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

                                   FORM 13F

                              FORM 13F COVER PAGE


                                            
Report for the Calendar Year or Quarter Ended: 6/30/2006
Check here is Amendment [ ]; Amendment Number: _____

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


Institutional Investment Manager Filing this Report:

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

Form 13-F File Number:       028-00267

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


Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:

     Mark Czarnecki,
 Executive Vice-President     Buffalo, New York             7/25/2006
 ------------------------  ------------------------  ------------------------
       [Signature]              [City, State]                 [Date]

Report Type (Check only one.):

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

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

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



                            FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                4
                                         ----------
Form 13-F Information Table Entry Total:      2,958
                                         ----------
Form 13-F Information Table Value Total:  3,215,687
                                         ----------
                                         (thousands)

List of Other Included Managers:

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

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

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






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
COMMUNITY
  BANKS INC.      COMMON STOCK 203628102     370      14229      SH           X                               14229   0        0
FULTON FINANCIAL
  CORP.           COMMON STOCK 360271100    5948     373602      SH           X                              373602   0        0
NEW MILFORD
  BANCORP         COMMON STOCK 651633109     522      13000      SH           X                               13000   0        0
SALISBURY
  BANCORP INC.    COMMON STOCK 795226109     224       5700      SH           X                                5700   0        0
AAR CORP          COMMON STOCK 000361105      71       3195      SH                  X                 1       2900   0      295
ABBOTT
  LABORATORIES    COMMON STOCK 002824100   10340     237110      SH                  X                 1     234940   0     2170
ABBOTT
  LABORATORIES    COMMON STOCK 002824100    5504     126206      SH                           X        1     111186   0    15020
ABERCROMBIE &
  FITCH CO CL A   COMMON STOCK 002896207     431       7770      SH                  X                 1       7530   0      240
ABERCROMBIE &
  FITCH CO CL A   COMMON STOCK 002896207      28        500      SH                           X        1        500   0        0
ABM INDUSTRIES
  INCORPORATED    COMMON STOCK 000957100       2        100      SH                           X        1        100   0        0
ACADIA
  PHARMACEUTICALS
  INC             COMMON STOCK 004225108      41       4800      SH                  X                 1       4400   0      400
ACCO BRANDS
  CORP            COMMON STOCK 00081T108      30       1374      SH                  X                 1       1374   0        0
ACCO BRANDS
  CORP            COMMON STOCK 00081T108      16        747      SH                           X        1        722   0       25
ACTIVISION INC
  COM NEW         COMMON STOCK 004930202      81       7100      SH                  X                 1       5700   0     1400
ACTIVISION INC
  COM NEW         COMMON STOCK 004930202      17       1500      SH                           X        1       1500   0        0
ADAMS EXPRESS CO
  COM             COMMON STOCK 006212104      28       2178      SH                  X                 1       2178   0        0
ADESA INC         COMMON STOCK 00686U104      39       1750      SH                           X        1       1750   0        0
ADOBE SYS INC
  COM             COMMON STOCK 00724F101       9        280      SH                           X        1        280   0        0
ADVANCE AUTO
  PARTS           COMMON STOCK 00751Y106      11        365      SH                  X                 1        365   0        0
ADVANCE AUTO
  PARTS           COMMON STOCK 00751Y106      22        750      SH                           X        1        750   0        0
ADVANCED LIFE
  SCIENCES HLDGS  COMMON STOCK 00765H107       9       3222      SH                  X                 1       3222   0        0
ADVANCED
  MEDICAL OPTICS
  INC             COMMON STOCK 00763M108       2         44      SH                  X                 1         44   0        0
ADVANCED
  MEDICAL OPTICS
  INC             COMMON STOCK 00763M108       6        118      SH                           X        1        118   0        0
ADVANCED MICRO
  DEVICES INC COM COMMON STOCK 007903107    2473     101286      SH                  X                 1      98110   0     3176
ADVANCED MICRO
  DEVICES INC COM COMMON STOCK 007903107     173       7080      SH                           X        1       6080   0     1000
AES CORP COM      COMMON STOCK 00130H105      65       3500      SH                  X                 1       3500   0        0
AETNA INC NEW
  COM             COMMON STOCK 00817Y108     604      15124      SH                  X                 1      15124   0        0
AETNA INC NEW
  COM             COMMON STOCK 00817Y108      18        450      SH                           X        1          0   0      450
AFFILIATED
  COMPUTER SVCS
  INC C           COMMON STOCK 008190100     254       4915      SH                  X                 1       4915   0        0
AFFILIATED
  COMPUTER SVCS
  INC C           COMMON STOCK 008190100       8        150      SH                           X        1        150   0        0
AFFILIATED
  MANAGERS
  GROUP           COMMON STOCK 008252108     361       4160      SH                  X                 1       4010   0      150
AFFILIATED
  MANAGERS
  GROUP           COMMON STOCK 008252108      17        200      SH                           X        1        200   0        0
AFFYMETRIX INC    COMMON STOCK 00826T108      21        825      SH                  X                 1        325   0      500
AFLAC INC         COMMON STOCK 001055102    2705      58361      SH                  X                 1      58361   0        0
AFLAC INC         COMMON STOCK 001055102     112       2425      SH                           X        1       1925   0      500
AGCO CORP COM     COMMON STOCK 001084102      90       3425      SH                  X                 1       3100   0      325
AGERE SYSTEMS
  INC             COMMON STOCK 00845V308      78       5291      SH                  X                 1       4841   0      450
AGERE SYSTEMS
  INC             COMMON STOCK 00845V308       6        376      SH                           X        1        360   0       16
AGILE SOFTWARE
  CORP DEL        COMMON STOCK 00846X105      74      11650      SH                  X                 1      10600   0     1050
AGILENT
  TECHNOLOGIES
  INC COM         COMMON STOCK 00846U101      54       1704      SH                  X                 1       1704   0        0
AGILENT
  TECHNOLOGIES
  INC COM         COMMON STOCK 00846U101      77       2440      SH                           X        1       1330   0     1110
AGL RESOURCES
  INC COM         COMMON STOCK 001204106     118       3100      SH                  X                 1       3100   0        0
AGL RESOURCES
  INC COM         COMMON STOCK 001204106     316       8282      SH                           X        1       8282   0        0
AIR METHODS
  CORPORATION     COMMON STOCK 009128307      26       1000      SH                  X                 1        900   0      100
AIR PRODUCTS &
  CHEMICALS INC   COMMON STOCK 009158106    1206      18869      SH                  X                 1      18869   0        0
AIR PRODUCTS &
  CHEMICALS INC   COMMON STOCK 009158106    1146      17925      SH                           X        1      15925   0     2000
AIRTRAN HLDGS
  INC             COMMON STOCK 00949P108      60       4070      SH                  X                 1       3700   0      370
AK STEEL HOLDING
  CORP COM        COMMON STOCK 001547108       1         66      SH                  X                 1         66   0        0
AKAMAI
  TECHNOLOGIES
  INC COM         COMMON STOCK 00971T101      18        500      SH                           X        1        500   0        0
ALASKA
  COMMUNICATIONS
  SYSTEMS         COMMON STOCK 01167P101     247      19545      SH                  X                 1      18525   0     1020
ALBEMARLE CORP
  COM             COMMON STOCK 012653101     452       9450      SH                  X                 1       9450   0        0
ALBEMARLE CORP
  COM             COMMON STOCK 012653101     508      10600      SH                           X        1      10600   0        0
ALBERTO CULVER
  CO              COMMON STOCK 013068101       5        100      SH                  X                 1        100   0        0
ALBERTO CULVER
  CO              COMMON STOCK 013068101       7        150      SH                           X        1        150   0        0
ALCOA INC COM     COMMON STOCK 013817101    5733     177164      SH                  X                 1     173039   0     4125
ALCOA INC COM     COMMON STOCK 013817101    1449      44786      SH                           X        1      39386   0     5400
ALDILA
  INCORPORATED
  NEW             COMMON STOCK 014384200       2         66      SH                  X                 1         66   0        0
ALEXION
  PHARMACEUTICALS
  INC CO          COMMON STOCK 015351109      11        300      SH                           X        1          0   0      300
ALKERMES INC
  COM             COMMON STOCK 01642T108      42       2200      SH                  X                 1       2000   0      200
ALLEGHENY
  ENERGY INC      COMMON STOCK 017361106      33        898      SH                  X                 1        898   0        0
ALLEGHENY
  ENERGY INC      COMMON STOCK 017361106      69       1855      SH                           X        1       1555   0      300


                                    8 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
ALLEGHENY
  TECHNOLOGIES
  INC COM         COMMON STOCK 01741R102      77       1112      SH                  X                 1       1112   0        0
ALLEGHENY
  TECHNOLOGIES
  INC COM         COMMON STOCK 01741R102      46        664      SH                           X        1        183   0      481
ALLERGAN INC      COMMON STOCK 018490102     225       2100      SH                  X                 1       2100   0        0
ALLERGAN INC      COMMON STOCK 018490102      89        832      SH                           X        1        832   0        0
ALLETE INC        COMMON STOCK 018522300      13        267      SH                  X                 1        267   0        0
ALLETE INC        COMMON STOCK 018522300      73       1533      SH                           X        1       1533   0        0
ALLIANCEBERNSTEIN
  HOLDING LP      COMMON STOCK 01881G106      84       1375      SH                  X                 1       1375   0        0
ALLIANCEBERNSTEIN
  HOLDING LP      COMMON STOCK 01881G106     122       2000      SH                           X        1       2000   0        0
ALLIANT ENERGY
  CORP            COMMON STOCK 018802108      20        573      SH                  X                 1        573   0        0
ALLIANT ENERGY
  CORP            COMMON STOCK 018802108       4        111      SH                           X        1        111   0        0
ALLIANT
  TECHSYSTEMS INC COMMON STOCK 018804104      10        127      SH                  X                 1        127   0        0
ALLIANT
  TECHSYSTEMS INC COMMON STOCK 018804104      31        405      SH                           X        1        405   0        0
ALLIED CAPITAL
  CORP NEW COM    COMMON STOCK 01903Q108     207       7188      SH                  X                 1       7038   0      150
ALLIED CAPITAL
  CORP NEW COM    COMMON STOCK 01903Q108      96       3320      SH                           X        1       3320   0        0
ALLIS-CHALMERS
  ENERGY INC      COMMON STOCK 019645506       0          3      SH                  X                 1          3   0        0
ALLSTATE CORP     COMMON STOCK 020002101    9005     164526      SH                  X                 1     161068   0     3458
ALLSTATE CORP     COMMON STOCK 020002101    2165      39555      SH                           X        1      36450   0     3105
ALLTEL CORP       COMMON STOCK 020039103     625       9791      SH                  X                 1       9791   0        0
ALLTEL CORP       COMMON STOCK 020039103    1796      28132      SH                           X        1      23932   0     4200
ALPHARMA INC COM  COMMON STOCK 020813101      53       2210      SH                  X                 1       2000   0      210
ALTERA CORP COM   COMMON STOCK 021441100      84       4800      SH                  X                 1       4800   0        0
ALTERA CORP COM   COMMON STOCK 021441100       3        150      SH                           X        1        150   0        0
ALTRIA GROUP INC  COMMON STOCK 02209S103   20571     280149      SH                  X                 1     277649   0     2500
ALTRIA GROUP INC  COMMON STOCK 02209S103   11597     157934      SH                           X        1     150834   0     7100
AMAZON.COM INC    COMMON STOCK 023135106      35        900      SH                  X                 1        900   0        0
AMAZON.COM INC    COMMON STOCK 023135106       4        100      SH                           X        1          0   0      100
AMBAC FINANCIAL
  GROUP INC       COMMON STOCK 023139108     394       4854      SH                  X                 1       4854   0        0
AMBAC FINANCIAL
  GROUP INC       COMMON STOCK 023139108     259       3190      SH                           X        1       3190   0        0
AMEREN CORP       COMMON STOCK 023608102     263       5205      SH                  X                 1       5205   0        0
AMEREN CORP       COMMON STOCK 023608102      79       1565      SH                           X        1       1565   0        0
AMERICAN ACCESS
  TECHNOLOGIES I  COMMON STOCK 02368F108       1        500      SH                  X                 1        500   0        0
AMERICAN CAPITAL
  STRATEGIES LT   COMMON STOCK 024937104      84       2500      SH                  X                 1       2500   0        0
AMERICAN CAPITAL
  STRATEGIES LT   COMMON STOCK 024937104      64       1900      SH                           X        1       1900   0        0
AMERICAN EAGLE
  OUTFITTER INC N COMMON STOCK 02553E106     415      12201      SH                  X                 1      12001   0      200
AMERICAN ELECTRIC
  POWER CO INC    COMMON STOCK 025537101     210       6136      SH                  X                 1       6136   0        0
AMERICAN ELECTRIC
  POWER CO INC    COMMON STOCK 025537101     276       8047      SH                           X        1       5217   0     2830
AMERICAN EXPRESS
  CO              COMMON STOCK 025816109    2772      52090      SH                  X                 1      51490   0      600
AMERICAN EXPRESS
  CO              COMMON STOCK 025816109    1169      21959      SH                           X        1      19013   0     2946
AMERICAN
  FINANCIAL GROUP
  INC             COMMON STOCK 025932104      17        400      SH                           X        1          0   0      400
AMERICAN
  INTERNATIONAL
  GROUP I         COMMON STOCK 026874107   19901     337019      SH                  X                 1     329819   0     7200
AMERICAN
  INTERNATIONAL
  GROUP I         COMMON STOCK 026874107    7404     125390      SH                           X        1     113975   0    11415
AMERICAN MEDICAL
  ALERT CORPORA   COMMON STOCK 027904101       1        150      SH                  X                 1        150   0        0
AMERICAN
  TECHNOLOGY
  CORP            COMMON STOCK 030145205       8       3000      SH                  X                 1       3000   0        0
AMERICASBANK
  CORP            COMMON STOCK 03061G302       7       1000      SH                           X        1       1000   0        0
AMERIGAS
  PARTNERS LP     COMMON STOCK 030975106       9        300      SH                  X                 1        300   0        0
AMERIGAS
  PARTNERS LP     COMMON STOCK 030975106      47       1600      SH                           X        1       1600   0        0
AMERIPRISE
  FINANCIAL INC   COMMON STOCK 03076C106     218       4884      SH                  X                 1       4764   0      120
AMERIPRISE
  FINANCIAL INC   COMMON STOCK 03076C106     121       2713      SH                           X        1       2243   0      470
AMERIS BANCORP    COMMON STOCK 03076K108       3        123      SH                  X                 1        123   0        0
AMERISOURCE
  BERGEN CORP COM COMMON STOCK 03073E105      17        400      SH                  X                 1        400   0        0
AMETEK AEROSPACE
  PRODS INC COM   COMMON STOCK 031100100      45        942      SH                  X                 1        942   0        0
AMGEN INC COM     COMMON STOCK 031162100   16293     249777      SH                  X                 1     245377   0     4400
AMGEN INC COM     COMMON STOCK 031162100    4107      62967      SH                           X        1      55862   0     7105
AMSOUTH
  BANCORPORATION  COMMON STOCK 032165102      67       2550      SH                  X                 1       2550   0        0
AMSOUTH
  BANCORPORATION  COMMON STOCK 032165102      62       2337      SH                           X        1       2337   0        0
AMSURG CORP       COMMON STOCK 03232P405      18        800      SH                           X        1        800   0        0
AMYLIN
  PHARMACEUTICALS
  INC             COMMON STOCK 032346108      99       2000      SH                  X                 1       1800   0      200
AMYLIN
  PHARMACEUTICALS
  INC             COMMON STOCK 032346108       5        100      SH                           X        1        100   0        0
ANADARKO
  PETROLEUM CORP  COMMON STOCK 032511107    1493      31312      SH                  X                 1      31312   0        0
ANADARKO
  PETROLEUM CORP  COMMON STOCK 032511107     598      12538      SH                           X        1       7668   0     4870
ANALOG DEVICES
  INC             COMMON STOCK 032654105      13        400      SH                  X                 1        400   0        0
ANALOG DEVICES
  INC             COMMON STOCK 032654105      26        800      SH                           X        1          0   0      800
ANDERSONS
  INCORPORATED    COMMON STOCK 034164103      83       1990      SH                  X                 1       1800   0      190
ANHEUSER BUSCH
  COS INC COM     COMMON STOCK 035229103    1215      26655      SH                  X                 1      26655   0        0
ANHEUSER BUSCH
  COS INC COM     COMMON STOCK 035229103    1127      24710      SH                           X        1      24710   0        0
ANNAPOLIS
  BANCORP
  INCORPORATED    COMMON STOCK 035848100      12       1333      SH                           X        1       1333   0        0
ANNTAYLOR STORES
  CORP            COMMON STOCK 036115103      10        225      SH                           X        1        225   0        0


                                    9 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
ANSYS INC COM     COMMON STOCK 03662Q105     356       7445      SH                  X                 1       7065   0      380
AON CORP COM      COMMON STOCK 037389103     256       7352      SH                  X                 1       7352   0        0
AON CORP COM      COMMON STOCK 037389103      52       1500      SH                           X        1       1500   0        0
APACHE CORP COM   COMMON STOCK 037411105    2248      32937      SH                  X                 1      32937   0        0
APACHE CORP COM   COMMON STOCK 037411105     566       8297      SH                           X        1       8087   0      210
APOLLO GROUP INC
  CL A            COMMON STOCK 037604105       6        125      SH                  X                 1        125   0        0
APPLE COMPUTER
  INC COM         COMMON STOCK 037833100    2320      40511      SH                  X                 1      39621   0      890
APPLE COMPUTER
  INC COM         COMMON STOCK 037833100     306       5335      SH                           X        1       3385   0     1950
APPLEBEE
  INTERNATIONAL
  INC COM         COMMON STOCK 037899101       2        100      SH                  X                 1        100   0        0
APPLEBEE
  INTERNATIONAL
  INC COM         COMMON STOCK 037899101      12        600      SH                           X        1        600   0        0
APPLERA CORP-
  APPLIED
  BIOSYSTEM       COMMON STOCK 038020103      52       1600      SH                  X                 1       1600   0        0
APPLERA CORP-
  CELERA
  GENOMICS G      COMMON STOCK 038020202       8        600      SH                  X                 1        600   0        0
APPLIED
  MATERIALS INC
  COM             COMMON STOCK 038222105     724      44455      SH                  X                 1      43055   0     1400
APPLIED
  MATERIALS INC
  COM             COMMON STOCK 038222105     113       6917      SH                           X        1       6217   0      700
AQUA AMERICA INC  COMMON STOCK 03836W103      69       3042      SH                  X                 1       3042   0        0
AQUA AMERICA INC  COMMON STOCK 03836W103       6        258      SH                           X        1        258   0        0
ARAMARK CORP      COMMON STOCK 038521100       2         50      SH                  X                 1         50   0        0
ARCHER DANIELS
  MIDLAND CO
  COM             COMMON STOCK 039483102     682      16531      SH                  X                 1      16531   0        0
ARCHER DANIELS
  MIDLAND CO
  COM             COMMON STOCK 039483102     321       7780      SH                           X        1       1280   0     6500
ARGONAUT GROUP    COMMON STOCK 040157109      11        366      SH                  X                 1        366   0        0
ARIBA INC         COMMON STOCK 04033V203       0          5      SH                  X                 1          5   0        0
ARMOR HOLDINGS
  INC             COMMON STOCK 042260109      47        850      SH                  X                 1        850   0        0
ARRAY BIOPHARMA
  INC             COMMON STOCK 04269X105      27       3112      SH                  X                 1       2812   0      300
ARROW
  INTERNATIONAL
  INC             COMMON STOCK 042764100      59       1800      SH                  X                 1       1800   0        0
ARROW
  INTERNATIONAL
  INC             COMMON STOCK 042764100       7        200      SH                           X        1          0   0      200
ARTESIAN
  RESOURCES
  CORPORATION     COMMON STOCK 043113208      98       3344      SH                  X                 1       2594   0      750
ARVINMERITOR INC
  COM             COMMON STOCK 043353101      57       3300      SH                  X                 1       3000   0      300
ASHLAND INC       COMMON STOCK 044209104      15        225      SH                  X                 1        225   0        0
ASTORIA
  FINANCIAL CORP
  COM             COMMON STOCK 046265104       3        100      SH                           X        1        100   0        0
AT&T INC          COMMON STOCK 00206R102    6390     229120      SH                  X                 1     229120   0        0
AT&T INC          COMMON STOCK 00206R102    4970     178192      SH                           X        1     164850   0    13342
ATLAS PIPELINE
  PARTNERS LP     COMMON STOCK 049392103       8        200      SH                  X                 1        200   0        0
ATMOS ENERGY
  CORP            COMMON STOCK 049560105       4        150      SH                           X        1        150   0        0
AUTODESK COM      COMMON STOCK 052769106    1435      41645      SH                  X                 1      40412   0     1233
AUTODESK COM      COMMON STOCK 052769106      53       1525      SH                           X        1       1525   0        0
AUTOMATIC DATA
  PROCESSING INC  COMMON STOCK 053015103    3007      66303      SH                  X                 1      65303   0     1000
AUTOMATIC DATA
  PROCESSING INC  COMMON STOCK 053015103    2324      51254      SH                           X        1      48204   0     3050
AVAYA INC COM     COMMON STOCK 053499109       6        546      SH                  X                 1        546   0        0
AVAYA INC COM     COMMON STOCK 053499109      13       1149      SH                           X        1       1108   0       41
AVERY DENNISON
  CORP COM        COMMON STOCK 053611109      30        525      SH                  X                 1        525   0        0
AVERY DENNISON
  CORP COM        COMMON STOCK 053611109      67       1150      SH                           X        1       1150   0        0
AVID TECHNOLOGY
  INC             COMMON STOCK 05367P100       5        150      SH                  X                 1        150   0        0
AVNET INC COM     COMMON STOCK 053807103      10        500      SH                           X        1        500   0        0
AVON PRODUCTS
  INC             COMMON STOCK 054303102      55       1760      SH                  X                 1       1760   0        0
AVON PRODUCTS
  INC             COMMON STOCK 054303102     449      14499      SH                           X        1      14499   0        0
AXCELIS
  TECHNOLOGIES
  INC COM         COMMON STOCK 054540109      16       2652      SH                           X        1       2652   0        0
B & G FOODS INC -
  EIS             COMMON STOCK 05508R205      19       1200      SH                  X                 1       1200   0        0
BAKER HUGHES INC
  COM             COMMON STOCK 057224107     210       2568      SH                  X                 1       2568   0        0
BAKER HUGHES INC
  COM             COMMON STOCK 057224107     114       1395      SH                           X        1       1395   0        0
BALL
  CORPORATION     COMMON STOCK 058498106     889      24000      SH                  X                 1      24000   0        0
BANK NEW YORK
  INC COM         COMMON STOCK 064057102    3326     103300      SH                  X                 1      99300   0     4000
BANK NEW YORK
  INC COM         COMMON STOCK 064057102     953      29606      SH                           X        1      28156   0     1450
BANK OF AMERICA
  CORPORATION     COMMON STOCK 060505104   25339     526788      SH                  X                 1     516134   0    10654
BANK OF AMERICA
  CORPORATION     COMMON STOCK 060505104   10538     219088      SH                           X        1     203511   0    15577
BANK OF HAWAII
  CORP            COMMON STOCK 062540109      15        300      SH                           X        1        300   0        0
BARD C R INC COM  COMMON STOCK 067383109     396       5400      SH                  X                 1       5400   0        0
BARD C R INC COM  COMMON STOCK 067383109     293       4000      SH                           X        1       4000   0        0
BARR
  PHARMACEUTICALS
  INC             COMMON STOCK 068306109     604      12670      SH                  X                 1      12670   0        0
BARR
  PHARMACEUTICALS
  INC             COMMON STOCK 068306109       5        100      SH                           X        1        100   0        0
BAUSCH & LOMB
  INC COM         COMMON STOCK 071707103       7        150      SH                  X                 1        150   0        0
BAXTER INTL INC   COMMON STOCK 071813109     721      19609      SH                  X                 1      19609   0        0
BAXTER INTL INC   COMMON STOCK 071813109     415      11299      SH                           X        1      11299   0        0
BAY NATIONAL
  CORPORATION     COMMON STOCK 072500101      22       1200      SH                  X                 1       1200   0        0
BB&T CORP COM     COMMON STOCK 054937107    1713      41192      SH                  X                 1      37464   0     3728
BB&T CORP COM     COMMON STOCK 054937107    1191      28647      SH                           X        1      27081   0     1566
BEAR STEARNS COS
  INC             COMMON STOCK 073902108     143       1020      SH                  X                 1       1020   0        0
BEAR STEARNS COS
  INC             COMMON STOCK 073902108     169       1206      SH                           X        1       1206   0        0


                                   10 of 52






                                                   SEC USE  ------------------------------------------------------------------
                                                                                  COLUMN 6                      COLUMN 8
                                                                                 INVESTMENT                      VOTING
                                                          COLUMN 5               AUTHORITY                      AUTHORITY
                                                  ------------------------ ----------------------          -------------------
                                                   SHARES
                  COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1       TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                  
BECKMAN
  COULTER INC   COMMON STOCK 075811109       4         72      SH                  X                 1         72   0        0
BECKMAN
  COULTER INC   COMMON STOCK 075811109     124       2228      SH                           X        1       1680   0      548
BECTON
  DICKINSON &
  CO COM        COMMON STOCK 075887109     195       3189      SH                  X                 1       3189   0        0
BECTON
  DICKINSON &
  CO COM        COMMON STOCK 075887109     813      13300      SH                           X        1      13300   0        0
BED BATH &
  BEYOND INC
  COM           COMMON STOCK 075896100     491      14796      SH                  X                 1      14796   0        0
BED BATH &
  BEYOND INC
  COM           COMMON STOCK 075896100       7        200      SH                           X        1        200   0        0
BELLSOUTH
  CORP          COMMON STOCK 079860102    8794     242936      SH                  X                 1     242736   0      200
BELLSOUTH
  CORP          COMMON STOCK 079860102    7437     205455      SH                           X        1     178754   0    26701
BEMIS INC       COMMON STOCK 081437105      24        800      SH                           X        1        800   0        0
BENCHMARK
  ELECTRONICS
  INC           COMMON STOCK 08160H101       4        172      SH                  X                 1        172   0        0
BERKSHIRE
  HATHAWAY
  INC CLASS A   COMMON STOCK 084670108     275          3      SH                           X        1          3   0        0
BERKSHIRE
  HATHAWAY
  INC CLASS B   COMMON STOCK 084670207     533        175      SH                  X                 1        175   0        0
BERKSHIRE
  HATHAWAY
  INC CLASS B   COMMON STOCK 084670207     587        193      SH                           X        1        183   0       10
BEST BUY INC
  COM           COMMON STOCK 086516101     536       9777      SH                  X                 1       9777   0        0
BEST BUY INC
  COM           COMMON STOCK 086516101     105       1912      SH                           X        1       1912   0        0
BIOANALYTICAL
  SYSTEMS
  INCORPOR      COMMON STOCK 09058M103       0         16      SH                  X                 1         16   0        0
BIOGEN IDEC
  INC           COMMON STOCK 09062X103     993      21444      SH                  X                 1      20994   0      450
BIOGEN IDEC
  INC           COMMON STOCK 09062X103     152       3271      SH                           X        1       2861   0      410
BIOMET COM      COMMON STOCK 090613100      26        845      SH                           X        1        845   0        0
BISYS GROUP
  INC COM       COMMON STOCK 055472104      41       3000      SH                           X        1       3000   0        0
BJ SVCS CO COM  COMMON STOCK 055482103      47       1265      SH                           X        1       1265   0        0
BJ'S
  WHOLESALE
  CLUB INC
  COM           COMMON STOCK 05548J106      24        850      SH                  X                 1        850   0        0
BJ'S
  WHOLESALE
  CLUB INC
  COM           COMMON STOCK 05548J106      11        400      SH                           X        1        400   0        0
BLACK &
  DECKER CORP
  COM           COMMON STOCK 091797100     462       5468      SH                  X                 1       5468   0        0
BLACK &
  DECKER CORP
  COM           COMMON STOCK 091797100    1518      17976      SH                           X        1      17976   0        0
BLACK HILLS
  CORP          COMMON STOCK 092113109      62       1800      SH                  X                 1       1800   0        0
BLACK HILLS
  CORP          COMMON STOCK 092113109       8        225      SH                           X        1        225   0        0
BLACKROCK INC   COMMON STOCK 09247X101      14        100      SH                  X                 1        100   0        0
BLACKROCK INC   COMMON STOCK 09247X101       1          5      SH                           X        1          5   0        0
BLOCK H & R
  INC           COMMON STOCK 093671105     104       4365      SH                  X                 1       4365   0        0
BLOCK H & R
  INC           COMMON STOCK 093671105      87       3640      SH                           X        1       3640   0        0
BLUE COAT
  SYSTEMS
  INCORPORATED  COMMON STOCK 09534T508      89       5300      SH                  X                 1       4800   0      500
BOEING CO COM   COMMON STOCK 097023105    1360      16609      SH                  X                 1      16609   0        0
BOEING CO COM   COMMON STOCK 097023105    1313      16027      SH                           X        1      16007   0       20
BOK FINANCIAL
  CORPORATION   COMMON STOCK 05561Q201       1         12      SH                  X                 1         12   0        0
BON-TON
  STORES
  INCORPORATED  COMMON STOCK 09776J101    1429      65333      SH                  X                 1      65333   0        0
BORDERS
  GROUP INC
  COM           COMMON STOCK 099709107      25       1346      SH                  X                 1       1346   0        0
BOSTON BEER
  INCORPORATED
  CLASS         COMMON STOCK 100557107       1         50      SH                  X                 1         50   0        0
BOSTON BEER
  INCORPORATED
  CLASS         COMMON STOCK 100557107       3        100      SH                           X        1        100   0        0
BOSTON
  SCIENTIFIC
  CORP COM      COMMON STOCK 101137107     479      28461      SH                  X                 1      28461   0        0
BOSTON
  SCIENTIFIC
  CORP COM      COMMON STOCK 101137107     152       9012      SH                           X        1       9012   0        0
BRIGHTPOINT
  INC           COMMON STOCK 109473405      46       3400      SH                  X                 1       3100   0      300
BRINKER INTL
  INC COM       COMMON STOCK 109641100     955      26310      SH                  X                 1      25810   0      500
BRINKER INTL
  INC COM       COMMON STOCK 109641100     538      14810      SH                           X        1      14810   0        0
BRISTOL-MYERS
  SQUIBB CO     COMMON STOCK 110122108    8803     340417      SH                  X                 1     339817   0      600
BRISTOL-MYERS
  SQUIBB CO     COMMON STOCK 110122108    8650     334498      SH                           X        1     303783   0    30715
BROADCOM
  CORP CL A     COMMON STOCK 111320107       9        300      SH                  X                 1        300   0        0
BROWN-
  FORMAN CORP
  CL B          COMMON STOCK 115637209      21        300      SH                           X        1        300   0        0
BRUNSWICK
  CORP COM      COMMON STOCK 117043109       4        120      SH                  X                 1        120   0        0
BRUSH
  ENGINEERED
  MATERIALS
  INC           COMMON STOCK 117421107       4        200      SH                  X                 1        200   0        0
BRYN MAWR
  BANK
  CORPORATION   COMMON STOCK 117665109     252      11392      SH                  X                 1      11392   0        0
BUCKEYE
  PARTNERS LP
  UNIT LTD P    COMMON STOCK 118230101      38        900      SH                  X                 1        900   0        0
BUCKLE
  INCORPORATED  COMMON STOCK 118440106      50       1200      SH                  X                 1       1200   0        0
BUCYRUS
  INTERNATIONAL
  INC-A         COMMON STOCK 118759109      79       1560      SH                  X                 1       1400   0      160
BURLINGTON
  NORTHERN
  SANTA FE C    COMMON STOCK 12189T104    2126      26829      SH                  X                 1      25574   0     1255
BURLINGTON
  NORTHERN
  SANTA FE C    COMMON STOCK 12189T104     994      12537      SH                           X        1      11337   0     1200
C-COR INC       COMMON STOCK 125010108      69       9000      SH                  X                 1       9000   0        0
C-COR INC       COMMON STOCK 125010108     579      75000      SH                           X        1      75000   0        0
CA INC          COMMON STOCK 12673P105      37       1808      SH                  X                 1       1808   0        0
CA INC          COMMON STOCK 12673P105      12        600      SH                           X        1          0   0      600
CABOT OIL &
  GAS CORP      COMMON STOCK 127097103      22        452      SH                  X                 1        452   0        0
CADENCE
  DESIGN SYS
  INC           COMMON STOCK 127387108     373      21802      SH                  X                 1      21092   0      710
CADENCE
  DESIGN SYS
  INC           COMMON STOCK 127387108      17       1000      SH                           X        1       1000   0        0
CALLAWAY
  GOLF CO COM   COMMON STOCK 131193104       0         23      SH                  X                 1         23   0        0
CALYPTE
  BIOMEDICAL
  CORP          COMMON STOCK 131722605      14      69000      SH                  X                 1      69000   0        0
CAMERON
  INTERNATIONAL
  CORP          COMMON STOCK 13342B105      54       1132      SH                  X                 1       1132   0        0
CAMPBELL SOUP
  CO COM        COMMON STOCK 134429109     112       3017      SH                  X                 1       3017   0        0


                                   11 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                   COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1       TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
CAMPBELL SOUP
  CO COM         COMMON STOCK 134429109     182       4900      SH                           X        1       4900   0        0
CAPITAL ONE
  FINANCIAL CORP COMMON STOCK 14040H105    7138      83535      SH                  X                 1      81730   0     1805
CAPITAL ONE
  FINANCIAL CORP COMMON STOCK 14040H105    2406      28152      SH                           X        1      22702   0     5450
CAPITALSOURCE
  INC            COMMON STOCK 14055X102     535      22808      SH                  X                 1      21958   0      850
CAPSTONE
  TURBINE CORP   COMMON STOCK 14067D102       0        100      SH                           X        1        100   0        0
CARDINAL
  HEALTH INC     COMMON STOCK 14149Y108     359       5575      SH                  X                 1       5575   0        0
CARDINAL
  HEALTH INC     COMMON STOCK 14149Y108     366       5692      SH                           X        1       5691   0        1
CAREER
  EDUCATION
  CORP COM       COMMON STOCK 141665109      19        640      SH                  X                 1        640   0        0
CAREMARK RX INC
  COM            COMMON STOCK 141705103    9604     192572      SH                  X                 1     189658   0     2914
CAREMARK RX INC
  COM            COMMON STOCK 141705103    1640      32881      SH                           X        1      31831   0     1050
CARLISLE
  COMPANIES INC  COMMON STOCK 142339100      32        400      SH                  X                 1          0   0      400
CARLISLE
  COMPANIES INC  COMMON STOCK 142339100    1776      22400      SH                           X        1      22000   0      400
CARMAX INC       COMMON STOCK 143130102     768      21646      SH                  X                 1      21646   0        0
CARMAX INC       COMMON STOCK 143130102     139       3915      SH                           X        1       3915   0        0
CARNIVAL
  CORPORATION    COMMON STOCK 143658300    4191     100396      SH                  X                 1      99551   0      845
CARNIVAL
  CORPORATION    COMMON STOCK 143658300     525      12566      SH                           X        1      11216   0     1350
CARPENTER
  TECHNOLOGY
  CORP COM       COMMON STOCK 144285103      58        500      SH                  X                 1        500   0        0
CARPENTER
  TECHNOLOGY
  CORP COM       COMMON STOCK 144285103     342       2964      SH                           X        1       1964   0     1000
CARROLLTON
  BANCORP        COMMON STOCK 145282109       8        462      SH                  X                 1        462   0        0
CATERPILLAR INC  COMMON STOCK 149123101    6075      81568      SH                  X                 1      77729   0     3839
CATERPILLAR INC  COMMON STOCK 149123101    1280      17189      SH                           X        1      15054   0     2135
CAVCO
  INDUSTRIES,
  INC.           COMMON STOCK 149568107       3         60      SH                  X                 1         60   0        0
CBS CORP CL A    COMMON STOCK 124857103       6        225      SH                           X        1        225   0        0
CBS CORP CL B    COMMON STOCK 124857202     445      16435      SH                  X                 1      16435   0        0
CBS CORP CL B    COMMON STOCK 124857202     280      10366      SH                           X        1       9791   0      575
CEDAR FAIR LTD
  PTR            COMMON STOCK 150185106      50       1900      SH                           X        1       1900   0        0
CELGENE CORP
  COM            COMMON STOCK 151020104      28        600      SH                  X                 1        600   0        0
CELGENE CORP
  COM            COMMON STOCK 151020104      57       1200      SH                           X        1       1200   0        0
CENDANT CORP
  COM            COMMON STOCK 151313103     351      21525      SH                  X                 1      20525   0     1000
CENDANT CORP
  COM            COMMON STOCK 151313103     138       8490      SH                           X        1       8490   0        0
CENTERPLATE
  INC-IDS        COMMON STOCK 15200E204      11        850      SH                  X                 1        850   0        0
CENTERPOINT
  ENERGY INC     COMMON STOCK 15189T107       7        546      SH                  X                 1        546   0        0
CENTEX CORP      COMMON STOCK 152312104     309       6150      SH                  X                 1       6150   0        0
CENTEX CORP      COMMON STOCK 152312104     180       3580      SH                           X        1       3580   0        0
CENTURYTEL INC
  COM            COMMON STOCK 156700106      74       2000      SH                  X                 1       2000   0        0
CEPHALON INC
  COM            COMMON STOCK 156708109     281       4670      SH                  X                 1       4570   0      100
CERNER CORP      COMMON STOCK 156782104    4002     107840      SH                  X                 1     104790   0     3050
CERNER CORP      COMMON STOCK 156782104     546      14700      SH                           X        1      12300   0     2400
CH ENERGY
  GROUP INC COM  COMMON STOCK 12541M102      29        600      SH                  X                 1        600   0        0
CH ENERGY
  GROUP INC COM  COMMON STOCK 12541M102     144       3000      SH                           X        1       3000   0        0
CH ROBINSON
  WORLDWIDE INC  COMMON STOCK 12541W209     378       7085      SH                  X                 1       6985   0      100
CHARTER
  COMMUNICATIONS
  INC CL         COMMON STOCK 16117M107       1       1000      SH                  X                 1       1000   0        0
CHARTERMAC       COMMON STOCK 160908109      22       1150      SH                  X                 1       1150   0        0
CHARTERMAC       COMMON STOCK 160908109     101       5406      SH                           X        1       5406   0        0
CHECKFREE CORP
  COM            COMMON STOCK 162813109     363       7320      SH                  X                 1       6960   0      360
CHESAPEAKE
  ENERGY CORP
  COM            COMMON STOCK 165167107      85       2800      SH                  X                 1       2800   0        0
CHESAPEAKE
  ENERGY CORP
  COM            COMMON STOCK 165167107      48       1600      SH                           X        1       1600   0        0
CHESAPEAKE
  UTILITIES
  CORPORATI      COMMON STOCK 165303108      23        750      SH                           X        1        750   0        0
CHEVRON CORP     COMMON STOCK 166764100   30323     488612      SH                  X                 1     481492   0     7120
CHEVRON CORP     COMMON STOCK 166764100   17843     287513      SH                           X        1     265747   0    21766
CHICOS FAS INC   COMMON STOCK 168615102     447      16568      SH                  X                 1      15993   0      575
CHILDRENS PLACE
  RETAIL STORES  COMMON STOCK 168905107       9        150      SH                  X                 1        150   0        0
CHOICEPOINT INC
  COM            COMMON STOCK 170388102      22        533      SH                  X                 1        533   0        0
CHOICEPOINT INC
  COM            COMMON STOCK 170388102      17        400      SH                           X        1        400   0        0
CHRISTOPHER &
  BANKS CORP     COMMON STOCK 171046105      87       3000      SH                  X                 1       3000   0        0
CHUBB CORP       COMMON STOCK 171232101     489       9800      SH                  X                 1       9800   0        0
CHUBB CORP       COMMON STOCK 171232101     354       7088      SH                           X        1       7088   0        0
CIENA CORP       COMMON STOCK 171779101      59      12200      SH                  X                 1      11000   0     1200
CIGNA CORP       COMMON STOCK 125509109     555       5639      SH                  X                 1       5639   0        0
CIGNA CORP       COMMON STOCK 125509109     207       2100      SH                           X        1       2100   0        0
CINCINNATI BELL
  INC            COMMON STOCK 171871106       2        500      SH                  X                 1        500   0        0
CINCINNATI FINL
  CORP COM       COMMON STOCK 172062101    2686      57130      SH                  X                 1      55736   0     1394
CINCINNATI FINL
  CORP COM       COMMON STOCK 172062101     138       2935      SH                           X        1       2935   0        0
CINTAS CORP COM  COMMON STOCK 172908105       3         75      SH                  X                 1         75   0        0
CIRCUIT STORES
  COM            COMMON STOCK 172737108      87       3200      SH                  X                 1       3200   0        0
CIRCUIT STORES
  COM            COMMON STOCK 172737108      49       1800      SH                           X        1       1800   0        0
CISCO SYS INC    COMMON STOCK 17275R102   16885     864548      SH                  X                 1     843362   0    21186


                                   12 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                   COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1       TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
CISCO SYS INC    COMMON STOCK 17275R102    4431     226905      SH                           X        1     205170   0    21735
CIT GROUP INC    COMMON STOCK 125581108    4912      93934      SH                  X                 1      90429   0     3505
CIT GROUP INC    COMMON STOCK 125581108     513       9815      SH                           X        1       7115   0     2700
CITIGROUP INC
  COM            COMMON STOCK 172967101   23242     481690      SH                  X                 1     469758   0    11932
CITIGROUP INC
  COM            COMMON STOCK 172967101    9664     200297      SH                           X        1     187431   0    12866
CITIZENS
  COMMUNICATIONS
  CO             COMMON STOCK 17453B101     511      39125      SH                  X                 1      34125   0     5000
CITIZENS
  COMMUNICATIONS
  CO             COMMON STOCK 17453B101     239      18277      SH                           X        1       4702   0    13575
CITRIX SYSTEMS
  INC COM        COMMON STOCK 177376100     132       3300      SH                  X                 1       3300   0        0
CITY NATIONAL
  CORP COM       COMMON STOCK 178566105      50        775      SH                  X                 1        700   0       75
CLAIRES STORES
  INCORPORATED   COMMON STOCK 179584107      10        400      SH                  X                 1        400   0        0
CLAIRES STORES
  INCORPORATED   COMMON STOCK 179584107       3        100      SH                           X        1        100   0        0
CLEAN HARBORS
  INC            COMMON STOCK 184496107      84       2090      SH                  X                 1       1900   0      190
CLEAR CHANNEL
  COMMUNICATIONS
  I              COMMON STOCK 184502102     168       5425      SH                  X                 1       5425   0        0
CLEAR CHANNEL
  COMMUNICATIONS
  I              COMMON STOCK 184502102     135       4375      SH                           X        1       3675   0      700
CLECO CORP       COMMON STOCK 12561W105      19        800      SH                           X        1        800   0        0
CLEVELAND
  CLIFFS INC COM COMMON STOCK 185896107    2498      31499      SH                  X                 1      30299   0     1200
CLEVELAND
  CLIFFS INC COM COMMON STOCK 185896107     243       3065      SH                           X        1       1600   0     1465
CLOROX
  COMPANY        COMMON STOCK 189054109     473       7752      SH                  X                 1       7752   0        0
CLOROX
  COMPANY        COMMON STOCK 189054109     263       4315      SH                           X        1       4315   0        0
CMGI INC COM     COMMON STOCK 125750109       0        240      SH                  X                 1        240   0        0
CMS ENERGY CORP
  COM            COMMON STOCK 125896100      16       1200      SH                           X        1       1200   0        0
COACH INC        COMMON STOCK 189754104     962      32169      SH                  X                 1      32169   0        0
COACH INC        COMMON STOCK 189754104     212       7082      SH                           X        1       7082   0        0
COCA COLA
  BOTTLING CO
  CONSOLID       COMMON STOCK 191098102       6        125      SH                  X                 1        125   0        0
COCA COLA CO
  COM            COMMON STOCK 191216100   12548     291682      SH                  X                 1     286023   0     5659
COCA COLA CO
  COM            COMMON STOCK 191216100    6008     139659      SH                           X        1     138399   0     1260
COCA COLA
  ENTERPRISES
  INC            COMMON STOCK 191219104      20       1000      SH                  X                 1       1000   0        0
CODORUS VALLEY
  BANCORP INC    COMMON STOCK 192025104    1018      53887      SH                  X                 1      39169   0    14718
CODORUS VALLEY
  BANCORP INC    COMMON STOCK 192025104      35       1837      SH                           X        1       1837   0        0
COGENT INC       COMMON STOCK 19239Y108       2        125      SH                           X        1        125   0        0
COGNIZANT TECH
  SOL CORP       COMMON STOCK 192446102     582       8645      SH                  X                 1       8275   0      370
COHU
  INCORPORATED   COMMON STOCK 192576106      14        800      SH                  X                 1        800   0        0
COLGATE
  PALMOLIVE CO
  COM            COMMON STOCK 194162103    6683     111567      SH                  X                 1     111567   0        0
COLGATE
  PALMOLIVE CO
  COM            COMMON STOCK 194162103    4013      67002      SH                           X        1      57152   0     9850
COLONIAL
  BANCGROUP INC  COMMON STOCK 195493309      26       1000      SH                  X                 1       1000   0        0
COMCAST CORP
  NEW A          COMMON STOCK 20030N101    7680     234586      SH                  X                 1     228279   0     6307
COMCAST CORP
  NEW A          COMMON STOCK 20030N101    1852      56553      SH                           X        1      53668   0     2885
COMCAST CORP-
  SPECIAL CL A   COMMON STOCK 20030N200     715      21813      SH                  X                 1      21813   0        0
COMCAST CORP-
  SPECIAL CL A   COMMON STOCK 20030N200     163       4973      SH                           X        1       4773   0      200
COMERICA INC     COMMON STOCK 200340107     152       2916      SH                  X                 1       2916   0        0
COMMERCE
  BANCORP INC N
  J              COMMON STOCK 200519106      44       1232      SH                  X                 1       1232   0        0
COMMERCE
  BANCORP INC N
  J              COMMON STOCK 200519106      75       2100      SH                           X        1       1500   0      600
COMMERCIAL
  METALS
  COMPANY        COMMON STOCK 201723103      57       2205      SH                  X                 1       2000   0      205
COMMERCIAL
  NATL
  FINANCIAL CORP COMMON STOCK 202217105      16        820      SH                  X                 1        820   0        0
COMMSCOPE INC
  COM            COMMON STOCK 203372107      86       2750      SH                  X                 1       2500   0      250
COMMUNITY
  BANK SYSTEM
  INC            COMMON STOCK 203607106     520      25762      SH                  X                 1      25762   0        0
COMMUNITY
  BANKS INC COM  COMMON STOCK 203628102     575      22101      SH                  X                 1      20651   0     1450
COMMUNITY
  BANKS INC COM  COMMON STOCK 203628102    1287      49493      SH                           X        1      49493   0        0
COMMUNITY
  HEALTH
  SYSTEMS INC    COMMON STOCK 203668108      74       2000      SH                           X        1       2000   0        0
COMPASS
  BANCSHARES
  INC            COMMON STOCK 20449H109      25        450      SH                  X                 1        450   0        0
COMPUTER
  SCIENCES CORP
  COM            COMMON STOCK 205363104      88       1821      SH                  X                 1       1821   0        0
COMPUTER
  SCIENCES CORP
  COM            COMMON STOCK 205363104      10        200      SH                           X        1        200   0        0
COMPUTER TASK
  GROUP          COMMON STOCK 205477102     294      58750      SH                  X                 1      58750   0        0
COMPUWARE
  CORP           COMMON STOCK 205638109      10       1500      SH                           X        1       1500   0        0
COMVERSE
  TECHNOLOGY
  INC COM        COMMON STOCK 205862402       6        300      SH                  X                 1        300   0        0
COMVERSE
  TECHNOLOGY
  INC COM        COMMON STOCK 205862402       4        200      SH                           X        1        200   0        0
CON-WAY INC      COMMON STOCK 205944101      20        350      SH                  X                 1        350   0        0
CONAGRA FOODS
  INC            COMMON STOCK 205887102      39       1766      SH                  X                 1       1766   0        0
CONAGRA FOODS
  INC            COMMON STOCK 205887102     105       4763      SH                           X        1       4763   0        0
CONOCOPHILLIPS   COMMON STOCK 20825C104   16322     249082      SH                  X                 1     244333   0     4749
CONOCOPHILLIPS   COMMON STOCK 20825C104    5774      88117      SH                           X        1      82482   0     5635
CONSOL ENERGY
  INC            COMMON STOCK 20854P109     484      10360      SH                  X                 1      10040   0      320
CONSOL ENERGY
  INC            COMMON STOCK 20854P109       3         64      SH                           X        1         64   0        0
CONSOLIDATED
  COMMUNICATIONS
  HL             COMMON STOCK 209034107      10        600      SH                  X                 1        600   0        0
CONSOLIDATED
  EDISON INC COM COMMON STOCK 209115104     192       4330      SH                  X                 1       4330   0        0
CONSOLIDATED
  EDISON INC COM COMMON STOCK 209115104     374       8421      SH                           X        1       8421   0        0
CONSTELLATION
  BRANDS INC CL
  A              COMMON STOCK 21036P108       5        190      SH                  X                 1        190   0        0


                                   13 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CONSTELLATION
  BRANDS INC CL A COMMON STOCK 21036P108      20        800      SH                           X        1        800   0       0
CONSTELLATION
  ENERGY GROUP
  INC             COMMON STOCK 210371100    3625      66483      SH                  X                 1      66483   0       0
CONSTELLATION
  ENERGY GROUP
  INC             COMMON STOCK 210371100    4765      87401      SH                           X        1      82801   0    4600
CONTINENTAL
  AIRLINES CL B   COMMON STOCK 210795308       6        200      SH                           X        1        200   0       0
CONVERGYS CORP    COMMON STOCK 212485106      14        700      SH                           X        1        700   0       0
COOPER TIRE &
  RUBBER CO       COMMON STOCK 216831107       8        700      SH                  X                 1        700   0       0
CORN PRODS INTL
  INC COM         COMMON STOCK 219023108      98       3187      SH                  X                 1       3187   0       0
CORN PRODS INTL
  INC COM         COMMON STOCK 219023108     162       5288      SH                           X        1       5288   0       0
CORNING INC       COMMON STOCK 219350105    3437     142064      SH                  X                 1     141064   0    1000
CORNING INC       COMMON STOCK 219350105     965      39905      SH                           X        1      38155   0    1750
CORTEX
  PHARMACEUTICALS
  INC             COMMON STOCK 220524300       4       1390      SH                           X        1       1390   0       0
COSTCO
  WHOLESALE
  CORP COM        COMMON STOCK 22160K105     478       8370      SH                  X                 1       8145   0     225
COSTCO
  WHOLESALE
  CORP COM        COMMON STOCK 22160K105     310       5425      SH                           X        1       5425   0       0
COUNTRYWIDE
  FINANCIAL CORP  COMMON STOCK 222372104      33        878      SH                  X                 1        878   0       0
COUNTRYWIDE
  FINANCIAL CORP  COMMON STOCK 222372104      46       1200      SH                           X        1          0   0    1200
COVANCE INC COM   COMMON STOCK 222816100      99       1617      SH                  X                 1       1617   0       0
COVANCE INC COM   COMMON STOCK 222816100      79       1283      SH                           X        1       1283   0       0
COVENTRY HEALTH
  CARE INC        COMMON STOCK 222862104      31        562      SH                  X                 1        562   0       0
CRA
  INTERNATIONAL
  INC             COMMON STOCK 12618T105      79       1750      SH                  X                 1       1600   0     150
CRANE CO          COMMON STOCK 224399105     426      10246      SH                           X        1      10246   0       0
CRAY INC          COMMON STOCK 225223304       1         75      SH                  X                 1         75   0       0
CREE RESEARCH
  INC COM         COMMON STOCK 225447101      24       1000      SH                           X        1          0   0    1000
CSX CORP          COMMON STOCK 126408103    1704      24189      SH                  X                 1      24189   0       0
CSX CORP          COMMON STOCK 126408103    1137      16146      SH                           X        1      11546   0    4600
CUMMINS INC COM   COMMON STOCK 231021106      12        100      SH                  X                 1        100   0       0
CURTISS WRIGHT
  CORP            COMMON STOCK 231561101      52       1676      SH                  X                 1       1676   0       0
CURTISS WRIGHT
  CORP            COMMON STOCK 231561101      31       1000      SH                           X        1       1000   0       0
CUTERA INC        COMMON STOCK 232109108       8        400      SH                  X                 1        400   0       0
CVS CORP COM      COMMON STOCK 126650100    1283      41795      SH                  X                 1      39695   0    2100
CVS CORP COM      COMMON STOCK 126650100     329      10725      SH                           X        1      10125   0     600
CYTEC INDUSTRIES
  INC COM         COMMON STOCK 232820100       5        100      SH                  X                 1        100   0       0
CYTYC CORP        COMMON STOCK 232946103     533      21000      SH                  X                 1      20200   0     800
D R HORTON INC    COMMON STOCK 23331A109     125       5250      SH                  X                 1       5250   0       0
D R HORTON INC    COMMON STOCK 23331A109     100       4201      SH                           X        1       4201   0       0
D&E
  COMMUNICATIONS
  INC             COMMON STOCK 232860106       3        300      SH                  X                 1        300   0       0
DANAHER CORP
  COM             COMMON STOCK 235851102    1203      18705      SH                  X                 1      18705   0       0
DANAHER CORP
  COM             COMMON STOCK 235851102      81       1256      SH                           X        1       1186   0      70
DARDEN
  RESTAURANTS
  INC COM         COMMON STOCK 237194105    1280      32490      SH                  X                 1      32490   0       0
DARDEN
  RESTAURANTS
  INC COM         COMMON STOCK 237194105     372       9430      SH                           X        1       9430   0       0
DAVITA INC WITH
  ATTACHED RIGHT  COMMON STOCK 23918K108       2         40      SH                  X                 1         40   0       0
DAVITA INC WITH
  ATTACHED RIGHT  COMMON STOCK 23918K108      76       1537      SH                           X        1       1237   0     300
DEAN FOODS CO     COMMON STOCK 242370104       2         51      SH                  X                 1         51   0       0
DECODE GENETICS
  INC             COMMON STOCK 243586104       2        300      SH                  X                 1        300   0       0
DEERE & CO        COMMON STOCK 244199105    1839      22030      SH                  X                 1      21730   0     300
DEERE & CO        COMMON STOCK 244199105     558       6680      SH                           X        1       5937   0     743
DEL MONTE FOODS
  CO              COMMON STOCK 24522P103      20       1795      SH                  X                 1       1795   0       0
DEL MONTE FOODS
  CO              COMMON STOCK 24522P103      25       2226      SH                           X        1       2226   0       0
DELL INC          COMMON STOCK 24702R101    6154     251580      SH                  X                 1     247694   0    3886
DELL INC          COMMON STOCK 24702R101    1445      59096      SH                           X        1      54251   0    4845
DELTA PETROLEUM
  CORP            COMMON STOCK 247907207     103       6000      SH                           X        1       6000   0       0
DENBURY
  RESOURCES
  INCORPORATED    COMMON STOCK 247916208     266       8390      SH                  X                 1       8075   0     315
DENTSPLY
  INTERNATIONAL
  INC COM         COMMON STOCK 249030107    1601      26415      SH                  X                 1      26265   0     150
DENTSPLY
  INTERNATIONAL
  INC COM         COMMON STOCK 249030107     336       5540      SH                           X        1       5540   0       0
DESIGN WITHIN
  REACH INC       COMMON STOCK 250557105       2        250      SH                  X                 1        250   0       0
DEVON ENERGY
  CORP            COMMON STOCK 25179M103     689      11407      SH                  X                 1      11081   0     326
DEVON ENERGY
  CORP            COMMON STOCK 25179M103     215       3557      SH                           X        1       3157   0     400
DEVRY INC         COMMON STOCK 251893103      11        500      SH                  X                 1        500   0       0
DIAMOND
  OFFSHORE
  DRILLING COM    COMMON STOCK 25271C102       4         50      SH                  X                 1         50   0       0
DIAMONDS TR UNIT
  SER 1           COMMON STOCK 252787106     257       2300      SH                  X                 1       2300   0       0
DIEBOLD INC       COMMON STOCK 253651103      19        463      SH                  X                 1        463   0       0
DIEBOLD INC       COMMON STOCK 253651103      14        350      SH                           X        1        350   0       0
DIGENE CORP
  COMMON          COMMON STOCK 253752109      47       1220      SH                  X                 1       1100   0     120
DIGITAS INC COM   COMMON STOCK 25388K104      92       7900      SH                  X                 1       7200   0     700
DISCOVERY
  HOLDING CO      COMMON STOCK 25468Y206      38       2600      SH                           X        1       2600   0       0
DISCOVERY
  HOLDING CO-A    COMMON STOCK 25468Y107      70       4782      SH                  X                 1       4782   0       0
DISCOVERY
  HOLDING CO-A    COMMON STOCK 25468Y107      95       6500      SH                           X        1       6500   0       0
DISNEY WALT CO    COMMON STOCK 254687106    5240     174651      SH                  X                 1     174051   0     600


                                   14 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
DISNEY WALT CO    COMMON STOCK 254687106    3280     109328      SH                           X        1     102578   0    6750
DOLBY
  LABORATORIES
  INC CL A        COMMON STOCK 25659T107       2        100      SH                  X                 1        100   0       0
DOLLAR GENERAL
  CORP            COMMON STOCK 256669102       2        130      SH                           X        1        130   0       0
DOMINION
  RESOURCES
  BLACK WARRI     COMMON STOCK 25746Q108      96       2500      SH                  X                 1       2500   0       0
DOMINION
  RESOURCES INC   COMMON STOCK 25746U109    4525      60509      SH                  X                 1      58984   0    1525
DOMINION
  RESOURCES INC   COMMON STOCK 25746U109    3467      46352      SH                           X        1      41334   0    5018
DONEGAL GROUP
  INC CL A        COMMON STOCK 257701201      36       1838      SH                  X                 1       1838   0       0
DONEGAL GROUP
  INC CL B        COMMON STOCK 257701300      16        906      SH                  X                 1        906   0       0
DONNELLEY R R &
  SONS CO         COMMON STOCK 257867101     133       4156      SH                  X                 1       4156   0       0
DONNELLEY R R &
  SONS CO         COMMON STOCK 257867101     141       4400      SH                           X        1       4400   0       0
DOVER CORP        COMMON STOCK 260003108    1996      40384      SH                  X                 1      40384   0       0
DOVER CORP        COMMON STOCK 260003108    1802      36452      SH                           X        1      29552   0    6900
DOW CHEMICAL CO   COMMON STOCK 260543103    6104     156401      SH                  X                 1     155376   0    1025
DOW CHEMICAL CO   COMMON STOCK 260543103    2951      75598      SH                           X        1      74098   0    1500
DPL INC           COMMON STOCK 233293109     142       5289      SH                  X                 1       5289   0       0
DPL INC           COMMON STOCK 233293109      35       1317      SH                           X        1       1317   0       0
DRESS BARN
  INCORPORATED    COMMON STOCK 261570105      84       3300      SH                  X                 1       3000   0     300
DRS
  TECHNOLOGIES
  INC             COMMON STOCK 23330X100      10        200      SH                           X        1        200   0       0
DRYCLEAN USA INC  COMMON STOCK 262432107       1        350      SH                  X                 1        350   0       0
DTE ENERGY CO     COMMON STOCK 233331107     877      21527      SH                  X                 1      20352   0    1175
DTE ENERGY CO     COMMON STOCK 233331107     566      13897      SH                           X        1      10419   0    3478
DUKE ENERGY
  CORP            COMMON STOCK 26441C105     859      29241      SH                  X                 1      28866   0     375
DUKE ENERGY
  CORP            COMMON STOCK 26441C105    1133      38568      SH                           X        1      38068   0     500
DUN &
  BRADSTREET
  CORP            COMMON STOCK 26483E100      54        774      SH                  X                 1        774   0       0
DUN &
  BRADSTREET
  CORP            COMMON STOCK 26483E100     118       1700      SH                           X        1       1700   0       0
DUPONT EI DE
  NEMOURS & CO
  COM             COMMON STOCK 263534109    7896     189806      SH                  X                 1     186381   0    3425
DUPONT EI DE
  NEMOURS & CO
  COM             COMMON STOCK 263534109    8333     200314      SH                           X        1     194714   0    5600
DUQUESNE LIGHT
  HOLDINGS INC    COMMON STOCK 266233105      33       2035      SH                  X                 1       2035   0       0
DUQUESNE LIGHT
  HOLDINGS INC    COMMON STOCK 266233105      10        600      SH                           X        1        600   0       0
DYNEGY INC CL A   COMMON STOCK 26816Q101     111      20360      SH                  X                 1      18460   0    1900
E*TRADE
  FINANCIAL
  CORPORATION     COMMON STOCK 269246104       7        290      SH                  X                 1        290   0       0
EAGLE MATERIALS
  INC COM W RIGH  COMMON STOCK 26969P108      16        345      SH                  X                 1        345   0       0
EARTHLINK INC
  COM             COMMON STOCK 270321102      68       7807      SH                  X                 1       7207   0     600
EASTMAN
  CHEMICAL
  COMPANY COM     COMMON STOCK 277432100      75       1393      SH                  X                 1       1393   0       0
EASTMAN
  CHEMICAL
  COMPANY COM     COMMON STOCK 277432100     127       2355      SH                           X        1       1855   0     500
EASTMAN KODAK
  CO COM          COMMON STOCK 277461109      52       2205      SH                  X                 1       2205   0       0
EASTMAN KODAK
  CO COM          COMMON STOCK 277461109     411      17277      SH                           X        1      17277   0       0
EATON CORP COM    COMMON STOCK 278058102     635       8417      SH                  X                 1       8417   0       0
EATON CORP COM    COMMON STOCK 278058102     143       1900      SH                           X        1       1900   0       0
EATON VANCE
  CORP            COMMON STOCK 278265103       6        230      SH                  X                 1        230   0       0
EBAY INC COM      COMMON STOCK 278642103    3245     110775      SH                  X                 1     108586   0    2189
EBAY INC COM      COMMON STOCK 278642103     429      14651      SH                           X        1      11791   0    2860
ECOLAB INC COM    COMMON STOCK 278865100    1083      26700      SH                  X                 1      26700   0       0
ECOLAB INC COM    COMMON STOCK 278865100      95       2350      SH                           X        1       2350   0       0
EDISON
  INTERNATIONAL
  COM             COMMON STOCK 281020107      39       1010      SH                  X                 1       1010   0       0
EDWARDS AG INC
  COM             COMMON STOCK 281760108      19        339      SH                           X        1        339   0       0
EDWARDS
  LIFESCIENCES
  CORP COM        COMMON STOCK 28176E108     651      14335      SH                  X                 1      13335   0    1000
EDWARDS
  LIFESCIENCES
  CORP COM        COMMON STOCK 28176E108     208       4580      SH                           X        1       3980   0     600
EL PASO CORP COM  COMMON STOCK 28336L109      53       3566      SH                  X                 1       3566   0       0
EL PASO CORP COM  COMMON STOCK 28336L109      52       3496      SH                           X        1       3496   0       0
ELECTRONIC DATA
  SYSTEM
  CORPORA         COMMON STOCK 285661104      62       2564      SH                  X                 1       2564   0       0
ELECTRONIC DATA
  SYSTEM
  CORPORA         COMMON STOCK 285661104      64       2658      SH                           X        1       2658   0       0
ELECTRONICS ARTS
  COM             COMMON STOCK 285512109    4660     108272      SH                  X                 1     104078   0    4194
ELECTRONICS ARTS
  COM             COMMON STOCK 285512109     382       8870      SH                           X        1       8870   0       0
ELECTRONICS FOR
  IMAGING INC CO  COMMON STOCK 286082102     380      18210      SH                  X                 1      17445   0     765
ELECTRONICS FOR
  IMAGING INC CO  COMMON STOCK 286082102      27       1300      SH                           X        1          0   0    1300
ELIZABETH ARDEN
  INC COM         COMMON STOCK 28660G106       4        205      SH                  X                 1        205   0       0
EMBARQ CORP       COMMON STOCK 29078E105      82       2006      SH                  X                 1       1376   0     630
EMBARQ CORP       COMMON STOCK 29078E105      30        732      SH                           X        1        692   0      40
EMC CORP MASS
  COM             COMMON STOCK 268648102    4002     364771      SH                  X                 1     357321   0    7450
EMC CORP MASS
  COM             COMMON STOCK 268648102     635      57872      SH                           X        1      51002   0    6870
EMDEON
  CORPORATION     COMMON STOCK 290849108       4        350      SH                  X                 1        350   0       0
EMERSON
  ELECTRIC CO     COMMON STOCK 291011104    6296      75122      SH                  X                 1      74572   0     550
EMERSON
  ELECTRIC CO     COMMON STOCK 291011104    5896      70351      SH                           X        1      62836   0    7515
ENBRIDGE ENERGY
  PTNR            COMMON STOCK 29250R106     114       2627      SH                           X        1       2627   0       0
ENCYSIVE
  PHARMACEUTICALS
  INC             COMMON STOCK 29256X107     187      27000      SH                           X        1      27000   0       0
ENERGIZER HLDGS
  INC COM         COMMON STOCK 29266R108      83       1412      SH                  X                 1       1412   0       0


                                   15 of 52






                                                    SEC USE  -------------------------------------------------------------------
                                                                                   COLUMN 6                       COLUMN 8
                                                                                  INVESTMENT                       VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          --------------------
                                                    SHARES
                   COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1       TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                   
ENERGIZER
  HLDGS INC
  COM            COMMON STOCK 29266R108       6         100     SH                           X        1        100   0         0
ENERGY
  CONVERSION
  DEVICES INC    COMMON STOCK 292659109       7         200     SH                           X        1        200   0         0
ENERGY EAST
  CORP COM       COMMON STOCK 29266M109     142        5923     SH                  X                 1       5923   0         0
ENERGY EAST
  CORP COM       COMMON STOCK 29266M109     205        8576     SH                           X        1       8376   0       200
ENERGY SELECT
  SECTOR SPDR
  FD             COMMON STOCK 81369Y506     127        2239     SH                           X        1       2239   0         0
ENERGY
  TRANSFER
  PARTNERS LP    COMMON STOCK 29273R109      45        1000     SH                           X        1       1000   0         0
ENPRO
  INDUSTRIES     COMMON STOCK 29355X107      27         800     SH                           X        1        800   0         0
ENSCO
  INTERNATIONAL
  INC COM        COMMON STOCK 26874Q100    6688      145329     SH                  X                 1     139856   0      5473
ENSCO
  INTERNATIONAL
  INC COM        COMMON STOCK 26874Q100     587       12746     SH                           X        1       9756   0      2990
ENTERGY CORP
  COM NEW        COMMON STOCK 29364G103      18         250     SH                  X                 1        250   0         0
ENTERGY CORP
  COM NEW        COMMON STOCK 29364G103     185        2621     SH                           X        1       2621   0         0
ENTERPRISE
  PRODUCTS
  PARTNERS L     COMMON STOCK 293792107      50        2022     SH                  X                 1       2022   0         0
ENTERPRISE
  PRODUCTS
  PARTNERS L     COMMON STOCK 293792107     142        5685     SH                           X        1       5685   0         0
EOG RESOURCES
  INC COM        COMMON STOCK 26875P101    2119       30562     SH                  X                 1      29485   0      1077
EOG RESOURCES
  INC COM        COMMON STOCK 26875P101     165        2375     SH                           X        1       1450   0       925
EP
  MEDSYSTEMS
  INC COM        COMMON STOCK 26881P103      14        8000     SH                           X        1       8000   0         0
EQUIFAX INC
  COM            COMMON STOCK 294429105      86        2500     SH                           X        1       2500   0         0
EQUITABLE
  RESOURCES
  INC            COMMON STOCK 294549100     995       29700     SH                  X                 1      29700   0         0
EQUITABLE
  RESOURCES
  INC            COMMON STOCK 294549100     142        4231     SH                           X        1       4231   0         0
ERIE
  INDEMNITY
  CO CL A        COMMON STOCK 29530P102    7722      148500     SH                  X                 1     148500   0         0
ESSEX
  CORPORATION    COMMON STOCK 296744105       9         500     SH                           X        1        500   0         0
EXAR CORP COM    COMMON STOCK 300645108      81        6100     SH                  X                 1       5500   0       600
EXELON CORP      COMMON STOCK 30161N101    4570       80412     SH                  X                 1      78462   0      1950
EXELON CORP      COMMON STOCK 30161N101    1263       22224     SH                           X        1      21074   0      1150
EXPEDITORS
  INTL WASH
  INC COM        COMMON STOCK 302130109     101        1800     SH                  X                 1       1800   0         0
EXPRESS
  SCRIPTS INC    COMMON STOCK 302182100    9522      132728     SH                  X                 1     129758   0      2970
EXPRESS
  SCRIPTS INC    COMMON STOCK 302182100    2645       36870     SH                           X        1      35105   0      1765
EXXON MOBIL
  CORP           COMMON STOCK 30231G102   76813     1252043     SH                  X                 1     237146   0     14897
EXXON MOBIL
  CORP           COMMON STOCK 30231G102   68612     1118362     SH                           X        1      17111   0    101251
FACTSET
  RESEARCH
  SYSTEMS INC    COMMON STOCK 303075105      43         900     SH                           X        1        900   0         0
FAMILY
  DOLLAR
  STORES         COMMON STOCK 307000109       7         275     SH                           X        1        275   0         0
FASTENAL CO      COMMON STOCK 311900104     238        5910     SH                  X                 1       5710   0       200
FEATHERLITE
  INCORPORATED   COMMON STOCK 313054108     204       45422     SH                           X        1      45422   0         0
FED NATL MTG
  ASSN COM       COMMON STOCK 313586109    5017      104299     SH                  X                 1     103699   0       600
FED NATL MTG
  ASSN COM       COMMON STOCK 313586109    2328       48401     SH                           X        1      46501   0      1900
FEDERAL
  SIGNAL CORP    COMMON STOCK 313855108      15        1000     SH                  X                 1       1000   0         0
FEDERATED
  DEPT STORES
  INC            COMMON STOCK 31410H101     308        8406     SH                  X                 1       8406   0         0
FEDERATED
  DEPT STORES
  INC            COMMON STOCK 31410H101      57        1556     SH                           X        1       1556   0         0
FEDEX CORP
  COM            COMMON STOCK 31428X106     636        5440     SH                  X                 1       5440   0         0
FEDEX CORP
  COM            COMMON STOCK 31428X106     370        3170     SH                           X        1       2570   0       600
FIDELITY NATL
  FINL INC       COMMON STOCK 316326107    1654       42462     SH                  X                 1      41990   0       472
FIDELITY NATL
  FINL INC       COMMON STOCK 316326107      10         245     SH                           X        1        245   0         0
FIDELITY NATL
  INFORMATION
  SERV           COMMON STOCK 31620M106      18         500     SH                           X        1        500   0         0
FIDELITY NATL
  TITLE GRP - CL
  A              COMMON STOCK 31620R105       8         400     SH                  X                 1        400   0         0
FIFTH THIRD
  BANCORP
  COM            COMMON STOCK 316773100     607       16433     SH                  X                 1      16433   0         0
FIFTH THIRD
  BANCORP
  COM            COMMON STOCK 316773100      35         950     SH                           X        1        950   0         0
FILENET CORP
  COM            COMMON STOCK 316869106      86        3200     SH                  X                 1       2900   0       300
FIRST DATA
  CORP COM       COMMON STOCK 319963104    1847       41002     SH                  X                 1      40652   0       350
FIRST DATA
  CORP COM       COMMON STOCK 319963104    1241       27560     SH                           X        1      24660   0      2900
FIRST MARINER
  BANCORP
  INCORPOR       COMMON STOCK 320795107      68        3500     SH                           X        1       3500   0         0
FIRST NIAGARA
  FINANCIAL
  GROUP          COMMON STOCK 33582V108       4         292     SH                  X                 1        292   0         0
FIRST STATE
  FINANCIAL
  CORP FLO       COMMON STOCK 33708M206      59        3253     SH                  X                 1       3253   0         0
FIRST UNITED
  CORP COM       COMMON STOCK 33741H107     174        8408     SH                  X                 1       8408   0         0
FIRST UNITED
  CORP COM       COMMON STOCK 33741H107      50        2417     SH                           X        1        200   0      2217
FIRSTENERGY
  CORP COM       COMMON STOCK 337932107     255        4703     SH                  X                 1       4703   0         0
FIRSTENERGY
  CORP COM       COMMON STOCK 337932107     396        7310     SH                           X        1       7310   0         0
FISERV INC       COMMON STOCK 337738108      10         220     SH                  X                 1        220   0         0
FISERV INC       COMMON STOCK 337738108       9         200     SH                           X        1          0   0       200
FIVE STAR
  QUALITY
  CARE INC       COMMON STOCK 33832D106      52        4660     SH                  X                 1       4200   0       460
FIVE STAR
  QUALITY
  CARE INC       COMMON STOCK 33832D106       0          10     SH                           X        1          0   0        10
FLORIDA EAST
  COAST
  INDUSTRIES     COMMON STOCK 340632108       0           8     SH                           X        1          8   0         0
FLORIDA ROCK
  INDUSTRIES     COMMON STOCK 341140101      24         475     SH                           X        1        475   0         0
FLUOR CORP       COMMON STOCK 343412102    1377       14816     SH                  X                 1      14539   0       277
FLUOR CORP       COMMON STOCK 343412102     195        2100     SH                           X        1       2100   0         0
FNB CORP PA      COMMON STOCK 302520101      77        4890     SH                  X                 1       4890   0         0
FONAR CORP
  COM            COMMON STOCK 344437108       0         518     SH                  X                 1        518   0         0
FORD MOTOR
  CO             COMMON STOCK 345370860      90       13053     SH                  X                 1      13053   0         0


                                   16 of 52






                                                     SEC USE  -------------------------------------------------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                                                   INVESTMENT                       VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          --------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
FORD MOTOR CO     COMMON STOCK 345370860     118       17052     SH                           X        1      13492   0      3560
FOREST LABS INC
  COM             COMMON STOCK 345838106      14         350     SH                  X                 1        350   0         0
FOREST OIL CORP   COMMON STOCK 346091705      17         500     SH                  X                 1        500   0         0
FORTUNE BRANDS
  INC             COMMON STOCK 349631101    1583       22297     SH                  X                 1      21097   0      1200
FORTUNE BRANDS
  INC             COMMON STOCK 349631101     758       10669     SH                           X        1       9062   0      1607
FOUNDATION COAL
  HOLDINGS INC    COMMON STOCK 35039W100      56        1200     SH                  X                 1       1100   0       100
FPL GROUP INC
  COM             COMMON STOCK 302571104    5230      126378     SH                  X                 1     126378   0         0
FPL GROUP INC
  COM             COMMON STOCK 302571104    2751       66492     SH                           X        1      57950   0      8542
FRANKLIN
  RESOURCES INC   COMMON STOCK 354613101      74         854     SH                  X                 1        854   0         0
FRANKLIN
  RESOURCES INC   COMMON STOCK 354613101      13         150     SH                           X        1        150   0         0
FREDDIE MAC       COMMON STOCK 313400301    2014       35324     SH                  X                 1      35324   0         0
FREDDIE MAC       COMMON STOCK 313400301      93        1625     SH                           X        1       1625   0         0
FREEPORT
  MCMORAN CPR &
  GLD INC         COMMON STOCK 35671D857      60        1079     SH                  X                 1       1079   0         0
FREEPORT
  MCMORAN CPR &
  GLD INC         COMMON STOCK 35671D857      42         765     SH                           X        1        765   0         0
FREESCALE
  SEMICONDUCTOR-B COMMON STOCK 35687M206      37        1259     SH                  X                 1       1259   0         0
FREESCALE
  SEMICONDUCTOR-B COMMON STOCK 35687M206      96        3259     SH                           X        1       3039   0       220
FREIGHTCAR
  AMERICA INC     COMMON STOCK 357023100      96        1733     SH                  X                 1       1598   0       135
FRIEDMAN
  BILLINGS
  RAMSEY GRP I    COMMON STOCK 358434108       3         300     SH                           X        1        300   0         0
FRONTIER OIL
  CORPORATION     COMMON STOCK 35914P105     127        3920     SH                  X                 1       3670   0       250
FROZEN FOOD
  EXPRESS
  INDUSTRIES      COMMON STOCK 359360104      11        1000     SH                           X        1       1000   0         0
FULTON FINANCIAL
  CORP            COMMON STOCK 360271100    2159      135592     SH                  X                 1     135592   0         0
FULTON FINANCIAL
  CORP            COMMON STOCK 360271100    2899      182114     SH                           X        1     136255   0     45859
F5 NETWORKS INC   COMMON STOCK 315616102    1721       32187     SH                  X                 1      31448   0       739
F5 NETWORKS INC   COMMON STOCK 315616102      13         240     SH                           X        1        240   0         0
GALLAGHER
  ARTHUR J. & CO  COMMON STOCK 363576109       1          40     SH                  X                 1         40   0         0
GALLAGHER
  ARTHUR J. & CO  COMMON STOCK 363576109       5         200     SH                           X        1        200   0         0
GAMESTOP CORP -
  CLASS A         COMMON STOCK 36467W109     477       11365     SH                  X                 1      10835   0       530
GANNETT CO INC    COMMON STOCK 364730101     701       12531     SH                  X                 1      12531   0         0
GANNETT CO INC    COMMON STOCK 364730101     793       14178     SH                           X        1      13978   0       200
GAP INC COM       COMMON STOCK 364760108     749       43067     SH                  X                 1      43067   0         0
GAP INC COM       COMMON STOCK 364760108     423       24301     SH                           X        1      23901   0       400
GATX CORP         COMMON STOCK 361448103      15         350     SH                           X        1          0   0       350
GENELABS
  TECHNOLOGIES    COMMON STOCK 368706206       1         600     SH                  X                 1        600   0         0
GENENTECH INC
  COM NEW         COMMON STOCK 368710406    2818       34454     SH                  X                 1      34454   0         0
GENENTECH INC
  COM NEW         COMMON STOCK 368710406     270        3300     SH                           X        1       3300   0         0
GENERAL CABLE
  CORPORATION     COMMON STOCK 369300108      85        2430     SH                  X                 1       2200   0       230
GENERAL
  DYNAMICS CORP
  COM             COMMON STOCK 369550108    3841       58684     SH                  X                 1      58684   0         0
GENERAL
  DYNAMICS CORP
  COM             COMMON STOCK 369550108     991       15138     SH                           X        1      15138   0         0
GENERAL
  ELECTRIC
  COMPANY         COMMON STOCK 369604103   72478     2198982     SH                  X                 1     163959   0     35023
GENERAL
  ELECTRIC
  COMPANY         COMMON STOCK 369604103   70526     2139750     SH                           X        1       7308   0    132442
GENERAL
  MARITIME CORP   COMMON STOCK Y2692M103      23         622     SH                  X                 1        622   0         0
GENERAL MILLS
  INC             COMMON STOCK 370334104    4592       88894     SH                  X                 1      87144   0      1750
GENERAL MILLS
  INC             COMMON STOCK 370334104    1880       36387     SH                           X        1      35937   0       450
GENERAL MOTORS
  CORP COM        COMMON STOCK 370442105     107        3595     SH                  X                 1       3195   0       400
GENERAL MOTORS
  CORP COM        COMMON STOCK 370442105    1405       47150     SH                           X        1      46502   0       648
GENESEE &
  WYOMING         COMMON STOCK 371559105       5         150     SH                  X                 1        150   0         0
GENESIS
  MICROCHIP INC   COMMON STOCK 37184C103       6         500     SH                  X                 1        500   0         0
GENTEX CORP COM   COMMON STOCK 371901109      10         700     SH                  X                 1        700   0         0
GENUINE PARTS
  INC             COMMON STOCK 372460105     423       10155     SH                  X                 1      10155   0         0
GENUINE PARTS
  INC             COMMON STOCK 372460105     135        3250     SH                           X        1       3250   0         0
GENWORTH
  FINANCIAL INC -
  CL A            COMMON STOCK 37247D106      22         645     SH                           X        1        645   0         0
GENZYME CORP
  COM             COMMON STOCK 372917104     810       13261     SH                  X                 1      12861   0       400
GENZYME CORP
  COM             COMMON STOCK 372917104      37         600     SH                           X        1        600   0         0
GERON CORP        COMMON STOCK 374163103       3         500     SH                           X        1          0   0       500
GIANT INDUSTRIES
  INCORPORATED    COMMON STOCK 374508109      84        1265     SH                  X                 1       1150   0       115
GILEAD SCIENCES
  INC COM         COMMON STOCK 375558103    2817       47617     SH                  X                 1      46740   0       877
GILEAD SCIENCES
  INC COM         COMMON STOCK 375558103     266        4490     SH                           X        1       4490   0         0
GLADSTONE
  CAPITAL CORP    COMMON STOCK 376535100     107        5000     SH                  X                 1       5000   0         0
GLATFELTER        COMMON STOCK 377316104     691       43563     SH                  X                 1      43563   0         0
GLOBAL
  INDUSTRIES LTD  COMMON STOCK 379336100     105        6300     SH                  X                 1       5700   0       600
GOLDEN WEST FINL
  CORP COM        COMMON STOCK 381317106       6          84     SH                  X                 1         84   0         0
GOLDMAN SACHS
  GROUP INC COM   COMMON STOCK 38141G104    1120        7443     SH                  X                 1       7393   0        50
GOLDMAN SACHS
  GROUP INC COM   COMMON STOCK 38141G104     223        1485     SH                           X        1       1315   0       170
GOODRICH CORP     COMMON STOCK 382388106       4         100     SH                  X                 1        100   0         0
GOODRICH CORP     COMMON STOCK 382388106     226        5600     SH                           X        1       4000   0      1600
GOODYEAR TIRE &
  RUBR CO         COMMON STOCK 382550101       9         800     SH                  X                 1        800   0         0
GOODYEAR TIRE &
  RUBR CO         COMMON STOCK 382550101      23        2050     SH                           X        1       2050   0         0


                                   17 of 52






                                                      SEC USE  ------------------------------------------------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                                                    INVESTMENT                      VOTING
                                                             COLUMN 5               AUTHORITY                      AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                                                      SHARES
                     COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
     COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
  --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
GOOGLE INC CL
  A                COMMON STOCK 38259P508    2515       5998      SH                  X                 1       5915   0       83
GOOGLE INC CL
  A                COMMON STOCK 38259P508     145        345      SH                           X        1        345   0        0
GRACO INC COM      COMMON STOCK 384109104     897      19500      SH                  X                 1      19200   0      300
GRANT PRIDECO
  INC COM          COMMON STOCK 38821G101     543      12141      SH                  X                 1      11595   0      546
GRANT PRIDECO
  INC COM          COMMON STOCK 38821G101       7        150      SH                           X        1        150   0        0
GREAT AMERN
  FINL RES INC
  COM              COMMON STOCK 389915109       2        100      SH                           X        1          0   0      100
GREAT LAKES
  BANCORP INC      COMMON STOCK 390914109       4        217      SH                  X                 1        217   0        0
GREAT PLAINS
  ENERGY INC       COMMON STOCK 391164100       8        270      SH                  X                 1        270   0        0
GREAT PLAINS
  ENERGY INC       COMMON STOCK 391164100      24        850      SH                           X        1        850   0        0
GREEN
  MOUNTAIN
  POWER CORP       COMMON STOCK 393154109      34       1000      SH                           X        1       1000   0        0
HALLIBURTON
  HLDG CO COM      COMMON STOCK 406216101     568       7656      SH                  X                 1       6606   0     1050
HALLIBURTON
  HLDG CO COM      COMMON STOCK 406216101     466       6275      SH                           X        1       2475   0     3800
HALOZYME
  THERAPEUTICS
  INC              COMMON STOCK 40637H109      73      27000      SH                  X                 1      27000   0        0
HANSEN
  NATURAL
  CORPORATION      COMMON STOCK 411310105     105        550      SH                  X                 1        500   0       50
HARLEY
  DAVIDSON INC     COMMON STOCK 412822108    1161      21152      SH                  X                 1      21152   0        0
HARLEY
  DAVIDSON INC     COMMON STOCK 412822108     310       5650      SH                           X        1       2450   0     3200
HARLEYSVILLE
  NATL CORP
  COM              COMMON STOCK 412850109      27       1254      SH                  X                 1       1254   0        0
HARMAN
  INTERNATIONAL
  INDUSTRIE        COMMON STOCK 413086109     306       3580      SH                  X                 1       3480   0      100
HARRAHS
  ENTERTAINMENT
  INC              COMMON STOCK 413619107      23        325      SH                  X                 1        325   0        0
HARRIS &
  HARRIS GROUP
  INC              COMMON STOCK 413833104       4        400      SH                           X        1        400   0        0
HARRIS CORP        COMMON STOCK 413875105    3183      76685      SH                  X                 1      75176   0     1509
HARRIS CORP        COMMON STOCK 413875105      72       1730      SH                           X        1       1730   0        0
HARSCO CORP        COMMON STOCK 415864107   14828     190200      SH                  X                 1     155535   0    34665
HARSCO CORP        COMMON STOCK 415864107    4100      52588      SH                           X        1      52588   0        0
HARTFORD
  FINANCIAL
  SVCS GRP IN      COMMON STOCK 416515104    1942      22953      SH                  X                 1      22418   0      535
HARTFORD
  FINANCIAL
  SVCS GRP IN      COMMON STOCK 416515104    1351      15966      SH                           X        1      14026   0     1940
HARVARD
  BIOSCIENCE
  INC              COMMON STOCK 416906105      86      19300      SH                  X                 1      17500   0     1800
HASBRO INC         COMMON STOCK 418056107       3        170      SH                           X        1        170   0        0
HAWAIIAN ELEC
  IND INC          COMMON STOCK 419870100       4        140      SH                  X                 1        140   0        0
HCA INC COM        COMMON STOCK 404119109      38        882      SH                  X                 1        882   0        0
HCA INC COM        COMMON STOCK 404119109      64       1475      SH                           X        1        725   0      750
HCC INS HLDGS
  INC COM          COMMON STOCK 404132102     395      13405      SH                  X                 1      12665   0      740
HEALTH
  MANAGEMENT-CLASS
  A                COMMON STOCK 421933102     859      43588      SH                  X                 1      42538   0     1050
HEALTH
  MANAGEMENT-CLASS
  A                COMMON STOCK 421933102     397      20138      SH                           X        1      17938   0     2200
HEALTH NET INC
  COM              COMMON STOCK 42222G108     352       7790      SH                  X                 1       7790   0        0
HEALTH NET INC
  COM              COMMON STOCK 42222G108      27        600      SH                           X        1        600   0        0
HEALTHEXTRAS
  INCORPORATED     COMMON STOCK 422211102      12        400      SH                  X                 1        400   0        0
HEALTHWAYS
  INC              COMMON STOCK 422245100      30        575      SH                  X                 1        575   0        0
HEINZ H J CO
  COM              COMMON STOCK 423074103    1121      27191      SH                  X                 1      27191   0        0
HEINZ H J CO
  COM              COMMON STOCK 423074103    1143      27718      SH                           X        1      21168   0     6550
HELMERICH &
  PAYNE INC
  COM              COMMON STOCK 423452101      80       1320      SH                  X                 1       1200   0      120
HERCULES INC       COMMON STOCK 427056106      32       2125      SH                  X                 1       2125   0        0
HERCULES INC       COMMON STOCK 427056106      78       5100      SH                           X        1       5100   0        0
HERLEY
  INDUSTRIES
  INC              COMMON STOCK 427398102       2        180      SH                  X                 1        180   0        0
HERMAN MILLER
  INC              COMMON STOCK 600544100      17        650      SH                  X                 1        650   0        0
HEWLETT
  PACKARD CO
  COM              COMMON STOCK 428236103    4082     128845      SH                  X                 1     128213   0      632
HEWLETT
  PACKARD CO
  COM              COMMON STOCK 428236103    2243      70801      SH                           X        1      64801   0     6000
HILTON HOTELS
  CORP             COMMON STOCK 432848109     342      12078      SH                  X                 1      12078   0        0
HILTON HOTELS
  CORP             COMMON STOCK 432848109      15        525      SH                           X        1        525   0        0
HOLOGIC INC
  COM              COMMON STOCK 436440101     118       2400      SH                           X        1       1600   0      800
HOME DEPOT INC
  COM              COMMON STOCK 437076102   14322     400155      SH                  X                 1     395870   0     4285
HOME DEPOT INC
  COM              COMMON STOCK 437076102    5244     146513      SH                           X        1     136503   0    10010
HONEYWELL
  INTL INC COM     COMMON STOCK 438516106    1090      27056      SH                  X                 1      27056   0        0
HONEYWELL
  INTL INC COM     COMMON STOCK 438516106    1586      39345      SH                           X        1      39345   0        0
HOSPIRA INC        COMMON STOCK 441060100     243       5668      SH                  X                 1       5668   0        0
HOSPIRA INC        COMMON STOCK 441060100     190       4435      SH                           X        1       4065   0      370
HOVNANIAN
  ENTERPRISES-A    COMMON STOCK 442487203       7        225      SH                  X                 1        225   0        0
HUBBELL INC CL
  B                COMMON STOCK 443510201      24        500      SH                           X        1        500   0        0
HUDSON
  TECHNOLOGIES
  INC              COMMON STOCK 444144109       1        500      SH                  X                 1        500   0        0
HUGOTON
  ROYALTY
  TRUST            COMMON STOCK 444717102      48       1612      SH                  X                 1       1612   0        0
HUGOTON
  ROYALTY
  TRUST            COMMON STOCK 444717102       6        205      SH                           X        1        205   0        0
HUMAN GENOME
  SCIENCES INC     COMMON STOCK 444903108      65       6100      SH                  X                 1       5500   0      600
HUMAN GENOME
  SCIENCES INC     COMMON STOCK 444903108      69       6450      SH                           X        1       6450   0        0
HUMANA INC
  COM              COMMON STOCK 444859102      16        300      SH                  X                 1        300   0        0
HUMMINGBIRD
  LTD              COMMON STOCK 44544R101      14        500      SH                           X        1          0   0      500
HUNTINGTON
  BANCSHARES
  INC COM          COMMON STOCK 446150104      12        500      SH                  X                 1        500   0        0
HUNTINGTON
  BANCSHARES
  INC COM          COMMON STOCK 446150104       4        161      SH                           X        1        161   0        0


                                   18 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                     COLUMN 2            COLUMN 4     OR      SHARES   PUT                         COLUMN 7
      COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
   NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
   --------------    -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
HUTTIG BLDG PRODS     COMMON
  INC                 STOCK   448451104      18       2277      SH                           X        1       2277   0        0
HYPERION SOLUTIONS    COMMON
  CORP COM            STOCK   44914M104      10        375      SH                  X                 1        375   0        0
IAC/INTERACTIVE CORP  COMMON
                      STOCK   44919P300      42       1600      SH                           X        1       1600   0        0
ICOS CORP             COMMON
                      STOCK   449295104      43       1975      SH                  X                 1       1800   0      175
IDACORP INC           COMMON
                      STOCK   451107106      51       1492      SH                           X        1        250   0     1242
ILLINOIS TOOL WKS     COMMON
  INC COM             STOCK   452308109    1317      27735      SH                  X                 1      27735   0        0
ILLINOIS TOOL WKS     COMMON
  INC COM             STOCK   452308109     553      11650      SH                           X        1      11650   0        0
IMATION               COMMON
  CORPORATION COM     STOCK   45245A107       3         80      SH                  X                 1         80   0        0
IMATION               COMMON
  CORPORATION COM     STOCK   45245A107       4        100      SH                           X        1        100   0        0
IMCLONE SYS INC COM   COMMON
                      STOCK   45245W109       2         50      SH                  X                 1         50   0        0
IMPLANT SCIENCES      COMMON
  CORP                STOCK   45320R108       8       2500      SH                  X                 1       2500   0        0
IMS HEALTH INC COM    COMMON
                      STOCK   449934108    1374      51159      SH                  X                 1      49850   0     1309
IMS HEALTH INC COM    COMMON
                      STOCK   449934108     152       5677      SH                           X        1       5377   0      300
INCYTE GENOMICS INC   COMMON
  COM                 STOCK   45337C102       2        400      SH                  X                 1        400   0        0
INERGY LP             COMMON
                      STOCK   456615103      26       1000      SH                           X        1       1000   0        0
INFINITY ENERGY       COMMON
  RESOURCES           STOCK   45663L403      35       5000      SH                           X        1       5000   0        0
INFRASOURCE           COMMON
  SERVICES INC        STOCK   45684P102      18       1000      SH                  X                 1       1000   0        0
INGRAM MICRO INC CL   COMMON
  A                   STOCK   457153104       4        200      SH                           X        1        200   0        0
INTEL CORP COM        COMMON
                      STOCK   458140100   14886     783452      SH                  X                 1     770853   0    12599
INTEL CORP COM        COMMON
                      STOCK   458140100    5149     271025      SH                           X        1     232887   0    38138
INTERCONTINENTAL      COMMON
  EXCHANGE INC        STOCK   45865V100     188       3240      SH                  X                 1       3150   0       90
INTERDIGITAL COMM     COMMON
  CORP                STOCK   45866A105      35       1000      SH                  X                 1       1000   0        0
INTERNATIONAL         COMMON
  BUSINESS MACHINE    STOCK   459200101   29191     379997      SH                  X                 1     370910   0     9087
INTERNATIONAL         COMMON
  BUSINESS MACHINE    STOCK   459200101   12616     164228      SH                           X        1     146173   0    18055
INTERNATIONAL GAME    COMMON
  TECH COM            STOCK   459902102      11        300      SH                  X                 1        300   0        0
INTERNATIONAL PAPER   COMMON
  CO COM              STOCK   460146103     967      29930      SH                  X                 1      29180   0      750
INTERNATIONAL PAPER   COMMON
  CO COM              STOCK   460146103     371      11480      SH                           X        1       6194   0     5286
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK   460254105    2270      58097      SH                  X                 1      56572   0     1525
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK   460254105     539      13800      SH                           X        1      12550   0     1250
INTERNATIONAL         COMMON
  SECURITIES EXCHA    STOCK   46031W204     189       4975      SH                  X                 1       4715   0      260
INTERNATIONAL         COMMON
  SPEEDWAY CORP CL    STOCK   460335201       6        125      SH                  X                 1        125   0        0
INTERNATIONAL         COMMON
  SPEEDWAY CORP CL    STOCK   460335201       6        120      SH                           X        1        120   0        0
INTL FLAVORS &        COMMON
  FRAGRANCES INC      STOCK   459506101      25        700      SH                  X                 1        700   0        0
INTRALASE CORP        COMMON
                      STOCK   461169104       1         50      SH                  X                 1         50   0        0
INTUIT INC COM        COMMON
                      STOCK   461202103     862      14246      SH                  X                 1      13806   0      440
INTUIT INC COM        COMMON
                      STOCK   461202103      23        375      SH                           X        1        375   0        0
INTUITIVE SURGICAL    COMMON
  INC                 STOCK   46120E602     366       3180      SH                  X                 1       3025   0      155
INVERNESS MEDICAL     COMMON
  INNOVATIONS         STOCK   46126P106       0         17      SH                  X                 1         17   0        0
INVESTMENT            COMMON
  TECHNOLOGY GROUP    STOCK   46145F105     148       2910      SH                  X                 1       2800   0      110
INVITROGEN CORP       COMMON
  COM                 STOCK   46185R100      26        400      SH                           X        1          0   0      400
IOWA
  TELECOMMUNICATIONS  COMMON
  SERVIC              STOCK   462594201      47       2500      SH                           X        1       2500   0        0
ISHARES GOLDMAN       COMMON
  SACHS SEMI          STOCK   464287523       8        135      SH                           X        1        135   0        0
ISHARES LEHMAN 7-10   COMMON
  YRS TREAS           STOCK   464287440       8         95      SH                           X        1          0   0       95
ISHARES MSCI          COMMON
  AUSTRALIA INDEX F   STOCK   464286103       9        415      SH                           X        1        415   0        0
ISHARES MSCI JAPAN    COMMON
  INDEX FD            STOCK   464286848     130       9500      SH                  X                 1       9500   0        0
ISHARES MSCI JAPAN    COMMON
  INDEX FD            STOCK   464286848      12        900      SH                           X        1        900   0        0
ISHARES S&P 500       COMMON
  BARRA VALUE IN      STOCK   464287408     203       2950      SH                  X                 1       2950   0        0
ISIS
  PHARMACEUTICALS     COMMON
  COM                 STOCK   464330109       2        350      SH                  X                 1        350   0        0
ISIS
  PHARMACEUTICALS     COMMON
  COM                 STOCK   464330109       5        800      SH                           X        1        800   0        0
ITT INDUSTRIES INC    COMMON
                      STOCK   450911102     824      16652      SH                  X                 1      15692   0      960
ITT INDUSTRIES INC    COMMON
                      STOCK   450911102     192       3888      SH                           X        1       3288   0      600
IXIA                  COMMON
                      STOCK   45071R109       7        775      SH                  X                 1        775   0        0
J B HUNT TRANSPORT    COMMON
  SERVICES IN         STOCK   445658107     305      12250      SH                  X                 1      11625   0      625
JABIL CIRCUIT INC     COMMON
                      STOCK   466313103     799      31198      SH                  X                 1      31198   0        0
JABIL CIRCUIT INC     COMMON
                      STOCK   466313103     228       8900      SH                           X        1       8300   0      600
JACOBS ENGINEERING    COMMON
  GROUP INC C         STOCK   469814107      36        450      SH                           X        1        450   0        0
JDS UNIPHASE CORP     COMMON
  COM                 STOCK   46612J101      57      22436      SH                  X                 1      20536   0     1900
JLG INDUSTRIES INC    COMMON
                      STOCK   466210101     168       7485      SH                  X                 1       7100   0      385
JM SMUCKER CO         COMMON
                      STOCK   832696405     128       2864      SH                  X                 1       2864   0        0
JM SMUCKER CO         COMMON
                      STOCK   832696405     292       6534      SH                           X        1       5928   0      606
JOHNSON & JOHNSON     COMMON
  COM                 STOCK   478160104   31970     533553      SH                  X                 1     526733   0     6820
JOHNSON & JOHNSON     COMMON
  COM                 STOCK   478160104   31565     526778      SH                           X        1     510466   0    16312
JOHNSON CONTROLS      COMMON
  INC COM             STOCK   478366107     648       7885      SH                  X                 1       7885   0        0
JOHNSON CONTROLS      COMMON
  INC COM             STOCK   478366107     206       2510      SH                           X        1       2510   0        0
JOS A BANK CLOTHIERS  COMMON
  INC                 STOCK   480838101      20        850      SH                  X                 1        850   0        0
JOY GLOBAL            COMMON
  INCORPORATED        STOCK   481165108    2828      54298      SH                  X                 1      53164   0     1134
JOY GLOBAL            COMMON
  INCORPORATED        STOCK   481165108      63       1200      SH                           X        1       1200   0        0


                                   19 of 52






                                                      SEC USE  ------------------------------------------------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                                                    INVESTMENT                      VOTING
                                                             COLUMN 5               AUTHORITY                      AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                                                      SHARES
                     COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
     COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
  --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
JPMORGAN CHASE
  & CO             COMMON STOCK 46625H100    9446     224899      SH                  X                 1     220765   0     4134
JPMORGAN
  CHASE & CO       COMMON STOCK 46625H100    7883     187684      SH                           X        1     175058   0    12626
KADANT INC COM     COMMON STOCK 48282T104       0          9      SH                  X                 1          9   0        0
KANSAS LIFE INS
  CO COM           COMMON STOCK 484836101      74       1750      SH                  X                 1       1750   0        0
KB HOME COM        COMMON STOCK 48666K109      28        600      SH                  X                 1        600   0        0
KELLOGG CO COM     COMMON STOCK 487836108    1201      24806      SH                  X                 1      24806   0        0
KELLOGG CO COM     COMMON STOCK 487836108    1062      21922      SH                           X        1      20325   0     1597
KERR MCGEE CORP    COMMON STOCK 492386107     237       3414      SH                  X                 1       1814   0     1600
KERR MCGEE CORP    COMMON STOCK 492386107      88       1266      SH                           X        1       1266   0        0
KEYCORP NEW COM    COMMON STOCK 493267108     488      13665      SH                  X                 1      13665   0        0
KEYCORP NEW COM    COMMON STOCK 493267108     203       5700      SH                           X        1       5700   0        0
KEYSPAN CORP
  COM              COMMON STOCK 49337W100      71       1754      SH                  X                 1       1654   0      100
KEYSPAN CORP
  COM              COMMON STOCK 49337W100     119       2950      SH                           X        1       2950   0        0
KIMBERLY CLARK
  CORP             COMMON STOCK 494368103    5779      93658      SH                  X                 1      93408   0      250
KIMBERLY CLARK
  CORP             COMMON STOCK 494368103    3847      62345      SH                           X        1      55920   0     6425
KINDER MORGAN
  ENERGY
  PARTNERS         COMMON STOCK 494550106     160       3480      SH                  X                 1       3480   0        0
KINDER MORGAN
  ENERGY
  PARTNERS         COMMON STOCK 494550106      95       2075      SH                           X        1       2075   0        0
KINDER MORGAN
  INC              COMMON STOCK 49455P101      15        150      SH                  X                 1        150   0        0
KINDER MORGAN
  INC              COMMON STOCK 49455P101     157       1575      SH                           X        1       1575   0        0
KINETIC CONCEPTS
  INC              COMMON STOCK 49460W208    1541      34914      SH                  X                 1      34414   0      500
KINETIC CONCEPTS
  INC              COMMON STOCK 49460W208     184       4165      SH                           X        1       2565   0     1600
KING
  PHARMACEUTICALS
  INC COM          COMMON STOCK 495582108      40       2342      SH                  X                 1       2342   0        0
KLA TENCOR CORP
  COM              COMMON STOCK 482480100       8        200      SH                  X                 1        200   0        0
KOHLS CORP COM     COMMON STOCK 500255104     127       2146      SH                  X                 1       2146   0        0
KOHLS CORP COM     COMMON STOCK 500255104     144       2440      SH                           X        1       2440   0        0
KOS
  PHARMACEUTICALS
  INC COM          COMMON STOCK 500648100      18        483      SH                  X                 1        483   0        0
KRAFT FOODS INC
  CL A             COMMON STOCK 50075N104    1150      37229      SH                  X                 1      35578   0     1651
KRAFT FOODS INC
  CL A             COMMON STOCK 50075N104     194       6265      SH                           X        1       5765   0      500
KROGER CO          COMMON STOCK 501044101     427      19544      SH                  X                 1      19544   0        0
KROGER CO          COMMON STOCK 501044101      80       3650      SH                           X        1       3150   0      500
LABOR READY INC    COMMON STOCK 505401208      70       3100      SH                  X                 1       2800   0      300
LADISH CO INC      COMMON STOCK 505754200      66       1760      SH                  X                 1       1600   0      160
LAM RESH CORP      COMMON STOCK 512807108     124       2651      SH                  X                 1       2651   0        0
LAM RESH CORP      COMMON STOCK 512807108      23        485      SH                           X        1        485   0        0
LANCE INC          COMMON STOCK 514606102      12        532      SH                  X                 1        532   0        0
LAS VEGAS SANDS
  CORP             COMMON STOCK 517834107       4         50      SH                  X                 1         50   0        0
LAUDER ESTEE CO
  CL A             COMMON STOCK 518439104    4884     126306      SH                  X                 1     121113   0     5193
LAUDER ESTEE CO
  CL A             COMMON STOCK 518439104     452      11700      SH                           X        1       8900   0     2800
LAUREATE
  EDUCATION INC    COMMON STOCK 518613104    3479      81615      SH                  X                 1      78820   0     2795
LAUREATE
  EDUCATION INC    COMMON STOCK 518613104     129       3035      SH                           X        1       2060   0      975
LEADING BRANDS
  INC              COMMON STOCK 52170U108       2        425      SH                  X                 1        425   0        0
LEAR CORP          COMMON STOCK 521865105      40       1797      SH                  X                 1       1797   0        0
LEAR CORP          COMMON STOCK 521865105      77       3485      SH                           X        1       2485   0     1000
LEESPORT
  FINANCIAL CORP   COMMON STOCK 524477106      48       2077      SH                  X                 1       2077   0        0
LEGG MASON INC     COMMON STOCK 524901105    1899      19083      SH                  X                 1      18524   0      559
LEGG MASON INC     COMMON STOCK 524901105     194       1950      SH                           X        1       1950   0        0
LEHMAN BROTHERS
  HLDGS INC COM    COMMON STOCK 524908100    7350     112820      SH                  X                 1     110774   0     2046
LEHMAN BROTHERS
  HLDGS INC COM    COMMON STOCK 524908100    1024      15710      SH                           X        1      14710   0     1000
LENNAR CORP CL A   COMMON STOCK 526057104       4        100      SH                  X                 1        100   0        0
LEVEL 3
  COMMUNICATIONS
  INC              COMMON STOCK 52729N100      22       5000      SH                  X                 1       5000   0        0
LEXMARK INTL INC
  CL A             COMMON STOCK 529771107       1         25      SH                  X                 1         25   0        0
LIBERTY GLOBAL
  INC - CL A       COMMON STOCK 530555101      32       1490      SH                  X                 1       1490   0        0
LIBERTY GLOBAL
  INC - CL A       COMMON STOCK 530555101      45       2100      SH                           X        1       2100   0        0
LIBERTY GLOBAL
  INC CL C         COMMON STOCK 530555309      31       1499      SH                  X                 1       1499   0        0
LIBERTY GLOBAL
  INC CL C         COMMON STOCK 530555309      70       3400      SH                           X        1       3400   0        0
LIBERTY GLOBAL
  INC-CL B         COMMON STOCK 530555200      28       1300      SH                           X        1       1300   0        0
LIBERTY MEDIA
  HLDG CORP - CAP  COMMON STOCK 53071M302     226       2702      SH                  X                 1       2702   0        0
LIBERTY MEDIA
  HLDG CORP - CAP  COMMON STOCK 53071M302     260       3100      SH                           X        1       3100   0        0
LIBERTY MEDIA
  HLDG CORP - CAP  COMMON STOCK 53071M401     109       1300      SH                           X        1       1300   0        0
LIBERTY MEDIA
  HLDG CORP - INTE COMMON STOCK 53071M203     112       6500      SH                           X        1       6500   0        0
LIBERTY MEDIA
  HLDG CORP - INTE COMMON STOCK 53071M104     233      13513      SH                  X                 1      13513   0        0
LIBERTY MEDIA
  HLDG CORP - INTE COMMON STOCK 53071M104     268      15500      SH                           X        1      15500   0        0
LILLY ELI & CO     COMMON STOCK 532457108    6107     110489      SH                  X                 1     108808   0     1681
LILLY ELI & CO     COMMON STOCK 532457108    5908     106885      SH                           X        1     105590   0     1295
LIMITED BRANDS,
  INC COM          COMMON STOCK 532716107       5        200      SH                           X        1        200   0        0
LINCOLN NATL
  CORP             COMMON STOCK 534187109    5216      92425      SH                  X                 1      87542   0     4883
LINCOLN NATL
  CORP             COMMON STOCK 534187109     925      16386      SH                           X        1      16386   0        0


                                   20 of 52






                                                   SEC USE  -------------------------------------------------------------------
                                                                                  COLUMN 6                       COLUMN 8
                                                                                 INVESTMENT                       VOTING
                                                          COLUMN 5               AUTHORITY                      AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                                                   SHARES
                  COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1       TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
LINEAR
  TECHNOLOGY
  CORP COM      COMMON STOCK 535678106     114       3397      SH                  X                 1       3397   0         0
LINEAR
  TECHNOLOGY
  CORP COM      COMMON STOCK 535678106      30        910      SH                           X        1          0   0       910
LIVE NATION INC COMMON STOCK 538034109      14        687      SH                  X                 1        687   0         0
LIVE NATION INC COMMON STOCK 538034109       9        419      SH                           X        1        332   0        87
LIZ CLAIBORNE
  INC           COMMON STOCK 539320101      16        420      SH                  X                 1        420   0         0
LIZ CLAIBORNE
  INC           COMMON STOCK 539320101      37       1000      SH                           X        1       1000   0         0
LOCKHEED
  MARTIN
  CORPORATION
  CO            COMMON STOCK 539830109    9830     137019      SH                  X                 1     134694   0      2325
LOCKHEED
  MARTIN
  CORPORATION
  CO            COMMON STOCK 539830109    1778      24780      SH                           X        1      22705   0      2075
LOEWS CORP
  COM           COMMON STOCK 540424108      96       2700      SH                  X                 1       2700   0         0
LOEWS CORP
  COM           COMMON STOCK 540424108      64       1800      SH                           X        1       1200   0       600
LONGS DRUG
  STORES INC    COMMON STOCK 543162101      75       1650      SH                  X                 1       1500   0       150
LOWES COS INC
  COM           COMMON STOCK 548661107    4366      71966      SH                  X                 1      70068   0      1898
LOWES COS INC
  COM           COMMON STOCK 548661107     411       6767      SH                           X        1       6167   0       600
LSI LOGIC CORP
  COM           COMMON STOCK 502161102      58       6500      SH                           X        1       6500   0         0
LUBRIZOL CORP   COMMON STOCK 549271104     179       4500      SH                  X                 1       4500   0         0
LUBRIZOL CORP   COMMON STOCK 549271104     679      17032      SH                           X        1      17032   0         0
LUCENT
  TECHNOLOGIES
  INC COM       COMMON STOCK 549463107     102      42141      SH                  X                 1      42141   0         0
LUCENT
  TECHNOLOGIES
  INC COM       COMMON STOCK 549463107      89      36698      SH                           X        1      34986   0      1712
LYONDELL
  CHEMICAL
  COMPANY
  COM           COMMON STOCK 552078107      13        575      SH                  X                 1        575   0         0
M & T BANK
  CORP COM      COMMON STOCK 55261F104   70441     597359      SH                  X                 1     596109   0      1250
M & T BANK
  CORP COM      COMMON STOCK 55261F104   18580     157566      SH                           X        1      25916   0    131650
MAGELLAN
  HEALTH
  SERVICES INC  COMMON STOCK 559079207      24        522      SH                  X                 1        522   0         0
MAINE &
  MARITIMES
  CORP          COMMON STOCK 560377103       6        400      SH                  X                 1        400   0         0
MANITOWOC CO
  INC COM       COMMON STOCK 563571108       4        100      SH                  X                 1        100   0         0
MANOR CARE
  INC COM       COMMON STOCK 564055101     223       4750      SH                           X        1       4750   0         0
MANPOWER INC
  WIS           COMMON STOCK 56418H100      97       1500      SH                  X                 1       1500   0         0
MAPINFO CORP    COMMON STOCK 565105103      67       5100      SH                  X                 1       4779   0       321
MARATHON OIL
  CORP          COMMON STOCK 565849106     966      11593      SH                  X                 1      11593   0         0
MARATHON OIL
  CORP          COMMON STOCK 565849106     273       3280      SH                           X        1       3180   0       100
MARINER
  ENERGY INC    COMMON STOCK 56845T305       7        404      SH                  X                 1        404   0         0
MARRIOTT INTL
  INC CL A      COMMON STOCK 571903202     137       3588      SH                  X                 1       3588   0         0
MARSH &
  MCLENNAN
  COS INC COM   COMMON STOCK 571748102      81       3010      SH                  X                 1       3010   0         0
MARSH &
  MCLENNAN
  COS INC COM   COMMON STOCK 571748102     315      11713      SH                           X        1      11713   0         0
MARSHALL &
  ILSLEY CORP   COMMON STOCK 571834100     317       6925      SH                  X                 1       6925   0         0
MARSHALL &
  ILSLEY CORP   COMMON STOCK 571834100      23        500      SH                           X        1        500   0         0
MARTEK
  BIOSCIENCES
  CORP          COMMON STOCK 572901106     122       4225      SH                  X                 1       4125   0       100
MARTHA
  STEWART
  LIVING-CL A   COMMON STOCK 573083102      16        950      SH                  X                 1        950   0         0
MASCO CORP      COMMON STOCK 574599106    3487     117640      SH                  X                 1     116015   0      1625
MASCO CORP      COMMON STOCK 574599106     642      21659      SH                           X        1      21659   0         0
MASSEY ENERGY
  CO COM        COMMON STOCK 576206106      91       2523      SH                  X                 1       2523   0         0
MASSEY ENERGY
  CO COM        COMMON STOCK 576206106      54       1500      SH                           X        1       1500   0         0
MATTEL INC      COMMON STOCK 577081102      38       2300      SH                  X                 1       2300   0         0
MATTEL INC      COMMON STOCK 577081102     124       7516      SH                           X        1       6619   0       897
MAXIM
  INTEGRATED
  PRODS INC
  COM           COMMON STOCK 57772K101      65       2036      SH                  X                 1       2036   0         0
MBIA INC COM    COMMON STOCK 55262C100       1         14      SH                  X                 1         14   0         0
MC GRAW HILL
  COMPANIES
  INC           COMMON STOCK 580645109     588      11700      SH                  X                 1      11700   0         0
MC GRAW HILL
  COMPANIES
  INC           COMMON STOCK 580645109    1516      30180      SH                           X        1      24580   0      5600
MCCLATCHY CO    COMMON STOCK 579489105       8        205      SH                  X                 1        205   0         0
MCCORMICK &
  CO INC        COMMON STOCK 579780107       9        273      SH                  X                 1        273   0         0
MCCORMICK &
  CO-NON VTG
  SHS           COMMON STOCK 579780206    3206      95546      SH                  X                 1      94071   0      1475
MCCORMICK &
  CO-NON VTG
  SHS           COMMON STOCK 579780206     556      16570      SH                           X        1      12970   0      3600
MCDATA CORP     COMMON STOCK 580031201       2        368      SH                           X        1        368   0         0
MCDERMOTT
  INTL INC      COMMON STOCK 580037109     477      10493      SH                  X                 1      10113   0       380
MCDERMOTT
  INTL INC      COMMON STOCK 580037109      22        486      SH                           X        1        150   0       336
MCDONALDS
  CORP COM      COMMON STOCK 580135101    1751      52126      SH                  X                 1      52126   0         0
MCDONALDS
  CORP COM      COMMON STOCK 580135101    1278      38046      SH                           X        1      31831   0      6215
MCKESSON
  CORPORATION
  COM           COMMON STOCK 58155Q103       7        150      SH                           X        1        150   0         0
MCMORAN
  EXPLORATION
  CO            COMMON STOCK 582411104       2        125      SH                  X                 1        125   0         0
MCMORAN
  EXPLORATION
  CO            COMMON STOCK 582411104       2        125      SH                           X        1        125   0         0
MEADWESTVACO
  CORP          COMMON STOCK 583334107      51       1819      SH                  X                 1       1819   0         0
MEDAREX INC     COMMON STOCK 583916101      39       4100      SH                  X                 1       4100   0         0
MEDAREX INC     COMMON STOCK 583916101       5        550      SH                           X        1        550   0         0
MEDCO HEALTH
  SOLUTIONS
  INC           COMMON STOCK 58405U102     924      16127      SH                  X                 1      16127   0         0
MEDCO HEALTH
  SOLUTIONS
  INC           COMMON STOCK 58405U102    1789      31230      SH                           X        1      27162   0      4068
MEDIA SCIENCES
  INTL INC      COMMON STOCK 58446X107       2        500      SH                  X                 1        500   0         0
MEDICAL
  ACTION
  INDUSTRIES
  INC           COMMON STOCK 58449L100      24       1100      SH                  X                 1       1100   0         0
MEDIMMUNE INC
  COM           COMMON STOCK 584699102       1         37      SH                  X                 1         37   0         0


                                   21 of 52






                                                        SEC USE  ----------------------------------------------
                                                                                       COLUMN 6
                                                                                      INVESTMENT
                                                               COLUMN 5               AUTHORITY
                                                       ------------------------ ----------------------
                                                        SHARES
                       COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
      COLUMN 1         TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
   NAME OF ISSUER       CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
-------------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- --------
                                                                         
MEDTRONIC INC        COMMON STOCK 585055106    8503     181234      SH                  X                 1
MEDTRONIC INC        COMMON STOCK 585055106    2849      60716      SH                           X        1
MELLON FINANCIAL
  CORP               COMMON STOCK 58551A108    2479      71999      SH                  X                 1
MELLON FINANCIAL
  CORP               COMMON STOCK 58551A108     126       3672      SH                           X        1
MENTOR CORP MINN
  COM                COMMON STOCK 587188103    2393      55005      SH                  X                 1
MENTOR CORP MINN
  COM                COMMON STOCK 587188103      67       1530      SH                           X        1
MERCANTILE BANK
  CORPORATION        COMMON STOCK 587376104      12        302      SH                  X                 1
MERCANTILE
  BANKSHARES CORP    COMMON STOCK 587405101     791      22165      SH                  X                 1
MERCANTILE
  BANKSHARES CORP    COMMON STOCK 587405101    3433      96256      SH                           X        1
MERCK & CO INC COM   COMMON STOCK 589331107    6881     188881      SH                  X                 1
MERCK & CO INC COM   COMMON STOCK 589331107    7746     212621      SH                           X        1
MERIDIAN GOLD
  INCORPORATED       COMMON STOCK 589975101       8        250      SH                  X                 1
MERRILL LYNCH & CO
  INC                COMMON STOCK 590188108    2832      40708      SH                  X                 1
MERRILL LYNCH & CO
  INC                COMMON STOCK 590188108     967      13905      SH                           X        1
MESA LABORATORIES
  INC COM            COMMON STOCK 59064R109      47       3000      SH                  X                 1
MESABI TRUST         COMMON STOCK 590672101       9        492      SH                  X                 1
METLIFE CAP TR I     COMMON STOCK 59156R108       5         91      SH                  X                 1
METLIFE CAP TR I     COMMON STOCK 59156R108      54       1049      SH                           X        1
METTLER TOLEDO
  INTERNATIONAL C    COMMON STOCK 592688105      73       1200      SH                  X                 1
MGI PHARMA INC COM   COMMON STOCK 552880106      10        450      SH                  X                 1
MGM MIRAGE           COMMON STOCK 552953101       2         50      SH                  X                 1
MICHAELS STORES INC
  COM                COMMON STOCK 594087108     471      11420      SH                  X                 1
MICROCHIP
  TECHNOLOGY INC
  COM                COMMON STOCK 595017104     362      10790      SH                  X                 1
MICRON TECHNOLOGY
  INC COM            COMMON STOCK 595112103       6        400      SH                  X                 1
MICRON TECHNOLOGY
  INC COM            COMMON STOCK 595112103       6        400      SH                           X        1
MICROSOFT CORP       COMMON STOCK 594918104   20541     881586      SH                  X                 1
MICROSOFT CORP       COMMON STOCK 594918104    6752     289764      SH                           X        1
MID PENN BANCORP
  INCORPORATED       COMMON STOCK 59540G107      27       1102      SH                  X                 1
MIDCAP SPDR TRUST
  SERIES 1 S&P       COMMON STOCK 595635103    1862      13378      SH                  X                 1
MIDCAP SPDR TRUST
  SERIES 1 S&P       COMMON STOCK 595635103    2509      18025      SH                           X        1
MILACRON INC         COMMON STOCK 598709103       1       1017      SH                  X                 1
MILLENNIUM
  PHARMACEUTICALS
  COM                COMMON STOCK 599902103      50       5000      SH                           X        1
MINDSPEED
  TECHNOLOGIES INC   COMMON STOCK 602682106       0         66      SH                  X                 1
MINE SAFETY
  APPLIANCES CO      COMMON STOCK 602720104      26        650      SH                  X                 1
MIRANT CORP          COMMON STOCK 60467R100       0         17      SH                  X                 1
MIRANT CORP          COMMON STOCK 60467R100       1         30      SH                           X        1
MKS INSTRUMENTS INC  COMMON STOCK 55306N104     261      12955      SH                  X                 1
ML MACADAMIA
  ORCHARDS           COMMON STOCK 55307U107       1        100      SH                           X        1
MOHAWK INDUSTRIES
  INC COM            COMMON STOCK 608190104      49        700      SH                  X                 1
MOLEX INC            COMMON STOCK 608554101     128       3812      SH                  X                 1
MOLSON COORS
  BREWING COMPANY    COMMON STOCK 60871R209      20        300      SH                           X        1
MONSANTO COMPANY     COMMON STOCK 61166W101     171       2027      SH                  X                 1
MONSANTO COMPANY     COMMON STOCK 61166W101     608       7222      SH                           X        1
MOODYS CORP          COMMON STOCK 615369105     190       3480      SH                  X                 1
MOODYS CORP          COMMON STOCK 615369105     476       8745      SH                           X        1
MOOG INC CL A        COMMON STOCK 615394202       3         75      SH                  X                 1
MORGAN STANLEY
  GROUP INC          COMMON STOCK 617446448    7505     118738      SH                  X                 1
MORGAN STANLEY
  GROUP INC          COMMON STOCK 617446448    2224      35179      SH                           X        1
MOTOROLA INC         COMMON STOCK 620076109    3253     161451      SH                  X                 1
MOTOROLA INC         COMMON STOCK 620076109    1604      79588      SH                           X        1
MPS GROUP INC        COMMON STOCK 553409103      83       5500      SH                  X                 1
MUNICIPAL MTG & EQ
  LLC                COMMON STOCK 62624B101      33       1200      SH                  X                 1
MUNICIPAL MTG & EQ
  LLC                COMMON STOCK 62624B101      48       1750      SH                           X        1
MURPHY OIL CORP      COMMON STOCK 626717102      60       1075      SH                  X                 1
MURPHY OIL CORP      COMMON STOCK 626717102      84       1500      SH                           X        1
MYLAN
  LABORATORIES INC   COMMON STOCK 628530107      30       1510      SH                  X                 1
MYLAN
  LABORATORIES INC   COMMON STOCK 628530107      30       1500      SH                           X        1
MYRIAD GENETICS INC
  COM                COMMON STOCK 62855J104       4        150      SH                  X                 1
MYRIAD GENETICS INC
  COM                COMMON STOCK 62855J104       8        300      SH                           X        1
N J RES CORP         COMMON STOCK 646025106      28        600      SH                  X                 1
NABI
  BIOPHARMACEUTICALS COMMON STOCK 629519109      11       2000      SH                  X                 1
NANOGEN INC          COMMON STOCK 630075109       1        600      SH                  X                 1
NASDAQ-100 SHARES    COMMON STOCK 631100104     310       7987      SH                  X                 1
NASDAQ-100 SHARES    COMMON STOCK 631100104   11999     309480      SH                           X        1
NATIONAL CITY CORP
  COM                COMMON STOCK 635405103     731      20209      SH                  X                 1
NATIONAL CITY CORP
  COM                COMMON STOCK 635405103      67       1840      SH                           X        1
NATIONAL PENN
  BANCSHARES INC     COMMON STOCK 637138108     156       7877      SH                  X                 1




                     --------------------
                          COLUMN 8
                           VOTING
                          AUTHORITY
                     -------------------


      COLUMN 1
   NAME OF ISSUER     SOLE  SHARED OTHER
-------------------- ------ ------ -----
                          
MEDTRONIC INC        177104   0     4130
MEDTRONIC INC         54675   0     6041
MELLON FINANCIAL
  CORP                71999   0        0
MELLON FINANCIAL
  CORP                 3672   0        0
MENTOR CORP MINN
  COM                 53803   0     1202
MENTOR CORP MINN
  COM                  1330   0      200
MERCANTILE BANK
  CORPORATION           302   0        0
MERCANTILE
  BANKSHARES CORP     22165   0        0
MERCANTILE
  BANKSHARES CORP     89456   0     6800
MERCK & CO INC COM   187981   0      900
MERCK & CO INC COM   183186   0    29435
MERIDIAN GOLD
  INCORPORATED          250   0        0
MERRILL LYNCH & CO
  INC                 40208   0      500
MERRILL LYNCH & CO
  INC                 12295   0     1610
MESA LABORATORIES
  INC COM              3000   0        0
MESABI TRUST            492   0        0
METLIFE CAP TR I         91   0        0
METLIFE CAP TR I       1049   0        0
METTLER TOLEDO
  INTERNATIONAL C      1100   0      100
MGI PHARMA INC COM      400   0       50
MGM MIRAGE               50   0        0
MICHAELS STORES INC
  COM                 11220   0      200
MICROCHIP
  TECHNOLOGY INC
  COM                 10390   0      400
MICRON TECHNOLOGY
  INC COM               400   0        0
MICRON TECHNOLOGY
  INC COM               400   0        0
MICROSOFT CORP       860030   0    21556
MICROSOFT CORP       250760   0    39004
MID PENN BANCORP
  INCORPORATED         1102   0        0
MIDCAP SPDR TRUST
  SERIES 1 S&P        13378   0        0
MIDCAP SPDR TRUST
  SERIES 1 S&P        18025   0        0
MILACRON INC           1017   0        0
MILLENNIUM
  PHARMACEUTICALS
  COM                  5000   0        0
MINDSPEED
  TECHNOLOGIES INC       66   0        0
MINE SAFETY
  APPLIANCES CO         650   0        0
MIRANT CORP              17   0        0
MIRANT CORP              17   0       13
MKS INSTRUMENTS INC   12245   0      710
ML MACADAMIA
  ORCHARDS              100   0        0
MOHAWK INDUSTRIES
  INC COM               700   0        0
MOLEX INC              3812   0        0
MOLSON COORS
  BREWING COMPANY       300   0        0
MONSANTO COMPANY       2027   0        0
MONSANTO COMPANY       7222   0        0
MOODYS CORP            3480   0        0
MOODYS CORP            8745   0        0
MOOG INC CL A            75   0        0
MORGAN STANLEY
  GROUP INC          116441   0     2297
MORGAN STANLEY
  GROUP INC           34517   0      662
MOTOROLA INC         159101   0     2350
MOTOROLA INC          75388   0     4200
MPS GROUP INC          5100   0      400
MUNICIPAL MTG & EQ
  LLC                  1200   0        0
MUNICIPAL MTG & EQ
  LLC                  1750   0        0
MURPHY OIL CORP        1075   0        0
MURPHY OIL CORP        1500   0        0
MYLAN
  LABORATORIES INC     1510   0        0
MYLAN
  LABORATORIES INC        0   0     1500
MYRIAD GENETICS INC
  COM                   150   0        0
MYRIAD GENETICS INC
  COM                   300   0        0
N J RES CORP            600   0        0
NABI
  BIOPHARMACEUTICALS   2000   0        0
NANOGEN INC             600   0        0
NASDAQ-100 SHARES      7987   0        0
NASDAQ-100 SHARES    309480   0        0
NATIONAL CITY CORP
  COM                 20209   0        0
NATIONAL CITY CORP
  COM                  1840   0        0
NATIONAL PENN
  BANCSHARES INC       7877   0        0


                                   22 of 52






                                                     SEC USE  -----------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                     AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
NATIONAL PENN
  BANCSHARES INC  COMMON STOCK 637138108     132       6637      SH                           X        1      6637   0       0
NATIONAL
  SEMICONDUCTOR
  CORP CO         COMMON STOCK 637640103      63       2658      SH                  X                 1      2658   0       0
NATIONAL
  SEMICONDUCTOR
  CORP CO         COMMON STOCK 637640103      90       3790      SH                           X        1      3790   0       0
NATIONWIDE FINL
  SVCS INC        COMMON STOCK 638612101      10        238      SH                           X        1       238   0       0
NATL FUEL GAS CO  COMMON STOCK 636180101      35       1000      SH                           X        1      1000   0       0
NAVISTAR
  INTERNATIONAL
  CORP            COMMON STOCK 63934E108       2        100      SH                  X                 1       100   0       0
NCR CORP COM      COMMON STOCK 62886E108       5        139      SH                  X                 1       139   0       0
NCR CORP COM      COMMON STOCK 62886E108      33        906      SH                           X        1       858   0      48
NEENAH PAPER INC  COMMON STOCK 640079109      32       1041      SH                  X                 1      1041   0       0
NEENAH PAPER INC  COMMON STOCK 640079109       9        306      SH                           X        1       287   0      19
NETGEAR INC       COMMON STOCK 64111Q104      74       3400      SH                  X                 1      3100   0     300
NEUROCRINE
  BIOSCIENCES INC COMMON STOCK 64125C109       5        500      SH                           X        1         0   0     500
NEVADA GOLD &
  CASINOS INC     COMMON STOCK 64126Q206       1        200      SH                  X                 1       200   0       0
NEW RIVER
  PHARMACEUTICALS
  INC             COMMON STOCK 648468205      13        445      SH                  X                 1       400   0      45
NEW YORK TIMES
  CO CL A         COMMON STOCK 650111107      37       1520      SH                  X                 1      1520   0       0
NEW YORK TIMES
  CO CL A         COMMON STOCK 650111107     245      10000      SH                           X        1     10000   0       0
NEWELL
  RUBBERMAID INC
  COM             COMMON STOCK 651229106     770      29829      SH                  X                 1     29829   0       0
NEWELL
  RUBBERMAID INC
  COM             COMMON STOCK 651229106     430      16657      SH                           X        1     16157   0     500
NEWMARKET
  CORPORATION     COMMON STOCK 651587107     118       2400      SH                  X                 1      2400   0       0
NEWMARKET
  CORPORATION     COMMON STOCK 651587107     267       5440      SH                           X        1      5440   0       0
NEWMONT MINING    COMMON STOCK 651639106      71       1340      SH                  X                 1      1289   0      51
NEWMONT MINING    COMMON STOCK 651639106      79       1500      SH                           X        1       600   0     900
NEWS CORP INC-A   COMMON STOCK 65248E104     253      13187      SH                  X                 1     13177   0      10
NEWS CORP INC-A   COMMON STOCK 65248E104      71       3710      SH                           X        1      3596   0     114
NEWS CORP-CLASS
  B               COMMON STOCK 65248E203      12        600      SH                  X                 1       600   0       0
NICOR INC         COMMON STOCK 654086107      21        500      SH                  X                 1       500   0       0
NICOR INC         COMMON STOCK 654086107      39        950      SH                           X        1       950   0       0
NIKE INC CL B     COMMON STOCK 654106103     864      10663      SH                  X                 1     10563   0     100
NIKE INC CL B     COMMON STOCK 654106103     103       1270      SH                           X        1      1120   0     150
NISOURCE INC      COMMON STOCK 65473P105     117       5368      SH                  X                 1      5368   0       0
NISOURCE INC      COMMON STOCK 65473P105      47       2171      SH                           X        1      2171   0       0
NOBLE ENERGY INC  COMMON STOCK 655044105     526      11225      SH                  X                 1     10875   0     350
NOBLE ENERGY INC  COMMON STOCK 655044105     104       2225      SH                           X        1      2225   0       0
NORDSTROM INC
  COM             COMMON STOCK 655664100      11        290      SH                  X                 1       290   0       0
NORFOLK
  SOUTHERN CORP   COMMON STOCK 655844108     840      15785      SH                  X                 1     15785   0       0
NORFOLK
  SOUTHERN CORP   COMMON STOCK 655844108    1143      21483      SH                           X        1     18783   0    2700
NORTH FORK
  BANCORPORATION
  COM             COMMON STOCK 659424105      48       1576      SH                  X                 1      1576   0       0
NORTH FORK
  BANCORPORATION
  COM             COMMON STOCK 659424105      67       2230      SH                           X        1      2230   0       0
NORTHERN TRUST
  CORP COM        COMMON STOCK 665859104      15        280      SH                  X                 1       280   0       0
NORTHERN TRUST
  CORP COM        COMMON STOCK 665859104      12        225      SH                           X        1       225   0       0
NORTHROP
  GRUMMAN CORP    COMMON STOCK 666807102     758      11827      SH                  X                 1     11827   0       0
NORTHROP
  GRUMMAN CORP    COMMON STOCK 666807102     305       4758      SH                           X        1      4758   0       0
NORTHWEST
  NATURAL GAS
  COMPANY         COMMON STOCK 667655104      61       1650      SH                  X                 1      1650   0       0
NORTHWEST
  NATURAL GAS
  COMPANY         COMMON STOCK 667655104      37       1000      SH                           X        1      1000   0       0
NORTHWESTERN
  CORP            COMMON STOCK 668074305       4        106      SH                  X                 1       106   0       0
NOVELL INC        COMMON STOCK 670006105     526      79317      SH                  X                 1     79067   0     250
NOVELL INC        COMMON STOCK 670006105     154      23250      SH                           X        1     23250   0       0
NOVELLUS SYS INC
  COM             COMMON STOCK 670008101      22        900      SH                           X        1       900   0       0
NRG ENERGY INC    COMMON STOCK 629377508      10        200      SH                  X                 1       200   0       0
NS GROUP, INC.    COMMON STOCK 628916108      24        443      SH                  X                 1       443   0       0
NSTAR COM         COMMON STOCK 67019E107      24        840      SH                           X        1       840   0       0
NUCOR CORP        COMMON STOCK 670346105     104       1920      SH                           X        1      1920   0       0
NUVEEN
  INVESTMENTS
  INC             COMMON STOCK 67090F106       5        115      SH                  X                 1       115   0       0
NVIDIA CORP COM   COMMON STOCK 67066G104      11        496      SH                           X        1       496   0       0
NYER MEDICAL
  GROUP
  INCORPORATE     COMMON STOCK 670711100       2        825      SH                  X                 1       825   0       0
OCCIDENTAL PETE
  CORP COM        COMMON STOCK 674599105     306       2980      SH                  X                 1      2980   0       0
OCCIDENTAL PETE
  CORP COM        COMMON STOCK 674599105     199       1945      SH                           X        1      1945   0       0
OCEANEERING INTL
  INC COM         COMMON STOCK 675232102     118       2580      SH                  X                 1      2400   0     180
OFFICE DEPOT INC  COMMON STOCK 676220106      65       1700      SH                  X                 1      1700   0       0
OFFICEMAX INC     COMMON STOCK 67622P101      27        673      SH                  X                 1       673   0       0
OGE ENERGY CORP
  COM             COMMON STOCK 670837103      49       1400      SH                  X                 1      1400   0       0
OGE ENERGY CORP
  COM             COMMON STOCK 670837103     110       3136      SH                           X        1      3136   0       0
OHIO CAS CORP     COMMON STOCK 677240103       7        240      SH                  X                 1       240   0       0
OIL STATES INTL
  INC             COMMON STOCK 678026105      82       2405      SH                  X                 1      2200   0     205
OLD NATIONAL
  BANCORP COM     COMMON STOCK 680033107     126       6306      SH                  X                 1      6306   0       0
OLD REPUBLIC INTL
  CORP COM        COMMON STOCK 680223104     104       4875      SH                  X                 1      4875   0       0
OLIN CORP COM     COMMON STOCK 680665205      19       1050      SH                  X                 1      1050   0       0


                                   23 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
OLIN CORP COM     COMMON STOCK 680665205      18       1000      SH                           X        1       1000   0        0
OMEGA FINANCIAL
  CORP            COMMON STOCK 682092101      73       2327      SH                  X                 1       2327   0        0
OMEGA FINANCIAL
  CORP            COMMON STOCK 682092101     631      20153      SH                           X        1      16604   0     3549
OMNICARE INC
  COM             COMMON STOCK 681904108      24        500      SH                           X        1        500   0        0
OMNICOM GROUP
  INC COM         COMMON STOCK 681919106     208       2334      SH                  X                 1       2334   0        0
OMNICOM GROUP
  INC COM         COMMON STOCK 681919106     176       1975      SH                           X        1       1975   0        0
ONEOK INC         COMMON STOCK 682680103      28        820      SH                  X                 1        820   0        0
ONEOK INC         COMMON STOCK 682680103      14        400      SH                           X        1        400   0        0
ONEOK PARTNERS
  LP              COMMON STOCK 68268N103      35        700      SH                  X                 1        700   0        0
ONEOK PARTNERS
  LP              COMMON STOCK 68268N103      74       1500      SH                           X        1       1500   0        0
OPSWARE, INC.     COMMON STOCK 68383A101     114      13800      SH                  X                 1      13000   0      800
ORACLE
  CORPORATION
  COM             COMMON STOCK 68389X105    1366      94299      SH                  X                 1      93599   0      700
ORACLE
  CORPORATION
  COM             COMMON STOCK 68389X105     347      23955      SH                           X        1      23955   0        0
OREGON STL MLS
  INC             COMMON STOCK 686079104      84       1660      SH                  X                 1       1500   0      160
OSHKOSH TRUCK
  CORP            COMMON STOCK 688239201      12        250      SH                  X                 1        250   0        0
OSI RESTAURANT
  PARTNERS INC    COMMON STOCK 67104A101     398      11510      SH                  X                 1      11510   0        0
OSI RESTAURANT
  PARTNERS INC    COMMON STOCK 67104A101     147       4245      SH                           X        1       3895   0      350
OTELCO INC        COMMON STOCK 688823202      24       1355      SH                  X                 1       1355   0        0
OTTER TAIL
  CORPORATION     COMMON STOCK 689648103       7        240      SH                           X        1        240   0        0
P G & E CORP      COMMON STOCK 69331C108      46       1159      SH                  X                 1       1159   0        0
P G & E CORP      COMMON STOCK 69331C108      86       2200      SH                           X        1        700   0     1500
PACCAR INC        COMMON STOCK 693718108      10        125      SH                  X                 1        125   0        0
PACTIV CORP COM   COMMON STOCK 695257105     260      10485      SH                  X                 1       9485   0     1000
PACTIV CORP COM   COMMON STOCK 695257105      82       3325      SH                           X        1        625   0     2700
PALL CORP COM     COMMON STOCK 696429307      56       2000      SH                           X        1       2000   0        0
PALM INC          COMMON STOCK 696643105      66       4106      SH                  X                 1       3806   0      300
PALM INC          COMMON STOCK 696643105       3        202      SH                           X        1        202   0        0
PARAMEDIC
  TECHNOLOGY
  CORP            COMMON STOCK 699173209      59       4664      SH                           X        1       4664   0        0
PARKER HANNIFIN
  CORP            COMMON STOCK 701094104     379       4888      SH                  X                 1       4888   0        0
PARKER HANNIFIN
  CORP            COMMON STOCK 701094104     201       2596      SH                           X        1       2596   0        0
PARTNERS TRUST
  FINANCIAL
  GROUP           COMMON STOCK 70213F102      39       3401      SH                  X                 1       3401   0        0
PARTNERS TRUST
  FINANCIAL
  GROUP           COMMON STOCK 70213F102      14       1213      SH                           X        1          0   0     1213
PATTERSON
  COMPANIES INC   COMMON STOCK 703395103      17        500      SH                           X        1        500   0        0
PATTERSON-UTI
  ENERGY INC      COMMON STOCK 703481101      20        704      SH                  X                 1        704   0        0
PATTERSON-UTI
  ENERGY INC      COMMON STOCK 703481101      27        950      SH                           X        1        950   0        0
PAULA FINANCIAL   COMMON STOCK 703588103       1        400      SH                  X                 1        400   0        0
PAYCHEX INC COM   COMMON STOCK 704326107     418      10712      SH                  X                 1      10712   0        0
PAYCHEX INC COM   COMMON STOCK 704326107      70       1800      SH                           X        1       1800   0        0
PAYLESS
  SHOESOURCE INC
  COM             COMMON STOCK 704379106     113       4175      SH                  X                 1       3800   0      375
PDL BIOPHARMA
  INC             COMMON STOCK 69329Y104     220      11945      SH                  X                 1      11575   0      370
PDL BIOPHARMA
  INC             COMMON STOCK 69329Y104      10        550      SH                           X        1        550   0        0
PEABODY ENERGY
  CORP            COMMON STOCK 704549104    4446      79749      SH                  X                 1      76337   0     3412
PEABODY ENERGY
  CORP            COMMON STOCK 704549104     302       5415      SH                           X        1       3995   0     1420
PEDIATRIX
  MEDICAL GROUP
  INC CO          COMMON STOCK 705324101     406       8955      SH                  X                 1       8605   0      350
PEETS COFFEE &
  TEA INC COM     COMMON STOCK 705560100       6        200      SH                  X                 1        200   0        0
PENN NATL
  GAMING INC      COMMON STOCK 707569109      26        675      SH                  X                 1        675   0        0
PENN TREATY
  AMERICAN CORP   COMMON STOCK 707874400       0         21      SH                           X        1         21   0        0
PENN VA RESOURCE
  PARTNERS LP     COMMON STOCK 707884102      27       1000      SH                           X        1       1000   0        0
PENNEY JC CO INC  COMMON STOCK 708160106     234       3464      SH                  X                 1       3464   0        0
PENNEY JC CO INC  COMMON STOCK 708160106     210       3108      SH                           X        1       3108   0        0
PENNICHUCK
  CORPORATION
  NEW             COMMON STOCK 708254206      18        889      SH                  X                 1        889   0        0
PENNSYLVANIA
  COMMERCE
  BANCORP         COMMON STOCK 708677109     229       7166      SH                  X                 1       7166   0        0
PENTAIR INC COM   COMMON STOCK 709631105      27        800      SH                  X                 1        800   0        0
PENTAIR INC COM   COMMON STOCK 709631105     267       7800      SH                           X        1       7800   0        0
PENWEST
  PHARMACEUTICALS
  CO              COMMON STOCK 709754105      29       1350      SH                  X                 1       1200   0      150
PEPCO HOLDINGS
  INC             COMMON STOCK 713291102     534      22633      SH                  X                 1      19907   0     2726
PEPCO HOLDINGS
  INC             COMMON STOCK 713291102     595      25214      SH                           X        1      20664   0     4550
PEPSIAMERICAS INC
  COM             COMMON STOCK 71343P200      13        600      SH                           X        1        600   0        0
PEPSICO INC COM   COMMON STOCK 713448108   25769     429195      SH                  X                 1     423670   0     5525
PEPSICO INC COM   COMMON STOCK 713448108   17204     286541      SH                           X        1     261504   0    25037
PERFORMANCE
  FOOD GROUP CO   COMMON STOCK 713755106      21        700      SH                  X                 1        700   0        0
PERFORMANCE
  FOOD GROUP CO   COMMON STOCK 713755106      12        400      SH                           X        1        400   0        0
PERKINELMER INC
  COM             COMMON STOCK 714046109      25       1200      SH                  X                 1       1200   0        0
PERKINELMER INC
  COM             COMMON STOCK 714046109      84       4000      SH                           X        1       4000   0        0
PERRIGO COMPANY   COMMON STOCK 714290103     161      10005      SH                  X                 1       9660   0      345
PETMED EXPRESS
  INC             COMMON STOCK 716382106       9        800      SH                  X                 1        800   0        0
PETSMART INC      COMMON STOCK 716768106    1685      65825      SH                  X                 1      64725   0     1100


                                   24 of 52






                                                     SEC USE  -------------------------------------------------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                                                   INVESTMENT                       VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          --------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
PETSMART INC      COMMON STOCK 716768106     538      21010      SH                           X        1      18810   0      2200
PFIZER INC        COMMON STOCK 717081103   21901     933130      SH                  X                 1     917440   0     15690
PFIZER INC        COMMON STOCK 717081103   12902     549713      SH                           X        1     536044   0     13669
PHARMACEUTIAL
  PRODUCT DEVEL
  IN              COMMON STOCK 717124101       5        150      SH                  X                 1        150   0         0
PHELPS DODGE
  CORP            COMMON STOCK 717265102     137       1666      SH                  X                 1       1666   0         0
PHH CORPORATION   COMMON STOCK 693320202       2         80      SH                  X                 1         30   0        50
PHH CORPORATION   COMMON STOCK 693320202       3         95      SH                           X        1         95   0         0
PHOENIX COS INC
  COM             COMMON STOCK 71902E109      10        701      SH                  X                 1        701   0         0
PHOENIX COS INC
  COM             COMMON STOCK 71902E109      22       1588      SH                           X        1       1588   0         0
PICO HOLDINGS INC
  COM             COMMON STOCK 693366205     635      19691      SH                  X                 1          0   0     19691
PIEDMONT NAT GAS
  INC             COMMON STOCK 720186105      60       2480      SH                  X                 1       2480   0         0
PIEDMONT NAT GAS
  INC             COMMON STOCK 720186105      16        678      SH                           X        1        278   0       400
PINNACLE DATA
  SYSTEMS INC     COMMON STOCK 723454104       1        300      SH                  X                 1        300   0         0
PINNACLE WEST
  CAPITAL CORP    COMMON STOCK 723484101      20        500      SH                  X                 1        500   0         0
PIONEER NATURAL
  RESOURCES CO    COMMON STOCK 723787107     307       6614      SH                  X                 1       6514   0       100
PIPER JAFFRAY
  COMPANIES INC   COMMON STOCK 724078100       0          5      SH                  X                 1          5   0         0
PIPER JAFFRAY
  COMPANIES INC   COMMON STOCK 724078100       3         56      SH                           X        1          6   0        50
PITNEY BOWES INC
  COM             COMMON STOCK 724479100     496      12000      SH                  X                 1      12000   0         0
PITNEY BOWES INC
  COM             COMMON STOCK 724479100     215       5200      SH                           X        1       5200   0         0
PLAINS
  EXPLORATION &
  PRODUCT C       COMMON STOCK 726505100      81       2000      SH                           X        1       2000   0         0
PLAYTEX PRODS
  INC             COMMON STOCK 72813P100      66       6300      SH                  X                 1       5700   0       600
PLUG POWER INC
  COM             COMMON STOCK 72919P103       0        100      SH                  X                 1        100   0         0
PNC FINANCIAL
  SERVICES GROUP
  I               COMMON STOCK 693475105   11743     167344      SH                  X                 1     164284   0      3060
PNC FINANCIAL
  SERVICES GROUP
  I               COMMON STOCK 693475105    3114      44381      SH                           X        1      42411   0      1970
PNM RESOURCES
  INC             COMMON STOCK 69349H107      30       1208      SH                  X                 1       1208   0         0
POGO PRODUCING
  CO              COMMON STOCK 730448107       7        150      SH                  X                 1        150   0         0
POLO RALPH
  LAUREN
  CORPORATION     COMMON STOCK 731572103       5        100      SH                  X                 1        100   0         0
PORTALPLAYER INC  COMMON STOCK 736187204      74       7500      SH                  X                 1       6800   0       700
POZEN
  INCORPORATED    COMMON STOCK 73941U102      33       4650      SH                  X                 1       4200   0       450
PPG INDS INC      COMMON STOCK 693506107     744      11270      SH                  X                 1      10470   0       800
PPG INDS INC      COMMON STOCK 693506107    2123      32173      SH                           X        1      30548   0      1625
PPL CORP COM      COMMON STOCK 69351T106    4937     152857      SH                  X                 1     150757   0      2100
PPL CORP COM      COMMON STOCK 69351T106    1566      48469      SH                           X        1      39857   0      8612
PRAXAIR INC COM   COMMON STOCK 74005P104      20        363      SH                  X                 1        363   0         0
PRAXAIR INC COM   COMMON STOCK 74005P104     166       3071      SH                           X        1       3071   0         0
PRECISION
  CASTPARTS CORP
  COM             COMMON STOCK 740189105    1617      27062      SH                  X                 1      26175   0       887
PRECISION
  CASTPARTS CORP
  COM             COMMON STOCK 740189105      13        215      SH                           X        1        215   0         0
PRESSTEK INC COM  COMMON STOCK 741113104      28       3000      SH                           X        1       3000   0         0
PRICE T ROWE
  GROUP INC COM   COMMON STOCK 74144T108    1378      36440      SH                  X                 1      36440   0         0
PRICE T ROWE
  GROUP INC COM   COMMON STOCK 74144T108     913      24140      SH                           X        1      23950   0       190
PRIDE
  INTERNATIONAL
  INC COM         COMMON STOCK 74153Q102       5        163      SH                  X                 1        163   0         0
PRINCIPAL FINL
  GROUP INC       COMMON STOCK 74251V102      88       1575      SH                  X                 1       1575   0         0
PROCTER &
  GAMBLE CO COM   COMMON STOCK 742718109   35404     636762      SH                  X                 1     630782   0      5980
PROCTER &
  GAMBLE CO COM   COMMON STOCK 742718109   34122     613712      SH                           X        1     498829   0    114883
PROGENICS
  PHARMACEUTICALS COMMON STOCK 743187106      53       2200      SH                  X                 1       2200   0         0
PROGRESS ENERGY
  INC COM         COMMON STOCK 743263105     365       8511      SH                  X                 1       7911   0       600
PROGRESS ENERGY
  INC COM         COMMON STOCK 743263105     207       4836      SH                           X        1       4836   0         0
PROGRESSIVE CORP
  COM             COMMON STOCK 743315103     103       4000      SH                  X                 1       4000   0         0
PROVIDENT
  BANKSHARES
  CORPORATI       COMMON STOCK 743859100    1144      31427      SH                  X                 1      31427   0         0
PROVIDENT
  BANKSHARES
  CORPORATI       COMMON STOCK 743859100      36       1000      SH                           X        1       1000   0         0
PROVIDENT
  FINANCIAL
  SERVICES I      COMMON STOCK 74386T105      22       1200      SH                  X                 1       1200   0         0
PROXYMED INC      COMMON STOCK 744290305       4        500      SH                           X        1        500   0         0
PRUDENTIAL
  FINANCIAL INC   COMMON STOCK 744320102     234       3013      SH                  X                 1       3013   0         0
PRUDENTIAL
  FINANCIAL INC   COMMON STOCK 744320102      31        400      SH                           X        1        400   0         0
PSYCHIATRIC
  SOLUTIONS INC   COMMON STOCK 74439H108     443      15450      SH                  X                 1      14875   0       575
PSYCHIATRIC
  SOLUTIONS INC   COMMON STOCK 74439H108      34       1200      SH                           X        1       1200   0         0
PUBLIC SVC
  ENTERPRISE
  GROUP IN        COMMON STOCK 744573106     235       3561      SH                  X                 1       3561   0         0
PUBLIC SVC
  ENTERPRISE
  GROUP IN        COMMON STOCK 744573106     252       3811      SH                           X        1       3811   0         0
PUGET ENERGY INC
  COM             COMMON STOCK 745310102      98       4540      SH                  X                 1       4540   0         0
PUGET ENERGY INC
  COM             COMMON STOCK 745310102      56       2625      SH                           X        1       2625   0         0
PURE CYCLE CORP   COMMON STOCK 746228303      64       6000      SH                           X        1       6000   0         0
QUALCOMM INC
  COM             COMMON STOCK 747525103    4092     102120      SH                  X                 1     100515   0      1605
QUALCOMM INC
  COM             COMMON STOCK 747525103     306       7630      SH                           X        1       7230   0       400
QUANTA SERVICES
  INC COM         COMMON STOCK 74762E102      56       3235      SH                  X                 1       2900   0       335
QUEST
  DIAGNOSTICS INC COMMON STOCK 74834L100    3339      55718      SH                  X                 1      54556   0      1162
QUEST
  DIAGNOSTICS INC COMMON STOCK 74834L100     638      10655      SH                           X        1      10355   0       300
QUESTAR CORP
  COM             COMMON STOCK 748356102     326       4055      SH                  X                 1       3955   0       100


                                   25 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                   COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1       TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
QUESTAR CORP
  COM            COMMON STOCK 748356102     145       1800      SH                           X        1       1800   0        0
QWEST
  COMMUNICATIONS
  INTL INC       COMMON STOCK 749121109      26       3232      SH                  X                 1       3232   0        0
QWEST
  COMMUNICATIONS
  INTL INC       COMMON STOCK 749121109      15       1814      SH                           X        1       1604   0      210
R H DONNELLEY
  CORP           COMMON STOCK 74955W307       6        111      SH                  X                 1        111   0        0
R H DONNELLEY
  CORP           COMMON STOCK 74955W307      11        200      SH                           X        1        200   0        0
RADISYS
  CORPORATION    COMMON STOCK 750459109      88       4000      SH                  X                 1       3600   0      400
RAYONIER INC
  COM            COMMON STOCK 754907103     108       2850      SH                           X        1       2850   0        0
RAYTHEON CO
  COM NEW        COMMON STOCK 755111507     572      12830      SH                  X                 1      11506   0     1324
RAYTHEON CO
  COM NEW        COMMON STOCK 755111507     940      21085      SH                           X        1      18079   0     3006
READER'S DIGEST
  ASSN INC       COMMON STOCK 755267101       7        500      SH                  X                 1        500   0        0
RED HAT INC COM  COMMON STOCK 756577102      12        500      SH                  X                 1        500   0        0
REGIONS
  FINANCIAL CORP COMMON STOCK 7591EP100      28        836      SH                  X                 1        836   0        0
REGIONS
  FINANCIAL CORP COMMON STOCK 7591EP100     189       5697      SH                           X        1       5697   0        0
RELIANT ENERGY
  INC            COMMON STOCK 75952B105       2        168      SH                  X                 1        168   0        0
REMINGTON OIL &
  GAS CORP COM
  N              COMMON STOCK 759594302      22        500      SH                  X                 1        500   0        0
REPUBLIC SVCS
  INC COM        COMMON STOCK 760759100      76       1875      SH                  X                 1       1700   0      175
RES-CARE INC     COMMON STOCK 760943100      27       1325      SH                  X                 1       1200   0      125
REYNOLDS
  AMERICAN INC   COMMON STOCK 761713106     110        958      SH                  X                 1        958   0        0
REYNOLDS
  AMERICAN INC   COMMON STOCK 761713106      52        450      SH                           X        1        450   0        0
RF MICRO DEVICES
  INC COM        COMMON STOCK 749941100     215      35970      SH                  X                 1      34270   0     1700
RITE AID CORP
  COM            COMMON STOCK 767754104     113      26580      SH                  X                 1      22440   0     4140
ROBERT HALF
  INTL INC COM   COMMON STOCK 770323103      86       2040      SH                  X                 1       2040   0        0
ROBERT HALF
  INTL INC COM   COMMON STOCK 770323103      25        605      SH                           X        1        500   0      105
ROCKWELL
  AUTOMATION
  INC.           COMMON STOCK 773903109    8241     114438      SH                  X                 1     110792   0     3646
ROCKWELL
  AUTOMATION
  INC.           COMMON STOCK 773903109     929      12905      SH                           X        1       9350   0     3555
ROCKWELL
  COLLINS COM    COMMON STOCK 774341101     292       5232      SH                  X                 1       5232   0        0
ROCKWELL
  COLLINS COM    COMMON STOCK 774341101     164       2935      SH                           X        1       1975   0      960
ROHM & HAAS CO   COMMON STOCK 775371107      20        404      SH                  X                 1        404   0        0
ROHM & HAAS CO   COMMON STOCK 775371107     606      12096      SH                           X        1      12096   0        0
ROSS STORES INC
  COM            COMMON STOCK 778296103    3516     125345      SH                  X                 1     121869   0     3476
ROSS STORES INC
  COM            COMMON STOCK 778296103     241       8579      SH                           X        1       7054   0     1525
ROTONICS
  MANUFACTURING
  INC            COMMON STOCK 778903104       1        300      SH                  X                 1        300   0        0
ROYCE VALUE
  TRUST (CE)     COMMON STOCK 780910105      39       2000      SH                  X                 1       2000   0        0
RPC INC          COMMON STOCK 749660106      83       3420      SH                  X                 1       3100   0      320
RPM INTL INC     COMMON STOCK 749685103       9        500      SH                  X                 1        500   0        0
RPM INTL INC     COMMON STOCK 749685103      79       4380      SH                           X        1       4380   0        0
RUBY TUESDAY     COMMON STOCK 781182100      20        800      SH                  X                 1        800   0        0
S & T BANCORP
  INC            COMMON STOCK 783859101      13        400      SH                           X        1        400   0        0
SABRE HOLDINGS
  CORPORATION
  COM            COMMON STOCK 785905100      10        467      SH                           X        1        467   0        0
SAFEWAY INC
  COM            COMMON STOCK 786514208       5        200      SH                  X                 1        200   0        0
SAFEWAY INC
  COM            COMMON STOCK 786514208      47       1800      SH                           X        1        300   0     1500
SAN JUAN BASIN
  ROYALTY TR     COMMON STOCK 798241105      39       1000      SH                  X                 1       1000   0        0
SAN JUAN BASIN
  ROYALTY TR     COMMON STOCK 798241105       8        200      SH                           X        1        200   0        0
SANDISK CORP
  COM            COMMON STOCK 80004C101     249       4890      SH                  X                 1       4790   0      100
SANDISK CORP
  COM            COMMON STOCK 80004C101       5        100      SH                           X        1        100   0        0
SANDY SPRING
  BANCORP INC    COMMON STOCK 800363103      25        700      SH                  X                 1        700   0        0
SANDY SPRING
  BANCORP INC    COMMON STOCK 800363103     155       4300      SH                           X        1       4300   0        0
SARA LEE CORP    COMMON STOCK 803111103     424      26457      SH                  X                 1      26457   0        0
SARA LEE CORP    COMMON STOCK 803111103     893      55734      SH                           X        1      48734   0     7000
SCANA CORP NEW
  COM            COMMON STOCK 80589M102     304       7886      SH                  X                 1       7886   0        0
SCANA CORP NEW
  COM            COMMON STOCK 80589M102     328       8510      SH                           X        1       8510   0        0
SCHERING
  PLOUGH CORP    COMMON STOCK 806605101    2300     120868      SH                  X                 1     120868   0        0
SCHERING
  PLOUGH CORP    COMMON STOCK 806605101    1767      92863      SH                           X        1      73431   0    19432
SCHWAB CHARLES
  CORP NEW COM   COMMON STOCK 808513105     292      18277      SH                  X                 1      18277   0        0
SEALED AIR CORP
  NEW COM        COMMON STOCK 81211K100      52       1000      SH                           X        1       1000   0        0
SEARS HOLDINGS
  CORP           COMMON STOCK 812350106     632       4068      SH                  X                 1       4068   0        0
SEARS HOLDINGS
  CORP           COMMON STOCK 812350106      27        172      SH                           X        1        172   0        0
SEI CORP COM     COMMON STOCK 784117103      85       1735      SH                  X                 1       1735   0        0
SEI CORP COM     COMMON STOCK 784117103      19        390      SH                           X        1        390   0        0
SELECT SECTOR
  SPDR UTILITIES COMMON STOCK 81369Y886      13        400      SH                  X                 1        400   0        0
SELECTIVE INS
  GROUP INC      COMMON STOCK 816300107       6        100      SH                  X                 1        100   0        0
SEMPRA ENERGY
  COM            COMMON STOCK 816851109      18        400      SH                  X                 1        400   0        0
SEMPRA ENERGY
  COM            COMMON STOCK 816851109      24        532      SH                           X        1        532   0        0
SEPRACOR INC
  COM            COMMON STOCK 817315104     480       8409      SH                  X                 1       8209   0      200
SEPRACOR INC
  COM            COMMON STOCK 817315104       9        150      SH                           X        1        150   0        0
SERVICEMASTER
  CO COM         COMMON STOCK 81760N109     150      14500      SH                           X        1          0   0    14500
SEVERN BANCORP
  INC            COMMON STOCK 81811M100       8        440      SH                  X                 1        440   0        0


                                   26 of 52






                                                  SEC USE  ------------------------------------------------------------------
                                                                                 COLUMN 6                      COLUMN 8
                                                                                INVESTMENT                      VOTING
                                                         COLUMN 5               AUTHORITY                      AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                                                  SHARES
                 COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1      TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
SEVERN
  BANCORP INC  COMMON STOCK 81811M100     518      27321      SH                           X        1      27321   0        0
SHERWIN
  WILLIAMS CO
  COM          COMMON STOCK 824348106     247       5200      SH                           X        1        200   0     5000
SHOE
  CARNIVAL
  INC          COMMON STOCK 824889109      86       3600      SH                  X                 1       3300   0      300
SHUFFLE
  MASTER INC   COMMON STOCK 825549108     236       7205      SH                  X                 1       7205   0        0
SIERRA
  HEALTH
  SERVICES INC COMMON STOCK 826322109      55       1215      SH                  X                 1       1100   0      115
SIRIUS
  SATELLITE
  RADIO INC
  COM          COMMON STOCK 82966U103      61      12820      SH                  X                 1      12820   0        0
SIRIUS
  SATELLITE
  RADIO INC
  COM          COMMON STOCK 82966U103       9       1800      SH                           X        1       1800   0        0
SKECHERS USA   COMMON STOCK 830566105      77       3200      SH                  X                 1       2900   0      300
SKY FINANCIAL
  GROUP INC    COMMON STOCK 83080P103      24       1000      SH                  X                 1       1000   0        0
SKYWORKS
  SOLUTIONSINC COMMON STOCK 83088M102       0         70      SH                  X                 1         70   0        0
SKYWORKS
  SOLUTIONSINC COMMON STOCK 83088M102       2        280      SH                           X        1        280   0        0
SLM CORP COM   COMMON STOCK 78442P106     122       2313      SH                  X                 1       2313   0        0
SMITH INTL INC COMMON STOCK 832110100    3180      71500      SH                  X                 1      71500   0        0
SMITH INTL INC COMMON STOCK 832110100     294       6600      SH                           X        1       6600   0        0
SMITHFIELD
  FOODS INC    COMMON STOCK 832248108      58       2000      SH                           X        1       2000   0        0
SOLECTRON
  CORP         COMMON STOCK 834182107       5       1550      SH                  X                 1       1550   0        0
SOLECTRON
  CORP         COMMON STOCK 834182107       7       2017      SH                           X        1       2017   0        0
SONOCO
  PRODUCTS
  CO COM       COMMON STOCK 835495102      60       1900      SH                           X        1       1900   0        0
SOUTH JERSEY
  INDUSTRIES
  INC          COMMON STOCK 838518108      14        518      SH                  X                 1        518   0        0
SOUTHERN CO
  COM          COMMON STOCK 842587107     992      30938      SH                  X                 1      29938   0     1000
SOUTHERN CO
  COM          COMMON STOCK 842587107    1162      36256      SH                           X        1      34041   0     2215
SOUTHERN
  UNION CO
  NEW COM      COMMON STOCK 844030106      90       3312      SH                  X                 1       3312   0        0
SOUTHWEST
  AIRLINES CO
  COM          COMMON STOCK 844741108      98       6012      SH                  X                 1       6012   0        0
SOUTHWEST
  AIRLINES CO
  COM          COMMON STOCK 844741108     138       8400      SH                           X        1       8400   0        0
SOUTHWEST
  GAS CORP
  COM          COMMON STOCK 844895102      31       1000      SH                           X        1       1000   0        0
SOVEREIGN
  BANCORP INC  COMMON STOCK 845905108    3783     186248      SH                  X                 1     183523   0     2725
SOVEREIGN
  BANCORP INC  COMMON STOCK 845905108      37       1843      SH                           X        1       1423   0      420
SPAR GROUP
  INC          COMMON STOCK 784933103       0        450      SH                  X                 1        450   0        0
SPDR TRUST
  SERIES 1 S&P
  500 IN       COMMON STOCK 78462F103    6590      51799      SH                  X                 1      51799   0        0
SPDR TRUST
  SERIES 1 S&P
  500 IN       COMMON STOCK 78462F103    8327      65448      SH                           X        1      65448   0        0
SPEEDWAY
  MOTORSPORTS
  INCORPORA    COMMON STOCK 847788106       4        100      SH                           X        1        100   0        0
SPRINT NEXTEL
  CORP         COMMON STOCK 852061100     767      38391      SH                  X                 1      29780   0     8611
SPRINT NEXTEL
  CORP         COMMON STOCK 852061100     297      14857      SH                           X        1      14057   0      800
SPX CORP COM   COMMON STOCK 784635104      33        597      SH                           X        1        597   0        0
ST JOE CORP    COMMON STOCK 790148100    2169      46610      SH                  X                 1      45035   0     1575
ST JOE CORP    COMMON STOCK 790148100     428       9198      SH                           X        1       8798   0      400
ST JUDE
  MEDICAL INC
  COM          COMMON STOCK 790849103       6        200      SH                  X                 1        200   0        0
ST PAUL
  TRAVELERS
  COMPANIES
  IN           COMMON STOCK 792860108    1202      26958      SH                  X                 1      26854   0      104
ST PAUL
  TRAVELERS
  COMPANIES
  IN           COMMON STOCK 792860108     607      13621      SH                           X        1      13262   0      359
STANDARD
  REGISTER
  COMPANY      COMMON STOCK 853887107       6        500      SH                  X                 1        500   0        0
STANLEY
  WORKS COM    COMMON STOCK 854616109     538      11400      SH                  X                 1      11400   0        0
STANLEY
  WORKS COM    COMMON STOCK 854616109     458       9700      SH                           X        1       3700   0     6000
STAPLES INC
  COM          COMMON STOCK 855030102    7521     308851      SH                  X                 1     301875   0     6976
STAPLES INC
  COM          COMMON STOCK 855030102    1358      55778      SH                           X        1      55628   0      150
STAR GAS
  PARTNERS LP  COMMON STOCK 85512C105       1        500      SH                  X                 1        500   0        0
STARBUCKS
  CORP COM     COMMON STOCK 855244109     819      21695      SH                  X                 1      21695   0        0
STARBUCKS
  CORP COM     COMMON STOCK 855244109     121       3200      SH                           X        1       3200   0        0
STARWOOD
  HOTELS &
  RESORTS
  WORL         COMMON STOCK 85590A401      15        254      SH                  X                 1        254   0        0
STATE AUTO
  FINANCIAL
  CORP         COMMON STOCK 855707105     275       8450      SH                  X                 1       8100   0      350
STATE STREET
  CORP         COMMON STOCK 857477103     384       6612      SH                  X                 1       6612   0        0
STATE STREET
  CORP         COMMON STOCK 857477103    5066      87214      SH                           X        1      87214   0        0
STEEL
  DYNAMICS
  INC          COMMON STOCK 858119100     102       1550      SH                  X                 1       1400   0      150
STEELCASE INC
  CL A         COMMON STOCK 858155203      16       1000      SH                           X        1          0   0     1000
STERLING
  FINANCIAL
  CORP         COMMON STOCK 859317109    1175      53642      SH                  X                 1      24575   0    29067
STERLING
  FINANCIAL
  CORP         COMMON STOCK 859317109     131       6000      SH                           X        1       1000   0     5000
STONEPATH
  GROUP INC    COMMON STOCK 861837102       0        750      SH                  X                 1        750   0        0
STREETTRACKS
  GOLD TRUST   COMMON STOCK 863307104      18        300      SH                           X        1        300   0        0
STRYKER CORP
  COM          COMMON STOCK 863667101     440      10460      SH                  X                 1      10460   0        0
STRYKER CORP
  COM          COMMON STOCK 863667101      51       1200      SH                           X        1       1000   0      200
STURM
  RUGER & CO
  INC COM      COMMON STOCK 864159108       5        750      SH                  X                 1        750   0        0
STURM
  RUGER & CO
  INC COM      COMMON STOCK 864159108       6       1000      SH                           X        1       1000   0        0
SUBURBAN
  PROPANE
  PARTNERS LP
  L            COMMON STOCK 864482104       8        250      SH                  X                 1        250   0        0
SUBURBAN
  PROPANE
  PARTNERS LP
  L            COMMON STOCK 864482104      41       1300      SH                           X        1        300   0     1000
SUN
  MICROSYSTEMS
  INC COM      COMMON STOCK 866810104      24       5811      SH                  X                 1       5811   0        0
SUN
  MICROSYSTEMS
  INC COM      COMMON STOCK 866810104      39       9300      SH                           X        1       9300   0        0
SUNOCO INC
  COM          COMMON STOCK 86764P109     146       2106      SH                  X                 1       2106   0        0
SUNOCO INC
  COM          COMMON STOCK 86764P109      14        200      SH                           X        1        200   0        0


                                   27 of 52






                                                      SEC USE  ------------------------------------------------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                                                    INVESTMENT                      VOTING
                                                             COLUMN 5               AUTHORITY                      AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                                                      SHARES
                                           COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        COLUMN 2    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER  TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------  -------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
SUNOCO
  LOGISTICS
  PARTNERS LP     COMMON STOCK  86764L108      25        600      SH                           X        1        600   0        0
SUNRISE SENIOR
  LIVING INC      COMMON STOCK  86768K106      11        400      SH                  X                 1        400   0        0
SUNTRUST BANKS
  INC             COMMON STOCK  867914103     684       8968      SH                  X                 1       8968   0        0
SUNTRUST BANKS
  INC             COMMON STOCK  867914103    1738      22796      SH                           X        1      21096   0     1700
SUPERIOR ENERGY
  SERVICES INC C  COMMON STOCK  868157108      24        700      SH                  X                 1        700   0        0
SUPERVALU INC     COMMON STOCK  868536103      74       2418      SH                  X                 1       2418   0        0
SUSQUEHANNA
  BANCSHARES
  INC PA          COMMON STOCK  869099101    1559      65238      SH                  X                 1      55226   0    10012
SYKES
  ENTERPRISES
  INC             COMMON STOCK  871237103      79       4900      SH                  X                 1       4500   0      400
SYMANTEC CORP
  COM             COMMON STOCK  871503108     356      22886      SH                  X                 1      22886   0        0
SYMANTEC CORP
  COM             COMMON STOCK  871503108     138       8854      SH                           X        1       8280   0      574
SYMBOL
  TECHNOLOGIES
  INC             COMMON STOCK  871508107      67       6212      SH                  X                 1       4712   0     1500
SYMBOL
  TECHNOLOGIES
  INC             COMMON STOCK  871508107      35       3240      SH                           X        1       3240   0        0
SYNOPSYS INC
  COM             COMMON STOCK  871607107      20       1050      SH                  X                 1       1050   0        0
SYNOPSYS INC
  COM             COMMON STOCK  871607107      32       1700      SH                           X        1        200   0     1500
SYNOVUS FINL
  CORP COM        COMMON STOCK  87161C105      21        800      SH                           X        1        800   0        0
SYPRIS SOLUTIONS
  INCORPORATED    COMMON STOCK  871655106      47       5000      SH                  X                 1       5000   0        0
SYSCO CORP        COMMON STOCK  871829107    7735     253101      SH                  X                 1     246619   0     6482
SYSCO CORP        COMMON STOCK  871829107   10033     328306      SH                           X        1     324541   0     3765
TARGET CORP
  COM             COMMON STOCK  87612E106    7465     152742      SH                  X                 1     149942   0     2800
TARGET CORP
  COM             COMMON STOCK  87612E106    1312      26845      SH                           X        1      25470   0     1375
TASER
  INTERNATIONAL
  INC             COMMON STOCK  87651B104       2        200      SH                           X        1        200   0        0
TASTY BAKING CO
  WITH RIGHTS 07  COMMON STOCK  876553306       6        625      SH                           X        1        625   0        0
TD AMERITRADE
  HOLDING CORP    COMMON STOCK  87236Y108       4        257      SH                  X                 1        257   0        0
TECH DATA CORP
  COM             COMMON STOCK  878237106      23        600      SH                           X        1        600   0        0
TECHNITROL INC    COMMON STOCK  878555101      74       3200      SH                  X                 1       2900   0      300
TECO ENERGY INC   COMMON STOCK  872375100     183      12264      SH                  X                 1      12264   0        0
TECO ENERGY INC   COMMON STOCK  872375100     357      23866      SH                           X        1      23566   0      300
TELEDYNE
  TECHNOLOGIES
  INC COM         COMMON STOCK  879360105      75       2275      SH                  X                 1       2275   0        0
TEMPLE INLAND
  INC             COMMON STOCK  879868107       5        128      SH                  X                 1        128   0        0
TEMPLE INLAND
  INC             COMMON STOCK  879868107       4        100      SH                           X        1          0   0      100
TENET
  HEALTHCARE
  CORP            COMMON STOCK  88033G100      10       1500      SH                  X                 1       1500   0        0
TEPPCO PARTNERS
  LTD PARTNERS    COMMON STOCK  872384102      88       2500      SH                  X                 1       2500   0        0
TEREX CORP        COMMON STOCK  880779103      98        990      SH                  X                 1        900   0       90
TEXAS
  INSTRUMENTS
  INC             COMMON STOCK  882508104    4830     159455      SH                  X                 1     158709   0      746
TEXAS
  INSTRUMENTS
  INC             COMMON STOCK  882508104    2222      73360      SH                           X        1      64522   0     8838
TEXTRON INC COM   COMMON STOCK  883203101     430       4668      SH                  X                 1       4668   0        0
TEXTRON INC COM   COMMON STOCK  883203101     101       1100      SH                           X        1        100   0     1000
TF FINANCIAL
  CORP            COMMON STOCK  872391107     144       5000      SH                  X                 1       5000   0        0
THE DIRECTV
  GROUP INC       COMMON STOCK  25459L106      18       1097      SH                  X                 1       1048   0       49
THE DIRECTV
  GROUP INC       COMMON STOCK  25459L106      29       1773      SH                           X        1       1448   0      325
THE HERSHEY
  COMPANY         COMMON STOCK  427866108    2727      49520      SH                  X                 1      46970   0     2550
THE HERSHEY
  COMPANY         COMMON STOCK  427866108    2454      44554      SH                           X        1      32454   0    12100
THE MOSAIC
  COMPANY         COMMON STOCK  61945A107      10        661      SH                  X                 1        661   0        0
THE MOSAIC
  COMPANY         COMMON STOCK  61945A107       6        400      SH                           X        1        400   0        0
THE PANTRY INC    COMMON STOCK  698657103       9        150      SH                  X                 1        150   0        0
THE SCOTTS
  MIRACLE-GRO
  COMPANY         COMMON STOCK  810186106     592      14000      SH                  X                 1      14000   0        0
THERMO
  ELECTRON CORP
  COM             COMMON STOCK  883556102      36       1000      SH                  X                 1       1000   0        0
THERMO
  ELECTRON CORP
  COM             COMMON STOCK  883556102      29        800      SH                           X        1        800   0        0
THOR INDUSTRIES
  INCORPORATED    COMMON STOCK  885160101      75       1550      SH                  X                 1       1400   0      150
TIDEWATER INC     COMMON STOCK  886423102      49       1000      SH                  X                 1       1000   0        0
TIFFANY & CO      COMMON STOCK  886547108      92       2784      SH                  X                 1       2784   0        0
TIME WARNER INC   COMMON STOCK  887317105    1907     110250      SH                  X                 1     105450   0     4800
TIME WARNER INC   COMMON STOCK  887317105     664      38362      SH                           X        1      35662   0     2700
TIMKEN CO COM     COMMON STOCK  887389104      42       1240      SH                           X        1       1240   0        0
TITAN
  INTERNATIONAL
  INC             COMMON STOCK  88830M102      51       2750      SH                  X                 1       2500   0      250
TIVO INC          COMMON STOCK  888706108       1        100      SH                  X                 1        100   0        0
TJX COMPANIES
  COM             COMMON STOCK  872540109       4        165      SH                  X                 1        165   0        0
TOLL BROS INC     COMMON STOCK  889478103    2190      85650      SH                  X                 1      84700   0      950
TOLL BROS INC     COMMON STOCK  889478103     568      22220      SH                           X        1      21720   0      500
TOLLGRADE
  COMMUNICATIONS
  INC C           COMMON STOCK  889542106      13       1350      SH                  X                 1       1350   0        0
TOMPKINS
  TRUSTCO INC     COMMON STOCK  890110109      28        643      SH                  X                 1        643   0        0
TOOTSIE ROLL
  INDUSTRIES      COMMON STOCK  890516107      54       1851      SH                  X                 1       1851   0        0
TORO CO COM       COMMON STOCK  891092108      80       1720      SH                  X                 1       1720   0        0
TRADESTATION
  GROUP INC       COMMON STOCK  89267P105      82       6500      SH                  X                 1       6000   0      500
TRANSACT
  TECHNOLOGIES
  INC COM         COMMON STOCK  892918103      10       1000      SH                  X                 1       1000   0        0
TRANSCEND
  SERVICES INC    COMMON STOCK  893929208       1        325      SH                  X                 1        325   0        0
TRANSOCEAN INC    COMMON STOCK  G90078109    1713      21327      SH                  X                 1      21327   0        0


                                   28 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
TRANSOCEAN INC    COMMON STOCK G90078109     425       5295      SH                           X        1       5245   0       50
TREDEGAR CORP     COMMON STOCK 894650100      40       2500      SH                  X                 1       2500   0        0
TRIAD HOSPITALS
  INC             COMMON STOCK 89579K109      79       2000      SH                           X        1          0   0     2000
TRIBUNE CO NEW
  COM             COMMON STOCK 896047107       2         50      SH                  X                 1         50   0        0
TRIBUNE CO NEW
  COM             COMMON STOCK 896047107      42       1300      SH                           X        1       1300   0        0
TRINITY
  INDUSTRIES INC  COMMON STOCK 896522109       6        150      SH                  X                 1        150   0        0
TRINITY
  INDUSTRIES INC  COMMON STOCK 896522109      79       1950      SH                           X        1       1950   0        0
TRIUMPH GROUP
  INC             COMMON STOCK 896818101      48       1000      SH                  X                 1       1000   0        0
TRONOX INC-CLASS
  B               COMMON STOCK 897051207       4        303      SH                  X                 1        142   0      161
TRONOX INC-CLASS
  B               COMMON STOCK 897051207       2        126      SH                           X        1        126   0        0
TUPPERWARE
  BRANDS CORP     COMMON STOCK 899896104      10        500      SH                  X                 1        500   0        0
TUPPERWARE
  BRANDS CORP     COMMON STOCK 899896104       9        450      SH                           X        1        450   0        0
TXU CORP COM      COMMON STOCK 873168108     268       4480      SH                  X                 1       4480   0        0
TXU CORP COM      COMMON STOCK 873168108     185       3100      SH                           X        1       2900   0      200
TYSON FOODS INC
  COM             COMMON STOCK 902494103      18       1200      SH                           X        1       1200   0        0
U S BANCORP DEL
  COM NEW         COMMON STOCK 902973304    2814      91127      SH                  X                 1      90627   0      500
U S BANCORP DEL
  COM NEW         COMMON STOCK 902973304     907      29386      SH                           X        1      24286   0     5100
U.S. CONCRETE,
  INC.            COMMON STOCK 90333L102      47       4250      SH                  X                 1       3900   0      350
UGI CORP          COMMON STOCK 902681105     323      13100      SH                  X                 1      13100   0        0
UGI CORP          COMMON STOCK 902681105     148       6000      SH                           X        1       6000   0        0
UNION
  BANKSHARES
  CORPORATION     COMMON STOCK 905399101       9        200      SH                           X        1        200   0        0
UNION PACIFIC
  CORP COM        COMMON STOCK 907818108    1030      11075      SH                  X                 1      10975   0      100
UNION PACIFIC
  CORP COM        COMMON STOCK 907818108     873       9390      SH                           X        1       4590   0     4800
UNIT CORP COM     COMMON STOCK 909218109      57       1000      SH                           X        1       1000   0        0
UNITED PARCEL
  SERVICE CL B    COMMON STOCK 911312106    9400     114177      SH                  X                 1     111303   0     2874
UNITED PARCEL
  SERVICE CL B    COMMON STOCK 911312106    1610      19560      SH                           X        1      17485   0     2075
UNITED RENTALS
  INC COM         COMMON STOCK 911363109     450      14070      SH                  X                 1      13345   0      725
UNITED STS STL
  CORP NEW        COMMON STOCK 912909108      13        179      SH                  X                 1        179   0        0
UNITED STS STL
  CORP NEW        COMMON STOCK 912909108      11        160      SH                           X        1        160   0        0
UNITED SURGICAL
  PARTNERS INTL   COMMON STOCK 913016309     419      13949      SH                  X                 1      13314   0      635
UNITED SURGICAL
  PARTNERS INTL   COMMON STOCK 913016309      23        750      SH                           X        1        750   0        0
UNITED
  TECHNOLOGIES
  CORP COM        COMMON STOCK 913017109    7847     123724      SH                  X                 1     121324   0     2400
UNITED
  TECHNOLOGIES
  CORP COM        COMMON STOCK 913017109    3340      52671      SH                           X        1      49221   0     3450
UNITED
  THERAPEUTICS
  CORP            COMMON STOCK 91307C102      32        550      SH                  X                 1        500   0       50
UNITEDHEALTH
  GROUP INC       COMMON STOCK 91324P102    2844      63509      SH                  X                 1      62565   0      944
UNITEDHEALTH
  GROUP INC       COMMON STOCK 91324P102     455      10153      SH                           X        1       7083   0     3070
UNITRIN INC COM   COMMON STOCK 913275103     162       3715      SH                  X                 1       3715   0        0
UNIVERSAL
  COMPRESSION
  HOLDINGS        COMMON STOCK 913431102      63       1000      SH                           X        1       1000   0        0
UNIVERSAL
  DISPLAY CORP    COMMON STOCK 91347P105      17       1300      SH                  X                 1       1300   0        0
UNIVEST CORP OF
  PA              COMMON STOCK 915271100      68       2454      SH                  X                 1       2454   0        0
UNVL HEALTH
  SERVICES INC CL
  B               COMMON STOCK 913903100      18        360      SH                  X                 1        360   0        0
URBAN OUTFITTERS
  INC             COMMON STOCK 917047102     178      10183      SH                  X                 1       9883   0      300
URS CORP NEW      COMMON STOCK 903236107      79       1875      SH                  X                 1       1700   0      175
USEC INC          COMMON STOCK 90333E108      80       6730      SH                  X                 1       6100   0      630
UST INC COM       COMMON STOCK 902911106     394       8725      SH                  X                 1       8725   0        0
UST INC COM       COMMON STOCK 902911106     140       3100      SH                           X        1       3100   0        0
V F CORP          COMMON STOCK 918204108      54        800      SH                  X                 1        800   0        0
V F CORP          COMMON STOCK 918204108     641       9440      SH                           X        1       9440   0        0
VALENTIS INC      COMMON STOCK 91913E302       3        850      SH                           X        1        850   0        0
VALERO ENERGY
  CORP COM        COMMON STOCK 91913Y100     412       6200      SH                  X                 1       6200   0        0
VALERO ENERGY
  CORP COM        COMMON STOCK 91913Y100     379       5700      SH                           X        1       5700   0        0
VALERO L P        COMMON STOCK 91913W104      29        585      SH                  X                 1        585   0        0
VALUECLICK INC    COMMON STOCK 92046N102       5        300      SH                  X                 1        300   0        0
VARIAN INC        COMMON STOCK 922206107       5        120      SH                  X                 1        120   0        0
VARIAN MEDICAL
  SYS INC COM     COMMON STOCK 92220P105    1467      30987      SH                  X                 1      30787   0      200
VARIAN MEDICAL
  SYS INC COM     COMMON STOCK 92220P105     208       4403      SH                           X        1       4403   0        0
VARIAN
  SEMICONDUCTOR
  EQUIP ASS       COMMON STOCK 922207105       6        180      SH                  X                 1        180   0        0
VERISIGN INC COM  COMMON STOCK 92343E102     451      19480      SH                  X                 1      18755   0      725
VERISIGN INC COM  COMMON STOCK 92343E102      58       2494      SH                           X        1       2494   0        0
VERITAS DGC INC
  COM             COMMON STOCK 92343P107      79       1540      SH                  X                 1       1400   0      140
VERIZON
  COMMUNICATIONS
  COM             COMMON STOCK 92343V104   15878     474112      SH                  X                 1     461962   0    12150
VERIZON
  COMMUNICATIONS
  COM             COMMON STOCK 92343V104    9540     284857      SH                           X        1     268302   0    16555
VIACOM INC CL A   COMMON STOCK 92553P102       8        225      SH                           X        1        225   0        0
VIACOM INC-CLASS
  B               COMMON STOCK 92553P201     702      19581      SH                  X                 1      19581   0        0
VIACOM INC-CLASS
  B               COMMON STOCK 92553P201     383      10678      SH                           X        1       9253   0     1425
VISHAY
  INTERTECHNOLOGY
  INC COM         COMMON STOCK 928298108      16       1000      SH                  X                 1       1000   0        0
W H ENERGY SVCS
  INC COM         COMMON STOCK 92925E108      84       1650      SH                  X                 1       1500   0      150


                                   29 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
W W GRAINGER INC
  COM             COMMON STOCK 384802104     396       5258      SH                  X                 1       5258   0        0
W W GRAINGER INC
  COM             COMMON STOCK 384802104     196       2600      SH                           X        1       2600   0        0
WABTEC CORP COM   COMMON STOCK 929740108     266       7110      SH                  X                 1       6670   0      440
WACHOVIA CORP
  COM             COMMON STOCK 929903102   14045     259714      SH                  X                 1     250736   0     8978
WACHOVIA CORP
  COM             COMMON STOCK 929903102    5701     105427      SH                           X        1      96652   0     8775
WADDELL & REED
  FINL INC CL A   COMMON STOCK 930059100      12        600      SH                  X                 1        600   0        0
WADDELL & REED
  FINL INC CL A   COMMON STOCK 930059100      40       1950      SH                           X        1       1950   0        0
WAL MART STORES
  INC COM         COMMON STOCK 931142103   15392     319533      SH                  X                 1     314029   0     5504
WAL MART STORES
  INC COM         COMMON STOCK 931142103    4974     103258      SH                           X        1      94918   0     8340
WALGREEN CO       COMMON STOCK 931422109    1321      29458      SH                  X                 1      28508   0      950
WALGREEN CO       COMMON STOCK 931422109    1052      23467      SH                           X        1      17297   0     6170
WASHINGTON
  MUTUAL COM      COMMON STOCK 939322103    1757      38542      SH                  X                 1      38117   0      425
WASHINGTON
  MUTUAL COM      COMMON STOCK 939322103     765      16775      SH                           X        1      15775   0     1000
WASTE
  CONNECTIONS
  INC             COMMON STOCK 941053100     309       8495      SH                  X                 1       8105   0      390
WASTE
  MANAGEMENT
  INC COM         COMMON STOCK 94106L109       5        134      SH                  X                 1        134   0        0
WASTE
  MANAGEMENT
  INC COM         COMMON STOCK 94106L109     167       4647      SH                           X        1       3147   0     1500
WATSON
  PHARMACEUTICALS
  INC COM         COMMON STOCK 942683103       5        200      SH                  X                 1        200   0        0
WATSON
  PHARMACEUTICALS
  INC COM         COMMON STOCK 942683103      36       1526      SH                           X        1       1526   0        0
WCI INDUSTRIES    COMMON STOCK 92923C104       3        150      SH                  X                 1        150   0        0
WD 40 CO COM      COMMON STOCK 929236107      74       2200      SH                           X        1       2200   0        0
WEBSTER FINL
  CORP
  WATERBURY CO    COMMON STOCK 947890109      28        600      SH                  X                 1        600   0        0
WEIGHT WATCHERS
  INTL INC NEW    COMMON STOCK 948626106      15        375      SH                  X                 1        375   0        0
WEIS MARKETS INC  COMMON STOCK 948849104      56       1350      SH                  X                 1        900   0      450
WEIS MARKETS INC  COMMON STOCK 948849104       6        150      SH                           X        1        150   0        0
WELLCARE HEALTH
  PLANS           COMMON STOCK 94946T106      49       1000      SH                  X                 1        900   0      100
WELLPOINT INC     COMMON STOCK 94973V107      87       1200      SH                  X                 1       1200   0        0
WELLS FARGO & CO  COMMON STOCK 949746101   12337     183919      SH                  X                 1     182769   0     1150
WELLS FARGO & CO  COMMON STOCK 949746101    5469      81526      SH                           X        1      78628   0     2898
WENDYS INTL INC
  COM             COMMON STOCK 950590109     198       3400      SH                  X                 1       3400   0        0
WENDYS INTL INC
  COM             COMMON STOCK 950590109      12        200      SH                           X        1        200   0        0
WERNER
  ENTERPRISES INC COMMON STOCK 950755108     231      11385      SH                  X                 1      10285   0     1100
WERNER
  ENTERPRISES INC COMMON STOCK 950755108      49       2405      SH                           X        1       2405   0        0
WESCO
  INTERNATIONAL
  INCORPORAT      COMMON STOCK 95082P105      84       1215      SH                  X                 1       1100   0      115
WESTAR ENERGY
  INC             COMMON STOCK 95709T100       6        300      SH                  X                 1        300   0        0
WESTAR ENERGY
  INC             COMMON STOCK 95709T100       5        250      SH                           X        1        250   0        0
WEYERHAEUSER
  CO COM          COMMON STOCK 962166104     118       1903      SH                  X                 1       1903   0        0
WEYERHAEUSER
  CO COM          COMMON STOCK 962166104     445       7152      SH                           X        1       6354   0      798
WGL HLDGS INC
  COM             COMMON STOCK 92924F106      98       3382      SH                           X        1       3382   0        0
WHEELING-
  PITTSBURG CORP  COMMON STOCK 963142302       5        245      SH                  X                 1        245   0        0
WHIRLPOOL CORP
  COM             COMMON STOCK 963320106      83       1004      SH                  X                 1       1004   0        0
WHIRLPOOL CORP
  COM             COMMON STOCK 963320106      61        742      SH                           X        1        742   0        0
WHITING
  PETROLEUM
  CORPORATION     COMMON STOCK 966387102      63       1500      SH                           X        1       1500   0        0
WHOLE FOODS MKT
  INC COM         COMMON STOCK 966837106      78       1200      SH                  X                 1       1200   0        0
WILBER CORP COM   COMMON STOCK 967797101       8        750      SH                  X                 1        750   0        0
WILLIAM SONOMA
  INC COM         COMMON STOCK 969904101     295       8675      SH                  X                 1       8355   0      320
WILLIAM SONOMA
  INC COM         COMMON STOCK 969904101      17        500      SH                           X        1        500   0        0
WILLIAMS
  COMPANY INC
  (THE)           COMMON STOCK 969457100      21        900      SH                  X                 1        900   0        0
WILLIAMS
  COMPANY INC
  (THE)           COMMON STOCK 969457100      33       1403      SH                           X        1        203   0     1200
WILMINGTON
  TRUST CORP      COMMON STOCK 971807102      25        600      SH                           X        1        600   0        0
WIND RIV SYS INC  COMMON STOCK 973149107       5        600      SH                  X                 1        600   0        0
WISCONSIN
  ENERGY CORP
  COM             COMMON STOCK 976657106     192       4752      SH                  X                 1       4752   0        0
WISCONSIN
  ENERGY CORP
  COM             COMMON STOCK 976657106     206       5118      SH                           X        1       5118   0        0
WORTHINGTON
  INDS INC COM    COMMON STOCK 981811102     272      13000      SH                           X        1          0   0    13000
WPS RESOURCES
  CORP            COMMON STOCK 92931B106      40        800      SH                  X                 1        800   0        0
WPS RESOURCES
  CORP            COMMON STOCK 92931B106      17        350      SH                           X        1        350   0        0
WRIGLEY WM JR CO  COMMON STOCK 982526105     329       7262      SH                  X                 1       7262   0        0
WRIGLEY WM JR CO  COMMON STOCK 982526105     321       7086      SH                           X        1       6336   0      750
WYETH             COMMON STOCK 983024100   15806     355908      SH                  X                 1     350888   0     5020
WYETH             COMMON STOCK 983024100   15502     349068      SH                           X        1     296280   0    52788
WYNN RESORTS
  LIMITED         COMMON STOCK 983134107       7        100      SH                  X                 1        100   0        0
X-RITE INC COM    COMMON STOCK 983857103       3        250      SH                  X                 1        250   0        0
XANSER CORP       COMMON STOCK 98389J103       2        400      SH                  X                 1        400   0        0
XCEL ENERGY INC
  COM             COMMON STOCK 98389B100      55       2876      SH                  X                 1       2876   0        0
XCEL ENERGY INC
  COM             COMMON STOCK 98389B100     239      12454      SH                           X        1      12454   0        0
XEROX CORP        COMMON STOCK 984121103     112       8038      SH                  X                 1       8038   0        0
XEROX CORP        COMMON STOCK 984121103     127       9140      SH                           X        1       9140   0        0
XM SATELLITE
  RADIO HLDGS INC COMMON STOCK 983759101      37       2500      SH                  X                 1       2500   0        0


                                   30 of 52






                                                    SEC USE  -------------------------------------------------------------------
                                                                                   COLUMN 6                       COLUMN 8
                                                                                  INVESTMENT                       VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          --------------------
                                                    SHARES
                   COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1       TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                   
XM SATELLITE
  RADIO HLDGS
  INC            COMMON STOCK 983759101       1         100     SH                           X        1        100     0       0
XTO ENERGY INC
  COM            COMMON STOCK 98385X106    2077       46910     SH                  X                 1      46710     0     200
XTO ENERGY INC
  COM            COMMON STOCK 98385X106     153        3448     SH                           X        1       3448     0       0
YAHOO INC COM    COMMON STOCK 984332106     303        9175     SH                  X                 1       9175     0       0
YAHOO INC COM    COMMON STOCK 984332106      27         810     SH                           X        1        710     0     100
YORK WATER
  COMPANY        COMMON STOCK 987184108    1149       48086     SH                  X                 1      48086     0       0
YORK WATER
  COMPANY        COMMON STOCK 987184108    1135       47496     SH                           X        1      47496     0       0
YUM! BRANDS INC  COMMON STOCK 988498101     406        8081     SH                  X                 1       8081     0       0
YUM! BRANDS INC  COMMON STOCK 988498101     387        7700     SH                           X        1       5780     0    1920
ZEBRA
  TECHNOLOGIES
  CORP CL A      COMMON STOCK 989207105      77        2250     SH                           X        1       2250     0       0
ZIMMER HLDGS
  INC COM        COMMON STOCK 98956P102    5759      101531     SH                  X                 1      99504     0    2027
ZIMMER HLDGS
  INC COM        COMMON STOCK 98956P102    1224       21572     SH                           X        1      20317     0    1255
ZIONS
  BANCORPORATION
  COM            COMMON STOCK 989701107    5025       64472     SH                  X                 1      62330     0    2142
ZIONS
  BANCORPORATION
  COM            COMMON STOCK 989701107     320        4105     SH                           X        1       2415     0    1690
ZOLL MEDICAL
  CORP           COMMON STOCK 989922109      23         700     SH                  X                 1        650     0      50
ZYGO CORP COM    COMMON STOCK 989855101      90        5500     SH                  X                 1       5000     0     500
3 COM CORP COM   COMMON STOCK 885535104       7        1400     SH                           X        1       1100     0     300
3M CO            COMMON STOCK 88579Y101   18479      228782     SH                  X                 1     225465     0    3317
3M CO            COMMON STOCK 88579Y101   12718      157456     SH                           X        1     142524     0   14932
ABN AMRO
  HOLDINGS NV
  SPON ADR       COMMON STOCK 000937102      10         350     SH                           X        1        350     0       0
ACCENTURE
  LTD-CL A       COMMON STOCK G1150G111     664       23456     SH                  X                 1      23456     0       0
ACCENTURE
  LTD-CL A       COMMON STOCK G1150G111     378       13360     SH                           X        1      12725     0     635
ACERGY SA SP
  ADR            COMMON STOCK 00443E104      31        2000     SH                  X                 1       2000     0       0
ADVANTAGE
  ENERGY
  INCOME FUND    COMMON STOCK 00762L101     314       18000     SH                  X                 1      18000     0       0
AEGON NV ORD
  AMER REG SHS   COMMON STOCK 007924103     228       13337     SH                  X                 1      13337     0       0
AGNICO EAGLE
  MINES LTD      COMMON STOCK 008474108       8         250     SH                  X                 1        250     0       0
ALCAN INC        COMMON STOCK 013716105      63        1350     SH                           X        1       1350     0       0
ALCON INC        COMMON STOCK H01301102      30         300     SH                  X                 1        300     0       0
ALLIED IRISH BKS
  PLC-SPON ADR   COMMON STOCK 019228402   58456     1208764     SH                  X                 1     856558 10511  341695
ALLIED IRISH BKS
  PLC-SPON ADR   COMMON STOCK 019228402   22650      468369     SH                           X        1     364269     0  104100
AMERICA MOVIL -
  ADR SERIES A   COMMON STOCK 02364W204     167        5000     SH                  X                 1       5000     0       0
AMERICA MOVIL
  SA - SPONS ADR
  S              COMMON STOCK 02364W105     322        9676     SH                  X                 1       9676     0       0
AMERICA MOVIL
  SA - SPONS ADR
  S              COMMON STOCK 02364W105     140        4200     SH                           X        1       1200     0    3000
ANGLO AMERICAN
  PLC ADR        COMMON STOCK 03485P102       9         450     SH                  X                 1        450     0       0
ANGLO AMERICAN
  PLC ADR        COMMON STOCK 03485P102     109        5331     SH                           X        1       5331     0       0
ANGLOGOLD
  ASHANTI SPON
  ADR            COMMON STOCK 035128206       5         110     SH                  X                 1        110     0       0
ARLINGTON
  TANKERS LTD    COMMON STOCK G04899103      68        3000     SH                  X                 1       3000     0       0
ASTRAZENECA
  GROUP PLC
  SPONSORE       COMMON STOCK 046353108     221        3700     SH                  X                 1       3700     0       0
ASTRAZENECA
  GROUP PLC
  SPONSORE       COMMON STOCK 046353108      39         646     SH                           X        1        646     0       0
AU OPTRONICS
  CORP           COMMON STOCK 002255107      11         801     SH                  X                 1        801     0       0
AXA SPONSORED
  ADR            COMMON STOCK 054536107       8         236     SH                           X        1        236     0       0
BALLARD PWR
  SYS INC        COMMON STOCK 05858H104       2         300     SH                  X                 1        300     0       0
BANK OF IRELAND
  SPONSORED ADR  COMMON STOCK 46267Q103       7         100     SH                  X                 1        100     0       0
BANK OF IRELAND
  SPONSORED ADR  COMMON STOCK 46267Q103     180        2500     SH                           X        1       2500     0       0
BARRICK GOLD
  CORP           COMMON STOCK 067901108      29         974     SH                  X                 1        974     0       0
BARRICK GOLD
  CORP           COMMON STOCK 067901108     161        5450     SH                           X        1       5350     0     100
BAYER AG
  SPONSORED ADR  COMMON STOCK 072730302      46        1000     SH                           X        1       1000     0       0
BEMA GOLD CORP   COMMON STOCK 08135F107      55       10900     SH                  X                 1       9900     0    1000
BHP BILLITON LTD
  SPONSORED ADR  COMMON STOCK 088606108      45        1050     SH                  X                 1       1050     0       0
BHP BILLITON LTD
  SPONSORED ADR  COMMON STOCK 088606108     152        3532     SH                           X        1       2500     0    1032
BIOTECH HOLDRS
  TRUST          COMMON STOCK 09067D201      28         160     SH                  X                 1        160     0       0
BP PLC
  SPONSORED ADR  COMMON STOCK 055622104   19745      283654     SH                  X                 1     282670     0     984
BP PLC
  SPONSORED ADR  COMMON STOCK 055622104   15342      220393     SH                           X        1     201185     0   19208
BT GROUP
  PLC-SPON ADR   COMMON STOCK 05577E101      11         250     SH                           X        1        250     0       0
CADBURY
  SCHWEPPES PLC
  SPONS AD       COMMON STOCK 127209302       4         100     SH                           X        1        100     0       0
CAMECO
  CORPORATION    COMMON STOCK 13321L108      28         700     SH                  X                 1        700     0       0
CANADIAN
  NATIONAL
  RAILWAY COMP   COMMON STOCK 136375102     125        2850     SH                  X                 1       2850     0       0
CANON INC SPONS
  ADR            COMMON STOCK 138006309      15         200     SH                           X        1        200     0       0
CARDIOME
  PHARMA CORP    COMMON STOCK 14159U202      56        6300     SH                           X        1       6300     0       0
CHICAGO
  BRIDGE & IRON
  CO N V C       COMMON STOCK 167250109     874       36171     SH                  X                 1      34713     0    1458
CHICAGO
  BRIDGE & IRON
  CO N V C       COMMON STOCK 167250109      53        2175     SH                           X        1        175     0    2000
CHINA MOBILE
  LTD SPON ADR   COMMON STOCK 16941M109       9         300     SH                           X        1        300     0       0
CHINA YUCHAI
  INTERNATIONAL
  LIM            COMMON STOCK G21082105       2         250     SH                  X                 1        250     0       0
CNOOC LTD -ADR   COMMON STOCK 126132109      24         300     SH                           X        1        300     0       0
COMPANHIA VALE
  DO RIO
  DOCE-ADR       COMMON STOCK 204412209     287       11955     SH                  X                 1      11955     0       0
COOPER
  INDUSTRIES LTD
  CL A           COMMON STOCK G24182100     228        2449     SH                  X                 1       2449     0       0
COOPER
  INDUSTRIES LTD
  CL A           COMMON STOCK G24182100     225        2420     SH                           X        1       2420     0       0


                                   31 of 52






                                                      SEC USE  ------------------------------------------------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                                                    INVESTMENT                      VOTING
                                                             COLUMN 5               AUTHORITY                      AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                                                      SHARES
                     COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
     COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
  --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
DAIMLER
  CHRYSLER AG      COMMON STOCK D1668R123      24        488      SH                  X                 1        488   0       0
DAIMLER
  CHRYSLER AG      COMMON STOCK D1668R123      94       1903      SH                           X        1       1053   0     850
DELHAIZE GROUP
  SPONSORED ADR    COMMON STOCK 29759W101      18        260      SH                  X                 1        260   0       0
DEUTSCHE
  TELEKOM AG
  SPONSORED        COMMON STOCK 251566105       6        376      SH                           X        1        376   0       0
DIAGEO PLC
  SPONSORED ADR    COMMON STOCK 25243Q205     204       3019      SH                  X                 1       3019   0       0
DR REDDYS LABS
  LTD ADR          COMMON STOCK 256135203      28       1000      SH                  X                 1       1000   0       0
ELAN CORP PLC
  SPONS ADR        COMMON STOCK 284131208       1         75      SH                           X        1         75   0       0
ENCANA CORP        COMMON STOCK 292505104     190       3600      SH                           X        1       3600   0       0
ENDESA S A
  SPONSORED ADR    COMMON STOCK 29258N107      86       2668      SH                  X                 1       2668   0       0
ENDESA S A
  SPONSORED ADR    COMMON STOCK 29258N107      26        800      SH                           X        1        800   0       0
ENERPLUS
  RESOURCES
  FUND             COMMON STOCK 29274D604       6        100      SH                  X                 1        100   0       0
ENERPLUS
  RESOURCES
  FUND             COMMON STOCK 29274D604      84       1500      SH                           X        1       1500   0       0
EVEREST RE GROUP
  LTD COM          COMMON STOCK G3223R108       4         50      SH                  X                 1         50   0       0
FALCONBRIDGE
  LTD              COMMON STOCK 306104100     106       2000      SH                  X                 1       2000   0       0
FALCONBRIDGE
  LTD              COMMON STOCK 306104100      32        600      SH                           X        1        600   0       0
FLEXTRONICS INTL
  LTD              COMMON STOCK Y2573F102      15       1444      SH                  X                 1       1444   0       0
FLEXTRONICS INTL
  LTD              COMMON STOCK Y2573F102      46       4288      SH                           X        1       4288   0       0
FORDING
  CANADIAN COAL
  TRUST            COMMON STOCK 345425102    3730     117652      SH                  X                 1     115127   0    2525
FORDING
  CANADIAN COAL
  TRUST            COMMON STOCK 345425102    1293      40799      SH                           X        1      33144   0    7655
FOSTER WHEELER
  LTD              COMMON STOCK G36535139    2752      63712      SH                  X                 1      61614   0    2098
FOSTER WHEELER
  LTD              COMMON STOCK G36535139     207       4800      SH                           X        1       3160   0    1640
FRONTLINE LTD      COMMON STOCK G3682E127      42       1100      SH                  X                 1       1100   0       0
GALLAHER GROUP
  PLC SPON ADR     COMMON STOCK 363595109     244       3905      SH                  X                 1       3905   0       0
GALLAHER GROUP
  PLC SPON ADR     COMMON STOCK 363595109     145       2322      SH                           X        1       2214   0     108
GLAXOSMITHKLINE
  PLC ADR          COMMON STOCK 37733W105    1320      23656      SH                  X                 1      23656   0       0
GLAXOSMITHKLINE
  PLC ADR          COMMON STOCK 37733W105    1543      27659      SH                           X        1      20959   0    6700
GOLD FIELDS
  LIMITED ADR      COMMON STOCK 38059T106       6        250      SH                  X                 1        250   0       0
GOLDCORP INC       COMMON STOCK 380956409      30       1000      SH                  X                 1       1000   0       0
GROUPE DANONE
  SPONS ADR        COMMON STOCK 399449107      27       1000      SH                           X        1       1000   0       0
HARMONY GOLD
  MINING SPON
  ADR              COMMON STOCK 413216300      21       1275      SH                  X                 1       1275   0       0
HSBC HOLDINGS
  PLC SPON ADR     COMMON STOCK 404280406     116       1318      SH                  X                 1       1318   0       0
HSBC HOLDINGS
  PLC SPON ADR     COMMON STOCK 404280406     105       1190      SH                           X        1       1190   0       0
HUANENG POWER
  INTL-SPONS ADR   COMMON STOCK 443304100      69       2620      SH                           X        1       2620   0       0
ICICI BANK
  LIMITED
  SPONSORED A      COMMON STOCK 45104G104       7        300      SH                  X                 1        300   0       0
ING GROEP NV
  SPONSORED ADR    COMMON STOCK 456837103      22        550      SH                           X        1        550   0       0
INGERSOLL-RAND
  COMPANY LTD-A    COMMON STOCK G4776G101     205       4800      SH                  X                 1       4800   0       0
INGERSOLL-RAND
  COMPANY LTD-A    COMMON STOCK G4776G101     494      11550      SH                           X        1      11550   0       0
KINROSS GOLD
  CORPORATION      COMMON STOCK 496902404      21       1969      SH                  X                 1       1969   0       0
KNIGHTSBRIDGE
  TANKERS LTD      COMMON STOCK G5299G106      13        500      SH                  X                 1        500   0       0
KONINKLIJKE
  PHILIPS ELEC N V
  N                COMMON STOCK 500472303      14        450      SH                  X                 1        450   0       0
KONINKLIJKE
  PHILIPS ELEC N V
  N                COMMON STOCK 500472303      16        500      SH                           X        1        500   0       0
LAN AIRLINES SA
  SPON ADR         COMMON STOCK 501723100      72       2210      SH                  X                 1       2000   0     210
MAGNA
  ENTERTAINMENT
  CORP CL A        COMMON STOCK 559211107       1        200      SH                  X                 1        200   0       0
MAGNA INTL INC
  CL A             COMMON STOCK 559222401      43        600      SH                  X                 1        600   0       0
MAGNA INTL INC
  CL A             COMMON STOCK 559222401      11        150      SH                           X        1        150   0       0
MANULIFE
  FINANCIAL CORP   COMMON STOCK 56501R106    1035      32582      SH                  X                 1      32582   0       0
MANULIFE
  FINANCIAL CORP   COMMON STOCK 56501R106      31        986      SH                           X        1        986   0       0
MARVEL
  TECHNOLOGY
  GROUP LTD        COMMON STOCK G5876H105       1         30      SH                  X                 1         30   0       0
MATSUSHITA ELEC
  IND SPON ADR     COMMON STOCK 576879209      11        500      SH                  X                 1        500   0       0
MAX RE CAPITAL
  LIMITED          COMMON STOCK G6052F103       4        165      SH                  X                 1        165   0       0
MITTAL STEEL
  COMPANY NV-CL
  A N              COMMON STOCK 60684P101       3        100      SH                  X                 1        100   0       0
NABORS
  INDUSTRIES LTD   COMMON STOCK G6359F103    6667     197295      SH                  X                 1     194205   0    3090
NABORS
  INDUSTRIES LTD   COMMON STOCK G6359F103    1209      35775      SH                           X        1      34475   0    1300
NAM TAI
  ELECTRONICS
  INCORPORAT       COMMON STOCK 629865205      11        500      SH                           X        1          0   0     500
NATIONAL
  AUSTRALIA BK
  LTD              COMMON STOCK 632525408      65        500      SH                  X                 1        500   0       0
NISSAN MTR LTD
  SPONSORED ADR    COMMON STOCK 654744408      22       1000      SH                  X                 1       1000   0       0
NOBLE
  CORPORATION      COMMON STOCK G65422100     157       2115      SH                  X                 1       2115   0       0
NOKIA CORP
  SPONSORED ADR    COMMON STOCK 654902204    1131      55832      SH                  X                 1      55832   0       0
NOKIA CORP
  SPONSORED ADR    COMMON STOCK 654902204     335      16531      SH                           X        1      15731   0     800
NORTEL
  NETWORKS CORP    COMMON STOCK 656568102       3       1425      SH                  X                 1       1425   0       0
NORTEL
  NETWORKS CORP    COMMON STOCK 656568102       2        789      SH                           X        1        789   0       0
NOVARTIS AG ADR    COMMON STOCK 66987V109    5192      96283      SH                  X                 1      93362   0    2921
NOVARTIS AG ADR    COMMON STOCK 66987V109     798      14803      SH                           X        1      12108   0    2695
NOVELIS INC        COMMON STOCK 67000X106       6        270      SH                           X        1        270   0       0
ON TRACK
  INNOVATIONS
  LTD              COMMON STOCK M8791A109      19       1600      SH                  X                 1       1600   0       0
OPTIMAL GROUP
  INC CL A         COMMON STOCK 68388R208      72       5300      SH                  X                 1       4800   0     500
ORBOTECH LTD       COMMON STOCK M75253100      71       3100      SH                  X                 1       2800   0     300


                                   32 of 52






                                                         SEC USE  ----------------------------------------------
                                                                                        COLUMN 6
                                                                                       INVESTMENT
                                                                COLUMN 5               AUTHORITY
                                                        ------------------------ ----------------------
                                                         SHARES
                        COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
      COLUMN 1          TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
   NAME OF ISSUER        CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
   --------------     ------------ --------- ---------- --------- --------- ---- ---- -------- -------- --------
                                                                          
PARTNERRE LTD         COMMON STOCK G6852T105      72       1125      SH                           X        1
PETRO-CANADA          COMMON STOCK 71644E102      76       1600      SH                           X        1
PETROCHINA CO LTD
  ADR                 COMMON STOCK 71646E100      11        100      SH                           X        1
PETROFUND ENERGY
  TRUST               COMMON STOCK 71648W108      40       1600      SH                           X        1
PRIMEWEST ENERGY
  TRUST               COMMON STOCK 741930309      18        600      SH                           X        1
PROVIDENT ENERGY
  TRUST UNITS         COMMON STOCK 74386K104      49       4000      SH                  X                 1
PROVIDENT ENERGY
  TRUST UNITS         COMMON STOCK 74386K104      21       1700      SH                           X        1
RADA ELECTRONIC
  INDUSTRIES LTD      COMMON STOCK M81863108       0        600      SH                  X                 1
REPSOL YPF SA SPON
  ADR                 COMMON STOCK 76026T205      35       1250      SH                  X                 1
REUTERS GROUP PLC
  SPONS ADR           COMMON STOCK 76132M102      31        719      SH                  X                 1
ROYAL BK CANADA       COMMON STOCK 780087102      41       1000      SH                           X        1
ROYAL DUTCH SHELL
  PLC-ADR A           COMMON STOCK 780259206    3993      59610      SH                  X                 1
ROYAL DUTCH SHELL
  PLC-ADR A           COMMON STOCK 780259206    3718      55512      SH                           X        1
ROYAL DUTCH SHELL
  PLC-ADR B           COMMON STOCK 780259107      12        172      SH                  X                 1
SANOFI-AVENTIS ADR    COMMON STOCK 80105N105      59       1217      SH                  X                 1
SANOFI-AVENTIS ADR    COMMON STOCK 80105N105      68       1400      SH                           X        1
SAP AG SPONS ADR      COMMON STOCK 803054204     427       8125      SH                  X                 1
SAP AG SPONS ADR      COMMON STOCK 803054204      63       1200      SH                           X        1
SASOL LTD SPONS-ADR   COMMON STOCK 803866300      39       1000      SH                           X        1
SCHLUMBERGER LTD      COMMON STOCK 806857108   12735     195595      SH                  X                 1
SCHLUMBERGER LTD      COMMON STOCK 806857108    5338      81986      SH                           X        1
SCOTTISH POWER PLC
  ADR                 COMMON STOCK 81013T804       4         92      SH                           X        1
SEAGATE TECHNOLOGY    COMMON STOCK G7945J104    3147     138980      SH                  X                 1
SEAGATE TECHNOLOGY    COMMON STOCK G7945J104     160       7054      SH                           X        1
SEASPAN CORP          COMMON STOCK Y75638109     115       5500      SH                           X        1
SHIP FINANCE INTL LTD COMMON STOCK G81075106       2         95      SH                  X                 1
SILICON MOTION
  TECHNOLOGY CORP     COMMON STOCK 82706C108     106       7375      SH                  X                 1
SONY CORP--
  SPONSORED ADR       COMMON STOCK 835699307      53       1200      SH                           X        1
STEINER LEISURE
  LIMITED ORD         COMMON STOCK P8744Y102      74       1875      SH                  X                 1
STMICROELECTRONICS
  N V                 COMMON STOCK 861012102      13        800      SH                  X                 1
STORA ENSO OYJ
  SPONSORED ADR       COMMON STOCK 86210M106      21       1500      SH                           X        1
SUN LIFE FINL INC     COMMON STOCK 866796105     129       3237      SH                  X                 1
SUNCOR ENERGY INC     COMMON STOCK 867229106      28        350      SH                  X                 1
SUNCOR ENERGY INC     COMMON STOCK 867229106      24        300      SH                           X        1
SYNERON MEDICAL LTD   COMMON STOCK M87245102     110       5250      SH                  X                 1
TAIWAN
  SEMICONDUCTOR
  SPON ADR            COMMON STOCK 874039100     108      11799      SH                  X                 1
TAIWAN
  SEMICONDUCTOR
  SPON ADR            COMMON STOCK 874039100      34       3696      SH                           X        1
TALISMAN ENERGY INC   COMMON STOCK 87425E103      53       3030      SH                  X                 1
TALISMAN ENERGY INC   COMMON STOCK 87425E103       4        210      SH                           X        1
TD BANKNORTH INC      COMMON STOCK 87235A101      13        441      SH                  X                 1
TD BANKNORTH INC      COMMON STOCK 87235A101     101       3440      SH                           X        1
TELECOM NEW
  ZEALAND SPON ADR    COMMON STOCK 879278208       2        100      SH                  X                 1
TELEFONAKTIEBOLAGET
  LM ERICSSO          COMMON STOCK 294821608      14        430      SH                  X                 1
TELEFONAKTIEBOLAGET
  LM ERICSSO          COMMON STOCK 294821608      48       1460      SH                           X        1
TELEFONICA S A
  SPONSORED ADR       COMMON STOCK 879382208      87       1750      SH                  X                 1
TELEFONOS DE MEXICO
  SP ADR A            COMMON STOCK 879403707      91       4396      SH                  X                 1
TELEFONOS DE MEXICO
  SP ADR L            COMMON STOCK 879403780     140       6730      SH                  X                 1
TELEFONOS DE MEXICO
  SP ADR L            COMMON STOCK 879403780      62       3000      SH                           X        1
TEVA
  PHARMACEUTICAL
  SPONS ADR           COMMON STOCK 881624209     439      13894      SH                  X                 1
TEVA
  PHARMACEUTICAL
  SPONS ADR           COMMON STOCK 881624209     107       3400      SH                           X        1
TORONTO-DOMINION
  BANK                COMMON STOCK 891160509      11        211      SH                  X                 1
TORONTO-DOMINION
  BANK                COMMON STOCK 891160509      72       1410      SH                           X        1
TOTAL SA SPONSORED
  ADR                 COMMON STOCK 89151E109       2         34      SH                  X                 1
TOYOTA MOTOR CORP
  SPON ADR            COMMON STOCK 892331307      29        275      SH                           X        1
TRANSCANADA CORP      COMMON STOCK 89353D107       9        300      SH                           X        1
TYCO INTERNATIONAL
  LTD                 COMMON STOCK 902124106     658      23931      SH                  X                 1
TYCO INTERNATIONAL
  LTD                 COMMON STOCK 902124106    2645      96178      SH                           X        1
UBS AG                COMMON STOCK H8920M855     193       1761      SH                  X                 1
UNILEVER NV NY
  SHARES              COMMON STOCK 904784709     396      17571      SH                  X                 1
UNILEVER NV NY
  SHARES              COMMON STOCK 904784709     281      12472      SH                           X        1
UNILEVER PLC
  SPONSORED ADR       COMMON STOCK 904767704       4        160      SH                  X                 1
UNILEVER PLC
  SPONSORED ADR       COMMON STOCK 904767704      41       1800      SH                           X        1
VIDESH SANCHAR
  NIGAM LTD ADR       COMMON STOCK 92659G600       9        500      SH                           X        1
VODAFONE GROUP PLC
  SPONSORED A         COMMON STOCK 92857W100    1021      47939      SH                  X                 1
VODAFONE GROUP PLC
  SPONSORED A         COMMON STOCK 92857W100     604      28365      SH                           X        1
VOLVO AB SPONS ADR B  COMMON STOCK 928856400      29        600      SH                           X        1
WEATHERFORD INTL
  LTD BERMUDA         COMMON STOCK G95089101    2206      44448      SH                  X                 1




                      --------------------
                           COLUMN 8
                            VOTING
                           AUTHORITY
                      -------------------


      COLUMN 1
   NAME OF ISSUER      SOLE  SHARED OTHER
   --------------     ------ ------ -----
                           
PARTNERRE LTD           1125   0        0
PETRO-CANADA            1600   0        0
PETROCHINA CO LTD
  ADR                    100   0        0
PETROFUND ENERGY
  TRUST                 1600   0        0
PRIMEWEST ENERGY
  TRUST                  600   0        0
PROVIDENT ENERGY
  TRUST UNITS           4000   0        0
PROVIDENT ENERGY
  TRUST UNITS           1700   0        0
RADA ELECTRONIC
  INDUSTRIES LTD         600   0        0
REPSOL YPF SA SPON
  ADR                   1250   0        0
REUTERS GROUP PLC
  SPONS ADR              719   0        0
ROYAL BK CANADA         1000   0        0
ROYAL DUTCH SHELL
  PLC-ADR A            59210   0      400
ROYAL DUTCH SHELL
  PLC-ADR A            51512   0     4000
ROYAL DUTCH SHELL
  PLC-ADR B              172   0        0
SANOFI-AVENTIS ADR      1217   0        0
SANOFI-AVENTIS ADR      1400   0        0
SAP AG SPONS ADR        8125   0        0
SAP AG SPONS ADR        1200   0        0
SASOL LTD SPONS-ADR     1000   0        0
SCHLUMBERGER LTD      195004   0      591
SCHLUMBERGER LTD       78131   0     3855
SCOTTISH POWER PLC
  ADR                     92   0        0
SEAGATE TECHNOLOGY    133628   0     5352
SEAGATE TECHNOLOGY      3754   0     3300
SEASPAN CORP            5500   0        0
SHIP FINANCE INTL LTD     95   0        0
SILICON MOTION
  TECHNOLOGY CORP       6700   0      675
SONY CORP--
  SPONSORED ADR         1200   0        0
STEINER LEISURE
  LIMITED ORD           1700   0      175
STMICROELECTRONICS
  N V                    800   0        0
STORA ENSO OYJ
  SPONSORED ADR         1500   0        0
SUN LIFE FINL INC       3237   0        0
SUNCOR ENERGY INC        350   0        0
SUNCOR ENERGY INC        300   0        0
SYNERON MEDICAL LTD     4850   0      400
TAIWAN
  SEMICONDUCTOR
  SPON ADR             10752   0     1047
TAIWAN
  SEMICONDUCTOR
  SPON ADR              2464   0     1232
TALISMAN ENERGY INC     3030   0        0
TALISMAN ENERGY INC        0   0      210
TD BANKNORTH INC         441   0        0
TD BANKNORTH INC        3440   0        0
TELECOM NEW
  ZEALAND SPON ADR       100   0        0
TELEFONAKTIEBOLAGET
  LM ERICSSO             430   0        0
TELEFONAKTIEBOLAGET
  LM ERICSSO            1460   0        0
TELEFONICA S A
  SPONSORED ADR         1750   0        0
TELEFONOS DE MEXICO
  SP ADR A              4396   0        0
TELEFONOS DE MEXICO
  SP ADR L              6730   0        0
TELEFONOS DE MEXICO
  SP ADR L              1000   0     2000
TEVA
  PHARMACEUTICAL
  SPONS ADR            13894   0        0
TEVA
  PHARMACEUTICAL
  SPONS ADR             3400   0        0
TORONTO-DOMINION
  BANK                   211   0        0
TORONTO-DOMINION
  BANK                  1410   0        0
TOTAL SA SPONSORED
  ADR                     34   0        0
TOYOTA MOTOR CORP
  SPON ADR               275   0        0
TRANSCANADA CORP         300   0        0
TYCO INTERNATIONAL
  LTD                  10813   0    13118
TYCO INTERNATIONAL
  LTD                  92964   0     3214
UBS AG                  1761   0        0
UNILEVER NV NY
  SHARES               17571   0        0
UNILEVER NV NY
  SHARES               12472   0        0
UNILEVER PLC
  SPONSORED ADR          160   0        0
UNILEVER PLC
  SPONSORED ADR         1800   0        0
VIDESH SANCHAR
  NIGAM LTD ADR          500   0        0
VODAFONE GROUP PLC
  SPONSORED A          47939   0        0
VODAFONE GROUP PLC
  SPONSORED A          27180   0     1185
VOLVO AB SPONS ADR B       0   0      600
WEATHERFORD INTL
  LTD BERMUDA          44148   0      300


                                   33 of 52






                                                   SEC USE  ----------------------------------------------------------------
                                                                                  COLUMN 6                     COLUMN 8
                                                                                 INVESTMENT                     VOTING
                                                          COLUMN 5               AUTHORITY                     AUTHORITY
                                                  ------------------------ ----------------------          -----------------
                                                   SHARES
                  COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1       TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                
WEATHERFORD
  INTL LTD
  BERMUDA       COMMON STOCK G95089101    151        3035      SH                           X        1     3035     0     0
WHITE
  MOUNTAINS
  INSURANCE
  GROU          COMMON STOCK G9618E107     49         100      SH                  X                 1      100     0     0
WPP GROUP PLC   COMMON STOCK 929309409     10         166      SH                           X        1      166     0     0
XL CAPITAL LTD
  CL A          COMMON STOCK G98255105      1          22      SH                  X                 1       22     0     0
XL CAPITAL LTD
  CL A          COMMON STOCK G98255105     28         460      SH                           X        1      460     0     0
MIRANT
  CORP-W/
  I-CW11 1      COMMON STOCK 60467R118      1          54      SH                  X                 1       54     0     0
MIRANT
  CORP-W/
  I-CW11 1      COMMON STOCK 60467R118      1          96      SH                           X        1       54     0    42
NORTHWESTERN
  CORP
  WARRANTS 11   COMMON STOCK 668074115      9         898      SH                  X                 1      898     0     0
AMERICAN
  FINANCIAL
  REALTY TRUS   COMMON STOCK 02607P305     39        4000      SH                  X                 1     N.A.  N.A.  N.A.
ANNALY MTGE
  MANAGEMENT
  INC (RE       COMMON STOCK 035710409      6         500      SH                           X        1     N.A.  N.A.  N.A.
ANTHRACITE
  CAPITAL INC
  COM           COMMON STOCK 037023108     25        2051      SH                  X                 1     N.A.  N.A.  N.A.
APARTMENT
  INVT & MGMT
  CL A          COMMON STOCK 03748R101      9         200      SH                           X        1     N.A.  N.A.  N.A.
ARCHSTONE-
  SMITH TRUST
  (REIT)        COMMON STOCK 039583109    206        4056      SH                  X                 1     N.A.  N.A.  N.A.
ARCHSTONE-
  SMITH TRUST
  (REIT)        COMMON STOCK 039583109    197        3874      SH                           X        1     N.A.  N.A.  N.A.
AVALONBAY
  COMMUNITIES
  INC           COMMON STOCK 053484101     45         405      SH                  X                 1     N.A.  N.A.  N.A.
BOSTON
  PROPERTIES
  INC (REIT)    COMMON STOCK 101121101    583        6451      SH                  X                 1     N.A.  N.A.  N.A.
BOSTON
  PROPERTIES
  INC (REIT)    COMMON STOCK 101121101    365        4040      SH                           X        1     N.A.  N.A.  N.A.
BRANDYWINE
  REALTY
  TRUST (REIT)  COMMON STOCK 105368203     68        2100      SH                  X                 1     N.A.  N.A.  N.A.
CAMDEN
  PROPERTY
  TRUST (REIT)  COMMON STOCK 133131102     74        1000      SH                  X                 1     N.A.  N.A.  N.A.
CENTRACORE
  PROPERTIES
  TRUST         COMMON STOCK 15235H107     50        2000      SH                           X        1     N.A.  N.A.  N.A.
CORP OFFICE
  PROPERTIES
  TR (REI       COMMON STOCK 22002T108     21         500      SH                  X                 1     N.A.  N.A.  N.A.
CORRECTIONS
  CORP OF
  AMERICA       COMMON STOCK 22025Y407     82        1550      SH                  X                 1     N.A.  N.A.  N.A.
CORRECTIONS
  CORP OF
  AMERICA       COMMON STOCK 22025Y407      1          21      SH                           X        1     N.A.  N.A.  N.A.
CROSS TIMBERS
  ROYALTY
  TRUST         COMMON STOCK 22757R109      0           1      SH                  X                 1     N.A.  N.A.  N.A.
DEV
  DIVERSIFIED
  RLTY CORP     COMMON STOCK 251591103    170        3256      SH                  X                 1     N.A.  N.A.  N.A.
DEV
  DIVERSIFIED
  RLTY CORP     COMMON STOCK 251591103     31         600      SH                           X        1     N.A.  N.A.  N.A.
DUKE REALTY
  CORP          COMMON STOCK 264411505     84        2380      SH                  X                 1     N.A.  N.A.  N.A.
DUKE REALTY
  CORP          COMMON STOCK 264411505    120        3400      SH                           X        1     N.A.  N.A.  N.A.
EDUCATION
  REALTY
  TRUST INC REI COMMON STOCK 28140H104     60        3625      SH                           X        1     N.A.  N.A.  N.A.
EQUITY OFFICE
  PROPERTIES
  TR (R         COMMON STOCK 294741103    704       19288      SH                  X                 1     N.A.  N.A.  N.A.
EQUITY OFFICE
  PROPERTIES
  TR (R         COMMON STOCK 294741103    876       24000      SH                           X        1     N.A.  N.A.  N.A.
EQUITY ONE
  INCORPORATED  COMMON STOCK 294752100     19         900      SH                  X                 1     N.A.  N.A.  N.A.
EQUITY
  RESIDENTIAL
  (REIT)        COMMON STOCK 29476L107     96        2150      SH                  X                 1     N.A.  N.A.  N.A.
EQUITY
  RESIDENTIAL
  (REIT)        COMMON STOCK 29476L107    108        2412      SH                           X        1     N.A.  N.A.  N.A.
FEDERAL
  REALTY INV
  TR (REIT)     COMMON STOCK 313747206    168        2400      SH                  X                 1     N.A.  N.A.  N.A.
FIRST
  INDUSTRIAL
  REALTY TR
  (RE           COMMON STOCK 32054K103     10         275      SH                  X                 1     N.A.  N.A.  N.A.
GENERAL
  GROWTH
  PPTYS INC     COMMON STOCK 370021107    135        3000      SH                  X                 1     N.A.  N.A.  N.A.
GLADSTONE
  COMMERCIAL
  CORP          COMMON STOCK 376536108     75        4000      SH                  X                 1     N.A.  N.A.  N.A.
HEALTH CARE
  PROPERTY
  (REIT)        COMMON STOCK 421915109     50        1858      SH                  X                 1     N.A.  N.A.  N.A.
HEALTH CARE
  REIT INC      COMMON STOCK 42217K106     35        1000      SH                           X        1     N.A.  N.A.  N.A.
HEALTHCARE
  REALTY
  TRUST INC (R  COMMON STOCK 421946104     55        1730      SH                  X                 1     N.A.  N.A.  N.A.
HEALTHCARE
  REALTY
  TRUST INC (R  COMMON STOCK 421946104      6         200      SH                           X        1     N.A.  N.A.  N.A.
HERSHA
  HOSPITALITY
  TRUST         COMMON STOCK 427825104     17        1800      SH                  X                 1     N.A.  N.A.  N.A.
HIGHWOODS
  PROPERTIES
  (REIT)        COMMON STOCK 431284108     18         500      SH                           X        1     N.A.  N.A.  N.A.
HOME
  PROPERTIES
  INC (REIT)    COMMON STOCK 437306103    100        1800      SH                  X                 1     N.A.  N.A.  N.A.
HOME
  PROPERTIES
  INC (REIT)    COMMON STOCK 437306103    527        9488      SH                           X        1     N.A.  N.A.  N.A.
HOSPITALITY
  PROPERTIES
  TRUST (       COMMON STOCK 44106M102     13         300      SH                           X        1     N.A.  N.A.  N.A.
HOST HOTELS &
  RESORTS INC   COMMON STOCK 44107P104      6         272      SH                  X                 1     N.A.  N.A.  N.A.
HOST HOTELS &
  RESORTS INC   COMMON STOCK 44107P104      7         303      SH                           X        1     N.A.  N.A.  N.A.
HRPT
  PROPERTIES
  TRUST (REIT)  COMMON STOCK 40426W101      2         148      SH                  X                 1     N.A.  N.A.  N.A.
HRPT
  PROPERTIES
  TRUST (REIT)  COMMON STOCK 40426W101     14        1200      SH                           X        1     N.A.  N.A.  N.A.
IMPAC
  MORTGAGE
  HOLDINGS
  INC(RE        COMMON STOCK 45254P102      2         200      SH                           X        1     N.A.  N.A.  N.A.
ISTAR FINL INC
  COM           COMMON STOCK 45031U101     94        2500      SH                  X                 1     N.A.  N.A.  N.A.
KIMCO REALTY
  CORP (REIT)   COMMON STOCK 49446R109     31         860      SH                           X        1     N.A.  N.A.  N.A.
LASALLE HOTEL
  PROP REIT     COMMON STOCK 517942108      5         100      SH                  X                 1     N.A.  N.A.  N.A.
LEXINGTON
  CORP
  PROPERTIES
  TR (          COMMON STOCK 529043101     27        1257      SH                           X        1     N.A.  N.A.  N.A.
MACK CALI
  RLTY CORP     COMMON STOCK 554489104      9         200      SH                  X                 1     N.A.  N.A.  N.A.
MILLS CORP
  COM           COMMON STOCK 601148109     20         740      SH                  X                 1     N.A.  N.A.  N.A.
MORTGAGEIT
  HOLDINGS INC  COMMON STOCK 61915Q108     60        5000      SH                           X        1     N.A.  N.A.  N.A.
NATIONAL
  RETAIL
  PROPERTIES
  INC           COMMON STOCK 637417106     14         700      SH                           X        1     N.A.  N.A.  N.A.
NATIONWIDE
  HEALTH
  PROPERTIES (  COMMON STOCK 638620104     34        1500      SH                           X        1     N.A.  N.A.  N.A.
NEW PLAN
  EXCEL
  REALTY TR
  (REIT         COMMON STOCK 648053106     30        1200      SH                  X                 1     N.A.  N.A.  N.A.
NEW PLAN
  EXCEL
  REALTY TR
  (REIT         COMMON STOCK 648053106    104        4200      SH                           X        1     N.A.  N.A.  N.A.
NOVASTAR
  FINANCIAL
  INCORPORATE   COMMON STOCK 669947400     79        2500      SH                           X        1     N.A.  N.A.  N.A.
OPTEUM INC      COMMON STOCK 68384A100      1         100      SH                  X                 1     N.A.  N.A.  N.A.
PENN ESTATE
  INV TR (REIT) COMMON STOCK 709102107     61        1516      SH                  X                 1     N.A.  N.A.  N.A.
PENN ESTATE
  INV TR (REIT) COMMON STOCK 709102107     12         300      SH                           X        1     N.A.  N.A.  N.A.


                                   34 of 52






                                                        SEC USE  ----------------------------------------------------------------
                                                                                       COLUMN 6                     COLUMN 8
                                                                                      INVESTMENT                     VOTING
                                                               COLUMN 5               AUTHORITY                     AUTHORITY
                                                       ------------------------ ----------------------          -----------------
                                                        SHARES
                     COLUMN 2                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1         TITLE OF     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER       CLASS        CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
 --------------   --------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                     
PLUM CREEK
  TIMBER CO INC   COMMON STOCK    729251108      58       1630      SH                  X                 1     N.A.  N.A.  N.A.
PROLOGIS (REIT)   COMMON STOCK    743410102      27        519      SH                  X                 1     N.A.  N.A.  N.A.
RAIT INVESTMENT
  TRUST           COMMON STOCK    749227104      15        500      SH                           X        1     N.A.  N.A.  N.A.
RECKSON ASSOCS
  RLTY CORP       COMMON STOCK    75621K106      68       1650      SH                  X                 1     N.A.  N.A.  N.A.
SAUL CENTERS
  INCORPORATED    COMMON STOCK    804395101      41       1000      SH                  X                 1     N.A.  N.A.  N.A.
SENIOR HOUSING
  PROPERTIES TR ( COMMON STOCK    81721M109       2        100      SH                           X        1     N.A.  N.A.  N.A.
SHURGARD
  STORAGE
  CENTERS INC C   COMMON STOCK    82567D104      19        300      SH                  X                 1     N.A.  N.A.  N.A.
SIMON PROPERTY
  GRP INC (REIT)  COMMON STOCK    828806109    1672      20160      SH                  X                 1     N.A.  N.A.  N.A.
SIMON PROPERTY
  GRP INC (REIT)  COMMON STOCK    828806109    1286      15500      SH                           X        1     N.A.  N.A.  N.A.
SPIRIT FINANCE
  CORP-REITS      COMMON STOCK    848568309      28       2500      SH                           X        1     N.A.  N.A.  N.A.
THORNBURG MTG
  INC (REIT)      COMMON STOCK    885218107     451      16190      SH                  X                 1     N.A.  N.A.  N.A.
THORNBURG MTG
  INC (REIT)      COMMON STOCK    885218107     131       4700      SH                           X        1     N.A.  N.A.  N.A.
UNITED DOMINION
  REALTY TRUST (  COMMON STOCK    910197102      14        500      SH                  X                 1     N.A.  N.A.  N.A.
UNITED DOMINION
  REALTY TRUST (  COMMON STOCK    910197102     211       7549      SH                           X        1     N.A.  N.A.  N.A.
URSTADT BIDDLE
  PPTYS INC CL A  COMMON STOCK    917286205      49       3000      SH                           X        1     N.A.  N.A.  N.A.
W P CAREY & CO
  LLC             COMMON STOCK    92930Y107       7        263      SH                  X                 1     N.A.  N.A.  N.A.
W P CAREY & CO
  LLC             COMMON STOCK    92930Y107     127       5019      SH                           X        1     N.A.  N.A.  N.A.
WASHINGTON
  REAL ESTATE
  INVT (R         COMMON STOCK    939653101     212       5775      SH                  X                 1     N.A.  N.A.  N.A.
WASHINGTON
  REAL ESTATE
  INVT (R         COMMON STOCK    939653101      22        600      SH                           X        1     N.A.  N.A.  N.A.
WEINGARTEN
  REALTY
  INVESTORS (R    COMMON STOCK    948741103      38       1000      SH                  X                 1     N.A.  N.A.  N.A.
WEINGARTEN
  REALTY
  INVESTORS (R    COMMON STOCK    948741103      19        500      SH                           X        1     N.A.  N.A.  N.A.
MFS MUN INCOME
  TR SH BEN INT   OTHER           552738106      13       1700      SH                  X                 1     N.A.  N.A.  N.A.
EQUITY INCOME
  FUND-AT&T
  SHARES          OTHER           294700703      53        600      SH                           X        1     N.A.  N.A.  N.A.
FERRELLGAS
  PARTNERS LP     OTHER           315293100     223      10000      SH                           X        1     N.A.  N.A.  N.A.
ROYAL BANK
  SCOTLAND PFD    PREFERRED
  6.4% S          STOCK           780097796      48       2000      SH                  X                 1     N.A.  N.A.  N.A.
ROYAL BANK
  SCOTLAND PFD    PREFERRED
  7.875%          STOCK           780097820      10        400      SH                           X        1     N.A.  N.A.  N.A.
ROYAL BANK
  SCOTLAND PLC    PREFERRED
  ADR PF          STOCK           780097705      13        500      SH                           X        1     N.A.  N.A.  N.A.
ROYAL BK
  SCOTLAND PFD    PREFERRED
  7.40% SE        STOCK           780097887      25       1000      SH                           X        1     N.A.  N.A.  N.A.
FORD MOTOR CAP    PREFERRED
  TR II PFD CONV  STOCK           345395206       4        150      SH                           X        1     N.A.  N.A.  N.A.
GLENBOROUGH
  REALTY TR 7.75% PREFERRED
  CO              STOCK           37803P204      19        752      SH                  X                 1     N.A.  N.A.  N.A.
SCHERING-
  PLOUGH CV PFD   PREFERRED
  6.0% 09         STOCK           806605606      39        775      SH                           X        1     N.A.  N.A.  N.A.
TEXTRON INC PFD   PREFERRED
  CV $1.40 SER B  STOCK           883203309      65        200      SH                  X                 1     N.A.  N.A.  N.A.
TRUSTSTREET
  PPTYS PFD CONV  PREFERRED
  7.7             STOCK           898404207       2         90      SH                  X                 1     N.A.  N.A.  N.A.
ABERDEEN
  AUSTRALIA       PREFERRED
  EQUITY FUND     STOCK           003011103      13       1000      SH                           X        1     N.A.  N.A.  N.A.
CHINA FUND INC    PREFERRED
                  STOCK           169373107      11        375      SH                  X                 1     N.A.  N.A.  N.A.
ING GLOBAL
  EQUITY DIV &    PREFERRED
  PREM O          STOCK           45684E107      22       1150      SH                           X        1     N.A.  N.A.  N.A.
ISHARES MSCI
  CANADA INDEX
  FD              PREFERRED STOCK 464286509       9        365      SH                           X        1     N.A.  N.A.  N.A.
ISHARES S&P
  GLOBAL          PREFERRED
  TELECOMM SE     STOCK           464287275      28        525      SH                  X                 1     N.A.  N.A.  N.A.
TEMPLETON
  DRAGON FUND     PREFERRED
  INC             STOCK           88018T101       2        100      SH                  X                 1     N.A.  N.A.  N.A.
ASA BERMUDA       PREFERRED
  LTD             STOCK           G3156P103      64       1000      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES MSCI      PREFERRED
  EAFE INDEX FD   STOCK           464287465     611       9340      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES MSCI      PREFERRED
  EAFE INDEX FD   STOCK           464287465    1123      17180      SH                           X        1     N.A.  N.A.  N.A.
NICHOLAS-
  APPLEGATE       PREFERRED
  INTL & PREM     STOCK           65370C108      15        600      SH                           X        1     N.A.  N.A.  N.A.
APOLLO
  INVESTMENT      PREFERRED
  CORPORATION     STOCK           03761U106      28       1500      SH                  X                 1     N.A.  N.A.  N.A.
CALAMOS CONV
  OPPPRTUNITIES & PREFERRED
  I               STOCK           128117108      19       1000      SH                  X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK
  PATRIOT         PREFERRED
  GLOBAL DI       STOCK           41013G103      12       1000      SH                           X        1     N.A.  N.A.  N.A.
LAZARD WORLD
  DIVIDEND &      PREFERRED
  INCOME          STOCK           521076109       9        460      SH                           X        1     N.A.  N.A.  N.A.
NICHOLAS-
  APPLEGATE       PREFERRED
  CONV & INC      STOCK           65370G109      15       1000      SH                  X                 1     N.A.  N.A.  N.A.
PUTNAM HIGH INC   PREFERRED
  SECURITIES FD   STOCK           746779107       4        500      SH                  X                 1     N.A.  N.A.  N.A.
AIM SELECT REAL   PREFERRED
  ESTATE INCOME   STOCK           00888R107      40       2600      SH                  X                 1     N.A.  N.A.  N.A.
BLACKROCK
  DIVIDEND        PREFERRED
  ACHIEVERS T     STOCK           09250N107      87       6750      SH                  X                 1     N.A.  N.A.  N.A.
BLACKROCK
  HEALTH          PREFERRED
  SCIENCES TRUS   STOCK           09250W107     123       5000      SH                           X        1     N.A.  N.A.  N.A.
CALAMOS
  STRATEGIC TOT   PREFERRED
  RET FD          STOCK           128125101       7        500      SH                           X        1     N.A.  N.A.  N.A.
COHEN & STEERS
  ADVANTAGE INC   PREFERRED
  R               STOCK           19247W102      22       1000      SH                           X        1     N.A.  N.A.  N.A.
COHEN & STEERS
  QUALITY INC     PREFERRED
  RLT             STOCK           19247L106      85       4028      SH                  X                 1     N.A.  N.A.  N.A.
COHEN & STEERS    PREFERRED
  SELECT UTILITY  STOCK           19248A109      21       1009      SH                  X                 1     N.A.  N.A.  N.A.
CORNERSTONE
  STRATEGIC       PREFERRED
  VALUE FU        STOCK           21924B104       1        128      SH                  X                 1     N.A.  N.A.  N.A.
DNP SELECT
  INCOME FUND     PREFERRED
  INC             STOCK           23325P104       4        428      SH                  X                 1     N.A.  N.A.  N.A.
DNP SELECT
  INCOME FUND     PREFERRED
  INC             STOCK           23325P104     191      18679      SH                           X        1     N.A.  N.A.  N.A.
EATON VANCE
  TAX-ADVANTAGED  PREFERRED
  DVD             STOCK           27828G107      30       1250      SH                  X                 1     N.A.  N.A.  N.A.
EATON VANCE
  TAX-ADVANTAGED  PREFERRED
  DVD             STOCK           27828G107      93       3900      SH                           X        1     N.A.  N.A.  N.A.
EVERGREEN         PREFERRED
  INCOME ADV FD   STOCK           30023Y105      27       2000      SH                  X                 1     N.A.  N.A.  N.A.
GABELLI EQUITY    PREFERRED
  TRUST           STOCK           362397101      31       3758      SH                  X                 1     N.A.  N.A.  N.A.
GABELLI GLOBAL    PREFERRED
  MULTIMEDIA TR   STOCK           36239Q109       1        135      SH                  X                 1     N.A.  N.A.  N.A.
GABELLI UTILITY   PREFERRED
  TRUST           STOCK           36240A101       4        497      SH                  X                 1     N.A.  N.A.  N.A.
INDIA FUND        PREFERRED
                  STOCK           454089103     186       4020      SH                  X                 1     N.A.  N.A.  N.A.
ING PRIME RATE    PREFERRED
  TR              STOCK           44977W106      14       2000      SH                  X                 1     N.A.  N.A.  N.A.


                                   35 of 52






                                                       SEC USE  ----------------------------------------------------------------
                                                                                      COLUMN 6                     COLUMN 8
                                                                                     INVESTMENT                     VOTING
                                                              COLUMN 5               AUTHORITY                     AUTHORITY
                                                      ------------------------ ----------------------          -----------------
                                                       SHARES
                                            COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        COLUMN 2     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER  TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
 --------------  --------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                    
ISHARES COHEN &
  STEERS RLTY IN PREFERRED STOCK 464287564      42        500      SH                           X        1     N.A.  N.A.  N.A.
ISHARES DJ
  SELECT
  DIVIDEND IND   PREFERRED STOCK 464287168      92       1460      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES DJ
  SELECT
  DIVIDEND IND   PREFERRED STOCK 464287168      16        250      SH                           X        1     N.A.  N.A.  N.A.
ISHARES DJ US
  BASIC
  MATERIALS      PREFERRED STOCK 464287838      35        625      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES DJ US
  TOTAL MARKET   PREFERRED STOCK 464287846      68       1100      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES DOW
  JONES US UTIL
  SECT           PREFERRED STOCK 464287697      30        385      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES
  GOLDMAN
  SACHS TECH
  INX            PREFERRED STOCK 464287549      16        350      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES MSCI
  EMERGING
  MARKETS        PREFERRED STOCK 464287234      77        825      SH                           X        1     N.A.  N.A.  N.A.
ISHARES MSCI
  GERMANY
  INDEX FD       PREFERRED STOCK 464286806      13        560      SH                           X        1     N.A.  N.A.  N.A.
ISHARES RUSSELL
  1000 INDEX FD  PREFERRED STOCK 464287622    3457      50027      SH                           X        1     N.A.  N.A.  N.A.
ISHARES RUSSELL
  2000 GRWTH FD  PREFERRED STOCK 464287648      96       1300      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES RUSSELL
  2000 INDEX FD  PREFERRED STOCK 464287655    1593      22208      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES RUSSELL
  2000 INDEX FD  PREFERRED STOCK 464287655      19        260      SH                           X        1     N.A.  N.A.  N.A.
ISHARES S&P
  EUROPE 350
  INDEX F        PREFERRED STOCK 464287861     183       2000      SH                           X        1     N.A.  N.A.  N.A.
ISHARES S&P
  MIDCAP 400
  BARRA G        PREFERRED STOCK 464287606     369       4810      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  MIDCAP 400
  INDEX F        PREFERRED STOCK 464287507     638       8350      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  MIDCAP
  400/BARRA V    PREFERRED STOCK 464287705     288       3865      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  MIDCAP
  400/BARRA V    PREFERRED STOCK 464287705      60        800      SH                           X        1     N.A.  N.A.  N.A.
ISHARES S&P
  SMALLCAP 600
  BARRA          PREFERRED STOCK 464287887     449       3660      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  SMALLCAP 600
  BARRA          PREFERRED STOCK 464287879     194       2800      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  SMALLCAP 600
  INDEX          PREFERRED STOCK 464287804     740      11910      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  SMALLCAP 600
  INDEX          PREFERRED STOCK 464287804     287       4615      SH                           X        1     N.A.  N.A.  N.A.
ISHARES S&P 500
  INDEX FD       PREFERRED STOCK 464287200    1674      13125      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  500/BARRA
  GRWTH IN       PREFERRED STOCK 464287309     705      12080      SH                  X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK
  PATRIOT PFD
  DIVID          PREFERRED STOCK 41013J107      28       2300      SH                           X        1     N.A.  N.A.  N.A.
MATERIALS
  SELECT SECTOR
  SPDR           PREFERRED STOCK 81369Y100      34       1050      SH                  X                 1     N.A.  N.A.  N.A.
POWERSHARES
  DYN BIOTECH &
  GENO           PREFERRED STOCK 73935X856      49       3000      SH                           X        1     N.A.  N.A.  N.A.
POWERSHARES
  DYNAMIC OIL &
  GAS            PREFERRED STOCK 73935X625      10        500      SH                           X        1     N.A.  N.A.  N.A.
RYDEX RUSSELL
  TOP 50 ETF     PREFERRED STOCK 78355W205     494       5280      SH                           X        1     N.A.  N.A.  N.A.
SALOMON
  BROTHERS
  FUND           PREFERRED STOCK 795477108      45       2894      SH                  X                 1     N.A.  N.A.  N.A.
SEMICONDUCTOR
  HOLDRS TRUST   PREFERRED STOCK 816636203     178       5400      SH                  X                 1     N.A.  N.A.  N.A.
TEMPLETON
  EMERGING
  MKTS FD        PREFERRED STOCK 880191101      16        858      SH                           X        1     N.A.  N.A.  N.A.
TEMPLETON
  EMERGING
  MKTS INC FD    PREFERRED STOCK 880192109      24       2000      SH                           X        1     N.A.  N.A.  N.A.
TRI-CONTINENTAL
  CORP           PREFERRED STOCK 895436103       2        116      SH                           X        1     N.A.  N.A.  N.A.
VANGUARD
  EMERGING
  MKTS VIPER     PREFERRED STOCK 922042858      22        345      SH                           X        1     N.A.  N.A.  N.A.
VANGUARD
  ENERGY VIPERS  PREFERRED STOCK 92204A306      45        550      SH                           X        1     N.A.  N.A.  N.A.
VANGUARD
  MATERIALS
  VIPERS         PREFERRED STOCK 92204A801      16        250      SH                  X                 1     N.A.  N.A.  N.A.
VANGUARD
  TOTAL STOCK
  MARKET VI      PREFERRED STOCK 922908769     352       2790      SH                           X        1     N.A.  N.A.  N.A.
SALOMON BROS
  GLOBAL HIGH
  INC F          PREFERRED STOCK 79550G102      38       3000      SH                  X                 1     N.A.  N.A.  N.A.
APEX MUNICIPAL
  FUND           PREFERRED STOCK 037580107      10       1000      SH                  X                 1     N.A.  N.A.  N.A.
APEX MUNICIPAL
  FUND           PREFERRED STOCK 037580107      21       2027      SH                           X        1     N.A.  N.A.  N.A.
BLACKROCK INSD
  MUNI TERM TR   PREFERRED STOCK 092474105      16       1750      SH                  X                 1     N.A.  N.A.  N.A.
BLACKROCK INSD
  MUNI 2008 TERM PREFERRED STOCK 09247K109      11        750      SH                  X                 1     N.A.  N.A.  N.A.
BLACKROCK MUN
  TARGET TRM TR  PREFERRED STOCK 09247M105      23       2325      SH                  X                 1     N.A.  N.A.  N.A.
BLACKROCK
  MUNICIPAL INC
  TR             PREFERRED STOCK 09248F109      24       1442      SH                  X                 1     N.A.  N.A.  N.A.
BLACKROCK NY
  INS MUNI 2008
  TER            PREFERRED STOCK 09247L107      11        750      SH                  X                 1     N.A.  N.A.  N.A.
DREYFUS
  MUNICIPAL
  INCOME FUND    PREFERRED STOCK 26201R102      62       7200      SH                           X        1     N.A.  N.A.  N.A.
DREYFUS
  STRATEGIC
  MUN BD FD      PREFERRED STOCK 26202F107     245      27602      SH                  X                 1     N.A.  N.A.  N.A.
DREYFUS
  STRATEGIC
  MUN BD FD      PREFERRED STOCK 26202F107     158      17864      SH                           X        1     N.A.  N.A.  N.A.
DWS MUNICIPAL
  INCOME TRUST   PREFERRED STOCK 23338M106      15       1406      SH                           X        1     N.A.  N.A.  N.A.
DWS STRATEGIC
  MUNICIPAL
  INCOME         PREFERRED STOCK 23338T101      18       1500      SH                  X                 1     N.A.  N.A.  N.A.
EATON VANCE
  MUNICIPAL
  INCOME T       PREFERRED STOCK 27826U108      77       5000      SH                           X        1     N.A.  N.A.  N.A.
EATON VANCE PA
  MUNI INC TR    PREFERRED STOCK 27826T101     138      10000      SH                           X        1     N.A.  N.A.  N.A.
MANAGED
  MUNICIPALS
  PORTFOLIO I    PREFERRED STOCK 561662107      11       1016      SH                           X        1     N.A.  N.A.  N.A.
MORGAN STAN
  DEAN QUALITY
  MUN I          PREFERRED STOCK 61745P734      20       1413      SH                           X        1     N.A.  N.A.  N.A.
MORGAN
  STANLEY INSD
  MUNI INCOM     PREFERRED STOCK 61745P791      40       2814      SH                           X        1     N.A.  N.A.  N.A.
MORGAN
  STANLEY MUNI
  INC OPP TR     PREFERRED STOCK 61745P445      18       2000      SH                           X        1     N.A.  N.A.  N.A.
MORGAN
  STANLEY
  QUALITY MUNI
  IN             PREFERRED STOCK 61745P668      23       1708      SH                           X        1     N.A.  N.A.  N.A.
MUNICIPAL HIGH
  INCOME FD INC  PREFERRED STOCK 626214100       8       1050      SH                  X                 1     N.A.  N.A.  N.A.
MUNICIPAL HIGH
  INCOME FD INC  PREFERRED STOCK 626214100      16       2240      SH                           X        1     N.A.  N.A.  N.A.
MUNIENHANCED
  FUND INC       PREFERRED STOCK 626243109      21       2032      SH                           X        1     N.A.  N.A.  N.A.
MUNIHOLDINGS
  NEW JERSEY
  INSD F         PREFERRED STOCK 625936109      44       3050      SH                           X        1     N.A.  N.A.  N.A.
MUNIHOLDINGS
  NY INSURED FD  PREFERRED STOCK 625931100      42       3050      SH                           X        1     N.A.  N.A.  N.A.
MUNIYIELD CALIF
  INSD FUND INC  PREFERRED STOCK 62629L104      41       3050      SH                           X        1     N.A.  N.A.  N.A.
MUNIYIELD FUND
  INC            PREFERRED STOCK 626299101      14       1000      SH                  X                 1     N.A.  N.A.  N.A.
MUNIYIELD FUND
  INC            PREFERRED STOCK 626299101       5        350      SH                           X        1     N.A.  N.A.  N.A.
MUNIYIELD NEW
  YORK INSURED
  FD             PREFERRED STOCK 626301105      21       1601      SH                           X        1     N.A.  N.A.  N.A.


                                   36 of 52






                                                       SEC USE  ----------------------------------------------------------------
                                                                                      COLUMN 6                     COLUMN 8
                                                                                     INVESTMENT                     VOTING
                                                              COLUMN 5               AUTHORITY                     AUTHORITY
                                                      ------------------------ ----------------------          -----------------
                                                       SHARES
                                            COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        COLUMN 2     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER  TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
 --------------  --------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                    
MUNIYIELD
  PENNSYLVANIA
  INSURED        PREFERRED STOCK 62630V109     24        1681      SH                           X        1     N.A.  N.A.  N.A.
MUNIYIELD
  QUALITY
  FUND II        PREFERRED STOCK 62630T104     82        6850      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN DIV
  ADVANTAGE
  MUN FD 2       PREFERRED STOCK 67070F100     36        2251      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN INSD
  MUNI
  OPPORTUNITY    PREFERRED STOCK 670984103      6         396      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN INSD
  QUALITY
  MUN FD         PREFERRED STOCK 67062N103     64        4624      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN INVT
  QUALITY
  MUNI FD        PREFERRED STOCK 67062E103      5         333      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN
  MARYLAND
  DIVIDEND
  ADV M          PREFERRED STOCK 67069R107     25        1623      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN MD
  DIV
  ADVANTAGE
  MUN FD         PREFERRED STOCK 67070V105     64        4059      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN MUNI
  MARKET
  OPPORTUNITY    PREFERRED STOCK 67062W103     25        1800      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN MUNI
  MARKET
  OPPORTUNITY    PREFERRED STOCK 67062W103    207       15000      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN
  MUNICIPAL
  ADVANTAGE
  FD             PREFERRED STOCK 67062H106     10         650      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN
  MUNICIPAL
  ADVANTAGE
  FD             PREFERRED STOCK 67062H106    159       10643      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN
  MUNICIPAL
  VALUE FUND     PREFERRED STOCK 670928100     28        2963      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN
  MUNICIPAL
  VALUE FUND     PREFERRED STOCK 670928100     49        5094      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN NY
  INVT
  QUALITY
  MUN FD         PREFERRED STOCK 67062X101     40        2965      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN PA
  INVT
  QUALITY
  MUN FD         PREFERRED STOCK 670972108    144       11095      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN PA
  INVT
  QUALITY
  MUN FD         PREFERRED STOCK 670972108    219       16923      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN PA
  PREM
  INCOME MUN
  FD 2           PREFERRED STOCK 67061F101     69        5316      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN PA
  PREM
  INCOME MUN
  FD 2           PREFERRED STOCK 67061F101     44        3392      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN
  PERFORMANCE
  PLUS MUNI F    PREFERRED STOCK 67062P108     43        3000      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN
  PERFORMANCE
  PLUS MUNI F    PREFERRED STOCK 67062P108     38        2680      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN PREM
  INC MUN FD 4   PREFERRED STOCK 6706K4105      5         440      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN PREM
  INC MUN FD 4   PREFERRED STOCK 6706K4105     20        1655      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN PREM
  INC MUNI FD    PREFERRED STOCK 67062T100     18        1400      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN
  PREMIER
  INSD MUNI
  INC F          PREFERRED STOCK 670987106      6         410      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN
  QUALITY
  INCOME
  MUNI FD        PREFERRED STOCK 670977107      7         500      SH                  X                 1     N.A.  N.A.  N.A.
NUVEEN
  QUALITY
  INCOME
  MUNI FD        PREFERRED STOCK 670977107      3         210      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN
  SELECT
  QUALITY
  MUN FD         PREFERRED STOCK 670973106      6         406      SH                           X        1     N.A.  N.A.  N.A.
NUVEEN
  SELECT TAX
  FREE INC III   PREFERRED STOCK 67063X100     28        2100      SH                  X                 1     N.A.  N.A.  N.A.
PIMCO
  MUNICIPAL
  INCOME
  FUND           PREFERRED STOCK 72200R107      1          71      SH                  X                 1     N.A.  N.A.  N.A.
PIMCO
  MUNICIPAL
  INCOME
  FUND II        PREFERRED STOCK 72200W106    193       13200      SH                           X        1     N.A.  N.A.  N.A.
PIMCO
  MUNICIPAL
  INCOME
  FUND II        PREFERRED STOCK 72201A103     19        1335      SH                  X                 1     N.A.  N.A.  N.A.
PIONEER
  MUNICIPAL
  HI INC ADV T   PREFERRED STOCK 723762100     14        1000      SH                  X                 1     N.A.  N.A.  N.A.
PUTNAM HIGH
  YLD MUNI TR    PREFERRED STOCK 746781103      4         600      SH                  X                 1     N.A.  N.A.  N.A.
PUTNAM
  MANAGED
  MUNICIPAL
  INCOM          PREFERRED STOCK 746823103     69        9663      SH                           X        1     N.A.  N.A.  N.A.
SALOMON
  BROS MUNI
  PTR FD         PREFERRED STOCK 794916106     18        1350      SH                  X                 1     N.A.  N.A.  N.A.
SELIGMAN
  SELECT
  MUNICIPAL
  FD             PREFERRED STOCK 816344105     10        1000      SH                           X        1     N.A.  N.A.  N.A.
VAN KAMPEN
  MUNICIPAL
  OPPORTUNI      PREFERRED STOCK 920935103    104        7385      SH                           X        1     N.A.  N.A.  N.A.
VAN KAMPEN
  PENN VALUE
  MUNI INC       PREFERRED STOCK 92112T108    196       14824      SH                  X                 1     N.A.  N.A.  N.A.
VAN KAMPEN
  PENN VALUE
  MUNI INC       PREFERRED STOCK 92112T108    472       35753      SH                           X        1     N.A.  N.A.  N.A.
VAN KAMPEN
  TR FOR INV
  GR MUNIC       PREFERRED STOCK 920929106     83        5851      SH                           X        1     N.A.  N.A.  N.A.
VAN KAMPEN
  TRUST
  INSURED
  MUNIC          PREFERRED STOCK 920928108      7         505      SH                  X                 1     N.A.  N.A.  N.A.
VK
  ADVANTAGE
  MUNI
  INCOME TR I    PREFERRED STOCK 92112K107     12         933      SH                  X                 1     N.A.  N.A.  N.A.
ACM INCOME
  FUND           PREFERRED STOCK 000912105     14        1892      SH                           X        1     N.A.  N.A.  N.A.
AMERICAN
  SELECT
  PORTFOLIO      PREFERRED STOCK 029570108     16        1400      SH                  X                 1     N.A.  N.A.  N.A.
AMERICAN
  STRATEGIC
  INCOME II      PREFERRED STOCK 030099105     18        1800      SH                  X                 1     N.A.  N.A.  N.A.
AMERICAN
  STRATEGIC
  INCOME III     PREFERRED STOCK 03009T101     18        1700      SH                  X                 1     N.A.  N.A.  N.A.
BLACKROCK
  LIMITED
  DURATION
  INC            PREFERRED STOCK 09249W101     18        1000      SH                  X                 1     N.A.  N.A.  N.A.
BLACKROCK
  PFD
  OPPORTUNITY
  TRUS           PREFERRED STOCK 09249V103     15         600      SH                  X                 1     N.A.  N.A.  N.A.
CALAMOS
  CONV & HIGH
  INC FD         PREFERRED STOCK 12811P108     24        1500      SH                  X                 1     N.A.  N.A.  N.A.
CALAMOS
  CONV & HIGH
  INC FD         PREFERRED STOCK 12811P108     42        2625      SH                           X        1     N.A.  N.A.  N.A.
COLONIAL
  INTERMEDIATE
  HIGH INC       PREFERRED STOCK 195763107      3         873      SH                  X                 1     N.A.  N.A.  N.A.
DEBT
  STRATEGIES
  FUND INC       PREFERRED STOCK 24276Q109    100       14500      SH                  X                 1     N.A.  N.A.  N.A.
DIVERSIFIED
  INC STRAT
  PTF            PREFERRED STOCK 255251100      5         300      SH                  X                 1     N.A.  N.A.  N.A.
DREYFUS HIGH
  YIELD
  STRATEGIES     PREFERRED STOCK 26200S101      8        2000      SH                           X        1     N.A.  N.A.  N.A.
DUFF & PHELPS
  UTIL & CORP
  BOND           PREFERRED STOCK 26432K108     17        1500      SH                           X        1     N.A.  N.A.  N.A.
EATON VANCE
  LTD
  DURATION
  INC F          PREFERRED STOCK 27828H105     57        3304      SH                  X                 1     N.A.  N.A.  N.A.
EATON VANCE
  SR FLOATING
  RATE F         PREFERRED STOCK 27828Q105     43        2400      SH                  X                 1     N.A.  N.A.  N.A.
FRANKLIN
  TEMPLETON
  LTD DUR INC    PREFERRED STOCK 35472T101     20        1600      SH                           X        1     N.A.  N.A.  N.A.
FRANKLIN
  UNIVERSAL
  TRUST          PREFERRED STOCK 355145103     26        4200      SH                           X        1     N.A.  N.A.  N.A.
HIGH INCOME
  OPPORTUNITY
  FD INC         PREFERRED STOCK 42967Q105     14        2281      SH                  X                 1     N.A.  N.A.  N.A.
ISHARES
  LEHMAN UST
  INF PR S       PREFERRED STOCK 464287176    123        1235      SH                  X                 1     N.A.  N.A.  N.A.
JOHN
  HANCOCK
  INC SEC
  TRUST          PREFERRED STOCK 410123103      3         203      SH                           X        1     N.A.  N.A.  N.A.
JOHN
  HANCOCK
  INVESTORS
  TRUST          PREFERRED STOCK 410142103      5         300      SH                           X        1     N.A.  N.A.  N.A.
JOHN
  HANCOCK
  PFD INC FD II  PREFERRED STOCK 41013X106     25        1150      SH                  X                 1     N.A.  N.A.  N.A.
JOHN
  HANCOCK
  PFD INC FD III PREFERRED STOCK 41021P103     26        1300      SH                  X                 1     N.A.  N.A.  N.A.
MFS CHARTER
  INCOME
  TRUST          PREFERRED STOCK 552727109      6         700      SH                  X                 1     N.A.  N.A.  N.A.


                                   37 of 52






                                                      SEC USE  ------------------------------------------------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                                                    INVESTMENT                      VOTING
                                                             COLUMN 5               AUTHORITY                      AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                                                      SHARES
                                           COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1        COLUMN 2     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
MFS
  INTERMEDIATE
  INCOME TRUST  PREFERRED STOCK 55273C107       1        100      SH                  X                 1       N.A.  N.A.  N.A.
MFS
  INTERMEDIATE
  INCOME TRUST  PREFERRED STOCK 55273C107      61      10000      SH                           X        1       N.A.  N.A.  N.A.
MFS SPECIAL
  VALUE TRUST   PREFERRED STOCK 55274E102      21       2125      SH                           X        1       N.A.  N.A.  N.A.
MONTGOMERY ST
  INCOME SECS
  INC           PREFERRED STOCK 614115103      77       4653      SH                  X                 1       N.A.  N.A.  N.A.
MORGAN
  STANLEY
  EMERGING
  MKTS D        PREFERRED STOCK 61744H105      14       1500      SH                  X                 1       N.A.  N.A.  N.A.
MORGAN
  STANLEY
  GLOBAL OPP BD
  F             PREFERRED STOCK 61744R103      28       3100      SH                  X                 1       N.A.  N.A.  N.A.
MORGAN
  STANLEY GOVT
  INC TRST      PREFERRED STOCK 61745P106      26       3000      SH                  X                 1       N.A.  N.A.  N.A.
MORGAN
  STANLEY HIGH
  YLD FD INC    PREFERRED STOCK 61744M104       2        300      SH                  X                 1       N.A.  N.A.  N.A.
NEW AMERICAN
  HIGH INCOME
  FD IN         PREFERRED STOCK 641876107       8       3500      SH                           X        1       N.A.  N.A.  N.A.
NUVEEN PFD &
  CONV INCOME
  FD II         PREFERRED STOCK 67073D102      35       2860      SH                  X                 1       N.A.  N.A.  N.A.
NUVEEN PFD &
  CONV INCOME
  FD II         PREFERRED STOCK 67073D102       6        500      SH                           X        1       N.A.  N.A.  N.A.
NUVEEN PFD &
  CVRT INCOME
  FUND          PREFERRED STOCK 67073B106      18       1500      SH                  X                 1       N.A.  N.A.  N.A.
NUVEEN QUALITY
  PFD INCOME FD
  2             PREFERRED STOCK 67072C105      56       4085      SH                  X                 1       N.A.  N.A.  N.A.
NUVEEN QUALITY
  PFD INCOME FD
  3             PREFERRED STOCK 67072W101      91       7000      SH                           X        1       N.A.  N.A.  N.A.
PIMCO
  CORPORATE
  INCOME FUND   PREFERRED STOCK 72200U100      11        740      SH                  X                 1       N.A.  N.A.  N.A.
PIMCO HIGH
  INCOME FD     PREFERRED STOCK 722014107      39       2604      SH                  X                 1       N.A.  N.A.  N.A.
PIMCO RCM
  STRAT GLOBAL
  GOVT          PREFERRED STOCK 72200X104      16       1500      SH                  X                 1       N.A.  N.A.  N.A.
PUTNAM PREMIER
  INCOME TRUST  PREFERRED STOCK 746853100       1        144      SH                  X                 1       N.A.  N.A.  N.A.
PUTNAM PREMIER
  INCOME TRUST  PREFERRED STOCK 746853100       2        300      SH                           X        1       N.A.  N.A.  N.A.
SALOMON BROS
  EMERGING
  MKTS DEB      PREFERRED STOCK 79550E107      12        750      SH                  X                 1       N.A.  N.A.  N.A.
TEMPLETON
  GLOBAL
  INCOME
  FUND-D        PREFERRED STOCK 880198106     358      41543      SH                  X                 1       N.A.  N.A.  N.A.
VAN KAMPEN
  HIGH INCOME
  TR II         PREFERRED STOCK 920913100       2        400      SH                  X                 1       N.A.  N.A.  N.A.
WESTERN ASSET
  INCOME FUND   PREFERRED STOCK 95766T100      20       1500      SH                           X        1       N.A.  N.A.  N.A.
ABBOTT
  LABORATORIES  COMMON          002824100     600      14125      SH           X                        2      14125     0     0
ADOBE SYSTEMS
  INCORPORATED  COMMON          00724F101    2053      41500      SH           X                        2      41500     0     0
AES
  CORPORATION   COMMON          00130H105    5914     346650      SH           X                        2     346650     0     0
ALLIED CAPITAL
  CORPORATION   COMMON          01903Q108    1046      34197      SH           X                        2      34197     0     0
ALLSTATE
  CORPORATION   COMMON          020002101     723      13873      SH           X                        2      13873     0     0
ALTRIA GROUP
  INC           COMMON          02209S103     737      10400      SH           X                        2      10400     0     0
AMERICAN
  CAPITAL
  STRATEGIES
  LTD           COMMON          024937104    2208      62800      SH           X                        2      62800     0     0
AMERICAN
  EXPRESS
  COMPANY       COMMON          025816109     410       7800      SH           X                        2       7800     0     0
AMERICAN
  FINANCIAL
  REALTY        COMMON          02607P305    1584     136000      SH           X                        2     136000     0     0
AMERICAN
  INTERNATIONAL
  GROUP INC     COMMON          026874107    5839      88348      SH           X                        2      88348     0     0
AMLI
  RESIDENTIAL
  PROPERTIES
  TRUST         COMMON          001735109     575      15100      SH           X                        2      15100     0     0
ANADARKO
  PETROLEUM
  CORPORATION   COMMON          032511107     293       2900      SH           X                        2       2900     0     0
APPLE COMPUTER
  INCORPORATED  COMMON          037833100    1189      18965      SH           X                        2      18965     0     0
APPLIED
  MATERIALS
  INCORPORATED  COMMON          038222105    1443      82425      SH           X                        2      82425     0     0
ARCHSTONE-
  SMITH TRUST   COMMON          039583109    2181      44722      SH           X                        2      44722     0     0
ARLINGTON
  TANKERS LTD   COMMON          G04899103    2125      92400      SH           X                        2      92400     0     0
AT&T INC        COMMON          00206R102     844      31200      SH           X                        2      31200     0     0
AUTOMATIC
  DATA
  PROCESSING
  INC           COMMON          053015103    1498      32798      SH           X                        2      32798     0     0
BANK NEW YORK
  INCORPORATED  COMMON          064057102     987      27400      SH           X                        2      27400     0     0
BANK OF
  AMERICA
  CORPORATION   COMMON          060505104    6633     145652      SH           X                        2     145652     0     0
BANK ONE
  CORPORATION   COMMON          06423A103     995      18250      SH           X                        2      18250     0     0
BANKATLANTIC
  BANCORP
  INCORPORATED  COMMON          065908501     183      12725      SH           X                        2      12725     0     0
BB & T
  CORPORATION   COMMON          054937107    1483      37840      SH           X                        2      37840     0     0
BOSTON
  PROPERTIES
  INCORPORATED  COMMON          101121101     280       3000      SH           X                        2       3000     0     0
BOSTON
  SCIENTIFIC
  CORPORATION   COMMON          101137107     295      12800      SH           X                        2      12800     0     0
BRISTOL MYERS
  SQUIBB
  COMPANY       COMMON          110122108     990      40232      SH           X                        2      40232     0     0
BUCKEYE
  PARTNERS
  LIMITED
  PARTNERSHIP   COMMON          118230101     256       6000      SH           X                        2       6000     0     0
BUNGE LIMITED   COMMON          G16962105    1017      18260      SH           X                        2      18260     0     0
CAPITAL ONE
  FINANCIAL
  CORPORATION   COMMON          14040H105    4109      51029      SH           X                        2      51029     0     0
CAPITALSOURCE
  INC           COMMON          14055X102    2793     112250      SH           X                        2     112250     0     0
CARDINAL
  HEALTH
  INCORPORATED  COMMON          14149Y108     447       6000      SH           X                        2       6000     0     0
CHENIERE
  ENERGY INC    COMMON          16411R208     629      15500      SH           X                        2      15500     0     0
CHEVRONTEXACO
  CORPORATION   COMMON          166764100     759      13094      SH           X                        2      13094     0     0
CISCO SYSTEMS
  INCORPORATED  COMMON          17275R102    2669     123144      SH           X                        2     123144     0     0
CITIGROUP
  INCORPORATED  COMMON          172967101    5097     107919      SH           X                        2     107919     0     0
COLGATE
  PALMOLIVE
  COMPANY       COMMON          194162103    3945      69082      SH           X                        2      69082     0     0
COMCAST
  CORPORATION
  CLASS A NEW   COMMON          20030N101     267      10214      SH           X                        2      10214     0     0
COMPOSITE
  TECHNOLOGY
  CORPORATION   COMMON          20461S108      11      11000      SH           X                        2      11000     0     0
CONSTELLATION
  BRANDS INC
  CLASS A       COMMON          21036P108    2536     101250      SH           X                        2     101250     0     0
COVENTRY
  HEALTH CARE
  INCORPORATED  COMMON          222862104    3077      57000      SH           X                        2      57000     0     0
DANAHER
  CORPORATION   COMMON          235851102     516       8115      SH           X                        2       8115     0     0
DISNEY WALT
  COMPANY       COMMON          254687106     250       8946      SH           X                        2       8946     0     0
DOW CHEMICAL
  COMPANY       COMMON          260543103    1127      27750      SH           X                        2      27750     0     0
DU PONT E I DE
  NEMOURS &
  COMPANY       COMMON          263534109     453      10736      SH           X                        2      10736     0     0


                                   38 of 52






                                                SEC USE  ------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                                              INVESTMENT                      VOTING
                                                       COLUMN 5               AUTHORITY                      AUTHORITY
                                               ------------------------ ----------------------          -------------------
                                                SHARES
                 COLUMN 2            COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------  -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
E M C
  CORPORATION
  MASSACHUSETTS   COMMON  268648102    2475     181600      SH           X                        2     181600   0      0
EASTGROUP
  PROPERTIES
  INCORPORATED    COMMON  277276101     389       8200      SH           X                        2       8200   0      0
EMERSON
  ELECTRIC
  COMPANY         COMMON  291011104     832       9950      SH           X                        2       9950   0      0
EXXON MOBIL
  CORPORATION     COMMON  30231G102     908      14915      SH           X                        2      14915   0      0
FEDERATED
  DEPARTMENT
  STORES
  DELAWARE        COMMON  31410H101     426      10021      SH           X                        2      10021   0      0
FIRST DATA
  CORPORATION     COMMON  319963104     552      11786      SH           X                        2      11786   0      0
FIRST
  MARBLEHEAD
  CORP            COMMON  320771108    1181      27300      SH           X                        2      27300   0      0
FISERV
  INCORPORATED    COMMON  337738108    1144      26886      SH           X                        2      26886   0      0
FLANDERS
  CORPORATION     COMMON  338494107    1155      98923      SH           X                        2      98923   0      0
FLEMING
  COMPANIES
  INCORPORATED    COMMON  339130106       8      69200      SH           X                        2      69200   0      0
FREDDIE MAC -
  FEDERAL HOME
  LOAN
  MORTGAGE        COMMON  313400301    4002      65602      SH           X                        2      65602   0      0
GANNETT
  INCORPORATED    COMMON  364730101     229       3820      SH           X                        2       3820   0      0
GENERAL
  ELECTRIC
  COMPANY         COMMON  369604103     201       5775      SH           X                        2       5775   0      0
GENERAL
  ELECTRIC
  COMPANY         COMMON  369604103    5232     150436      SH           X                        2     150436   0      0
GENUINE PARTS
  COMPANY         COMMON  372460105     374       8525      SH           X                        2       8525   0      0
GILLETTE
  COMPANY         COMMON  375766102     699      13850      SH           X                        2      13850   0      0
GLADSTONE
  CAPITAL CORP    COMMON  376535100    2495     115755      SH           X                        2     115755   0      0
HEINZ H J
  COMPANY         COMMON  423074103     361       9512      SH           X                        2       9512   0      0
HEWLETT
  PACKARD
  COMPANY         COMMON  428236103     489      14850      SH           X                        2      14850   0      0
HOME DEPOT
  INCORPORATED    COMMON  437076102    3685      87125      SH           X                        2      87125   0      0
HOME PROPERTIES
  OF NEW YORK
  INC             COMMON  437306103    2013      39400      SH           X                        2      39400   0      0
HONEYWELL
  INTERNATIONAL
  INCORPORATED    COMMON  438516106     698      16312      SH           X                        2      16312   0      0
INGERSOLL RAND
  COMPANY
  CLASS A         COMMON  G4776G101     430      10300      SH           X                        2      10300   0      0
INTEL
  CORPORATION     COMMON  458140100    1520      78101      SH           X                        2      78101   0      0
INTERDIGITAL
  COMMUNICATIONS
  CORP            COMMON  45866A105     373      15200      SH           X                        2      15200   0      0
INTERNATIONAL
  BUSINESS
  MACHINES CORP   COMMON  459200101    2087      25309      SH           X                        2      25309   0      0
INVESTORS
  FINANCIAL
  SERVICES CORP   COMMON  461915100    1643      35050      SH           X                        2      35050   0      0
ISHARES TRUST
  DOW JONES       COMMON  464287721    1475      28227      SH           X                        2      28227   0      0
ISTAR             COMMON  45031U101    1510      39445      SH           X                        2      39445   0      0
JDS UNIPHASE
  CORPORATION     COMMON  46612J101      91      21850      SH           X                        2      21850   0      0
JOHNSON &
  JOHNSON         COMMON  478160104    1484      25055      SH           X                        2      25055   0      0
JP MORGAN
  CHASE &
  COMPANY         COMMON  46625H100    3137      75326      SH           X                        2      75326   0      0
KEYCORP-NEW       COMMON  493267108     320       8700      SH           X                        2       8700   0      0
KINDER MORGAN
  ENERGY
  PARTNERS L P    COMMON  494550106     940      19500      SH           X                        2      19500   0      0
KINDER MORGAN
  INCORPORATED    COMMON  49455P101    1614      17550      SH           X                        2      17550   0      0
KINDER MORGAN
  MGMT LLC        COMMON  49455U100     616      14000      SH           X                        2      14000   0      0
LABORATORY
  CORPORATION
  OF AMER HLDGS   COMMON  50540R409    2418      41340      SH           X                        2      41340   0      0
LEVEL 3
  COMMUNICATIONS
  INCORPORATED    COMMON  52729N100      72      35000      SH           X                        2      35000   0      0
LINCOLN
  NATIONAL
  CORPORATION     COMMON  534187109     714      13077      SH           X                        2      13077   0      0
LORAL SPACE &
  COMMUNICATIONS  COMMON  G56462198       8      35730      SH           X                        2      35730   0      0
LUCENT
  TECHNOLOGIES
  INCORPORATED    COMMON  549463107     121      39725      SH           X                        2      39725   0      0
MAGELAN
  MIDSTREAM
  PARTNERS LP     COMMON  559080106     319       9700      SH           X                        2       9700   0      0
MEDTRONIC
  INCORPORATED    COMMON  585055106    7146     140807      SH           X                        2     140807   0      0
MELLON
  FINANCIAL
  CORPORATION     COMMON  58551A108     210       5900      SH           X                        2       5900   0      0
MERRILL LYNCH &
  COMPANY
  INCORPORATED    COMMON  590188108     346       4395      SH           X                        2       4395   0      0
MICROSOFT
  CORPORATION     COMMON  594918104    2053      75434      SH           X                        2      75434   0      0
MILLS
  CORPORATION     COMMON  601148109     210       7500      SH           X                        2       7500   0      0
NETWORK
  APPLIANCE
  INCORPORATED    COMMON  64120L104     332       4000      SH           X                        2       4000   0      0
NEW PLAN EXCEL
  REALTY TRUST
  INC             COMMON  648053106     506      19500      SH           X                        2      19500   0      0
NEXTEL
  COMMUNICATIONS
  INC CLASS A     COMMON  65332V103    1626      57200      SH           X                        2      57200   0      0
ORACLE
  CORPORATION     COMMON  68389X105     691      50466      SH           X                        2      50466   0      0
PEPSICO
  INCORPORATED    COMMON  713448108     428       7405      SH           X                        2       7405   0      0
PFIZER
  INCORPORATED    COMMON  717081103    1687      67706      SH           X                        2      67706   0      0
PLAINS ALL
  AMERICAN
  PIPELINE L P    COMMON  726503105    1091      24250      SH           X                        2      24250   0      0
PROCTER &
  GAMBLE
  CORPORATION     COMMON  742718109    1864      32348      SH           X                        2      32348   0      0
RAYONIER
  INCORPORATED    COMMON  754907103     378       8300      SH           X                        2       8300   0      0
ROWE COMPANIES    COMMON  779528108      50      34813      SH           X                        2      34813   0      0
RPM
  INCORPORATED
  OHIO            COMMON  749685103     328      18300      SH           X                        2      18300   0      0
SBC
  COMMUNICATIONS
  INCORPORATED    COMMON  78387G103    1879      79329      SH           X                        2      79329   0      0
SIMON PROPERTY
  GROUP
  INCORPORATED    COMMON  828806109     530       6300      SH           X                        2       6300   0      0
SLM CORP.         COMMON  78442P106    6300     121296      SH           X                        2     121296   0      0
SOLECTRON
  CORPORATION     COMMON  834182107     130      32400      SH           X                        2      32400   0      0
SPRINT
  CORPORATION
  FON GROUP       COMMON  852061100     444      17194      SH           X                        2      17194   0      0
ST JOE COMPANY    COMMON  790148100    2748      43730      SH           X                        2      43730   0      0
STARBUCKS
  CORPORATION     COMMON  855244109     228       6050      SH           X                        2       6050   0      0
SUN
  MICROSYSTEMS
  INCORPORATED    COMMON  866810104      71      13900      SH           X                        2      13900   0      0
SUNRISE ASSISTED
  LIVING
  INCORPORATED    COMMON  86768K106    3694      94800      SH           X                        2      94800   0      0


                                   39 of 52






                                                             SEC USE  ----------------------------------------------
                                                                                            COLUMN 6
                                                                                           INVESTMENT
                                                                    COLUMN 5               AUTHORITY
                                                            ------------------------ ----------------------
                                                             SHARES
                                                  COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1         COLUMN 2          COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER   TITLE OF CLASS        CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
 --------------   --------------       --------- ---------- --------- --------- ---- ---- -------- -------- --------
                                                                              
SYSCO
  CORPORATION          COMMON          871829107    2414      75322      SH           X                        2
TARGET CORP            COMMON          87612E110     824      15850      SH           X                        2
TEPPCO PARTNERS
  LIMITED
  PARTNERSHIP          COMMON          872384102     695      19150      SH           X                        2
TEXAS
  INSTRUMENTS
  INCORPORATED         COMMON          882508104    2448      75384      SH           X                        2
TIME WARNER INC        COMMON          887317105    1778     108216      SH           X                        2
TYCO
  INTERNATIONAL
  LIMITED NEW          COMMON          902124106    3448     128285      SH           X                        2
UNITED PARCEL
  SERVICE INC
  CLASS B              COMMON          911312106     574       7230      SH           X                        2
UNITED
  TECHNOLOGIES
  CORPORATION          COMMON          913017109     220       3800      SH           X                        2
UNITEDHEALTH
  GROUP INC.           COMMON          91324P102    5013      89750      SH           X                        2
UNUMPROVIDENT
  CORPORATION          COMMON          91529Y106    1208      59000      SH           X                        2
US BANCORP NEW         COMMON          902973304     290       9500      SH           X                        2
VERIZON
  COMMUNICATIONS       COMMON          92343V104    2042      59950      SH           X                        2
VORNADO REALTY
  TRUST                COMMON          929042109     202       2100      SH           X                        2
WACHOVIA
  CORPORATION
  NEW                  COMMON          929903102     415       7400      SH           X                        2
WAL MART
  STORES
  INCORPORATED         COMMON          931142103     225       4768      SH           X                        2
WASHINGTON
  MUTUAL
  INCORPORATED         COMMON          939322103    3566      83680      SH           X                        2
WEINGARTEN
  REALTY
  INVESTORS            COMMON          948741103     810      19885      SH           X                        2
WELLS FARGO &
  COMPANY NEW          COMMON          949746101    3043      47641      SH           X                        2
WILLIAMS
  COMPANIES
  INCORPORATED         COMMON          969457100     103      10800      SH           X                        2
WYETH                  COMMON          983024100    1202      24775      SH           X                        2
ZIMMER
  HOLDINGS
  INCORPORATED         COMMON          98956P102    1467      21705      SH           X                        2
AES TRUST III
  6.75% CV
  PREFERRED            CONV PFD STOCK  00808N202    1236      26500      SH           X                        2
CHUBB CORP
  CONV 7.00%
  PREFERRED            CONV PFD STOCK  171232507    2244      66000      SH           X                        2
CONSTELLATION
  BRANDS 5.75%
  09/01/06             CONV PFD STOCK  21036P306    1066      28400      SH           X                        2
LUCENT TECH CAP
  7.75% CV PFD         CONV PFD STOCK  549462307     607        600      SH           X                        2
METLIFE INC PFD
  CONV 6.375%
  8/15/08              CONV PFD STOCK  59156R702    3332     124510      SH           X                        2
CHEVY CHASE
  BANK 8% SERIES
  C PFD                PREFERRED STOCK 166779207    1586      60600      SH           X                        2
QUANTA CAPITAL
  HOLDINGS PFD A
  10.25%               PREFERRED STOCK G7313F114     501      22350      SH           X                        2
SAUL CENTERS
  PFD 8.0% SERIES      PREFERRED STOCK 804395200     237       9000      SH           X                        2
APARTMENT
  INVT&MGMT            REIT            03748R101      30        700      SH                  X                 3
NOVARTIS AG            ADR (1 ORD SHS) 66987V109    4990      92540      SH                  X                 3
VIACOM INC             CLASS B         92553P201     367      10250      SH                  X                 3
LAN AIRLINES SA        COMMON ADR      501723100      36       1100      SH                  X                 3
SILICON MOTION
  TECH                 COMMON ADR      82706C108      57       4000      SH                  X                 3
BROWN FORMAN
  CORP                 COMMON B        115637209      43        600      SH                  X                 3
FEDERATED INVS
  INC                  COMMON B        314211103      25        800      SH                  X                 3
TRONOX INC             COMMON B        897051207       2        184      SH                  X                 3
FREEPORT-
  MCMORAN C&G          COMMON B        35671D857      74       1330      SH                  X                 3
FREESCALE
  SEMICONDUC           COMMON B        35687M206      88       3000      SH                  X                 3
MOLSON COORS
  BREWING              COMMON B        60871R209      33        485      SH                  X                 3
BOSTON
  PROPERTIES           COMMON STOCK    101121101      69        760      SH                  X                 3
BOSTON
  SCIENTIFIC           COMMON STOCK    101137107     148       8803      SH                  X                 3
BRIGHTPOINT INC        COMMON STOCK    109473405      22       1600      SH                  X                 3
BRINKER INTL INC       COMMON STOCK    109641100     465      12800      SH                  X                 3
BRISTOL MYERS
  SQUIBB               COMMON STOCK    110122108     959      37095      SH                  X                 3
BROADCOM CORP          COMMON STOCK    111320107     100       3300      SH                  X                 3
BRUNSWICK CORP         COMMON STOCK    117043109      23        700      SH                  X                 3
BUCKLE INC             COMMON STOCK    118440106      25        600      SH                  X                 3
BUCYRUS INTL INC       COMMON STOCK    118759109      25        500      SH                  X                 3
CIGNA CORP             COMMON STOCK    125509109      81        825      SH                  X                 3
CIT GROUP INC          COMMON STOCK    125581108    7833     149813      SH                  X                 3
CMS ENERGY CORP        COMMON STOCK    125896100      22       1700      SH                  X                 3
CSX CORP               COMMON STOCK    126408103     118       1670      SH                  X                 3
CVS CORP               COMMON STOCK    126650100     187       6080      SH                  X                 3
CADENCE DESIGN
  SYS                  COMMON STOCK    127387108    1017      59400      SH                  X                 3
CAMPBELL SOUP
  CO                   COMMON STOCK    134429109      83       2215      SH                  X                 3
CAREMARK RX INC        COMMON STOCK    141705103    8488     170201      SH                  X                 3
CARNIVAL CORP          COMMON STOCK    143658300    3293      78884      SH                  X                 3
CATERPILLAR INC        COMMON STOCK    149123101    5097      68454      SH                  X                 3
CENDANT CORP           COMMON STOCK    151313103     105       6450      SH                  X                 3
CENTEX CORP            COMMON STOCK    152312104      48        960      SH                  X                 3
CENTURYTEL INC         COMMON STOCK    156700106      37       1000      SH                  X                 3
CEPHALON INC           COMMON STOCK    156708109     877      14600      SH                  X                 3
CERNER CORP            COMMON STOCK    156782104    4712     126958      SH                  X                 3
CHECKFREE CORP         COMMON STOCK    162813109     907      18300      SH                  X                 3
CHESAPEAKE
  ENERGY               COMMON STOCK    165167107      43       1425      SH                  X                 3
CHEVRON CORP           COMMON STOCK    166764100   13861     223338      SH                  X                 3




                  --------------------
                       COLUMN 8
                        VOTING
                       AUTHORITY
                  -------------------


    COLUMN 1
 NAME OF ISSUER    SOLE  SHARED OTHER
 --------------   ------ ------ -----
                       
SYSCO
  CORPORATION      75322   0       0
TARGET CORP        15850   0       0
TEPPCO PARTNERS
  LIMITED
  PARTNERSHIP      19150   0       0
TEXAS
  INSTRUMENTS
  INCORPORATED     75384   0       0
TIME WARNER INC   108216   0       0
TYCO
  INTERNATIONAL
  LIMITED NEW     128285   0       0
UNITED PARCEL
  SERVICE INC
  CLASS B           7230   0       0
UNITED
  TECHNOLOGIES
  CORPORATION       3800   0       0
UNITEDHEALTH
  GROUP INC.       89750   0       0
UNUMPROVIDENT
  CORPORATION      59000   0       0
US BANCORP NEW      9500   0       0
VERIZON
  COMMUNICATIONS   59950   0       0
VORNADO REALTY
  TRUST             2100   0       0
WACHOVIA
  CORPORATION
  NEW               7400   0       0
WAL MART
  STORES
  INCORPORATED      4768   0       0
WASHINGTON
  MUTUAL
  INCORPORATED     83680   0       0
WEINGARTEN
  REALTY
  INVESTORS        19885   0       0
WELLS FARGO &
  COMPANY NEW      47641   0       0
WILLIAMS
  COMPANIES
  INCORPORATED     10800   0       0
WYETH              24775   0       0
ZIMMER
  HOLDINGS
  INCORPORATED     21705   0       0
AES TRUST III
  6.75% CV
  PREFERRED        26500   0       0
CHUBB CORP
  CONV 7.00%
  PREFERRED        66000   0       0
CONSTELLATION
  BRANDS 5.75%
  09/01/06         28400   0       0
LUCENT TECH CAP
  7.75% CV PFD       600   0       0
METLIFE INC PFD
  CONV 6.375%
  8/15/08         124510   0       0
CHEVY CHASE
  BANK 8% SERIES
  C PFD            60600   0       0
QUANTA CAPITAL
  HOLDINGS PFD A
  10.25%           22350   0       0
SAUL CENTERS
  PFD 8.0% SERIES   9000   0       0
APARTMENT
  INVT&MGMT          700   0       0
NOVARTIS AG        88676   0    3864
VIACOM INC         10000   0     250
LAN AIRLINES SA     1100   0       0
SILICON MOTION
  TECH              4000   0       0
BROWN FORMAN
  CORP               600   0       0
FEDERATED INVS
  INC                800   0       0
TRONOX INC           184   0       0
FREEPORT-
  MCMORAN C&G       1330   0       0
FREESCALE
  SEMICONDUC        3000   0       0
MOLSON COORS
  BREWING            485   0       0
BOSTON
  PROPERTIES         760   0       0
BOSTON
  SCIENTIFIC        8803   0       0
BRIGHTPOINT INC     1600   0       0
BRINKER INTL INC   12800   0       0
BRISTOL MYERS
  SQUIBB           36395   0     700
BROADCOM CORP       3300   0       0
BRUNSWICK CORP       700   0       0
BUCKLE INC           600   0       0
BUCYRUS INTL INC     500   0       0
CIGNA CORP           825   0       0
CIT GROUP INC     144313   0    5500
CMS ENERGY CORP     1700   0       0
CSX CORP            1670   0       0
CVS CORP            6080   0       0
CADENCE DESIGN
  SYS              59400   0       0
CAMPBELL SOUP
  CO                2215   0       0
CAREMARK RX INC   161701   0    8500
CARNIVAL CORP      78884   0       0
CATERPILLAR INC    65687   0    2767
CENDANT CORP        6450   0       0
CENTEX CORP          960   0       0
CENTURYTEL INC      1000   0       0
CEPHALON INC       14600   0       0
CERNER CORP       122519   0    4439
CHECKFREE CORP     18300   0       0
CHESAPEAKE
  ENERGY            1425   0       0
CHEVRON CORP      213967   0    9371


                                   40 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                                         COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1       COLUMN 2    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
CHICAGO
  BRIDGE &
  IRN           COMMON STOCK  167250109    3019     125020      SH                  X                 3     121695   0     3325
CHICOS FAS
  INC           COMMON STOCK  168615102    1322      49000      SH                  X                 3      49000   0        0
CHUBB CORP      COMMON STOCK  171232101     147       2950      SH                  X                 3       2950   0        0
CIENA CORP      COMMON STOCK  171779101      50      10400      SH                  X                 3      10400   0        0
CINCINNATI
  FINL CORP     COMMON STOCK  172062101    5465     116260      SH                  X                 3     111607   0     4653
CIRCUIT CITY
  STORE         COMMON STOCK  172737108      34       1250      SH                  X                 3       1250   0        0
CINTAS CORP     COMMON STOCK  172908105      44       1100      SH                  X                 3       1100   0        0
CITIGROUP INC   COMMON STOCK  172967101   14439     299306      SH                  X                 3     282371   0    16935
CITRIX SYS INC  COMMON STOCK  177376100      52       1300      SH                  X                 3       1300   0        0
CITY NATL
  CORP          COMMON STOCK  178566105      26        400      SH                  X                 3        400   0        0
CLEAN
  HARBORS       COMMON STOCK  184496107      44       1100      SH                  X                 3       1100   0        0
CLEAR
  CHANNEL
  COMMUN        COMMON STOCK  184502102     115       3700      SH                  X                 3       3700   0        0
CLEVELAND
  CLIFFS INC
  COM           COMMON STOCK  185896107    4208      53077      SH                  X                 3      51546   0     1531
CLOROX CO       COMMON STOCK  189054109      72       1175      SH                  X                 3       1175   0        0
COACH INC       COMMON STOCK  189754104     689      23053      SH                  X                 3      23053   0        0
COCA COLA CO    COMMON STOCK  191216100    9842     228765      SH                  X                 3     221158   0     7607
COCA COLA
  ENTERPRISE    COMMON STOCK  191219104      47       2300      SH                  X                 3       2300   0        0
COGNIZANT
  TECH SOLNS    COMMON STOCK  192446102    1637      24300      SH                  X                 3      24300   0        0
COLGATE
  PALMOLIVE
  CO            COMMON STOCK  194162103    1374      22923      SH                  X                 3      21723   0     1200
COMERICA INC    COMMON STOCK  200340107      64       1232      SH                  X                 3       1232   0        0
COMMERCE
  BANC INC NJ   COMMON STOCK  200519106      50       1400      SH                  X                 3       1400   0        0
COMMERCIAL
  METALS CO     COMMON STOCK  201723103      33       1300      SH                  X                 3       1300   0        0
COMMSCOPE
  INC           COMMON STOCK  203372107      41       1300      SH                  X                 3       1300   0        0
COMPANHIA
  VAL DO RIO    COMMON STOCK  204412209     650      27000      SH                  X                 3      27000   0        0
COMPUTER
  SCIENCES      COMMON STOCK  205363104      68       1400      SH                  X                 3       1400   0        0
COMPUWARE
  CORP          COMMON STOCK  205638109      19       2900      SH                  X                 3       2900   0        0
COMVERSE
  TECHNOLOGY    COMMON STOCK  205862402      30       1500      SH                  X                 3       1500   0        0
CONAGRA
  FOODS INC     COMMON STOCK  205887102      86       3900      SH                  X                 3       3900   0        0
CONSOLDTD
  EDISON INC    COMMON STOCK  209115104      83       1860      SH                  X                 3       1860   0        0
CONVERGYS
  CORP          COMMON STOCK  212485106      21       1100      SH                  X                 3       1100   0        0
COOPER
  TIRE &
  RUBBER        COMMON STOCK  216831107       5        455      SH                  X                 3        455   0        0
COUNTRYWIDE
  FINL          COMMON STOCK  222372104     156       4100      SH                  X                 3       4100   0        0
COVENTRY
  HEALTH CAR    COMMON STOCK  222862104      60       1100      SH                  X                 3       1100   0        0
CUMMINS INC     COMMON STOCK  231021106      38        310      SH                  X                 3        310   0        0
CYTYC CORP      COMMON STOCK  232946103    1407      55500      SH                  X                 3      55500   0        0
DTE ENERGY
  CO            COMMON STOCK  233331107      67       1645      SH                  X                 3       1645   0        0
DANAHER
  CORP          COMMON STOCK  235851102     116       1800      SH                  X                 3       1800   0        0
DARDEN
  RESTAURANT    COMMON STOCK  237194105      41       1050      SH                  X                 3       1050   0        0
DEAN FOODS
  CO NEW        COMMON STOCK  242370104      30        800      SH                  X                 3        800   0        0
DEERE & CO      COMMON STOCK  244199105     215       2580      SH                  X                 3       2580   0        0
DENBURY RES
  INC           COMMON STOCK  247916208     821      25900      SH                  X                 3      25900   0        0
DIGENE CORP     COMMON STOCK  253752109      19        500      SH                  X                 3        500   0        0
DILLARDS INC    COMMON STOCK  254067101      15        480      SH                  X                 3        480   0        0
WALT DISNEY
  CO            COMMON STOCK  254687106     416      13855      SH                  X                 3      13855   0        0
DOLLAR GEN
  CORP          COMMON STOCK  256669102      34       2450      SH                  X                 3       2450   0        0
DONNELLEY R
  R & SONS      COMMON STOCK  257867101      51       1605      SH                  X                 3       1605   0        0
DOVER CORP      COMMON STOCK  260003108      75       1510      SH                  X                 3       1510   0        0
DOW JONES &
  CO INC        COMMON STOCK  260561105      15        425      SH                  X                 3        425   0        0
DRESS BARN
  INC           COMMON STOCK  261570105      43       1700      SH                  X                 3       1700   0        0
DU PONT E I DE
  NEMOU         COMMON STOCK  263534109     277       6650      SH                  X                 3       6650   0        0
EMC CORP
  MASS          COMMON STOCK  268648102    1181     107717      SH                  X                 3     107717   0        0
E TRADE FINL
  CORP          COMMON STOCK  269246104      64       2800      SH                  X                 3       2800   0        0
EARTHLINK
  INC           COMMON STOCK  270321102      36       4100      SH                  X                 3       4100   0        0
EASTMAN
  CHEM CO       COMMON STOCK  277432100      38        700      SH                  X                 3        700   0        0
EASTMAN
  KODAK CO      COMMON STOCK  277461109      51       2160      SH                  X                 3       2160   0        0
EATON CORP      COMMON STOCK  278058102      82       1090      SH                  X                 3       1090   0        0
EBAY INC        COMMON STOCK  278642103    2998     102341      SH                  X                 3      98591   0     3750
ECOLAB INC      COMMON STOCK  278865100      56       1390      SH                  X                 3       1390   0        0
EDISON INTL     COMMON STOCK  281020107      96       2465      SH                  X                 3       2465   0        0
ELECTRONIC
  ARTS          COMMON STOCK  285512109    4369     101531      SH                  X                 3     101531   0        0
ELECTRONIC
  DATA SYS      COMMON STOCK  285661104      94       3925      SH                  X                 3       3925   0        0
ELECTRONICS
  FOR IMAG      COMMON STOCK  286082102     886      42400      SH                  X                 3      42400   0        0
EMERSON
  ELEC CO       COMMON STOCK  291011104     231       2760      SH                  X                 3       2760   0        0
EQUIFAX INC     COMMON STOCK  294429105      35       1025      SH                  X                 3       1025   0        0
EQUITY OFFICE
  PPTYS         COMMON STOCK  294741103      95       2600      SH                  X                 3       2600   0        0
EXAR CORP       COMMON STOCK  300645108      45       3400      SH                  X                 3       3400   0        0
EXPRESS
  SCRIPTS INC   COMMON STOCK  302182100    6274      87473      SH                  X                 3      84564   0     2909


                                   41 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                                         COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1       COLUMN 2    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
FPL GROUP
  INC           COMMON STOCK  302571104     140       3370      SH                  X                 3       2970   0      400
FAMILY
  DOLLAR
  STORES        COMMON STOCK  307000109      31       1250      SH                  X                 3       1250   0        0
FASTENAL CO     COMMON STOCK  311900104     677      16800      SH                  X                 3      16800   0        0
FREDDIE MAC     COMMON STOCK  313400301     963      16883      SH                  X                 3      16883   0        0
F5 NETWORKS
  INC           COMMON STOCK  315616102    3766      70426      SH                  X                 3      68362   0     2064
FIDELITY
  NATL FINL     COMMON STOCK  316326107    2283      58580      SH                  X                 3      58580   0        0
FIFTH THIRD
  BANCORP       COMMON STOCK  316773100     399      10800      SH                  X                 3       3800   0     7000
FILENET CORP    COMMON STOCK  316869106      48       1800      SH                  X                 3       1800   0        0
FIRST DATA
  CORP          COMMON STOCK  319963104     235       5214      SH                  X                 3       5214   0        0
FIRST
  HORIZON
  NATL          COMMON STOCK  320517105      36        900      SH                  X                 3        900   0        0
FISERV INC      COMMON STOCK  337738108      66       1450      SH                  X                 3       1450   0        0
FIRSTENERGY
  CORP          COMMON STOCK  337932107     135       2488      SH                  X                 3       2488   0        0
FISHER
  SCNTIFC
  INTL          COMMON STOCK  338032204      66        900      SH                  X                 3        900   0        0
FORD MOTOR
  CO            COMMON STOCK  345370860      98      14100      SH                  X                 3      14100   0        0
FOREST LABS
  INC           COMMON STOCK  345838106      85       2200      SH                  X                 3       2200   0        0
FORTUNE
  BRANDS INC    COMMON STOCK  349631101      71       1000      SH                  X                 3       1000   0        0
FRANKLIN
  RES INC       COMMON STOCK  354613101      95       1100      SH                  X                 3       1100   0        0
FREIGHTCAR
  AMERICA       COMMON STOCK  357023100      39        700      SH                  X                 3        700   0        0
GAP INC         COMMON STOCK  364760108      76       4395      SH                  X                 3       4395   0        0
GATEWAY INC     COMMON STOCK  367626108       3       1400      SH                  X                 3       1400   0        0
GENERAL
  CABLE
  CORP          COMMON STOCK  369300108      42       1200      SH                  X                 3       1200   0        0
GENERAL
  DYNAMICS      COMMON STOCK  369550108     299       4578      SH                  X                 3       4578   0        0
GENERAL
  ELECTRIC
  CO            COMMON STOCK  369604103   23495     712817      SH                  X                 3     679256   0    33561
GENERAL
  MILLS INC     COMMON STOCK  370334104     549      10637      SH                  X                 3       9637   0     1000
GENERAL
  MOTORS
  CORP          COMMON STOCK  370442105     122       4095      SH                  X                 3       4095   0        0
GENUINE
  PARTS CO      COMMON STOCK  372460105      57       1360      SH                  X                 3       1360   0        0
GENZYME
  CORP          COMMON STOCK  372917104     431       7055      SH                  X                 3       7055   0        0
GIANT INDS
  INC           COMMON STOCK  374508109      43        650      SH                  X                 3        650   0        0
GILEAD
  SCIENCES
  INC           COMMON STOCK  375558103    3487      58929      SH                  X                 3      57247   0     1682
GLOBAL INDS
  LTD           COMMON STOCK  379336100      52       3100      SH                  X                 3       3100   0        0
GOLDEN WEST
  FINL          COMMON STOCK  381317106     141       1900      SH                  X                 3       1900   0        0
GOODRICH
  CORP          COMMON STOCK  382388106      36        885      SH                  X                 3        885   0        0
GOODYEAR
  TIRE &
  RUBR          COMMON STOCK  382550101      15       1345      SH                  X                 3       1345   0        0
GRACO INC       COMMON STOCK  384109104    2182      47467      SH                  X                 3      47467   0        0
GRAINGER W
  W INC         COMMON STOCK  384802104      46        605      SH                  X                 3        605   0        0
HCA INC         COMMON STOCK  404119109     134       3100      SH                  X                 3       3100   0        0
HCC INS
  HLDGS INC     COMMON STOCK  404132102     901      30600      SH                  X                 3      30600   0        0
HALLIBURTON     COMMON STOCK  406216101     267       3600      SH                  X                 3       3600   0        0
HANSEN NAT
  CORP          COMMON STOCK  411310105      38        200      SH                  X                 3        200   0        0
HARLEY
  DAVIDSON
  INC           COMMON STOCK  412822108     110       2000      SH                  X                 3       2000   0        0
HARMAN INTL
  INDS          COMMON STOCK  413086109     892      10450      SH                  X                 3      10450   0        0
HARRAHS
  ENTMT INC     COMMON STOCK  413619107     100       1400      SH                  X                 3       1400   0        0
HARRIS CORP     COMMON STOCK  413875105    5494     132351      SH                  X                 3     126512   0     5839
HARSCO CORP     COMMON STOCK  415864107    5564      71375      SH                  X                 3      69233   0     2142
HARTFORD
  FINL SVCS     COMMON STOCK  416515104     182       2150      SH                  X                 3       2150   0        0
HARVARD
  BIOSCIENCE
  I             COMMON STOCK  416906105      43       9700      SH                  X                 3       9700   0        0
HASBRO INC      COMMON STOCK  418056107      24       1300      SH                  X                 3       1300   0        0
HEALTH
  MGMT
  ASSOC         COMMON STOCK  421933102      36       1825      SH                  X                 3       1825   0        0
HEALTHWAYS
  INC           COMMON STOCK  422245100      11        200      SH                  X                 3        200   0        0
HEINZ H J CO    COMMON STOCK  423074103     146       3550      SH                  X                 3       3550   0        0
HELMERICH &
  PAYNE         COMMON STOCK  423452101      42        700      SH                  X                 3        700   0        0
HERCULES
  INC           COMMON STOCK  427056106      12        800      SH                  X                 3        800   0        0
THE HERSHEY
  COMPANY       COMMON STOCK  427866108      75       1370      SH                  X                 3       1370   0        0
HEWLETT
  PACKARD
  CO            COMMON STOCK  428236103     771      24330      SH                  X                 3      24330   0        0
HILTON
  HOTELS
  CORP          COMMON STOCK  432848109     776      27465      SH                  X                 3      27465   0        0
HOME DEPOT
  INC           COMMON STOCK  437076102    6315     176436      SH                  X                 3     171653   0     4783
HONEYWELL
  INTL INC      COMMON STOCK  438516106     230       5700      SH                  X                 3       5700   0        0
HOSPIRA INC     COMMON STOCK  441060100      51       1179      SH                  X                 3       1179   0        0
HUMANA INC      COMMON STOCK  444859102      67       1250      SH                  X                 3       1250   0        0
HUMAN
  GENOME SCI    COMMON STOCK  444903108      32       3000      SH                  X                 3       3000   0        0
HUNT JB
  TRANS SVCS    COMMON STOCK  445658107     700      28100      SH                  X                 3      28100   0        0
HUNTINGTON
  BANCSHARE     COMMON STOCK  446150104      41       1742      SH                  X                 3       1742   0        0
ICOS CORP       COMMON STOCK  449295104      20        900      SH                  X                 3        900   0        0
IMS HEALTH
  INC           COMMON STOCK  449934108    3155     117470      SH                  X                 3     114077   0     3393
ITT
  CORPORATION   COMMON STOCK  450911102      62       1250      SH                  X                 3       1250   0        0
ILLINOIS
  TOOL
  WORKS         COMMON STOCK  452308109     131       2750      SH                  X                 3       2750   0        0
INTEL CORP      COMMON STOCK  458140100    6956     366017      SH                  X                 3     353627   0    12390


                                   42 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
INTL BUSINESS
  MCHN            COMMON STOCK 459200101    7929     103220      SH                  X                 3     103220   0       0
INTL FLAVORS &
  FRAGR           COMMON STOCK 459506101      21        585      SH                  X                 3        585   0       0
INTL GAME TECH    COMMON STOCK 459902102      99       2600      SH                  X                 3       2600   0       0
INTERNATIONAL
  PAPER           COMMON STOCK 460146103     122       3790      SH                  X                 3       3790   0       0
INTERPUBLIC
  GROUP           COMMON STOCK 460690100      31       3690      SH                  X                 3       3690   0       0
INTUIT            COMMON STOCK 461202103    2406      39754      SH                  X                 3      38262   0    1492
JLG INDS INC      COMMON STOCK 466210101      54       2400      SH                  X                 3       2400   0       0
JABIL CIRCUIT INC COMMON STOCK 466313103     753      29448      SH                  X                 3      29448   0       0
JOHNSON &
  JOHNSON         COMMON STOCK 478160104   14066     234720      SH                  X                 3     233920   0     800
JOHNSON
  CONTROLS INC    COMMON STOCK 478366107     118       1440      SH                  X                 3       1440   0       0
JONES APPAREL
  GROUP           COMMON STOCK 480074103      27        850      SH                  X                 3        850   0       0
JOY GLOBAL INC    COMMON STOCK 481165108    5969     114605      SH                  X                 3     111804   0    2801
KLA-TENCOR CORP   COMMON STOCK 482480100      62       1500      SH                  X                 3       1500   0       0
KELLOGG CO        COMMON STOCK 487836108      87       1800      SH                  X                 3       1800   0       0
KERR MCGEE CORP   COMMON STOCK 492386107     127       1834      SH                  X                 3       1834   0       0
KEYCORP           COMMON STOCK 493267108     145       4045      SH                  X                 3       4045   0       0
KIMBERLY CLARK
  CORP            COMMON STOCK 494368103     181       2930      SH                  X                 3       2930   0       0
KING
  PHARMACEUTICALS COMMON STOCK 495582108      31       1833      SH                  X                 3       1833   0       0
KOHLS CORP        COMMON STOCK 500255104     142       2400      SH                  X                 3       2400   0       0
KROGER CO         COMMON STOCK 501044101     113       5165      SH                  X                 3       5165   0       0
LSI LOGIC CORP    COMMON STOCK 502161102      26       2960      SH                  X                 3       2960   0       0
L-3
  COMMUNICATIONS  COMMON STOCK 502424104      64        850      SH                  X                 3        850   0       0
LABOR READY INC   COMMON STOCK 505401208      36       1600      SH                  X                 3       1600   0       0
LADISH INC        COMMON STOCK 505754200      15        400      SH                  X                 3        400   0       0
LAM RESEARCH
  CORP            COMMON STOCK 512807108     336       7200      SH                  X                 3       7200   0       0
ESTEE LAUDER CO   COMMON STOCK 518439104    4506     116540      SH                  X                 3     116540   0       0
LAUREATE
  EDUCATION INC   COMMON STOCK 518613104    6512     152774      SH                  X                 3     148207   0    4567
LEGGETT & PLATT
  INC             COMMON STOCK 524660107      35       1400      SH                  X                 3       1400   0       0
LEGG MASON INC    COMMON STOCK 524901105    4904      49282      SH                  X                 3      47654   0    1628
LEHMAN BROS
  HLDGS           COMMON STOCK 524908100    6814     104594      SH                  X                 3     100714   0    3880
LENNAR CORP       COMMON STOCK 526057104      44       1000      SH                  X                 3       1000   0       0
LEXMARK INTL      COMMON STOCK 529771107      45        800      SH                  X                 3        800   0       0
ELI LILLY & CO    COMMON STOCK 532457108    1728      31250      SH                  X                 3      31250   0       0
LIMITED BRANDS
  INC             COMMON STOCK 532716107      61       2400      SH                  X                 3       2400   0       0
LINCOLN NATL
  CORP            COMMON STOCK 534187109    6166     109247      SH                  X                 3     106363   0    2884
LINEAR
  TECHNOLOGY      COMMON STOCK 535678106      79       2350      SH                  X                 3       2350   0       0
LIZ CLAIBORNE INC COMMON STOCK 539320101      31        840      SH                  X                 3        840   0       0
LOCKHEED MARTIN
  CORP            COMMON STOCK 539830109    6678      93096      SH                  X                 3      93096   0       0
LOEWS CORP        COMMON STOCK 540424108     106       3000      SH                  X                 3       3000   0       0
LONGS DRUG
  STORES          COMMON STOCK 543162101      32        700      SH                  X                 3        700   0       0
LOUISIANA PAC
  CORP            COMMON STOCK 546347105      19        870      SH                  X                 3        870   0       0
LOWES CO          COMMON STOCK 548661107    1632      26886      SH                  X                 3      23156   0    3730
LUCENT
  TECHNOLOGIES    COMMON STOCK 549463107      79      32711      SH                  X                 3      32711   0       0
MGIC INVT CORP    COMMON STOCK 552848103      39        600      SH                  X                 3        600   0       0
MGI PHARMA INC    COMMON STOCK 552880106       4        200      SH                  X                 3        200   0       0
MPS GROUP INC     COMMON STOCK 553409103      38       2500      SH                  X                 3       2500   0       0
MANOR CARE INC    COMMON STOCK 564055101      28        590      SH                  X                 3        590   0       0
MAPINFO CORP      COMMON STOCK 565105103      34       2610      SH                  X                 3       2610   0       0
MARATHON OIL
  CORP            COMMON STOCK 565849106     541       6500      SH                  X                 3       2500   0    4000
MARSH &
  MCLENNAN COS    COMMON STOCK 571748102     111       4139      SH                  X                 3       4139   0       0
MARSHALL &
  ILSLEY          COMMON STOCK 571834100     238       5200      SH                  X                 3       5200   0       0
MARRIOTT INTL INC COMMON STOCK 571903202      84       2200      SH                  X                 3       2200   0       0
MARTEK
  BIOSCIENCES     COMMON STOCK 572901106     376      13000      SH                  X                 3      13000   0       0
MASCO CORP        COMMON STOCK 574599106     139       4700      SH                  X                 3       2700   0    2000
MATTEL INC        COMMON STOCK 577081102      50       3040      SH                  X                 3       3040   0       0
THE MCCLATCHY
  CO              COMMON STOCK 579489105       0          1      SH                  X                 3          1   0       0
MCCORMICK & CO
  INC             COMMON STOCK 579780206     101       3000      SH                  X                 3       2000   0    1000
MCDERMOTT INTL
  INC             COMMON STOCK 580037109     705      15500      SH                  X                 3      15500   0       0
MCDONALDS CORP    COMMON STOCK 580135101     286       8510      SH                  X                 3       8510   0       0
MCGRAW HILL COS
  INC             COMMON STOCK 580645109     131       2600      SH                  X                 3       2600   0       0
MEADWESTVACO
  CORP            COMMON STOCK 583334107      38       1365      SH                  X                 3       1365   0       0
MEDAREX INC       COMMON STOCK 583916101      19       2000      SH                  X                 3       2000   0       0
MEDIMMUNE INC     COMMON STOCK 584699102      50       1850      SH                  X                 3       1850   0       0
MEDTRONIC INC     COMMON STOCK 585055106    3540      75436      SH                  X                 3      69823   0    5613
MENTOR CORP       COMMON STOCK 587188103    5798     133318      SH                  X                 3     130460   0    2858
MERCK & CO INC    COMMON STOCK 589331107     614      16868      SH                  X                 3      16168   0     700
MEREDITH CORP     COMMON STOCK 589433101      18        360      SH                  X                 3        360   0       0


                                   43 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                                         COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1       COLUMN 2    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
MERRILL
  LYNCH & CO    COMMON STOCK  590188108     457       6570      SH                  X                 3       6570   0        0
METTLER
  TOLEDO INTL   COMMON STOCK  592688105      48        800      SH                  X                 3        800   0        0
MICHAELS
  STORES INC    COMMON STOCK  594087108    1485      36000      SH                  X                 3      36000   0        0
MICROSOFT
  CORP          COMMON STOCK  594918104   14206     609136      SH                  X                 3     583407   0    25729
MICROCHIP
  TECHNOLOGY    COMMON STOCK  595017104    1101      32800      SH                  X                 3      32800   0        0
MICRON
  TECHNOLOGY    COMMON STOCK  595112103      71       4700      SH                  X                 3       4700   0        0
MOLEX INC       COMMON STOCK  608554101      39       1150      SH                  X                 3       1150   0        0
MONSTER
  WORLDWIDE     COMMON STOCK  611742107      38        900      SH                  X                 3        900   0        0
MOODYS CORP     COMMON STOCK  615369105      93       1700      SH                  X                 3       1700   0        0
MORGAN
  STANLEY       COMMON STOCK  617446448    7240     114534      SH                  X                 3     110225   0     4309
MOTOROLA INC    COMMON STOCK  620076109    1496      74227      SH                  X                 3      62827   0    11400
MURPHY OIL
  CORP          COMMON STOCK  626717102      73       1300      SH                  X                 3       1300   0        0
MYLAN LABS
  INC           COMMON STOCK  628530107      34       1700      SH                  X                 3       1700   0        0
NATIONAL CITY
  CORP          COMMON STOCK  635405103     145       4000      SH                  X                 3       4000   0        0
NATIONAL
  OILWELL
  VAR           COMMON STOCK  637071101      81       1275      SH                  X                 3       1275   0        0
NATIONAL
  SEMICONDUCT   COMMON STOCK  637640103      64       2670      SH                  X                 3       2670   0        0
NEW RIVER
  PHARMA        COMMON STOCK  648468205       6        200      SH                  X                 3        200   0        0
NEW YORK
  TIMES CO      COMMON STOCK  650111107      26       1070      SH                  X                 3       1070   0        0
NEWELL
  RUBBERMAID
  IN            COMMON STOCK  651229106      83       3200      SH                  X                 3       2200   0     1000
NEWMONT
  MINING CORP   COMMON STOCK  651639106     157       2965      SH                  X                 3       2965   0        0
NICOR INC       COMMON STOCK  654086107      14        340      SH                  X                 3        340   0        0
NIKE INC        COMMON STOCK  654106103    1046      12923      SH                  X                 3      12923   0        0
NOBLE ENERGY
  INC           COMMON STOCK  655044105    1350      28800      SH                  X                 3      28800   0        0
NORDSTROM
  INC           COMMON STOCK  655664100      64       1750      SH                  X                 3       1750   0        0
NORFOLK
  SOUTHERN      COMMON STOCK  655844108     188       3525      SH                  X                 3       3525   0        0
NORTH FORK
  BANCORP       COMMON STOCK  659424105      98       3250      SH                  X                 3       3250   0        0
NORTHERN TR
  CORP          COMMON STOCK  665859104      81       1470      SH                  X                 3       1470   0        0
NORTHROP
  GRUMMAN
  CO            COMMON STOCK  666807102     283       4411      SH                  X                 3       4400   0       11
NOVELL INC      COMMON STOCK  670006105      19       2925      SH                  X                 3       2925   0        0
NOVELLUS SYS
  INC           COMMON STOCK  670008101      25       1000      SH                  X                 3       1000   0        0
NUCOR CORP      COMMON STOCK  670346105     109       2000      SH                  X                 3       2000   0        0
OCCIDENTAL
  PETE CORP     COMMON STOCK  674599105     310       3025      SH                  X                 3       3025   0        0
OCEANEERING
  INTL INC      COMMON STOCK  675232102      50       1100      SH                  X                 3       1100   0        0
OFFICE DEPOT
  INC           COMMON STOCK  676220106      76       2000      SH                  X                 3       2000   0        0
OIL STS INTL
  INC           COMMON STOCK  678026105      41       1200      SH                  X                 3       1200   0        0
OMNICOM
  GROUP INC     COMMON STOCK  681919106     113       1270      SH                  X                 3       1270   0        0
OREGON STL
  MLS INC       COMMON STOCK  686079104      30        600      SH                  X                 3        600   0        0
PPG
  INDUSTRIES
  INC           COMMON STOCK  693506107      85       1290      SH                  X                 3       1290   0        0
PACCAR INC      COMMON STOCK  693718108     313       3795      SH                  X                 3       1295   0     2500
PACTIV CORP     COMMON STOCK  695257105      29       1165      SH                  X                 3       1165   0        0
PALL CORP       COMMON STOCK  696429307      27        980      SH                  X                 3        980   0        0
PALM INC        COMMON STOCK  696643105      27       1700      SH                  X                 3       1700   0        0
PARAMETRIC
  TECH CORP     COMMON STOCK  699173209      11        828      SH                  X                 3        828   0        0
PARKER
  HANNIFIN
  CORP          COMMON STOCK  701094104      77        990      SH                  X                 3        990   0        0
PATTERSON
  COMPANIES     COMMON STOCK  703395103      24        700      SH                  X                 3        700   0        0
PAYCHEX INC     COMMON STOCK  704326107      98       2525      SH                  X                 3       2525   0        0
PAYLESS
  SHOESOURCE    COMMON STOCK  704379106      62       2300      SH                  X                 3       2300   0        0
PEABODY
  ENERGY
  CORP          COMMON STOCK  704549104    6479     116253      SH                  X                 3     113493   0     2760
PEDIATRIX MED
  GRP           COMMON STOCK  705324101    1051      23200      SH                  X                 3      23200   0        0
PENNEY J C INC  COMMON STOCK  708160106     108       1600      SH                  X                 3       1600   0        0
PENWEST
  PHARAMACTCL   COMMON STOCK  709754105      11        500      SH                  X                 3        500   0        0
PEOPLES
  ENERGY
  CORP          COMMON STOCK  711030106      14        400      SH                  X                 3        400   0        0
PEPSI
  BOTTLING
  GRP           COMMON STOCK  713409100      35       1100      SH                  X                 3       1100   0        0
PEPSICO INC     COMMON STOCK  713448108    8992     149756      SH                  X                 3     145423   0     4333
PERKINELMER
  INC           COMMON STOCK  714046109      22       1030      SH                  X                 3       1030   0        0
PERRIGO CO      COMMON STOCK  714290103     475      29500      SH                  X                 3      29500   0        0
PFIZER INC      COMMON STOCK  717081103   11437     487342      SH                  X                 3     480342   0     7000
PHELPS DODGE
  CORP          COMMON STOCK  717265102     116       1416      SH                  X                 3       1416   0        0
PINNACLE
  WEST CAP      COMMON STOCK  723484101      36        900      SH                  X                 3        900   0        0
PIONEER
  NATURAL
  RES           COMMON STOCK  723787107     947      20400      SH                  X                 3      20400   0        0
PITNEY BOWES
  INC           COMMON STOCK  724479100     192       4630      SH                  X                 3       4630   0        0
PLUM CREEK
  TIMBER CO     COMMON STOCK  729251108      55       1550      SH                  X                 3       1550   0        0
PORTALPLAYER    COMMON STOCK  736187204      37       3800      SH                  X                 3       3800   0        0
PRECISION
  CASTPARTS
  CORP COM      COMMON STOCK  740189105    5080      85005      SH                  X                 3      82544   0     2461
PROCTER &
  GAMBLE CO     COMMON STOCK  742718109   14245     256188      SH                  X                 3     242112   0    14076
PROGENICS
  PHARMACEUT    COMMON STOCK  743187106      29       1200      SH                  X                 3       1200   0        0
PROGRESS
  ENERGY INC    COMMON STOCK  743263105     100       2327      SH                  X                 3       1927   0      400


                                   44 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                                         COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1       COLUMN 2    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
PROGRESSIVE
  CORP          COMMON STOCK  743315103     153       5940      SH                  X                 3       5940   0        0
PROLOGIS        COMMON STOCK  743410102      99       1900      SH                  X                 3       1900   0        0
PRUDENTIAL
  FINL          COMMON STOCK  744320102     272       3500      SH                  X                 3       3500   0        0
PUBLIC SVC
  ENTERPR       COMMON STOCK  744573106     120       1810      SH                  X                 3       1810   0        0
PULTE HOMES
  INC           COMMON STOCK  745867101      46       1600      SH                  X                 3       1600   0        0
QLOGIC CORP     COMMON STOCK  747277101      24       1400      SH                  X                 3       1400   0        0
QUALCOMM INC    COMMON STOCK  747525103    5948     148455      SH                  X                 3     144061   0     4394
QUESTAR CORP    COMMON STOCK  748356102     635       7900      SH                  X                 3       7900   0        0
QWEST
  COMMUNCTN
  INTL          COMMON STOCK  749121109      78       9654      SH                  X                 3       9654   0        0
RPC INC         COMMON STOCK  749660106      44       1800      SH                  X                 3       1800   0        0
RF
  MICRODEVICES
  INC           COMMON STOCK  749941100     539      90200      SH                  X                 3      90200   0        0
RADIOSHACK
  CORP          COMMON STOCK  750438103      14       1000      SH                  X                 3       1000   0        0
RADISYS CORP    COMMON STOCK  750459109      46       2100      SH                  X                 3       2100   0        0
RAYTHEON        COMMON STOCK  755111507     144       3230      SH                  X                 3       3230   0        0
REPUBLIC SVCS
  INC           COMMON STOCK  760759100      36        900      SH                  X                 3        900   0        0
RES-CARE INC    COMMON STOCK  760943100       8        400      SH                  X                 3        400   0        0
REYNOLDS
  AMERN INC     COMMON STOCK  761713106      63        550      SH                  X                 3        550   0        0
RITE AID CORP   COMMON STOCK  767754104      48      11300      SH                  X                 3      11300   0        0
ROBERT HALF
  INTL INC      COMMON STOCK  770323103      55       1300      SH                  X                 3       1300   0        0
ROCKWELL
  AUTOMATION    COMMON STOCK  773903109    8692     120704      SH                  X                 3     115950   0     4754
ROCKWELL
  COLLINS INC   COMMON STOCK  774341101      64       1140      SH                  X                 3       1140   0        0
ROHM & HAAS
  CO            COMMON STOCK  775371107      58       1150      SH                  X                 3       1150   0        0
ROSS STORES
  INC COM       COMMON STOCK  778296103    6932     247153      SH                  X                 3     237482   0     9671
ROWAN COS INC   COMMON STOCK  779382100      31        860      SH                  X                 3        860   0        0
RYDER
  SYSTEMS INC   COMMON STOCK  783549108      27        470      SH                  X                 3        470   0        0
SABRE HOLDING
  CORP          COMMON STOCK  785905100      21        956      SH                  X                 3        956   0        0
SAFECO CORP     COMMON STOCK  786429100      52        925      SH                  X                 3        925   0        0
SAFEWAY INC     COMMON STOCK  786514208      90       3455      SH                  X                 3       3455   0        0
ST JUDE
  MEDICAL INC   COMMON STOCK  790849103      89       2760      SH                  X                 3       2760   0        0
ST PAUL
  TRAVELERS
  CO            COMMON STOCK  792860108     222       4975      SH                  X                 3       4975   0        0
SANMINA-SCI
  CORP          COMMON STOCK  800907107      18       4000      SH                  X                 3       4000   0        0
SARA LEE CORP   COMMON STOCK  803111103     127       7920      SH                  X                 3       7920   0        0
SCHERING
  PLOUGH CORP   COMMON STOCK  806605101     210      11055      SH                  X                 3      11055   0        0
SCHLUMBERGER
  LTD           COMMON STOCK  806857108    4246      65246      SH                  X                 3      57869   0     7377
SCHWAB
  CHARLES
  CORP          COMMON STOCK  808513105     126       7900      SH                  X                 3       7900   0        0
SCRIPPS E W CO
  OHIO          COMMON STOCK  811054204      26        600      SH                  X                 3        600   0        0
SEARS HOLDING
  CORP          COMMON STOCK  812350106     826       5316      SH                  X                 3       5316   0        0
SEMPRA
  ENERGY        COMMON STOCK  816851109      90       1976      SH                  X                 3       1976   0        0
SEPRACOR INC    COMMON STOCK  817315104    1502      26289      SH                  X                 3      26289   0        0
SHERWIN
  WILLIAMS CO   COMMON STOCK  824348106      43        910      SH                  X                 3        910   0        0
SHOE CARNIVAL
  INC           COMMON STOCK  824889109      43       1800      SH                  X                 3       1800   0        0
SHUFFLE
  MASTER INC    COMMON STOCK  825549108     763      23300      SH                  X                 3      23300   0        0
SIERRA HEALTH
  SVCS          COMMON STOCK  826322109      27        600      SH                  X                 3        600   0        0
SIGMA ALDRICH
  CORP          COMMON STOCK  826552101      40        550      SH                  X                 3        550   0        0
SKECHERS U S A
  INC           COMMON STOCK  830566105      36       1500      SH                  X                 3       1500   0        0
SNAP-ON INC     COMMON STOCK  833034101      19        480      SH                  X                 3        480   0        0
SOLECTRON
  CORP          COMMON STOCK  834182107      26       7500      SH                  X                 3       7500   0        0
SOUTHERN CO     COMMON STOCK  842587107     202       6310      SH                  X                 3       5310   0     1000
SOVEREIGN
  BANCORP       COMMON STOCK  845905108      60       2940      SH                  X                 3       2940   0        0
SPRINT NEXTEL   COMMON STOCK  852061100     419      20964      SH                  X                 3      20964   0        0
STANLEY
  WORKS         COMMON STOCK  854616109     269       5700      SH                  X                 3        700   0     5000
STAPLES INC     COMMON STOCK  855030102    4450     182719      SH                  X                 3     172513   0    10206
STARBUCKS
  CORP          COMMON STOCK  855244109     834      22105      SH                  X                 3      22105   0        0
STATE AUTO
  FINL CORP     COMMON STOCK  855707105     726      22300      SH                  X                 3      22300   0        0
STATE STREET
  CORP          COMMON STOCK  857477103     145       2500      SH                  X                 3       2500   0        0
STEEL
  DYNAMICS
  INC           COMMON STOCK  858119100      53        800      SH                  X                 3        800   0        0
STRYKER CORP    COMMON STOCK  863667101      88       2100      SH                  X                 3       2100   0        0
SUN
  MICROSYSTEM
  INC           COMMON STOCK  866810104     107      25900      SH                  X                 3      25900   0        0
SUNTRUST
  BANKS INC     COMMON STOCK  867914103     316       4148      SH                  X                 3       4148   0        0
SUPERVALU INC   COMMON STOCK  868536103      49       1593      SH                  X                 3       1593   0        0
SYKES
  ENTERPRISES
  IN            COMMON STOCK  871237103      40       2500      SH                  X                 3       2500   0        0
SYMANTEC
  CORP          COMMON STOCK  871503108     144       9276      SH                  X                 3       7276   0     2000
SYMBOL
  TECHNOLOGIES  COMMON STOCK  871508107      21       1900      SH                  X                 3       1900   0        0
SYPRIS
  SOLUTIONS     COMMON STOCK  871655106      25       2600      SH                  X                 3       2600   0        0
SYSCO CORP      COMMON STOCK  871829107    7994     261562      SH                  X                 3     251088   0    10474
TECO ENERGY
  INC           COMMON STOCK  872375100      24       1600      SH                  X                 3       1600   0        0
TJX COMPANIES
  INC           COMMON STOCK  872540109      81       3540      SH                  X                 3       3540   0        0


                                   45 of 52






                                                      SEC USE  ------------------------------------------------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                                                    INVESTMENT                      VOTING
                                                             COLUMN 5               AUTHORITY                      AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                                                      SHARES
                     COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
     COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
  --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
TXU CORP           COMMON STOCK 873168108     194       3250      SH                  X                 3       3250   0        0
TECHNITROL INC     COMMON STOCK 878555101      35       1500      SH                  X                 3       1500   0        0
TEKTRONIX INC      COMMON STOCK 879131100      18        600      SH                  X                 3        600   0        0
TELEDYNE TECH INC  COMMON STOCK 879360105      33       1000      SH                  X                 3       1000   0        0
TELLABS INC        COMMON STOCK 879664100      46       3485      SH                  X                 3       3485   0        0
TEMPLE INLAND INC  COMMON STOCK 879868107      39        900      SH                  X                 3        900   0        0
TERADYNE INC       COMMON STOCK 880770102      21       1500      SH                  X                 3       1500   0        0
TEREX CORP         COMMON STOCK 880779103      49        500      SH                  X                 3        500   0        0
TEXAS INSTRUMENTS  COMMON STOCK 882508104    3253     107433      SH                  X                 3     103918   0     3515
TEXTRON INC        COMMON STOCK 883203101      88        960      SH                  X                 3        960   0        0
THERMO ELECTRON
  CORP             COMMON STOCK 883556102      46       1280      SH                  X                 3       1280   0        0
THOR INDS INC      COMMON STOCK 885160101      39        800      SH                  X                 3        800   0        0
TIFFANY & CO       COMMON STOCK 886547108      36       1100      SH                  X                 3       1100   0        0
TIME WARNER INC    COMMON STOCK 887317105    1149      66435      SH                  X                 3      65835   0      600
TOLL BROTHERS INC  COMMON STOCK 889478103     396      15500      SH                  X                 3      15500   0        0
TOLLGRADE
  COMMUNCTNS       COMMON STOCK 889542106       7        771      SH                  X                 3        771   0        0
TORCHMARK CORP     COMMON STOCK 891027104      49        800      SH                  X                 3        800   0        0
TRIBUNE CO         COMMON STOCK 896047107      62       1900      SH                  X                 3       1900   0        0
TRIUMPH GROUP INC  COMMON STOCK 896818101      24        500      SH                  X                 3        500   0        0
TYSON FOODS INC    COMMON STOCK 902494103      28       1900      SH                  X                 3       1900   0        0
UST INC            COMMON STOCK 902911106      80       1765      SH                  X                 3       1765   0        0
US BANCORP DEL     COMMON STOCK 902973304     380      12300      SH                  X                 3      12300   0        0
URS CORP           COMMON STOCK 903236107      38        900      SH                  X                 3        900   0        0
UNION PAC CORP     COMMON STOCK 907818108     446       4800      SH                  X                 3       1800   0     3000
UNISYS
  CORPORATION      COMMON STOCK 909214108      16       2570      SH                  X                 3       2570   0        0
UNITED RENTAL INC  COMMON STOCK 911363109    1065      33300      SH                  X                 3      33300   0        0
UNITED STATES STL  COMMON STOCK 912909108      55        790      SH                  X                 3        790   0        0
UNITED SURGICAL
  PART             COMMON STOCK 913016309    1127      37500      SH                  X                 3      37500   0        0
UNITED
  TECHNOLOGIES     COMMON STOCK 913017109    1676      26435      SH                  X                 3      26435   0        0
UNIVISION COMMUN
  INC              COMMON STOCK 914906102      60       1800      SH                  X                 3       1800   0        0
URBAN OUTFITTERS   COMMON STOCK 917047102     540      30900      SH                  X                 3      30900   0        0
V F CORP           COMMON STOCK 918204108      46        675      SH                  X                 3        675   0        0
VULCAN MATERIALS
  CO               COMMON STOCK 929160109      55        700      SH                  X                 3        700   0        0
WABTEC             COMMON STOCK 929740108     509      13600      SH                  X                 3      13600   0        0
WACHOVIA CORP      COMMON STOCK 929903102     637      11788      SH                  X                 3      11788   0        0
WAL MART STORES
  INC              COMMON STOCK 931142103    8659     179738      SH                  X                 3     168901   0    10837
WALGREEN CO        COMMON STOCK 931422109     317       7075      SH                  X                 3       7075   0        0
WASHINGTON
  MUTUAL           COMMON STOCK 939322103     296       6500      SH                  X                 3       6500   0        0
WASTE
  CONNECTIONS I    COMMON STOCK 941053100     779      21400      SH                  X                 3      21400   0        0
WATERS CORP        COMMON STOCK 941848103      38        850      SH                  X                 3        850   0        0
WATSON
  PHARMACEUTCLS    COMMON STOCK 942683103      21        900      SH                  X                 3        900   0        0
WELLS FARGO & CO   COMMON STOCK 949746101    1213      18080      SH                  X                 3      17880   0      200
WENDYS INTL INC    COMMON STOCK 950590109      55        935      SH                  X                 3        935   0        0
WEYERHAEUSER CO    COMMON STOCK 962166104     115       1850      SH                  X                 3       1850   0        0
WHIRLPOOL CORP     COMMON STOCK 963320106      48        586      SH                  X                 3        586   0        0
WHOLE FOODS MKT
  INC              COMMON STOCK 966837106      52        800      SH                  X                 3        800   0        0
WILLIAMS COS INC   COMMON STOCK 969457100     103       4425      SH                  X                 3       4425   0        0
WILLIAMS SONOMA
  INC              COMMON STOCK 969904101     896      26300      SH                  X                 3      26300   0        0
WRIGLEY WM JR CO   COMMON STOCK 982526105     121       2660      SH                  X                 3       2660   0        0
WYETH              COMMON STOCK 983024100    7909     178095      SH                  X                 3     177095   0     1000
XILINX INC         COMMON STOCK 983919101      61       2700      SH                  X                 3       2700   0        0
XEROX CORP         COMMON STOCK 984121103      88       6300      SH                  X                 3       6100   0      200
YAHOO INC          COMMON STOCK 984332106     784      23775      SH                  X                 3      23775   0        0
YUM BRANDS INC     COMMON STOCK 988498101      92       1825      SH                  X                 3       1825   0        0
ZIONS
  BANCORPORATION   COMMON STOCK 989701107    4649      59667      SH                  X                 3      57360   0     2307
ZYGO CORP          COMMON STOCK 989855101      48       2900      SH                  X                 3       2900   0        0
ZOLL MED CORP      COMMON STOCK 989922109       7        200      SH                  X                 3        200   0        0
AAR CORP           COMMON STOCK 000361105      24       1100      SH                  X                 3       1100   0        0
ADC
  TELECOMMUNICATNS COMMON STOCK 000886309      19       1100      SH                  X                 3       1100   0        0
AFLAC INC          COMMON STOCK 001055102     165       3550      SH                  X                 3       3550   0        0
AGCO CORP          COMMON STOCK 001084102      47       1800      SH                  X                 3       1800   0        0
AGL RESOURCES INC
  COM              COMMON STOCK 001204106      53       1400      SH                  X                 3       1400   0        0
AES CORP           COMMON STOCK 00130H105      92       5000      SH                  X                 3       5000   0        0
AT&T INC           COMMON STOCK 00206R102     805      28886      SH                  X                 3      28203   0      683
ABBOTT LABS        COMMON STOCK 002824100    2176      49874      SH                  X                 3      40399   0     9475
ABERCROMBIE &
  FITCH            COMMON STOCK 002896207    1109      20000      SH                  X                 3      20000   0        0
ACADIA
  PHARMACEUTCLS    COMMON STOCK 004225108      18       2100      SH                  X                 3       2100   0        0


                                   46 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                                                    SHARES
                                         COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1       COLUMN 2    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
ADOBE
  SYSTEMS INC   COMMON STOCK  00724F101     124       4100      SH                  X                 3       4100   0       0
ADVANCED
  LIFE SCIENC   COMMON STOCK  00765H107       6       2000      SH                  X                 3       2000   0       0
ADV MICRO
  DEVICES       COMMON STOCK  007903107    4231     173282      SH                  X                 3     168499   0    4783
AETNA INC       COMMON STOCK  00817Y108     168       4200      SH                  X                 3       4200   0       0
AFFILIATED
  COMP SVCS     COMMON STOCK  008190100      46        900      SH                  X                 3        900   0       0
AFFILIATED
  MANAGE GR     COMMON STOCK  008252108     999      11500      SH                  X                 3      11500   0       0
AFFYMETRIX
  INC           COMMON STOCK  00826T108      26       1000      SH                  X                 3          0   0    1000
AGERE
  SYSTEMS INC   COMMON STOCK  00845V308      37       2500      SH                  X                 3       2500   0       0
AGILENT
  TECHN INC     COMMON STOCK  00846U101      94       2980      SH                  X                 3       2980   0       0
AGILE
  SOFTWARE
  CORP          COMMON STOCK  00846X105      37       5900      SH                  X                 3       5900   0       0
AIR METHODS
  CORP          COMMON STOCK  009128307      16        600      SH                  X                 3        600   0       0
AIR PRODS &
  CHEMS         COMMON STOCK  009158106      97       1525      SH                  X                 3       1525   0       0
AIRTRAN
  HLDGS INC     COMMON STOCK  00949P108      30       2000      SH                  X                 3       2000   0       0
ALASKA
  COMMUN SY
  GRP           COMMON STOCK  01167P101     486      38400      SH                  X                 3      38400   0       0
ALBERTO-
  CULVER CO     COMMON STOCK  013068101      31        630      SH                  X                 3        630   0       0
ALCOA INC       COMMON STOCK  013817101     232       7175      SH                  X                 3       6375   0     800
ALKERMES INC    COMMON STOCK  01642T108      19       1000      SH                  X                 3       1000   0       0
ALLEGHENY
  ENERGY INC    COMMON STOCK  017361106      44       1200      SH                  X                 3       1200   0       0
ALLEGHENY
  TECH INC      COMMON STOCK  01741R102      46        665      SH                  X                 3        665   0       0
ALLERGAN INC    COMMON STOCK  018490102     105        980      SH                  X                 3        980   0       0
ALLIED CAP
  CORP          COMMON STOCK  01903Q108      43       1500      SH                  X                 3       1500   0       0
ALLIED WASTE
  IND           COMMON STOCK  019589308      18       1600      SH                  X                 3       1600   0       0
ALLSTATE
  CORP          COMMON STOCK  020002101    4996      91285      SH                  X                 3      88064   0    3221
ALLTEL CORP     COMMON STOCK  020039103     176       2760      SH                  X                 3       2760   0       0
ALPHARMA INC    COMMON STOCK  020813101      22        900      SH                  X                 3        900   0       0
ALTERA CORP     COMMON STOCK  021441100      42       2400      SH                  X                 3       2400   0       0
ALTRIA GROUP
  INC           COMMON STOCK  02209S103   10552     143692      SH                  X                 3     143292   0     400
AMAZON COM
  INC           COMMON STOCK  023135106      58       1500      SH                  X                 3       1500   0       0
AMBAC
  FINANCIAL
  GRP           COMMON STOCK  023139108     755       9315      SH                  X                 3       9315   0       0
AMEREN
  CORPORATION   COMMON STOCK  023608102      79       1560      SH                  X                 3       1560   0       0
AMERN ELEC
  PWR INC       COMMON STOCK  025537101     103       3002      SH                  X                 3       3002   0       0
AMERICAN
  EAGLE
  OUTFT         COMMON STOCK  02553E106    1205      35400      SH                  X                 3      35400   0       0
AMERICAN
  EXPRESS CO    COMMON STOCK  025816109    1100      20670      SH                  X                 3      20670   0       0
AMERN INTL
  GROUP INC     COMMON STOCK  026874107   11372     192590      SH                  X                 3     183824   0    8766
AMERN PWR
  CONVERSION    COMMON STOCK  029066107      25       1300      SH                  X                 3       1300   0       0
AMERICAN
  STANDARD
  CO            COMMON STOCK  029712106      61       1400      SH                  X                 3       1400   0       0
AMERISOURCE-
  BERGEN        COMMON STOCK  03073E105      67       1600      SH                  X                 3       1600   0       0
AMERIPRISE
  FINANCIAL     COMMON STOCK  03076C106      83       1860      SH                  X                 3       1860   0       0
AMGEN INC       COMMON STOCK  031162100    8578     131502      SH                  X                 3     122266   0    9236
AMSOUTH
  BANCORP       COMMON STOCK  032165102      71       2700      SH                  X                 3       2700   0       0
AMYLIN
  PHARM INC     COMMON STOCK  032346108      44        900      SH                  X                 3        900   0       0
ANADARKO
  PETE          COMMON STOCK  032511107     482      10100      SH                  X                 3      10100   0       0
ANALOG
  DEVICES INC   COMMON STOCK  032654105      84       2600      SH                  X                 3       2600   0       0
ANDERSONS
  INC           COMMON STOCK  034164103      25        600      SH                  X                 3        600   0       0
ANDREW CORP     COMMON STOCK  034425108      10       1145      SH                  X                 3       1145   0       0
ANDRX GROUP     COMMON STOCK  034553107       9        400      SH                  X                 3        400   0       0
ANHEUSER
  BUSCH COS     COMMON STOCK  035229103     384       8425      SH                  X                 3       7825   0     600
ANSYS INC       COMMON STOCK  03662Q105     952      19900      SH                  X                 3      19900   0       0
AON
  CORPORATION   COMMON STOCK  037389103      81       2330      SH                  X                 3       2330   0       0
APACHE CORP     COMMON STOCK  037411105     164       2400      SH                  X                 3       2400   0       0
APOLLO GROUP
  INC           COMMON STOCK  037604105      59       1150      SH                  X                 3       1150   0       0
APPLE
  COMPUTER
  INC           COMMON STOCK  037833100    2796      48823      SH                  X                 3      47463   0    1360
APPLERA
  CORPORATION   COMMON STOCK  038020103      50       1540      SH                  X                 3       1540   0       0
APPLIED
  MATERIALS     COMMON STOCK  038222105     190      11650      SH                  X                 3      11650   0       0
APPLIED MICRO
  CRCTS         COMMON STOCK  03822W109       5       1800      SH                  X                 3       1800   0       0
ARCHER
  DANIELS
  MIDLD         COMMON STOCK  039483102     190       4600      SH                  X                 3       4600   0       0
ARMOR
  HOLDINGS
  INC           COMMON STOCK  042260109      22        400      SH                  X                 3        400   0       0
ARRAY
  BIOPHARMA
  INC           COMMON STOCK  04269X105      10       1200      SH                  X                 3       1200   0       0
ARVINMERITOR
  INC           COMMON STOCK  043353101      41       2400      SH                  X                 3       2400   0       0
ASHLAND INC     COMMON STOCK  044209104      41        610      SH                  X                 3        610   0       0
AUTODESK INC    COMMON STOCK  052769106    4352     126284      SH                  X                 3     122920   0    3364
AUTOMATIC
  DATA PROC     COMMON STOCK  053015103     177       3900      SH                  X                 3       3900   0       0
AUTONATION
  INC           COMMON STOCK  05329W102      21        993      SH                  X                 3        993   0       0
AUTOZONE INC    COMMON STOCK  053332102      39        440      SH                  X                 3        440   0       0
AVAYA INC       COMMON STOCK  053499109      37       3225      SH                  X                 3       3225   0       0
AVERY
  DENNISON
  CORP          COMMON STOCK  053611109      55        940      SH                  X                 3        940   0       0
AVON
  PRODUCTS
  INC           COMMON STOCK  054303102     102       3300      SH                  X                 3       3300   0       0


                                   47 of 52






                                                     SEC USE  ------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                                                   INVESTMENT                      VOTING
                                                            COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                                                     SHARES
                    COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
 --------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
BB&T
  CORPORATION     COMMON STOCK 054937107     237       5702      SH                  X                 3       5702   0        0
BJ SVCS CO        COMMON STOCK 055482103      91       2450      SH                  X                 3       2450   0        0
BP PLC SPONSORED
  ADR             COMMON STOCK 055622104     247       3544      SH                  X                 3       3544   0        0
BMC SOFTWARE
  INC             COMMON STOCK 055921100      39       1650      SH                  X                 3       1650   0        0
BAKER HUGHES INC  COMMON STOCK 057224107     196       2395      SH                  X                 3       2395   0        0
BALL CORP         COMMON STOCK 058498106      32        860      SH                  X                 3        860   0        0
BANK OF AMERICA
  CORP            COMMON STOCK 060505104   16333     339568      SH                  X                 3     328698   0    10870
BANK NEW YORK
  INC             COMMON STOCK 064057102     356      11045      SH                  X                 3       8895   0     2150
BARD C R INC      COMMON STOCK 067383109      58        790      SH                  X                 3        790   0        0
BARR
  PHARMACEUTICALS COMMON STOCK 068306109    1632      34238      SH                  X                 3      34238   0        0
BAUSCH & LOMB
  INC             COMMON STOCK 071707103      22        440      SH                  X                 3        440   0        0
BAXTER INTL INC   COMMON STOCK 071813109     176       4800      SH                  X                 3       4800   0        0
BEAR STEARNS COS
  INC             COMMON STOCK 073902108     126        900      SH                  X                 3        900   0        0
BECTON DICKINSON  COMMON STOCK 075887109      95       1555      SH                  X                 3       1555   0        0
BED BATH &
  BEYOND          COMMON STOCK 075896100     854      25750      SH                  X                 3      25750   0        0
BELLSOUTH CORP    COMMON STOCK 079860102     548      15138      SH                  X                 3      15138   0        0
BEMA GOLD CORP    COMMON STOCK 08135F107      25       5000      SH                  X                 3       5000   0        0
BEMIS INC         COMMON STOCK 081437105      25        820      SH                  X                 3        820   0        0
BEST BUY INC      COMMON STOCK 086516101     568      10370      SH                  X                 3      10370   0        0
BIG LOTS INC      COMMON STOCK 089302103      15        890      SH                  X                 3        890   0        0
BIOMET INC        COMMON STOCK 090613100      59       1900      SH                  X                 3       1900   0        0
BIOGEN IDEC INC   COMMON STOCK 09062X103     121       2612      SH                  X                 3       2612   0        0
BLACK & DECKER
  CORP            COMMON STOCK 091797100      53        625      SH                  X                 3        625   0        0
BLOCK H & R INC   COMMON STOCK 093671105      60       2500      SH                  X                 3       2500   0        0
BLUE COAT
  SYSTEMS         COMMON STOCK 09534T508      44       2600      SH                  X                 3       2600   0        0
BOEING CO         COMMON STOCK 097023105     441       5380      SH                  X                 3       5380   0        0
BURLINGTN
  NRTHRN S F      COMMON STOCK 12189T104    3067      38704      SH                  X                 3      37252   0     1452
CBS CORP CL B     COMMON STOCK 124857202     299      11051      SH                  X                 3      11051   0        0
C H ROBINSON
  WLDWIDE         COMMON STOCK 12541W209    1226      23000      SH                  X                 3      23000   0        0
CRA
  INTERNATIONAL   COMMON STOCK 12618T105      41        900      SH                  X                 3        900   0        0
CA INC            COMMON STOCK 12673P105      72       3500      SH                  X                 3       3500   0        0
CAPITAL ONE FINL
  CO              COMMON STOCK 14040H105    7279      85184      SH                  X                 3      82095   0     3089
CAPITALSOURCE
  INC             COMMON STOCK 14055X102    1294      55057      SH                  X                 3      55057   0        0
CARDINAL HEALTH
  INC             COMMON STOCK 14149Y108     195       3080      SH                  X                 3       3080   0        0
CARMAX INC        COMMON STOCK 143130102      46       1300      SH                  X                 3          0   0     1300
CELESTICA INC
  COM             COMMON STOCK 15101Q108       2        180      SH                  X                 3        180   0        0
CENTERPOINT
  ENERGY          COMMON STOCK 15189T107      30       2360      SH                  X                 3       2360   0        0
CISCO SYSTEMS INC COMMON STOCK 17275R102   11136     570219      SH                  X                 3     550049   0    20170
CITIZENS COMMUN
  CO              COMMON STOCK 17453B101      34       2600      SH                  X                 3       2600   0        0
COMCAST CORP      COMMON STOCK 20030N101    7972     243476      SH                  X                 3     233356   0    10120
COMPASS
  BANCSHARES      COMMON STOCK 20449H109      56       1000      SH                  X                 3       1000   0        0
CONOCOPHILLIPS    COMMON STOCK 20825C104    9585     146290      SH                  X                 3     141330   0     4960
CONSOL ENERGY
  INC             COMMON STOCK 20854P109     833      17846      SH                  X                 3      17846   0        0
CONSTELLATION
  BRANDS          COMMON STOCK 21036P108      38       1500      SH                  X                 3       1500   0        0
CONSTELLATION
  ENERGY GROUP
  INC             COMMON STOCK 210371100     189       3465      SH                  X                 3       3465   0        0
CORNING INC       COMMON STOCK 219350105    2331      96361      SH                  X                 3      96361   0        0
CORRECTIONS COR
  AMER            COMMON STOCK 22025Y407      42        800      SH                  X                 3        800   0        0
COSTCO WHSL
  CORP            COMMON STOCK 22160K105     190       3330      SH                  X                 3       3330   0        0
D R HORTON INC    COMMON STOCK 23331A109      50       2100      SH                  X                 3       2100   0        0
DELL INC          COMMON STOCK 24702R101    3500     143043      SH                  X                 3     139206   0     3837
DENTSPLY
  INTERNATIONAL
  INC COM         COMMON STOCK 249030107    1652      27260      SH                  X                 3      27260   0        0
DEVON ENERGY
  CORP            COMMON STOCK 25179M103     169       2800      SH                  X                 3       2800   0        0
DIAGEO PLC
  SPONSORED ADR   COMMON STOCK 25243Q205      34        500      SH                  X                 3        500   0        0
DIGITAS INC       COMMON STOCK 25388K104      49       4200      SH                  X                 3       4200   0        0
DISNEY WALT CO    COMMON STOCK 254687106      30       1000      SH                  X                 3          0   0     1000
DOMINION RES INC
  VA              COMMON STOCK 25746U109     212       2784      SH                  X                 3       2300   0      484
DOW CHEMICAL CO   COMMON STOCK 260543103     979      25182      SH                  X                 3      18982   0     6200
DUPONT EI DE
  NEMOURS & CO
  COM             COMMON STOCK 263534109      92       2200      SH                  X                 3       1600   0      600
DUKE ENERGY
  CORP            COMMON STOCK 26441C105     526      17892      SH                  X                 3      17292   0      600
DYNEGY INC        COMMON STOCK 26816Q101      70      12800      SH                  X                 3      12800   0        0
ENSCO INTL INC    COMMON STOCK 26874Q100    8182     177802      SH                  X                 3     171262   0     6540
EOG RESOURCES
  INC             COMMON STOCK 26875P101    3015      43491      SH                  X                 3      42185   0     1306
EL PASO
  CORPORATION     COMMON STOCK 28336L109      63       4200      SH                  X                 3       4200   0        0
ELECTRONICS ARTS
  COM             COMMON STOCK 285512109     540      12542      SH                  X                 3       9913   0     2629
EMBARQ
  CORPORATION     COMMON STOCK 29078E105      43       1048      SH                  X                 3       1048   0        0
ENTERGY CORP      COMMON STOCK 29364G103     119       1680      SH                  X                 3       1680   0        0
EQUITY
  RESIDENTIAL     COMMON STOCK 29476L107      96       2150      SH                  X                 3       2150   0        0


                                   48 of 52






                                                            SEC USE  ----------------------------------------------
                                                                                           COLUMN 6
                                                                                          INVESTMENT
                                                                   COLUMN 5               AUTHORITY
                                                           ------------------------ ----------------------
                                                            SHARES
                                                 COLUMN 4     OR      SHARES   PUT                         COLUMN 7
       COLUMN 1           COLUMN 2    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
    NAME OF ISSUER     TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
    --------------     -------------- --------- ---------- --------- --------- ---- ---- -------- -------- --------
                                                                             
EXELON CORP             COMMON STOCK  30161N101     297       5232      SH                  X                 3
EXXON MOBIL CORP        COMMON STOCK  30231G102   22850     372447      SH                  X                 3
FED NATL MTG ASSN COM   COMMON STOCK  313586109     334       6955      SH                  X                 3
FEDERATED DEPT STORE    COMMON STOCK  31410H101     151       4116      SH                  X                 3
FEDEX CORPORATION       COMMON STOCK  31428X106     236       2017      SH                  X                 3
FIVE STAR QUALITY CA    COMMON STOCK  33832D106      30       2700      SH                  X                 3
FLUOR CORP              COMMON STOCK  343412102    2296      24693      SH                  X                 3
FOUNDATION COAL HLDG    COMMON STOCK  35039W100      33        700      SH                  X                 3
FRONTIER OIL CORP       COMMON STOCK  35914P105      52       1600      SH                  X                 3
GAMESTOP CORP HLDG      COMMON STOCK  36467W109    1277      30400      SH                  X                 3
GANNETT CO INC          COMMON STOCK  364730101     157       2800      SH                  X                 3
GENWORTH FINANCIAL      COMMON STOCK  37247D106      87       2500      SH                  X                 3
GOLDMAN SACHS GROUP     COMMON STOCK  38141G104     436       2900      SH                  X                 3
GOOGLE INC              COMMON STOCK  38259P508    5380      12830      SH                  X                 3
GRANT PRIDECO INC       COMMON STOCK  38821G101    1240      27700      SH                  X                 3
HALOZYME THERAPEUTIC    COMMON STOCK  40637H109      57      21000      SH                  X                 3
HEALTH NET INC          COMMON STOCK  42222G108     946      20945      SH                  X                 3
HESS CORPORATION        COMMON STOCK  42809H107      90       1710      SH                  X                 3
INTERCONTINENTALEXCH    COMMON STOCK  45865V100     440       7600      SH                  X                 3
INTERNATIONAL
  BUSINESS MACHINE      COMMON STOCK  459200101    1717      22348      SH                  X                 3
INTERNATIONAL
  RECTIFIER CORP        COMMON STOCK  460254105      39       1000      SH                  X                 3
INTERNATIONAL SEC EX    COMMON STOCK  46031W204     430      11300      SH                  X                 3
INTUITIVE SURGIC INC    COMMON STOCK  46120E602     886       7700      SH                  X                 3
INVESTMENT TECH GRP     COMMON STOCK  46145F105     458       9000      SH                  X                 3
JDS UNIPHASE CORP       COMMON STOCK  46612J101      56      21900      SH                  X                 3
JPMORGAN CHASE & CO     COMMON STOCK  46625H100    1417      33738      SH                  X                 3
JANUS CAPITAL GROUP     COMMON STOCK  47102X105      30       1700      SH                  X                 3
JUNIPER NETWORKS COM    COMMON STOCK  48203R104      21       1300      SH                  X                 3
KB HOME                 COMMON STOCK  48666K109      25        540      SH                  X                 3
KEYSPAN CORPORATION     COMMON STOCK  49337W100      53       1300      SH                  X                 3
KIMCO REALTY CORP       COMMON STOCK  49446R109      21        575      SH                  X                 3
KINDER MORGAN INC       COMMON STOCK  49455P101      80        800      SH                  X                 3
KINETIC CONCEPTS        COMMON STOCK  49460W208     988      22377      SH                  X                 3
KRAFT FOODS INC CL A    COMMON STOCK  50075N104     417      13480      SH                  X                 3
LABORATORY CORP
  AMER                  COMMON STOCK  50540R409      62       1000      SH                  X                 3
LAUDER ESTEE CO CL A    COMMON STOCK  518439104     872      22551      SH                  X                 3
LEAR CORP               COMMON STOCK  521865105      24       1100      SH                  X                 3
LILLY ELI & CO          COMMON STOCK  532457108     639      11568      SH                  X                 3
M & T BK CORP           COMMON STOCK  55261F104      92        780      SH                  X                 3
MBIA INC                COMMON STOCK  55262C100      61       1050      SH                  X                 3
MKS INSTRUMENT INC      COMMON STOCK  55306N104     626      31100      SH                  X                 3
MAXIM INTEGRATED PRO    COMMON STOCK  57772K101      80       2500      SH                  X                 3
MCKESSON CORP           COMMON STOCK  58155Q103     110       2331      SH                  X                 3
MEDCO HEALTH SOL        COMMON STOCK  58405U102     120       2100      SH                  X                 3
MEDICAL ACTION INDS     COMMON STOCK  58449L100      11        500      SH                  X                 3
MELLON FINL CORP        COMMON STOCK  58551A108     109       3160      SH                  X                 3
MERCANTILE
  BANKSHARES CORP       COMMON STOCK  587405101     128       3600      SH                  X                 3
METLIFE INC             COMMON STOCK  59156R108     278       5425      SH                  X                 3
MONSANTO CO             COMMON STOCK  61166W101     160       1900      SH                  X                 3
NCR CORP                COMMON STOCK  62886E108      48       1300      SH                  X                 3
NAVISTAR INTL CORP      COMMON STOCK  63934E108      11        445      SH                  X                 3
NETGEAR INC             COMMON STOCK  64111Q104      37       1700      SH                  X                 3
NETWORK APPLIANCE       COMMON STOCK  64120L104      83       2350      SH                  X                 3
NEWS CORP LTD           COMMON STOCK  65248E104     935      48770      SH                  X                 3
NISOURCE INC            COMMON STOCK  65473P105      46       2092      SH                  X                 3
NVIDIA CORP             COMMON STOCK  67066G104      51       2400      SH                  X                 3
OSI RESTAURANT
  PARTNERS INC          COMMON STOCK  67104A101      52       1500      SH                  X                 3
OFFICEMAX INC           COMMON STOCK  67622P101      28        675      SH                  X                 3
ONEOK PARTNERS LP       COMMON STOCK  68268N103     247       5000      SH                  X                 3
OPSWARE INC             COMMON STOCK  68383A101      35       4200      SH                  X                 3
OPTIMAL GROUP           COMMON STOCK  68388R208      38       2800      SH                  X                 3
ORACLE CORP             COMMON STOCK  68389X105     384      26510      SH                  X                 3
PDL BIOPHARMA INC       COMMON STOCK  69329Y104     571      31000      SH                  X                 3
PG&E CORP               COMMON STOCK  69331C108      95       2430      SH                  X                 3
PMC-SIERRA INC          COMMON STOCK  69344F106      12       1300      SH                  X                 3
PNC FINANCIAL SERVICES
  GROUP I               COMMON STOCK  693475105     168       2400      SH                  X                 3
PPL CORP                COMMON STOCK  69351T106      95       2930      SH                  X                 3




                       --------------------
                            COLUMN 8
                             VOTING
                            AUTHORITY
                       -------------------


       COLUMN 1
    NAME OF ISSUER      SOLE  SHARED OTHER
    --------------     ------ ------ -----
                            
EXELON CORP              4732   0      500
EXXON MOBIL CORP       361655   0    10792
FED NATL MTG ASSN COM    6955   0        0
FEDERATED DEPT STORE     4116   0        0
FEDEX CORPORATION        2017   0        0
FIVE STAR QUALITY CA     2700   0        0
FLUOR CORP              23749   0      944
FOUNDATION COAL HLDG      700   0        0
FRONTIER OIL CORP        1600   0        0
GAMESTOP CORP HLDG      30400   0        0
GANNETT CO INC           2800   0        0
GENWORTH FINANCIAL       2500   0        0
GOLDMAN SACHS GROUP      2900   0        0
GOOGLE INC              12524   0      306
GRANT PRIDECO INC       27700   0        0
HALOZYME THERAPEUTIC    21000   0        0
HEALTH NET INC          20945   0        0
HESS CORPORATION         1710   0        0
INTERCONTINENTALEXCH     7600   0        0
INTERNATIONAL
  BUSINESS MACHINE      14827   0     7521
INTERNATIONAL
  RECTIFIER CORP            0   0     1000
INTERNATIONAL SEC EX    11300   0        0
INTUITIVE SURGIC INC     7700   0        0
INVESTMENT TECH GRP      9000   0        0
JDS UNIPHASE CORP       21900   0        0
JPMORGAN CHASE & CO     32218   0     1520
JANUS CAPITAL GROUP      1700   0        0
JUNIPER NETWORKS COM     1300   0        0
KB HOME                   540   0        0
KEYSPAN CORPORATION      1300   0        0
KIMCO REALTY CORP         575   0        0
KINDER MORGAN INC         800   0        0
KINETIC CONCEPTS        22377   0        0
KRAFT FOODS INC CL A     4980   0     8500
LABORATORY CORP
  AMER                   1000   0        0
LAUDER ESTEE CO CL A    15107   0     7444
LEAR CORP                1100   0        0
LILLY ELI & CO           1602   0     9966
M & T BK CORP             780   0        0
MBIA INC                 1050   0        0
MKS INSTRUMENT INC      31100   0        0
MAXIM INTEGRATED PRO     2500   0        0
MCKESSON CORP            2331   0        0
MEDCO HEALTH SOL         2100   0        0
MEDICAL ACTION INDS       500   0        0
MELLON FINL CORP         3160   0        0
MERCANTILE
  BANKSHARES CORP        3600   0        0
METLIFE INC              5425   0        0
MONSANTO CO              1900   0        0
NCR CORP                 1300   0        0
NAVISTAR INTL CORP        445   0        0
NETGEAR INC              1700   0        0
NETWORK APPLIANCE        2350   0        0
NEWS CORP LTD           48770   0        0
NISOURCE INC             2092   0        0
NVIDIA CORP              2400   0        0
OSI RESTAURANT
  PARTNERS INC              0   0     1500
OFFICEMAX INC             675   0        0
ONEOK PARTNERS LP           0   0     5000
OPSWARE INC              4200   0        0
OPTIMAL GROUP            2800   0        0
ORACLE CORP             26510   0        0
PDL BIOPHARMA INC       31000   0        0
PG&E CORP                2430   0        0
PMC-SIERRA INC           1300   0        0
PNC FINANCIAL SERVICES
  GROUP I                2000   0      400
PPL CORP                 2930   0        0


                                   49 of 52






                                                    SEC USE  ------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                                                  INVESTMENT                      VOTING
                                                           COLUMN 5               AUTHORITY                      AUTHORITY
                                                    ----------------------- ----------------------          -------------------
                                                     SHARES
                                          COLUMN 4     OR     SHARES   PUT                         COLUMN 7
   COLUMN 1        COLUMN 2    COLUMN 3    VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  -------------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
PEPCO HOLDINGS
  INC            COMMON STOCK  713291102      95       4027     SH                  X                 3       4027     0     0
PETSMART INC     COMMON STOCK  716768106      84       3300     SH                  X                 3       1300     0  2000
PLAYTEX PRODS
  INC            COMMON STOCK  72813P100      32       3100     SH                  X                 3       3100     0     0
POZEN INC        COMMON STOCK  73941U102      16       2300     SH                  X                 3       2300     0     0
PRAXAIR INC      COMMON STOCK  74005P104     341       6310     SH                  X                 3       2310     0  4000
PRICE T ROWE
  GRP            COMMON STOCK  74144T108      76       2000     SH                  X                 3       2000     0     0
PRINCIPAL FINL
  GRP            COMMON STOCK  74251V102     100       1800     SH                  X                 3       1800     0     0
PSYCHIATRIC
  SOLUTION       COMMON STOCK  74439H108    1127      39300     SH                  X                 3      39300     0     0
QUANTA SVCS
  INC            COMMON STOCK  74762E102      26       1500     SH                  X                 3       1500     0     0
QUEST
  DIAGNOSTICS    COMMON STOCK  74834L100    3773      62966     SH                  X                 3      60999     0  1967
REGIONS FINL
  CORP           COMMON STOCK  7591EP100     114       3445     SH                  X                 3       3445     0     0
ROYAL DUTCH
  SHELL PLC-ADR
  A              COMMON STOCK  780259206     375       5600     SH                  X                 3       5000     0   600
SLM CORP         COMMON STOCK  78442P106     166       3145     SH                  X                 3       3145     0     0
ST JOE CORP      COMMON STOCK  790148100      47       1000     SH                  X                 3          0     0  1000
SANDISK CORP     COMMON STOCK  80004C101     421       8250     SH                  X                 3       8250     0     0
SAP AG SPONS
  ADR            COMMON STOCK  803054204    1344      25600     SH                  X                 3      25600     0     0
SCANA CORP
  NEW COM        COMMON STOCK  80589M102      39       1000     SH                  X                 3       1000     0     0
SEALED AIR CORP  COMMON STOCK  81211K100      36        682     SH                  X                 3        682     0     0
SOUTHWEST
  AIRLINES CO
  COM            COMMON STOCK  844741108     321      19596     SH                  X                 3      19596     0     0
STARWOOD
  HTLS&RESORT    COMMON STOCK  85590A401      84       1400     SH                  X                 3       1400     0     0
STREETTRACKS
  GOLD TRUST     COMMON STOCK  863307104     217       3543     SH                  X                 3       3543     0     0
SUNOCO INC       COMMON STOCK  86764P109      59        850     SH                  X                 3        850     0     0
SYNOVUS FINL
  CORP           COMMON STOCK  87161C105      69       2592     SH                  X                 3       2592     0     0
TARGET
  CORPORATION    COMMON STOCK  87612E106    1812      37081     SH                  X                 3      37081     0     0
TENET
  HEALTHCARE     COMMON STOCK  88033G100      25       3637     SH                  X                 3       3637     0     0
3M COMPANY       COMMON STOCK  88579Y101    7414      91802     SH                  X                 3      86327     0  5475
TITAN INTL INC   COMMON STOCK  88830M102      24       1300     SH                  X                 3       1300     0     0
TRADESTATION
  GRP INC        COMMON STOCK  89267P105      37       2900     SH                  X                 3       2900     0     0
TYCO
  INTERNATIONAL
  LTD            COMMON STOCK  902124106     409      14841     SH                  X                 3      14441     0   400
U S BANCORP DEL
  COM NEW        COMMON STOCK  902973304     469      15200     SH                  X                 3      15200     0     0
USEC INC         COMMON STOCK  90333E108      40       3400     SH                  X                 3       3400     0     0
U.S CONCRETE
  INC            COMMON STOCK  90333L102      23       2100     SH                  X                 3       2100     0     0
UNITED
  DOMINION
  REALTY TRUST
  (              COMMON STOCK  910197102      48       1700     SH                  X                 3       N.A.  N.A.  N.A.
UNITED PARCEL
  SERVICE CL B   COMMON STOCK  911312106    7967      96755     SH                  X                 3      93484     0  3271
UNITED
  THERAPEUTICS   COMMON STOCK  91307C102      12        200     SH                  X                 3        200     0     0
UNITEDHEALTH
  GRP INC        COMMON STOCK  91324P102    4017      89710     SH                  X                 3      87026     0  2684
UNUMPROVIDENT
  COR            COMMON STOCK  91529Y106      42       2295     SH                  X                 3       2295     0     0
VALERO L P       COMMON STOCK  91913W104     197       4000     SH                  X                 3          0     0  4000
VALERO ENERGY
  CORP           COMMON STOCK  91913Y100     279       4200     SH                  X                 3       4200     0     0
VARIAN MED SYS
  INC            COMMON STOCK  92220P105     808      17065     SH                  X                 3      16065     0  1000
VERISIGN INC     COMMON STOCK  92343E102      40       1711     SH                  X                 3       1711     0     0
VERITAS DGC INC  COMMON STOCK  92343P107      36        700     SH                  X                 3        700     0     0
VERIZON
  COMMUNICATNS   COMMON STOCK  92343V104    1090      32559     SH                  X                 3      31949     0   610
VODAFONE
  GROUP PLC
  SPONSORED A    COMMON STOCK  92857W100      64       3000     SH                  X                 3          0     0  3000
WGL HLDGS INC
  COM            COMMON STOCK  92924F106      53       1828     SH                  X                 3       1828     0     0
W-H ENERGY
  SVCS INC       COMMON STOCK  92925E108      41        800     SH                  X                 3        800     0     0
WASTE
  MANAGEMENT
  INC            COMMON STOCK  94106L109     145       4050     SH                  X                 3       4050     0     0
WELLCARE
  HEALTH PLAN    COMMON STOCK  94946T106      25        500     SH                  X                 3        500     0     0
WELLPOINT INC    COMMON STOCK  94973V107     338       4650     SH                  X                 3       4650     0     0
WESCO INTL INC   COMMON STOCK  95082P105      41        600     SH                  X                 3        600     0     0
XTO ENERGY INC   COMMON STOCK  98385X106    2004      45256     SH                  X                 3      45256     0     0
XCEL ENERGY
  INC            COMMON STOCK  98389B100      58       3028     SH                  X                 3       3028     0     0
ZIMMER
  HOLDINGS       COMMON STOCK  98956P102    5385      94951     SH                  X                 3      90657     0  4294
ACE LIMITED      COMMON STOCK  G0070K103     121       2400     SH                  X                 3       2400     0     0
COOPER INDS LTD  COMMON STOCK  G24182100      66        710     SH                  X                 3        710     0     0
FOSTER
  WHEELER LTD    COMMON STOCK  G36535139    4638     107407     SH                  X                 3     104614     0  2793
INGERSOLL-RAND
  CO             COMMON STOCK  G4776G101     103       2400     SH                  X                 3       2400     0     0
NABORS INDS
  LTD            COMMON STOCK  G6359F103    5993     177377     SH                  X                 3     172317     0  5060
NOBLE
  CORPORATION    COMMON STOCK  G65422100      80       1075     SH                  X                 3       1075     0     0
SEAGATE
  TECHNOLOGY     COMMON STOCK  G7945J104    6858     302907     SH                  X                 3     295331     0  7576
WEATHERFORD
  INTL LTD       COMMON STOCK  G95089101    2727      54958     SH                  X                 3      54958     0     0
XL CAP LTD       COMMON STOCK  G98255105      81       1325     SH                  X                 3       1325     0     0
SYNERON
  MEDICAL LTD    COMMON STOCK  M87245102      52       2500     SH                  X                 3       2500     0     0
ON TRACK
  INNOVATION     COMMON STOCK  M8791A109      11        900     SH                  X                 3        900     0     0
SEMICONDUCTOR
  HLDRS              DEP RCPT  816636203     112       3400     SH                  X                 3       3400     0     0
ORBOTECH LTD              ORD  M75253100      37       1600     SH                  X                 3       1600     0     0
TRANSOCEAN INC       ORDINARY  G90078109     185       2300     SH                  X                 3       2300     0     0


                                   50 of 52






                                                       SEC USE  -----------------------------------------------------------------
                                                                                      COLUMN 6                      COLUMN 8
                                                                                     INVESTMENT                      VOTING
                                                              COLUMN 5               AUTHORITY                     AUTHORITY
                                                      ------------------------ ----------------------          ------------------
                                                       SHARES
                                            COLUMN 4     OR      SHARES   PUT                         COLUMN 7
    COLUMN 1        COLUMN 2     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER  TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
 --------------  --------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                     
STEINER LEISURE
  LTD            ORDINARY        P8744Y102     43        1100      SH                  X                 3      1100   0      0
TRUSTSTREET
  PPTYS PFD CONV
  7.7            PREFERRED STOCK 898404207      2          96      SH                  X                 3        96   0      0
SIMON PPTY INC   REIT            828806109    116        1400      SH                  X                 3      1400   0      0
ARCHSTONE
  SMITH TR       REIT            039583109     81        1600      SH                  X                 3      1600   0      0
PUBLIC STORAGE
  INC            REIT            74460D109     46         600      SH                  X                 3       600   0      0
ISHARES TR       RUSL 2000 GROW  464287648     52         700      SH                  X                 3       700   0      0
VORNADO RLTY
  TR             SH BEN INT REIT 929042109     78         800      SH                  X                 3       800   0      0
FORDING CDN
  COAL TR        TRUST UNIT      345425102    789       24900      SH                  X                 3     24900   0      0
ALCOA INC COM    COMMON STOCK    013817101      6         200      SH                  X                 4       200   0      0
ALLSTATE CORP    COMMON STOCK    020002101      5         100      SH                  X                 4       100   0      0
AMERICAN
  EXPRESS CO     COMMON STOCK    025816109     11         200      SH                  X                 4       200   0      0
AMERICAN
  INTERNATIONAL
  GROUP I        COMMON STOCK    026874107     18         300      SH                  X                 4       300   0      0
AMERIPRISE
  FINANCIAL INC  COMMON STOCK    03076C106      2          40      SH                  X                 4        40   0      0
AMGEN INC COM    COMMON STOCK    031162100     13         200      SH                  X                 4       200   0      0
AVNET INC COM    COMMON STOCK    053807103      4         200      SH                  X                 4       200   0      0
BANK NEW YORK
  INC COM        COMMON STOCK    064057102      3         100      SH                  X                 4       100   0      0
BELLSOUTH CORP   COMMON STOCK    079860102      7         200      SH                  X                 4       200   0      0
BRISTOL-MYERS
  SQUIBB CO      COMMON STOCK    110122108      6         250      SH                  X                 4       250   0      0
CBS CORP CL B    COMMON STOCK    124857202      3         100      SH                  X                 4       100   0      0
CHEVRON CORP     COMMON STOCK    166764100      9         150      SH                  X                 4       150   0      0
CISCO SYS INC    COMMON STOCK    17275R102     17         850      SH                  X                 4       850   0      0
CIT GROUP INC    COMMON STOCK    125581108     13         250      SH                  X                 4       250   0      0
CITIGROUP INC
  COM            COMMON STOCK    172967101     19         400      SH                  X                 4       400   0      0
CLEAR CHANNEL
  COMMUNICATIONS
  I              COMMON STOCK    184502102      6         200      SH                  X                 4       200   0      0
COCA COLA CO
  COM            COMMON STOCK    191216100     11         250      SH                  X                 4       250   0      0
COLGATE
  PALMOLIVE CO
  COM            COMMON STOCK    194162103      6         100      SH                  X                 4       100   0      0
COMCAST CORP-
  SPECIAL CL A   COMMON STOCK    20030N200     10         300      SH                  X                 4       300   0      0
CONOCOPHILLIPS   COMMON STOCK    20825C104     23         344      SH                  X                 4       344   0      0
CORNING INC      COMMON STOCK    219350105      7         300      SH                  X                 4       300   0      0
DISNEY WALT CO   COMMON STOCK    254687106     13         425      SH                  X                 4       425   0      0
DUPONT EI DE
  NEMOURS & CO
  COM            COMMON STOCK    263534109      4         100      SH                  X                 4       100   0      0
EXXON MOBIL
  CORP           COMMON STOCK    30231G102     18         300      SH                  X                 4       300   0      0
FIRST DATA CORP
  COM            COMMON STOCK    319963104      9         200      SH                  X                 4       200   0      0
FPL GROUP INC
  COM            COMMON STOCK    302571104     12         300      SH                  X                 4       300   0      0
GENERAL
  ELECTRIC
  COMPANY        COMMON STOCK    369604103     18         550      SH                  X                 4       550   0      0
GENERAL MILLS
  INC            COMMON STOCK    370334104      8         150      SH                  X                 4       150   0      0
HARTFORD
  FINANCIAL SVCS
  GRP IN         COMMON STOCK    416515104      8         100      SH                  X                 4       100   0      0
HEALTH
  MANAGEMENT-
  CLASS A        COMMON STOCK    421933102      8         400      SH                  X                 4       400   0      0
HEWLETT
  PACKARD CO
  COM            COMMON STOCK    428236103      8         237      SH                  X                 4       237   0      0
HOME DEPOT INC
  COM            COMMON STOCK    437076102     11         300      SH                  X                 4       300   0      0
HONEYWELL INTL
  INC COM        COMMON STOCK    438516106     12         300      SH                  X                 4       300   0      0
INTEL CORP COM   COMMON STOCK    458140100      8         400      SH                  X                 4       400   0      0
INTERNATIONAL
  BUSINESS
  MACHINE        COMMON STOCK    459200101     15         200      SH                  X                 4       200   0      0
INTERNATIONAL
  RECTIFIER CORP COMMON STOCK    460254105      3          75      SH                  X                 4        75   0      0
JOHNSON &
  JOHNSON COM    COMMON STOCK    478160104     12         200      SH                  X                 4       200   0      0
KIMBERLY CLARK
  CORP           COMMON STOCK    494368103      6         100      SH                  X                 4       100   0      0
KRAFT FOODS INC
  CL A           COMMON STOCK    50075N104      3         100      SH                  X                 4       100   0      0
KROGER CO        COMMON STOCK    501044101      9         400      SH                  X                 4       400   0      0
LILLY ELI & CO   COMMON STOCK    532457108      6         100      SH                  X                 4       100   0      0
LINCOLN NATL
  CORP           COMMON STOCK    534187109     11         200      SH                  X                 4       200   0      0
LIVE NATION INC  COMMON STOCK    538034109      1          25      SH                  X                 4        25   0      0
LOCKHEED
  MARTIN
  CORPORATION
  CO             COMMON STOCK    539830109      7         100      SH                  X                 4       100   0      0
LUCENT
  TECHNOLOGIES
  INC COM        COMMON STOCK    549463107      2         850      SH                  X                 4       850   0      0
MARATHON OIL
  CORP           COMMON STOCK    565849106     33         400      SH                  X                 4       400   0      0
MCDONALDS CORP
  COM            COMMON STOCK    580135101     10         300      SH                  X                 4       300   0      0
MEDCO HEALTH
  SOLUTIONS INC  COMMON STOCK    58405U102      1          24      SH                  X                 4        24   0      0
MERCK & CO INC
  COM            COMMON STOCK    589331107      7         200      SH                  X                 4       200   0      0
MERRILL LYNCH &
  CO INC         COMMON STOCK    590188108      7         100      SH                  X                 4       100   0      0
MICROSOFT CORP   COMMON STOCK    594918104     26        1100      SH                  X                 4      1100   0      0
MORGAN STANLEY
  GROUP INC      COMMON STOCK    617446448      6         100      SH                  X                 4       100   0      0
MOTOROLA INC     COMMON STOCK    620076109      3         150      SH                  X                 4       150   0      0
NEWELL
  RUBBERMAID
  INC COM        COMMON STOCK    651229106      3         100      SH                  X                 4       100   0      0
NOVELL INC       COMMON STOCK    670006105      8        1200      SH                  X                 4      1200   0      0
ORACLE
  CORPORATION
  COM            COMMON STOCK    68389X105     12         850      SH                  X                 4       850   0      0
PEPSICO INC COM  COMMON STOCK    713448108      9         150      SH                  X                 4       150   0      0
PFIZER INC       COMMON STOCK    717081103     12         500      SH                  X                 4       500   0      0
PIPER JAFFRAY
  COMPANIES INC  COMMON STOCK    724078100      0           4      SH                  X                 4         4   0      0


                                   51 of 52






                                                  SEC USE  ----------------------------------------------------------------------
                                                                                 COLUMN 6                        COLUMN 8
                                                                                INVESTMENT                        VOTING
                                                         COLUMN 5               AUTHORITY                        AUTHORITY
                                                 ------------------------ ----------------------          -----------------------
                                                  SHARES
                 COLUMN 2              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
   COLUMN 1      TITLE OF   COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED  OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -------
                                                                                   
PROCTER &
  GAMBLE CO
  COM          COMMON STOCK 742718109       16        295     SH                  X                 4          295     0        0
RAYTHEON CO
  COM NEW      COMMON STOCK 755111507        9        200     SH                  X                 4          200     0        0
ST PAUL
  TRAVELERS
  COMPANIES IN COMMON STOCK 792860108        7        160     SH                  X                 4          160     0        0
SYSCO CORP     COMMON STOCK 871829107        8        250     SH                  X                 4          250     0        0
TEXAS
  INSTRUMENTS
  INC          COMMON STOCK 882508104        3        100     SH                  X                 4          100     0        0
TOLL BROS INC  COMMON STOCK 889478103       10        400     SH                  X                 4          400     0        0
U S BANCORP
  DEL COM NEW  COMMON STOCK 902973304       14        453     SH                  X                 4          453     0        0
UNITED PARCEL
  SERVICE CL B COMMON STOCK 911312106       12        150     SH                  X                 4          150     0        0
VIACOM
  INC-CLASS B  COMMON STOCK 92553P201        4        100     SH                  X                 4          100     0        0
WACHOVIA
  CORP COM     COMMON STOCK 929903102        5        100     SH                  X                 4          100     0        0
WAL MART
  STORES INC
  COM          COMMON STOCK 931142103       14        300     SH                  X                 4          300     0        0
WASHINGTON
  MUTUAL COM   COMMON STOCK 939322103       14        300     SH                  X                 4          300     0        0
WELLS FARGO &
  CO           COMMON STOCK 949746101        7        100     SH                  X                 4          100     0        0
WYETH          COMMON STOCK 983024100       13        300     SH                  X                 4          300     0        0
3M CO          COMMON STOCK 88579Y101       12        150     SH                  X                 4          150     0        0
SCHLUMBERGER
  LTD          COMMON STOCK 806857108       26        400     SH                  X                 4          400     0        0
                                       3215687   75767702                                                 65471223 10511  3301278


                                   52 of 52