD        EQUITY       G95089101      29          425   SH          SOLE    2           425         --        --
WEBMD HEALTH CORP-CLASS A   EQUITY       94770V102       8          161   SH          SOLE    1           161         --        --
WEBMD HEALTH CORP-CLASS A   EQUITY       94770V102      10          200   SH          SOLE    2           200         --        --
WEBSENSE INC                EQUITY       947684106     885       44,846   SH          SOLE    1        44,846         --        --





                                                                                        
WEBSITE PROS INC            EQUITY       94769V105    1430      136,700   SH          SOLE    3       136,700         --        --
WEBSTER FINANCIAL CORP      EQUITY       947890109    5804      137,796   SH          SOLE    1       137,796         --        --
WEIGHT WATCHERS INTL INC    EQUITY       948626106      56          967   SH          SOLE    1           967         --        --
WEIGHT WATCHERS INTL INC
    NEW EQUITY              EQUITY       948626106      12       200.00   SH        DEFINED   4            --         --       200
WEINGARTEN REALTY INVESTORS EQUITY       948741103    7941      191,534   SH          SOLE    1       191,534         --        --
WEIS MARKETS INC            EQUITY       948849104     461       10,796   SH          SOLE    1        10,796         --        --
WEIS MKTS INC EQUITY        EQUITY       948849104      43     1,017.00   SH        DEFINED   4            --         --     1,017
WELLCARE HEALTH PLANS INC   EQUITY       94946T106   10986      104,200   SH          SOLE    1       104,200         --        --
WELLCARE HEALTH PLANS INC   EQUITY       94946T106     411        3,900   SH          SOLE    2         3,900         --        --
WELLCARE HEALTH PLANS INC
    EQUITY                  EQUITY       94946T106      34       324.00   SH        DEFINED   4            --         --       324
WELLPOINT INC               EQUITY       94973V107  105148    1,332,337   SH          SOLE    1     1,332,337         --        --
WELLPOINT INC               EQUITY       94973V107    2104       26,661   SH          SOLE    2        26,661         --        --
WELLPOINT INC EQUITY        EQUITY       94973V107     122     1,547.00   SH        DEFINED   4            --         --     1,547
WELLS FARGO & CO NEW EQUITY EQUITY       949746101    1184    33,248.88   SH        DEFINED   4            --         --    33,249
WELLS FARGO & COMPANY       EQUITY       949746101   79920    2,243,680   SH          SOLE    1     2,243,680         --        --
WELLS FARGO & COMPANY       EQUITY       949746101    5112      143,514   SH          SOLE    2       143,514         --        --
WENDY'S INTERNATIONAL INC   EQUITY       950590109    1382       39,592   SH          SOLE    1        39,592         --        --
WENDY'S INTERNATIONAL INC   EQUITY       950590109       4          110   SH          SOLE    2           110         --        --
WENDYS INTL INC EQUITY      EQUITY       950590109     131     3,738.32   SH        DEFINED   4            --         --     3,738
WERNER ENTERPRISES INC      EQUITY       950755108    2642      154,029   SH          SOLE    1       154,029         --        --
WERNER ENTERPRISES INC
    EQUITY                  EQUITY       950755108      81     4,707.00   SH        DEFINED   4            --         --     4,707
WESBANCO INC                EQUITY       950810101    2134       85,422   SH          SOLE    1        85,422         --        --
WESCO FINANCIAL CORP        EQUITY       950817106      21           53   SH          SOLE    1            53         --        --
WESCO INTERNATIONAL INC     EQUITY       95082P105      68        1,590   SH          SOLE    1         1,590         --        --
WESCO INTERNATIONAL INC     EQUITY       95082P105    2091       48,700   SH          SOLE    2        48,700         --        --
WESCO INTL INC EQUITY       EQUITY       95082P105                10.00   SH        DEFINED   4            --         --        10
WEST COAST BANCORP/OREGON   EQUITY       952145100     388       13,650   SH          SOLE    1        13,650         --        --
WEST MARINE INC             EQUITY       954235107     148       12,840   SH          SOLE    1        12,840         --        --
WEST PHARMACEUTICAL
    SERVICES                EQUITY       955306105    1197       28,736   SH          SOLE    1        28,736         --        --
WEST PHARMACEUTICAL SVSC
    INC EQUITY              EQUITY       955306105       1        19.00   SH        DEFINED   4            --         --        19
WESTAMERICA BANCORPORATION  EQUITY       957090103    4960       99,586   SH          SOLE    1        99,586         --        --
WESTAMERICA BANCORPORATION
    EQUITY                  EQUITY       957090103     601    12,073.38   SH        DEFINED   4            --         --    12,073
WESTAR ENERGY INC           EQUITY       95709T100    7447      303,202   SH          SOLE    1       303,202         --        --
WESTAR ENERGY INC EQUITY    EQUITY       95709T100      33     1,334.00   SH        DEFINED   4            --         --     1,334
WESTERN ALLIANCE BANCORP    EQUITY       957638109     340       14,417   SH          SOLE    1        14,417         --        --
WESTERN ASSET 2008 WW DLR
    GO EQUITY               EQUITY       95766W103      24     2,311.69   SH        DEFINED   4            --         --     2,312
WESTERN ASSET CLYM INFL
    OPP EQUITY              EQUITY       95766R104      14     1,200.00   SH        DEFINED   4            --         --     1,200
WESTERN ASSET CLYM INFL
    SEC EQUITY SH BEN INT   EQUITY       95766Q106      34     2,938.00   SH        DEFINED   4            --         --     2,938
WESTERN ASSET EMRG MKT
    DEBT EQUITY             EQUITY       95766A101      56     3,136.00   SH        DEFINED   4            --         --     3,136
WESTERN ASSET EMRG MKT
    INCM EQUITY             EQUITY       95766E103      68     5,186.18   SH        DEFINED   4            --         --     5,186
WESTERN ASSET GLB HI
    INEQUITYE EQUITY        EQUITY       95766B109       4       350.00   SH        DEFINED   4            --         --       350
WESTERN ASSET HIGH INCM
    FD I EQUITY             EQUITY       95766J102      48     4,360.00   SH        DEFINED   4            --         --     4,360
WESTERN ASSET HIGH INCM
    OPP EQUITY              EQUITY       95766K109      13     2,000.00   SH        DEFINED   4            --         --     2,000
WESTERN ASSET INEQUITYE
    FD EQUITY               EQUITY       95766T100       7       445.00   SH        DEFINED   4            --         --       445
WESTERN ASSET INTM MUNI
    FD I EQUITY             EQUITY       958435109      69     7,600.00   SH        DEFINED   4            --         --     7,600
WESTERN ASSET ZENIX
    INEQUITYE F EQUITY      EQUITY       957669104      27    10,100.00   SH        DEFINED   4            --         --    10,100
WESTERN AST EMRG MKT FLT RT
    EQUITY                  EQUITY       95766C107      13     1,000.00   SH        DEFINED   4            --         --     1,000
WESTERN DIGITAL CORP        EQUITY       958102105   13845      546,816   SH          SOLE    1       546,816         --        --
WESTERN DIGITAL CORP EQUITY EQUITY       958102105      13       512.00   SH        DEFINED   4            --         --       512
WESTERN REFNG INC EQUITY    EQUITY       959319104      77     1,905.00   SH        DEFINED   4            --         --     1,905
WESTERN UN CO EQUITY        EQUITY       959802109      35     1,690.00   SH        DEFINED   4            --         --     1,690
WESTERN UNION CO            EQUITY       959802109    6923      330,158   SH          SOLE    1       330,158         --        --
WESTERN UNION CO            EQUITY       959802109      20          974   SH          SOLE    2           974         --        --
WESTFIELD FINANCIAL INC     EQUITY       96008P104      88        9,110   SH          SOLE    1         9,110         --        --
WESTLAKE CHEM CORP EQUITY   EQUITY       960413102      35     1,385.00   SH        DEFINED   4            --         --     1,385
WESTWOOD ONE INC            EQUITY       961815107     170       61,735   SH          SOLE    1        61,735         --        --
WESTWOOD ONE INC EQUITY     EQUITY       961815107                38.00   SH        DEFINED   4            --         --        38
WET SEAL INC/THE-CLASS A    EQUITY       961840105     284       73,348   SH          SOLE    1        73,348         --        --
WEYCO GROUP INC             EQUITY       962149100     203        6,447   SH          SOLE    1         6,447         --        --
WEYERHAEUSER CO             EQUITY       962166104    6712       92,832   SH          SOLE    1        92,832         --        --
WEYERHAEUSER CO             EQUITY       962166104      20          272   SH          SOLE    2           272         --        --
WEYERHAEUSER CO EQUITY      EQUITY       962166104      39       544.00   SH        DEFINED   4            --         --       544
WGL HLDGS INC EQUITY        EQUITY       92924F106      25       750.66   SH        DEFINED   4            --         --       751
WGL HOLDINGS INC            EQUITY       92924F106    5578      164,597   SH          SOLE    1       164,597         --        --
W-H ENERGY SERVICES INC     EQUITY       92925E108    2239       30,353   SH          SOLE    1        30,353         --        --
W-H ENERGY SERVICES INC     EQUITY       92925E108     671        9,100   SH          SOLE    2         9,100         --        --
WHEELING-PITTSBURGH CORP    EQUITY       963142302     504       26,094   SH          SOLE    1        26,094         --        --
WHIRLPOOL CORP              EQUITY       963320106    3914       43,796   SH          SOLE    1        43,796         --        --
WHIRLPOOL CORP              EQUITY       963320106       9           98   SH          SOLE    2            98         --        --
WHIRLPOOL CORP EQUITY       EQUITY       963320106     486     5,456.00   SH        DEFINED   4            --         --     5,456





                                                                                        
WHITE MTNS INS GROUP LTD
    EQUITY                  EQUITY       G9618E107       5         9.00   SH        DEFINED   4            --         --         9
WHITING PETROLEUM CORP      EQUITY       966387102    1628       36,630   SH          SOLE    1        36,630         --        --
WHITNEY HLDG CORP EQUITY    EQUITY       966612103      27     1,005.00   SH        DEFINED   4            --         --     1,005
WHITNEY HOLDING CORP        EQUITY       966612103     280       10,630   SH          SOLE    1        10,630         --        --
WHOLE FOODS MARKET INC      EQUITY       966837106    3387       69,189   SH          SOLE    1        69,189         --        --
WHOLE FOODS MARKET INC      EQUITY       966837106       9          175   SH          SOLE    2           175         --        --
WHOLE FOODS MKT INC EQUITY  EQUITY       966837106     100     2,042.00   SH        DEFINED   4            --         --     2,042
WILEY (JOHN) & SONS --CL A  EQUITY       968223206    4992      111,113   SH          SOLE    1       111,113         --        --
WILLBROS GROUP INC          EQUITY       969199108     776       22,833   SH          SOLE    1        22,833         --        --
WILLIAMS COS INC            EQUITY       969457100   45967    1,350,874   SH          SOLE    1     1,350,874         --        --
WILLIAMS COS INC            EQUITY       969457100      26          757   SH          SOLE    2           757         --        --
WILLIAMS COS INC DEL EQUITY EQUITY       969457100     120     3,517.44   SH        DEFINED   4            --         --     3,517
WILLIAMS SCOTSMAN INTL INC  EQUITY       96950G102     729       26,323   SH          SOLE    1        26,323         --        --
WILLIAMS SONOMA INC EQUITY  EQUITY       969904101       2        56.00   SH        DEFINED   4            --         --        56
WILLIAMS-SONOMA INC         EQUITY       969904101    7348      225,249   SH          SOLE    1       225,249         --        --
WILLIS GROUP HOLDINGS LTD
    SHS                     EQUITY       G96655108       1        23.00   SH        DEFINED   4            --         --        23
WILMINGTON TRUST CORP       EQUITY       971807102    6604      169,756   SH          SOLE    1       169,756         --        --
WILMINGTON TRUST CORP
    EQUITY                  EQUITY       971807102     148     3,800.00   SH        DEFINED   4            --         --     3,800
WILSHIRE BANCORP INC        EQUITY       97186T108     193       17,552   SH          SOLE    1        17,552         --        --
WIMM-BILL-DANN FOODS-ADR    EQUITY       97263M109    1968       18,000   SH          SOLE    1        18,000         --        --
WIND RIVER SYSTEMS INC      EQUITY       973149107    2990      254,060   SH          SOLE    1       254,060         --        --
WINDSTREAM CORP             EQUITY       97381W104   37694    2,669,519   SH          SOLE    1     2,669,519         --        --
WINDSTREAM CORP             EQUITY       97381W104       9          602   SH          SOLE    2           602         --        --
WINDSTREAM CORP EQUITY      EQUITY       97381W104      40     2,837.44   SH        DEFINED   4            --         --     2,837
WINN-DIXIE STORES INC       EQUITY       974280307     559       29,838   SH          SOLE    1        29,838         --        --
WINNEBAGO INDUSTRIES        EQUITY       974637100     750       31,409   SH          SOLE    1        31,409         --        --
WINTHROP REALTY TRUST       EQUITY       976391102    1953      290,204   SH          SOLE    1       290,204         --        --
WINTRUST FINANCIAL CORP     EQUITY       97650W108    1028       24,074   SH          SOLE    1        24,074         --        --
WINTRUST FINANCIAL CORP
    EQUITY                  EQUITY       97650W108      24       572.00   SH        DEFINED   4            --         --       572
WIPRO LTD SPON ADR 1 SH     EQUITY       97651M109      30     2,084.00   SH        DEFINED   4            --         --     2,084
WIRELESS RONIN TECHNOLOGIES EQUITY       97652A203    1435      212,600   SH          SOLE    3       212,600         --        --
WISCONSIN ENERGY CORP       EQUITY       976657106   13172      292,512   SH          SOLE    1       292,512         --        --
WISCONSIN ENERGY CORP
    EQUITY                  EQUITY       976657106      18       400.00   SH        DEFINED   4            --         --       400
WISDOMTREE TRUST DEFA FD    EQUITY       97717W703     129     1,813.00   SH        DEFINED   4            --         --     1,813
WISDOMTREE TRUST DIVID
    TOP 100                 EQUITY       97717W406    3582    59,184.00   SH        DEFINED   4            --         --    59,184
WISDOMTREE TRUST EARN
    TOP100 FD               EQUITY       97717W554       9       170.00   SH        DEFINED   4            --         --       170
WISDOMTREE TRUST EUROPE
    HG-YIEL                 EQUITY       97717W877      27       400.00   SH        DEFINED   4            --         --       400
WISDOMTREE TRUST EUROPE
    SMCP DV                 EQUITY       97717W869      11       160.00   SH        DEFINED   4            --         --       160
WISDOMTREE TRUST EUROPE
    TOT DIV                 EQUITY       97717W885       7       100.00   SH        DEFINED   4            --         --       100
WISDOMTREE TRUST
    HG-YIELDING EQ          EQUITY       97717W208      18       301.00   SH        DEFINED   4            --         --       301
WISDOMTREE TRUST
    INTL CONS NON           EQUITY       97717W729    8979   298,811.00   SH        DEFINED   4            --         --   298,811
WISDOMTREE TRUST
    INTL DV TOP100          EQUITY       97717W786    8401   115,107.00   SH        DEFINED   4            --         --   115,107
WISDOMTREE TRUST
    INTL ENERGY             EQUITY       97717W711       9       260.00   SH        DEFINED   4            --         --       260
WISDOMTREE TRUST
    INTL FINANCIAL          EQUITY       97717W695     819    28,130.00   SH        DEFINED   4            --         --    28,130
WISDOMTREE TRUST
    INTL HEALTH CA          EQUITY       97717W687    8601   304,783.00   SH        DEFINED   4            --         --   304,783
WISDOMTREE TRUST
    INTL LRGCAP DV          EQUITY       97717W794      90     1,282.00   SH        DEFINED   4            --         --     1,282
WISDOMTREE TRUST
    INTL MIDCAP DV          EQUITY       97717W778      23       326.00   SH        DEFINED   4            --         --       326
WISDOMTREE TRUST
    INTL SMCAP DIV          EQUITY       97717W760     418     5,975.00   SH        DEFINED   4            --         --     5,975
WISDOMTREE TRUST
    INTL UTILITIES          EQUITY       97717W653      25       750.00   SH        DEFINED   4            --         --       750
WISDOMTREE TRUST
    JP HG-YIELDING          EQUITY       97717W844      14       243.00   SH        DEFINED   4            --         --       243
WISDOMTREE TRUST
    JP TOTAL DIVID          EQUITY       97717W851      19       350.00   SH        DEFINED   4            --         --       350
WISDOMTREE TRUST
    LARGECAP DIVID          EQUITY       97717W307     215     3,520.00   SH        DEFINED   4            --         --     3,520
WISDOMTREE TRUST
    LOW P/E FUND            EQUITY       97717W547    6496   126,180.00   SH        DEFINED   4            --         --   126,180
WISDOMTREE TRUST
    MIDCAP DIVI FD          EQUITY       97717W505     108     1,910.00   SH        DEFINED   4            --         --     1,910
WISDOMTREE TRUST
    PAC EXJP HG YD          EQUITY       97717W810      13       170.00   SH        DEFINED   4            --         --       170
WISDOMTREE TRUST
    PAC EXJP TOT D          EQUITY       97717W828      54       643.00   SH        DEFINED   4            --         --       643
WISDOMTREE TRUST
    SMALLCAP DIVID          EQUITY       97717W604     124     2,287.00   SH        DEFINED   4            --         --     2,287
WISDOMTREE TRUST
    TOTAL DIVID FD          EQUITY       97717W109               100.00   SH        DEFINED   4            --         --       100
WMS INDUSTRIES INC          EQUITY       929297109    1343       40,566   SH          SOLE    1        40,566         --        --
WOLSELEY PLC SPONSORED ADR  EQUITY       97786P100       7       400.00   SH        DEFINED   4            --         --       400
WOLVERINE WORLD WIDE INC    EQUITY       978097103    1484       54,150   SH          SOLE    1        54,150         --        --
WOLVERINE WORLD WIDE INC
    EQUITY                  EQUITY       978097103       3       100.00   SH        DEFINED   4            --         --       100
WOODWARD GOVERNOR CO        EQUITY       980745103    1863       29,848   SH          SOLE    1        29,848         --        --
WOODWARD GOVERNOR CO        EQUITY       980745103     406        6,500   SH          SOLE    2         6,500         --        --
WORLD ACCEPTANCE CORP       EQUITY       981419104     577       17,437   SH          SOLE    1        17,437         --        --
WORLD FUEL SERVICES CORP    EQUITY       981475106    1161       28,454   SH          SOLE    1        28,454         --        --
WORLD FUEL SERVICES CORP    EQUITY       981475106   12467      305,500   SH          SOLE    2       305,500         --        --
WORLD WRESTLING ENTMNT
    INC-A                   EQUITY       98156Q108     297       19,716   SH          SOLE    1        19,716         --        --
WORLD WRESTLING ENTMT
    INC CL A                EQUITY       98156Q108      11       716.00   SH        DEFINED   4            --         --       716
WORTHINGTON INDUSTRIES      EQUITY       981811102    5428      230,373   SH          SOLE    1       230,373         --        --





                                                                                        
WR GRACE & CO               EQUITY       38388F108    1640       61,043   SH          SOLE    1        61,043         --        --
WRIGHT EXPRESS CORP         EQUITY       98233Q105    1269       34,785   SH          SOLE    1        34,785         --        --
WRIGHT MEDICAL GROUP INC    EQUITY       98235T107    1397       52,078   SH          SOLE    1        52,078         --        --
WRIGLEY WM JR CO            EQUITY       982526105    6281       97,794   SH          SOLE    1        97,794         --        --
WRIGLEY WM JR CO            EQUITY       982526105     242        3,774   SH          SOLE    2         3,774         --        --
WRIGLEY WM JR CO EQUITY     EQUITY       982526105      81     1,263.00   SH        DEFINED   4            --         --     1,263
WSFS FINANCIAL CORP         EQUITY       929328102     343        5,490   SH          SOLE    1         5,490         --        --
WSFS FINL CORP EQUITY       EQUITY       929328102      31       500.00   SH        DEFINED   4            --         --       500
WW GRAINGER INC             EQUITY       384802104    2925       32,072   SH          SOLE    1        32,072         --        --
WW GRAINGER INC             EQUITY       384802104       8           90   SH          SOLE    2            90         --        --
WYETH                       EQUITY       983024100   36002      807,938   SH          SOLE    1       807,938         --        --
WYETH                       EQUITY       983024100      76        1,695   SH          SOLE    2         1,695         --        --
WYETH DBCV 1/1              FIXED INCOME 983024AD2       3         3.00  PRN        DEFINED   4            --         --         3
WYETH EQUITY                EQUITY       983024100     131     2,944.67   SH        DEFINED   4            --         --     2,945
WYNDHAM WORLDWIDE CORP      EQUITY       98310W108    2676       81,697   SH          SOLE    1        81,697         --        --
WYNDHAM WORLDWIDE CORP      EQUITY       98310W108       7          225   SH          SOLE    2           225         --        --
WYNDHAM WORLDWIDE CORP
    EQUITY                  EQUITY       98310W108      26       794.00   SH        DEFINED   4            --         --       794
WYNN RESORTS LTD            EQUITY       983134107    1062        6,740   SH          SOLE    1         6,740         --        --
WYNN RESORTS LTD EQUITY     EQUITY       983134107      49       314.00   SH        DEFINED   4            --         --       314
XCEL ENERGY INC             EQUITY       98389B100    5070      235,379   SH          SOLE    1       235,379         --        --
XCEL ENERGY INC             EQUITY       98389B100    3352      155,629   SH          SOLE    2       155,629         --        --
XCEL ENERGY INC EQUITY      EQUITY       98389B100      51     2,385.00   SH        DEFINED   4            --         --     2,385
XENOPORT INC                EQUITY       98411C100     883       18,773   SH          SOLE    1        18,773         --        --
XERIUM TECHNOLOGIES INC     EQUITY       98416J100      94       17,340   SH          SOLE    1        17,340         --        --
XEROX CORP                  EQUITY       984121103    8390      483,872   SH          SOLE    1       483,872         --        --
XEROX CORP                  EQUITY       984121103      20        1,180   SH          SOLE    2         1,180         --        --
XEROX CORP EQUITY           EQUITY       984121103      40     2,315.00   SH        DEFINED   4            --         --     2,315
XETHANOL CORP EQUITY        EQUITY       98420A103       1     2,100.00   SH        DEFINED   4            --         --     2,100
XILINX INC                  EQUITY       983919101    3956      151,353   SH          SOLE    1       151,353         --        --
XILINX INC                  EQUITY       983919101      10          373   SH          SOLE    2           373         --        --
XL CAP LTD CL A             EQUITY       G98255105       8        98.00   SH        DEFINED   4            --         --        98
XL CAPITAL LTD -CLASS A     EQUITY       G98255105     216        2,729   SH          SOLE    2         2,729         --        --
XM SATELLITE RADIO
    HLDGS INC CL A          EQUITY       983759101      10       698.00   SH        DEFINED   4            --         --       698
XM SATELLITE RADIO
    HOLD-CL A               EQUITY       983759101     305       21,528   SH          SOLE    1        21,528         --        --
XM SATELLITE RADIO
    HOLD-CL A               EQUITY       983759101    2237      157,900   SH          SOLE    2       157,900         --        --
X-RITE INC                  EQUITY       983857103     419       29,003   SH          SOLE    1        29,003         --        --
XTO ENERGY INC              EQUITY       98385X106   10155      164,216   SH          SOLE    1       164,216         --        --
XTO ENERGY INC              EQUITY       98385X106     141        2,286   SH          SOLE    2         2,286         --        --
XTO ENERGY INC EQUITY       EQUITY       98385X106     242     3,907.62   SH        DEFINED   4            --         --     3,908
YAHOO INC EQUITY            EQUITY       984332106     171     6,362.00   SH        DEFINED   4            --         --     6,362
YAHOO! INC                  EQUITY       984332106   19681      733,197   SH          SOLE    1       733,197         --        --
YAHOO! INC                  EQUITY       984332106    8044      299,699   SH          SOLE    2       299,699         --        --
YAMANA GOLD INC             EQUITY       98462Y100    5512      465,703   SH         OTHER    1            --    465,703        --
YAMANA GOLD INC EQUITY      EQUITY       98462Y100      72     6,080.00   SH        DEFINED   4            --         --     6,080
YANZHOU COAL MNG CO LTD
    SPON ADR H SHS          EQUITY       984846105      10       100.00   SH        DEFINED   4            --         --       100
YARDVILLE NATIONAL BANCORP  EQUITY       985021104     291        8,650   SH          SOLE    1         8,650         --        --
YRC WORLDWIDE INC           EQUITY       984249102    3960      144,960   SH          SOLE    1       144,960         --        --
YRC WORLDWIDE INC EQUITY    EQUITY       984249102      23       850.00   SH        DEFINED   4            --         --       850
YUM BRANDS INC EQUITY       EQUITY       988498101     138     4,075.00   SH        DEFINED   4            --         --     4,075
YUM! BRANDS INC             EQUITY       988498101    7882      232,974   SH          SOLE    1       232,974         --        --
YUM! BRANDS INC             EQUITY       988498101      22          656   SH          SOLE    2           656         --        --
Z TRIM HLDGS INC EQUITY     EQUITY       988924106       7    10,000.00   SH        DEFINED   4            --         --    10,000
ZALE CORP                   EQUITY       988858106    1130       48,825   SH          SOLE    1        48,825         --        --
ZARLINK SEMICONDUCTOR INC
    EQUITY                  EQUITY       989139100      10     7,065.00   SH        DEFINED   4            --         --     7,065
ZEBRA TECHNOLOGIES CORP-
    CL A                    EQUITY       989207105    6293      172,461   SH          SOLE    1       172,461         --        --
ZENITH NATIONAL INSURANCE
    CP                      EQUITY       989390109    1658       36,936   SH          SOLE    1        36,936         --        --
ZIMMER HLDGS INC EQUITY     EQUITY       98956P102     159     1,967.00   SH        DEFINED   4            --         --     1,967
ZIMMER HOLDINGS INC         EQUITY       98956P102   20420      251,873   SH          SOLE    1       251,873         --        --
ZIMMER HOLDINGS INC         EQUITY       98956P102      24          298   SH          SOLE    2           298         --        --
ZIONS BANCORPORATION        EQUITY       989701107    3500       50,975   SH          SOLE    1        50,975         --        --
ZIONS BANCORPORATION        EQUITY       989701107       9          136   SH          SOLE    2           136         --        --
ZIONS BANCORPORATION EQUITY EQUITY       989701107      15       216.00   SH        DEFINED   4            --         --       216
ZOLL MED CORP EQUITY        EQUITY       989922109       1        34.00   SH        DEFINED   4            --         --        34
ZOLL MEDICAL CORP           EQUITY       989922109     461       17,793   SH          SOLE    1        17,793         --        --
ZOLTEK COMPANIES INC        EQUITY       98975W104     834       19,121   SH          SOLE    1        19,121         --        --
ZOLTEK COS INC EQUITY       EQUITY       98975W104      17       200.00   SH        DEFINED   4            --         --       200
ZORAN CORP                  EQUITY       98975F101     873       43,210   SH          SOLE    1        43,210         --        --
ZUMIEZ INC                  EQUITY       989817101    2031       45,776   SH          SOLE    1        45,776         --        --
ZUMIEZ INC                  EQUITY       989817101     439        9,900   SH          SOLE    2         9,900         --        --
ZWEIG TOTAL RETURN FD INC
    EQUITY                  EQUITY       989837109       3       665.93   SH        DEFINED   4            --         --       666





                                                                                        
ZYGO CORP                   EQUITY       989855101     185       14,220   SH          SOLE    1        14,220         --        --
ZYMOGENETICS INC            EQUITY       98985T109     441       33,824   SH          SOLE    1        33,824         --        --