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

Form 13F

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2003

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

Institutional Investment Manager Filing this Report:

Name:            Franklin Resources, Inc.
Address:        One Franklin Parkway
                        San Mateo, CA  94403-1906

Form 13F File Number: 28-734

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

Person Signing this Report on Behalf of Reporting Manager:

Name:            Barbara J. Green
Title:              Vice President, Deputy General Counsel and Secretary

Signature, Place, and Date of Signing:



/s/ BARBARA J. GREEN
By: Barbara J. Green
San Mateo, California
February 13, 2004

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
are reported in this report.) [ ] 13F NOTICE. (Check here if no holdings
reported are in this report, and all holdings are reported by other reporting
manager(s).) [ ] 13F COMBINATION REPORT. (Check here if a portion of the
holdings for this reporting manager are reported in this report and a portion
are reported by other reporting manager(s).)







Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:           10

Form 13F Information Table Entry Total: 4,218

Form 13F Information Table Value Total:   $ 103,337,897
                                            (thousands)


List of Other Included Managers:

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


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

A             28-3578             FRANKLIN ADVISERS, INC.
1              28-5454             TEMPLETON GLOBAL ADVISORS LIMITED
2              28-1074             TEMPLETON INVESTMENT COUNSEL, LLC.
3              28-3984             TEMPLETON/FRANKLIN INVESTMENT SERVICES, INC.
4              28-5930             FRANKLIN ADVISORY SERVICES, LLC.
5              28-6154             FRANKLIN MUTUAL ADVISERS, LLC.
6              28-6174             FRANKLIN PRIVATE CLIENT GROUP, INC.
7              28-5825             FRANKLIN INVESTMENT ADVISORY SERVICES, INC.
8              28-6143             FRANKLIN TEMPLETON INVESTMENTS CORP.
9              28-2157             FIDUCIARY TRUST COMPANY INTERNATIONAL



                                                                    FORM 13F FOR PERIOD ENDING 12/31/2003
02/11/2004 6:41 pm                                              REPORTING MANAGER:   FRANKLIN RESOURCES, INC.        Page:    1
(lg13frt.p)   K9L   ----------------------------------------------------------------------------------------------------------------

            ITEM 1                        ITEM 2         ITEM 3    ITEM 4    ITEM 5      ITEM 6    ITEM 7         ITEM 8

      NAME OF ISSUER                      TITLE          CUSIP     FAIR     SHARES OR  INVESTMENT  MANA-      VOTING AUTHORITY
                                            OF           NUMBER    MARKET   PRINCIPAL  DISCRETION  GERS
                                          CLASS                    VALUE     AMOUNT                        SOLE   SHARED      NONE
                                                                  (X1000)                                   (A)     (B)        (C)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
QUEBECOR WORLD INC                     ORDINARY SHS    748203106      3264     122000    SHARED         122000         0         0
TRANSCANADA CORP                       ORDINARY SHS    89353D107    479254   17190424    SHARED   1   17190424         0         0
FAIRMONT HOTELS & RESORTS INC          ORDINARY SHS    305204109     34022    1237256    SHARED   2    1207486         0     29770
KINDRED HEALTHCARE INC                 COMMON SHS      494580103    157463    3241584    SHARED   5    3241584         0         0
QUEBECOR WORLD INC                     ORDINARY SHS    748203106    222606    7087919    SHARED   8    6518719         0    569200
ENERPLUS RESOURCES FUND                CLOSE END UT TR 29274D604      1787      53605    SHARED   9      53605         0         0
AB WATLEY GROUP INC                    COMMON SHS      000788109        81     447350    SHARED   5     447350         0         0
ADC TELECOMMUNICATIONS INC             COMMON SHS      000886101       708     238541    SHARED   9     238541         0         0
ABN AMRO HOLDING NV                    AMER DEP RECPT  000937102      2254      96000    SHARED   8      96000         0         0
ABM INDUSTRIES INC                     COMMON SHS      000957100     13679     785700    SHARED   4     785700         0         0
AFLAC INC                              COMMON SHS      001055102     58293    1611200    SHARED   4    1611200         0         0
AFLAC INC                              COMMON SHS      001055102        72       2001    SHARED   6       2001         0         0
AFLAC INC                              COMMON SHS      001055102      3211      88760    SHARED   8      88760         0         0
AFLAC INC                              COMMON SHS      001055102      4835     133649    SHARED   9     133649         0         0
AFLAC INC                              COMMON SHS      001055102      2171      60000    SHARED   A      60000         0         0
AGL RESOURCES INC                      COMMON SHS      001204106     14550     500000    SHARED   A     500000         0         0
AES CORP                               COMMON SHS      00130H105         0          1    SHARED   6          1         0         0
AES CORP                               COMMON SHS      00130H105      1300     137740    SHARED   9     137740         0         0
AK STEEL HOLDING CORP                  COMMON SHS      001547108        22       4300    SHARED           4300         0         0
AK STEEL HOLDING CORP                  COMMON SHS      001547108       460      90249    SHARED   3      90249         0         0
AK STEEL HOLDING CORP                  COMMON SHS      001547108      8817    1728900    SHARED   8    1728900         0         0
AMB PROPERTY CORP                      REAL EST INV TR 00163T109       440      13397    SHARED   6      13397         0         0
AMB PROPERTY CORP                      REAL EST INV TR 00163T109     18758     570500    SHARED   A     570500         0         0
AMLI RESIDENTIAL PROPERTIES TRUST      REAL EST INV TR 001735109       848      31639    SHARED   6      31639         0         0
AMLI RESIDENTIAL PROPERTIES TRUST      REAL EST INV TR 001735109      9581     357500    SHARED   A     357500         0         0
AMR CORP                               COMMON SHS      001765106     21233    1639628    SHARED        1438620         0    201008
AMR CORP                               COMMON SHS      001765106     13986    1080000    SHARED   7    1080000         0         0
AMR CORP                               COMMON SHS      001765106         6        488    SHARED   9        488         0         0
ATI TECHNOLOGIES INC                   ORDINARY SHS    001941103       235      12075    SHARED   1      12075         0         0
ATI TECHNOLOGIES INC                   ORDINARY SHS    001941103     26167    1342583    SHARED   2    1333953         0      8630
ATI TECHNOLOGIES INC                   ORDINARY SHS    001941103      2477     127090    SHARED   8     127090         0         0
ATI TECHNOLOGIES INC                   COMMON SHS      001941103      6408     423800    SHARED   A     423800         0         0
AT&T CORP                              COMMON SHS      001957505       174       8594    SHARED   1       8594         0         0
AT&T CORP                              COMMON SHS      001957505      4048     199419    SHARED   6     174589         0     24830
AT&T CORP                              COMMON SHS      001957505        79       3878    SHARED   8       3878         0         0
AT&T CORP                              COMMON SHS      001957505      1149      56613    SHARED   9      56613         0         0
AT&T CORP                              COMMON SHS      001957505    142312    7010458    SHARED   A    6586458         0    424000
ATMI INC                               COMMON SHS      00207R101     24155    1043850    SHARED   9    1043850         0         0
ATMI INC                               COMMON SHS      00207R101       125       5400    SHARED   A       5400         0         0
AT&T WIRELESS SERVICES INC             COMMON SHS      00209A106     18659    2335284    SHARED        1563158         0    772126
AT&T WIRELESS SERVICES INC             COMMON SHS      00209A106    526422   65885146    SHARED   1   65872176         0     12970
AT&T WIRELESS SERVICES INC             COMMON SHS      00209A106     13065    1635220    SHARED   2    1635220         0         0
AT&T WIRELESS SERVICES INC             COMMON SHS      00209A106         7        834    SHARED   3        834         0         0
AT&T WIRELESS SERVICES INC             COMMON SHS      00209A106         6        809    SHARED   6        809         0         0
AT&T WIRELESS SERVICES INC             COMMON SHS      00209A106       666      83300    SHARED   8      83300         0         0
AT&T WIRELESS SERVICES INC             COMMON SHS      00209A106      4179     522979    SHARED   9     522979         0         0
AT&T WIRELESS SERVICES INC             COMMON SHS      00209A106     10421    1304200    SHARED   A    1304200         0         0




AU OPTRONICS CORP                      AMER DEP RECPT  002255107         0          1    SHARED   6          1         0         0
AU OPTRONICS CORP                      AMER DEP RECPT  002255107       184      15400    SHARED   9      15400         0         0
AU OPTRONICS CORP                      AMER DEP RECPT  002255107      1788     150000    SHARED   A     150000         0         0
ABBOTT LABORATORIES                    COMMON SHS      002824100     31306     671794    SHARED         557106         0    114688
ABBOTT LABORATORIES                    COMMON SHS      002824100    359365    7711699    SHARED   1    7710799         0       900
ABBOTT LABORATORIES                    COMMON SHS      002824100     31779     681950    SHARED   2     681950         0         0
ABBOTT LABORATORIES                    COMMON SHS      002824100      2078      44587    SHARED   3      44587         0         0
ABBOTT LABORATORIES                    COMMON SHS      002824100      3681      79000    SHARED   4      79000         0         0
ABBOTT LABORATORIES                    COMMON SHS      002824100      4150      89064    SHARED   6      78501         0     10563
ABBOTT LABORATORIES                    COMMON SHS      002824100     18640     400000    SHARED   7     400000         0         0
ABBOTT LABORATORIES                    COMMON SHS      002824100     31106     667507    SHARED   8     667442         0        65
ABBOTT LABORATORIES                    COMMON SHS      002824100     53877    1156154    SHARED   9    1156154         0         0
ABBOTT LABORATORIES                    COMMON SHS      002824100     74877    1606808    SHARED   A    1423408         0    183400
ABERCROMBIE & FITCH CO                 COMMON SHS      002896207       178       7200    SHARED   9       7200         0         0
ABERCROMBIE & FITCH CO                 COMMON SHS      002896207     60463    2446900    SHARED   A    2246400         0    200500
ABGENIX INC                            COMMON SHS      00339B107         0          1    SHARED   6          1         0         0
ABGENIX INC                            COMMON SHS      00339B107     13573    1089300    SHARED   A    1089300         0         0
ABITIBI-CONSOLIDATED INC               ORDINARY SHS    003924107       183      17679    SHARED          17679         0         0
ABITIBI-CONSOLIDATED INC               ORDINARY SHS    003924107     56856    5482769    SHARED   1    5468099         0     14670
ABITIBI-CONSOLIDATED INC               ORDINARY SHS    003924107     20006    1929250    SHARED   2    1929250         0         0
ABITIBI-CONSOLIDATED INC               ORDINARY SHS    003924107    116599   11243891    SHARED   5   11243891         0         0
ABITIBI-CONSOLIDATED INC               ORDINARY SHS    003924107     11568    1115529    SHARED   8    1115529         0         0
ABITIBI-CONSOLIDATED INC               ORDINARY SHS    003924107      1493     144000    SHARED   9     144000         0         0
ACCREDO HEALTH INC                     COMMON SHS      00437V104      7428     235000    SHARED   A     222300         0     12700
ACMAT CORP                             COMMON SHS      004616207      4837     392800    SHARED   4     392800         0         0
ACME COMMUNICATIONS INC                COMMON SHS      004631107      3000     341244    SHARED   6     341244         0         0
ACME COMMUNICATIONS INC                COMMON SHS      004631107      7947     904100    SHARED   A     904100         0         0
ACTION PERFORMANCE COS INC             COMMON SHS      004933107      1882      96000    SHARED   4      96000         0         0
ACTION PERFORMANCE COS INC             COMMON SHS      004933107      7303     372600    SHARED   A     238200         0    134400
ACTEL CORP                             COMMON SHS      004934105     12577     521850    SHARED   9     521850         0         0
ACTEL CORP                             COMMON SHS      004934105     21435     889400    SHARED   A     889400         0         0
ACTUATE CORP                           COMMON SHS      00508B102      4254    1368000    SHARED   A    1368000         0         0
ADAPTEC INC                            COMMON SHS      00651F108     22111    2504100    SHARED   A    2504100         0         0
ADECCO SA                              AMER DEP RECPT  006754105      7904     490646    SHARED   3     490646         0         0
ADECCO SA                              AMER DEP RECPT  006754105         0          1    SHARED   6          1         0         0
ADECCO SA                              AMER DEP RECPT  006754105      1492      92600    SHARED   9      92600         0         0
ADOBE SYSTEMS INC                      COMMON SHS      00724F101         0          1    SHARED   6          1         0         0
ADOBE SYSTEMS INC                      COMMON SHS      00724F101      3471      88320    SHARED   9      88320         0         0
ADOBE SYSTEMS INC                      COMMON SHS      00724F101     76613    1949443    SHARED   A    1949443         0         0
ADOLOR CORP                            COMMON SHS      00724X102      8038     401477    SHARED   6     401477         0         0
ADOLOR CORP                            COMMON SHS      00724X102     48206    2407900    SHARED   A    2400900         0      7000
ADVANCE AUTO PARTS                     COMMON SHS      00751Y106         8         94    SHARED   6         94         0         0
ADVANCE AUTO PARTS                     COMMON SHS      00751Y106     64640     794100    SHARED   A     715900         0     78200
ADVANCED DIGITAL INFORMATION CORP      COMMON SHS      007525108       344      24562    SHARED          24562         0         0
ADVANCED DIGITAL INFORMATION CORP      COMMON SHS      007525108       292      20852    SHARED   6      20852         0         0
ADVANCED DIGITAL INFORMATION CORP      COMMON SHS      007525108     10097     721200    SHARED   9     721200         0         0




ADVANCED DIGITAL INFORMATION CORP      COMMON SHS      007525108      2076     148300    SHARED   A     148300         0         0
ADVANCED FIBRE COMMUNICATIONS          COMMON SHS      00754A105         0          1    SHARED   6          1         0         0
ADVANCED FIBRE COMMUNICATIONS          COMMON SHS      00754A105       187       9300    SHARED   9       9300         0         0
ADVANCED FIBRE COMMUNICATIONS          COMMON SHS      00754A105     43667    2167108    SHARED   A    2167108         0         0
ADVANCED SEMICONDUCTOR ENGINEERING INC AMER DEP RECPT  00756M404        87      17189    SHARED   9      17189         0         0
ADVANCED SEMICONDUCTOR ENGINEERING INC AMER DEP RECPT  00756M404      2651     525000    SHARED   A     525000         0         0
ADVANCED NEUROMODULATION SYSTEMS INC   COMMON SHS      00757T101     17498     380552    SHARED   9     380552         0         0
ADVANCED NEUROMODULATION SYSTEMS INC   COMMON SHS      00757T101        92       2000    SHARED   A       2000         0         0
ADVO INC                               COMMON SHS      007585102       200       6300    SHARED   9       6300         0         0
ADVANCED MEDICAL OPTICS INC            COMMON SHS      00763M108      1747      88888    SHARED   7      88888         0         0
AEROPOSTALE INC                        COMMON SHS      007865108      3662     133550    SHARED   9     133550         0         0
AEROPOSTALE INC                        COMMON SHS      007865108        19        700    SHARED   A        700         0         0
ADVANCED MICRO DEVICES INC             CONV FLT RATE   007903AE7   7764375   75750000    SHARED   A   75750000         0         0
ADVANCED MICRO DEVICES INC             CONVERTIBLE BD  007903AF4      2250    1000000    SHARED   9    1000000         0         0
ADVANCE PCS INC                        COMMON SHS      00790K109     11217     213000    SHARED   5     213000         0         0
ADVANCE PCS INC                        COMMON SHS      00790K109         0          1    SHARED   6          1         0         0
AEGON NV                               NEW YORK SHARES 007924103         0          1    SHARED   6          1         0         0
AEGON NV                               NEW YORK SHARES 007924103       318      21471    SHARED   9      21471         0         0
ADVANTA CORP                           COMMON SHS      007942105      1021      78600    SHARED   A      78600         0         0
ADVANCED ENERGY INDUSTRIES INC         COMMON SHS      007973100     12787     490872    SHARED   6     490872         0         0
ADVANCED ENERGY INDUSTRIES INC         COMMON SHS      007973100       182       7000    SHARED   9       7000         0         0
ADVANCED ENERGY INDUSTRIES INC         COMMON SHS      007973100     68182    2617360    SHARED   A    2617360         0         0
ADVANCED ENERGY INDUSTRIES INC         CONVERTIBLE BD  007973AC4      2258    2000000    SHARED   A    2000000         0         0
AETHER SYSTEMS INC                     CONVERTIBLE BD  00808VAA3       207     210000    SHARED   9     210000         0         0
AETNA INC                              COMMON SHS      00817Y108       301       4450    SHARED           4450         0         0
AETNA INC                              COMMON SHS      00817Y108       195       2890    SHARED   1       2890         0         0
AETNA INC                              COMMON SHS      00817Y108      1266      18730    SHARED   9      18730         0         0
AETNA INC                              COMMON SHS      00817Y108    103800    1535963    SHARED   A    1535963         0         0
AFFILIATED COMPUTER SERVICES INC       COMMON SHS      008190100        15        276    SHARED   6        276         0         0
AFFILIATED COMPUTER SERVICES INC       COMMON SHS      008190100     13527     248392    SHARED   9     248392         0         0
AFFILIATED COMPUTER SERVICES INC       COMMON SHS      008190100    231674    4254015    SHARED   A    4069115         0    184900
AFFILIATED COMPUTER SERVICES INC       CONVERTIBLE BD  008190AF7      6350    5000000    SHARED   A    5000000         0         0
AFFILIATED MANAGERS GROUP INC          COMMON SHS      008252108      6565      94335    SHARED   9      94335         0         0
AFFILIATED MANAGERS GROUP INC          COMMON SHS      008252108        35        500    SHARED   A        500         0         0
AFFYMETRIX INC                         COMMON SHS      00826T108         0          1    SHARED   6          1         0         0
AFFYMETRIX INC                         COMMON SHS      00826T108       308      12500    SHARED   9      12500         0         0
AFFYMETRIX INC                         COMMON SHS      00826T108      2946     119700    SHARED   A     119700         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V100      3735    1224498    SHARED        1224498         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V100    104605   34296639    SHARED   1   34296639         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V100      4618    1514235    SHARED   2    1514235         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V100     10399    3409363    SHARED   8    3409363         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V100         2        803    SHARED   9        803         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V100      1185     388439    SHARED   A     388439         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V209     14100    4862000    SHARED   1    4862000         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V209        63      21889    SHARED   9      21889         0         0
AGERE SYSTEMS INC                      COMMON SHS      00845V209     54279   18716800    SHARED   A   18716800         0         0
AGERE SYSTEMS INC                      CONVERTIBLE BD  00845VAA8     20201   14800000    SHARED   A   14800000         0         0




AGILENT TECHNOLOGIES INC               COMMON SHS      00846U101        14        490    SHARED            490         0         0
AGILENT TECHNOLOGIES INC               COMMON SHS      00846U101         0         16    SHARED   6         16         0         0
AGILENT TECHNOLOGIES INC               COMMON SHS      00846U101     11696     400000    SHARED   7     400000         0         0
AGILENT TECHNOLOGIES INC               COMMON SHS      00846U101      3489     119330    SHARED   9     119330         0         0
AGILENT TECHNOLOGIES INC               COMMON SHS      00846U101     28027     958500    SHARED   A     788400         0    170100
AGILE SOFTWARE CORP                    COMMON SHS      00846X105      1320     133300    SHARED         133300         0         0
AGILE SOFTWARE CORP                    COMMON SHS      00846X105       124      12525    SHARED   1      12525         0         0
AGILE SOFTWARE CORP                    COMMON SHS      00846X105      3148     317950    SHARED   2     317950         0         0
AGNICO EAGLE MINES LTD                 COMMON SHS      008474108      7846     650000    SHARED   A     650000         0         0
AGRIUM INC                             COMMON SHS      008916108     20971    1171900    SHARED   5    1171900         0         0
AGRIUM INC                             ORDINARY SHS    008916108      1561      72973    SHARED   8      72800         0       173
AIR PRODUCTS & CHEMICALS INC           COMMON SHS      009158106     26415     500000    SHARED   7     500000         0         0
AIR PRODUCTS & CHEMICALS INC           COMMON SHS      009158106      6586     124657    SHARED   9     124657         0         0
AIRTRAN HOLDINGS INC                   COMMON SHS      00949P108       256      21474    SHARED          21474         0         0
AIRTRAN HOLDINGS INC                   COMMON SHS      00949P108     10781     906000    SHARED   9     906000         0         0
AIRTRAN HOLDINGS INC                   COMMON SHS      00949P108        58       4900    SHARED   A       4900         0         0
AKZO NOBEL NV                          AMER DEP RECPT  010199305       749      19608    SHARED   2      17280         0      2328
AKZO NOBEL NV                          AMER DEP RECPT  010199305     18548     485552    SHARED   3     485552         0         0
AKZO NOBEL NV                          AMER DEP RECPT  010199305        31        800    SHARED   9        800         0         0
ALASKA AIR GROUP INC                   COMMON SHS      011659109     36858    1350600    SHARED   4    1350600         0         0
ALASKA AIR GROUP INC                   COMMON SHS      011659109        13        472    SHARED   6        472         0         0
ALASKA AIR GROUP INC                   COMMON SHS      011659109     13645     500000    SHARED   7     500000         0         0
ALASKA AIR GROUP INC                   COMMON SHS      011659109        27       1000    SHARED   9       1000         0         0
ALASKA AIR GROUP INC                   COMMON SHS      011659109     17174     629300    SHARED   A     629300         0         0
ALASKA COMMUNICATIONS SYSTEMS HOLDINGS COMMON SHS      01167P101       409      86212    SHARED   6      86212         0         0
ALASKA COMMUNICATIONS SYSTEMS HOLDINGS COMMON SHS      01167P101     11390    2402900    SHARED   A    2402900         0         0
ALBERTO-CULVER CO                      COMMON SHS      013068101      1021      16190    SHARED          16190         0         0
ALBERTO-CULVER CO                      COMMON SHS      013068101        50        785    SHARED   1        785         0         0
ALBERTO-CULVER CO                      COMMON SHS      013068101      7087     112350    SHARED   2     112350         0         0
ALBERTO-CULVER CO                      COMMON SHS      013068101       559       8866    SHARED   3       8866         0         0
ALBERTO-CULVER CO                      COMMON SHS      013068101     74220    1176600    SHARED   4    1176600         0         0
ALBERTO-CULVER CO                      COMMON SHS      013068101       271       4301    SHARED   6       4301         0         0
ALBERTO-CULVER CO                      COMMON SHS      013068101       454       7200    SHARED   9       7200         0         0
ALBERTO-CULVER CO                      COMMON SHS      013068101     18743     297131    SHARED   A     297131         0         0
ALBERTSONS INC                         COMMON SHS      013104104      6526     288111    SHARED         288111         0         0
ALBERTSONS INC                         COMMON SHS      013104104    260629   11506820    SHARED   1   11506820         0         0
ALBERTSONS INC                         COMMON SHS      013104104      2687     118650    SHARED   2     118650         0         0
ALBERTSONS INC                         COMMON SHS      013104104        18        786    SHARED   6        786         0         0
ALBERTSONS INC                         COMMON SHS      013104104       884      39050    SHARED   8      38900         0       150
ALBERTSONS INC                         COMMON SHS      013104104       568      25092    SHARED   9      25092         0         0
ALCAN INC                              ORDINARY SHS    013716105      4873     114908    SHARED          67214         0     47694
ALCAN INC                              ORDINARY SHS    013716105      4445      81154    SHARED   1      81154         0         0
ALCAN INC                              ORDINARY SHS    013716105    248544    4656425    SHARED   2    4364625         0    291800
ALCAN INC                              COMMON SHS      013716105       612      14492    SHARED   5      14492         0         0
ALCAN INC                              ORDINARY SHS    013716105    119701    1976235    SHARED   8    1866094         0    110141
ALCAN INC                              COMMON SHS      013716105      3440      58267    SHARED   9      58267         0         0
ALCAN INC                              ORDINARY SHS    013716105       117       1930    SHARED   A       1930         0         0




ALCOA INC                              COMMON SHS      013817101      1798      47315    SHARED   6      39222         0      8093
ALCOA INC                              COMMON SHS      013817101      8310     218697    SHARED   9     218697         0         0
ALCOA INC                              COMMON SHS      013817101     17275     454603    SHARED   A     454603         0         0
ALCATEL SA                             AMER DEP RECPT  013904305        18       1396    SHARED   9       1396         0         0
ALCATEL SA                             AMER DEP RECPT  013904305      1613     125496    SHARED   A     125496         0         0
ALDERWOODS GROUP INC                   COMMON SHS      014383103     26938    2859701    SHARED   5    2859701         0         0
ALEXANDER & BALDWIN INC                COMMON SHS      014482103     18934     562000    SHARED   5     562000         0         0
ALEXANDER & BALDWIN INC                COMMON SHS      014482103       408      12100    SHARED   9      12100         0         0
ALEXANDER'S INC                        REAL EST INV TR 014752109     60069     481865    SHARED   5     481865         0         0
ALEXANDER'S INC                        REAL EST INV TR 014752109       125       1000    SHARED   9       1000         0         0
ALEXANDRIA REAL ESTATE EQUITIES INC    REAL EST INV TR 015271109     17370     300000    SHARED   A     300000         0         0
ALEXION PHARMACEUTICALS INC            COMMON SHS      015351109      1666      97900    SHARED   A      97900         0         0
ALKERMES INC                           COMMON SHS      01642T108      1350     100001    SHARED   6     100001         0         0
ALKERMES INC                           COMMON SHS      01642T108     10502     777900    SHARED   9     777900         0         0
ALKERMES INC                           COMMON SHS      01642T108     22319    1653250    SHARED   A    1653250         0         0
ALLEGHANY CORP (DEL)                   COMMON SHS      017175100    161863     727473    SHARED   5     727473         0         0
ALLEGHANY CORP (DEL)                   COMMON SHS      017175100       402       1806    SHARED   9       1806         0         0
ALLEGHENY ENERGY INC                   COMMON SHS      017361106     74943    5873300    SHARED   5    5873300         0         0
ALLEGHENY ENERGY INC                   COMMON SHS      017361106       119       9290    SHARED   9       9290         0         0
ALLEN ORGAN CO                         COMMON SHS      017753104      4385      94800    SHARED   4      94800         0         0
ALLERGAN INC                           COMMON SHS      018490102     30724     400000    SHARED   7     400000         0         0
ALLERGAN INC                           COMMON SHS      018490102      9458     123130    SHARED   9     123130         0         0
ALLETE INC                             COMMON SHS      018522102        47       1532    SHARED   9       1532         0         0
ALLETE INC                             COMMON SHS      018522102     36720    1200000    SHARED   A    1200000         0         0
ALLIANCE ATLANTIS COMMUNICATIONS CORP  ORDINARY SHS    01853E204      1759      88730    SHARED   2      88730         0         0
ALLIANCE ATLANTIS COMMUNICATIONS CORP  ORDINARY SHS    01853E204     23453    1183280    SHARED   8    1183280         0         0
ALLIANCE CAPITAL MANAGEMENT HOLDING LP LTD PARTNERSHIP 01855A101      2725      80750    SHARED   8      62500         0     18250
ALLIANCE CAPITAL MANAGEMENT HOLDING LP LTD PARTNERSHIP 01855A101       100       2961    SHARED   9       2961         0         0
ALLIANCE IMAGING INC                   COMMON SHS      018606202      1716     463700    SHARED   A     463700         0         0
ALLIANT ENERGY CORP                    COMMON SHS      018802108        45       1800    SHARED   9       1800         0         0
ALLIANT ENERGY CORP                    COMMON SHS      018802108    160605    6450000    SHARED   A    6450000         0         0
ALLIANT TECHSYSTEMS INC                COMMON SHS      018804104       231       4000    SHARED   9       4000         0         0
ALLIED CAPITAL CORP                    COMMON SHS      01903Q108       433      15520    SHARED   9      15520         0         0
ALLIED IRISH BANKS PLC                 AMER DEP RECPT  019228402      6696     210900    SHARED   8     210900         0         0
ALLIED IRISH BANKS PLC                 AMER DEP RECPT  019228402       616      19400    SHARED   9      19400         0         0
ALLIED WASTE INDUSTRIES INC            COMMON SHS      019589308        47       3420    SHARED   6       3420         0         0
ALLIED WASTE INDUSTRIES INC            COMMON SHS      019589308        97       7000    SHARED   9       7000         0         0
ALLIED WASTE INDUSTRIES INC            COMMON SHS      019589308     73188    5272935    SHARED   A    5272935         0         0
ALLIED WASTE INDUSTRIES INC            CONVERT PREF    019589605        77       1000    SHARED   9       1000         0         0
ALLIED WASTE INDUSTRIES INC            CONVERT PREF    019589605     20471     267600    SHARED   A     267600         0         0
ALLSTATE CORP                          COMMON SHS      020002101     15795     367150    SHARED         367150         0         0
ALLSTATE CORP                          COMMON SHS      020002101      4388     102000    SHARED   4     102000         0         0
ALLSTATE CORP                          COMMON SHS      020002101        96       2235    SHARED   6       2235         0         0
ALLSTATE CORP                          COMMON SHS      020002101     19670     457233    SHARED   9     457233         0         0
ALLTEL CORP                            COMMON SHS      020039103      1437      30843    SHARED   6      25209         0      5634
ALLTEL CORP                            COMMON SHS      020039103      1721      36951    SHARED   9      36951         0         0
ALLTEL CORP                            COMMON SHS      020039103     15786     338900    SHARED   A     338900         0         0




ALLTEL CORP                            CONVERT PREF    020039822       149       3000    SHARED   9       3000         0         0
ALLTEL CORP                            CONVERT PREF    020039822    161525    3250000    SHARED   A    3250000         0         0
ALLSTREAM INC                          COMMON SHS      02004C204     12181     212400    SHARED   4     212400         0         0
ALLSTREAM INC                          COMMON SHS      02004C204      7576     132103    SHARED   6     132103         0         0
ALLSTREAM INC                          COMMON SHS      02004C204     60521    1055300    SHARED   A    1055300         0         0
ALPHARMA INC                           COMMON SHS      020813101      1286      64000    SHARED          64000         0         0
ALPHARMA INC                           COMMON SHS      020813101       614      30536    SHARED   3      30536         0         0
ALPHARMA INC                           COMMON SHS      020813101     23059    1147200    SHARED   A    1147200         0         0
ALPHARMA INC                           CONVERTIBLE BD  020813AD3      4760    4000000    SHARED   A    4000000         0         0
ALTERA CORP                            COMMON SHS      021441100        45       2000    SHARED   9       2000         0         0
ALTERA CORP                            COMMON SHS      021441100     70309    3097307    SHARED   A    3097307         0         0
ALTRIA GROUP INC                       COMMON SHS      02209S103        27        490    SHARED            490         0         0
ALTRIA GROUP INC                       COMMON SHS      02209S103      7047     129500    SHARED   4     129500         0         0
ALTRIA GROUP INC                       COMMON SHS      02209S103    151428    2782589    SHARED   5    2782589         0         0
ALTRIA GROUP INC                       COMMON SHS      02209S103      5746     105577    SHARED   6      91992         0     13585
ALTRIA GROUP INC                       COMMON SHS      02209S103      8333     153130    SHARED   8     146000         0      7130
ALTRIA GROUP INC                       COMMON SHS      02209S103     13735     252387    SHARED   9     252387         0         0
ALTRIA GROUP INC                       COMMON SHS      02209S103    294277    5407521    SHARED   A    5229321         0    178200
ALZA CORP                              CONVERT ZERO CP 02261WAB5    364375    5000000    SHARED   A    5000000         0         0
AMAZON.COM INC                         COMMON SHS      023135106         2         30    SHARED   6         30         0         0
AMAZON.COM INC                         COMMON SHS      023135106       105       2000    SHARED   9       2000         0         0
AMAZON.COM INC                         COMMON SHS      023135106      5267     100063    SHARED   A     100063         0         0
AMBAC FINANCIAL GROUP INC              COMMON SHS      023139108       201       2900    SHARED   9       2900         0         0
AMBAC FINANCIAL GROUP INC              COMMON SHS      023139108      3560      51300    SHARED   A      51300         0         0
AMERADA HESS CORP                      COMMON SHS      023551104       851      16000    SHARED   9      16000         0         0
AMERADA HESS CORP                      CONVERT PREF    023551401      7405     135000    SHARED         135000         0         0
AMERADA HESS CORP                      CONVERT PREF    023551401       549      10000    SHARED   9      10000         0         0
AMEREN CORP                            COMMON SHS      023608102      8923     193989    SHARED   9     193989         0         0
AMEREN CORP                            COMMON SHS      023608102    232760    5060000    SHARED   A    5060000         0         0
AMEREN CORP 9.75% PFD ACES             CONVERT PREF    023608201     23918     800600    SHARED   A     800600         0         0
AMERICA MOVIL SA DE CV                 AMER DEP RECPT  02364W105      1082      39574    SHARED          39574         0         0
AMERICA MOVIL SA DE CV                 AMER DEP RECPT  02364W105      1832      67000    SHARED   8      67000         0         0
AMERICA MOVIL SA DE CV                 AMER DEP RECPT  02364W105     20848     762563    SHARED   9     762563         0         0
AMERICA MOVIL SA DE CV                 AMER DEP RECPT  02364W105      4172     152600    SHARED   A     152600         0         0
AMERICAN CAPITAL STRATEGIES LTD        COMMON SHS      024937104         1         20    SHARED   6         20         0         0
AMERICAN CAPITAL STRATEGIES LTD        COMMON SHS      024937104     10938     367900    SHARED   A     367900         0         0
AMERICAN ELECTRIC POWER CO INC         COMMON SHS      025537101      1696      55604    SHARED   9      55604         0         0
AMERICAN ELECTRIC POWER CO INC         COMMON SHS      025537101    235433    7716600    SHARED   A    7716600         0         0
AMERICAN EAGLE OUTFITTERS INC          COMMON SHS      02553E106      4938     301100    SHARED   4     301100         0         0
AMERICAN EAGLE OUTFITTERS INC          COMMON SHS      02553E106         0          1    SHARED   6          1         0         0
AMERICAN EXPRESS CO                    COMMON SHS      025816109         2         40    SHARED   6         40         0         0
AMERICAN EXPRESS CO                    COMMON SHS      025816109      2887      59850    SHARED   8      59850         0         0
AMERICAN EXPRESS CO                    COMMON SHS      025816109     65964    1367693    SHARED   9    1367693         0         0
AMERICAN EXPRESS CO                    COMMON SHS      025816109        28        571    SHARED   A        571         0         0
AMERICAN FINANCIAL REALTY TRUST        REAL EST INV TR 02607P305     23024    1350400    SHARED   5    1350400         0         0
AMERICAN FINANCIAL REALTY TRUST        REAL EST INV TR 02607P305      4998     293125    SHARED   9     293125         0         0
AMERICAN FINANCIAL REALTY TRUST        REAL EST INV TR 02607P305      6116     358700    SHARED   A     358700         0         0




AMERICAN HOME MORTGAGE INVESTMENT CORP REAL EST INV TR 02660R107     12250     544213    SHARED   6     544213         0         0
AMERICAN HOME MORTGAGE INVESTMENT CORP REAL EST INV TR 02660R107      9675     429810    SHARED   A     429810         0         0
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107      7182     108364    SHARED          19915         0     88449
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107     57316     864762    SHARED   1     864262         0       500
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107     10892     164327    SHARED   2     164327         0         0
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107       796      12016    SHARED   3      12016         0         0
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107    101729    1534832    SHARED   4    1534832         0         0
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107       828      12491    SHARED   6      12491         0         0
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107     21190     319700    SHARED   8     317745         0      1955
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107    255064    3848282    SHARED   9    3848282         0         0
AMERICAN INTERNATIONAL GROUP INC       COMMON SHS      026874107     32755     494190    SHARED   A     333290         0    160900
AMERICAN ITALIAN PASTA CO              COMMON SHS      027070101      4052      96700    SHARED   2      96700         0         0
AMERICAN MEDICAL SYSTEMS HOLDINGS LTD  COMMON SHS      02744M108      5877     269568    SHARED   6     269568         0         0
AMERICAN MEDICAL SYSTEMS HOLDINGS LTD  COMMON SHS      02744M108     33797    1550300    SHARED   A    1550300         0         0
AMERICAN NATIONAL INSURANCE CO         COMMON SHS      028591105     64762     767600    SHARED   4     767600         0         0
AMERICAN NATIONAL INSURANCE CO         COMMON SHS      028591105      1038      12300    SHARED   A      12300         0         0
AMERICAN PACIFIC CORP                  COMMON SHS      028740108      6421     668900    SHARED   4     668900         0         0
AMERICAN PACIFIC CORP                  COMMON SHS      028740108       319      33178    SHARED   A          0         0     33178
AMERICAN POWER CONVERSION CORP         COMMON SHS      029066107     12225     500000    SHARED   7     500000         0         0
AMERICAN POWER CONVERSION CORP         COMMON SHS      029066107       510      20850    SHARED   9      20850         0         0
AMERICAN STANDARD COS INC              COMMON SHS      029712106      2436      24195    SHARED   9      24195         0         0
AMERICAN STATES WATER CO               COMMON SHS      029899101      6188     247500    SHARED   A     247500         0         0
AMERICAN WOODMARK CORP                 COMMON SHS      030506109       947      17200    SHARED   4      17200         0         0
AMERSHAM PLC                           AMER DEP RECPT  030719108       494       7242    SHARED   2       7242         0         0
AMERISOURCE HEALTH CORP                CONVERTIBLE BD  03071PAD4     21088   17500000    SHARED   A   17500000         0         0
AMERUS GROUP CO                        COMMON SHS      03072M108     11365     325000    SHARED   4     325000         0         0
AMERISOURCEBERGEN CORP                 COMMON SHS      03073E105      6163     109757    SHARED          53581         0     56176
AMERISOURCEBERGEN CORP                 COMMON SHS      03073E105    198625    3537406    SHARED   1    3537406         0         0
AMERISOURCEBERGEN CORP                 COMMON SHS      03073E105     11620     206950    SHARED   2     206950         0         0
AMERISOURCEBERGEN CORP                 COMMON SHS      03073E105      1917      34145    SHARED   3      34145         0         0
AMERISOURCEBERGEN CORP                 COMMON SHS      03073E105        10        173    SHARED   6        173         0         0
AMERISOURCEBERGEN CORP                 COMMON SHS      03073E105       254       4530    SHARED   9       4530         0         0
AMERISOURCEBERGEN CORP                 COMMON SHS      03073E105    116503    2074854    SHARED   A    1961454         0    113400
AMERIGROUP CORP                        COMMON SHS      03073T102       213       5000    SHARED   9       5000         0         0
AMERITRADE HOLDING CORP                COMMON SHS      03074K100       418      29700    SHARED   9      29700         0         0
AMERITRADE HOLDING CORP                COMMON SHS      03074K100     35302    2509000    SHARED   A    2509000         0         0
AMETEK INC                             COMMON SHS      031100100     14964     310062    SHARED   6     310062         0         0
AMETEK INC                             COMMON SHS      031100100       381       7900    SHARED   9       7900         0         0
AMETEK INC                             COMMON SHS      031100100     15361     318300    SHARED   A     318300         0         0
AMGEN INC                              COMMON SHS      031162100       935      15123    SHARED          15123         0         0
AMGEN INC                              COMMON SHS      031162100      1561      25265    SHARED   6      25265         0         0
AMGEN INC                              COMMON SHS      031162100     57598     932000    SHARED   7     932000         0         0
AMGEN INC                              COMMON SHS      031162100     87034    1408311    SHARED   9    1408311         0         0
AMGEN INC                              COMMON SHS      031162100    159684    2583879    SHARED   A    2448679         0    135200
AMSOUTH BANCORPORATION                 COMMON SHS      032165102       429      17500    SHARED   9      17500         0         0
AMYLIN PHARMACEUTICALS INC             COMMON SHS      032346108        13        600    SHARED   9        600         0         0
AMYLIN PHARMACEUTICALS INC             COMMON SHS      032346108      7677     345500    SHARED   A     340600         0      4900




ANADARKO PETROLEUM CORP                COMMON SHS      032511107         0          1    SHARED   6          1         0         0
ANADARKO PETROLEUM CORP                COMMON SHS      032511107      3389      66436    SHARED   9      66436         0         0
ANADARKO PETROLEUM CORP                COMMON SHS      032511107      2841      55700    SHARED   A      55700         0         0
ANADIGICS INC                          COMMON SHS      032515108      7817    1311600    SHARED   9    1311600         0         0
ANADIGICS INC                          COMMON SHS      032515108        42       7100    SHARED   A       7100         0         0
ANALOG DEVICES INC                     COMMON SHS      032654105     34934     765259    SHARED   9     765259         0         0
ANALOG DEVICES INC                     COMMON SHS      032654105     28366     621389    SHARED   A     621389         0         0
ANGLO AMERICAN PLC                     AMER DEP RECPT  03485P102       111       5000    SHARED   5       5000         0         0
ANGLO AMERICAN PLC                     AMER DEP RECPT  03485P102       796      36000    SHARED   9      36000         0         0
ANGLO AMERICAN PLC                     AMER DEP RECPT  03485P102      9301     420479    SHARED   A     420479         0         0
ANGIOTECH PHARMACEUTICALS INC          COMMON SHS      034918102     44519     967800    SHARED   A     963200         0      4600
ANGLOGOLD LTD                          AMER DEP RECPT  035128206        17        371    SHARED   1        371         0         0
ANGLOGOLD LTD                          AMER DEP RECPT  035128206       866      18550    SHARED   2      18550         0         0
ANGLOGOLD LTD                          AMER DEP RECPT  035128206       226       4840    SHARED   9       4840         0         0
ANGLOGOLD LTD                          AMER DEP RECPT  035128206    141419    3028240    SHARED   A    3028240         0         0
ANHEUSER BUSCH COS INC                 COMMON SHS      035229103        21        390    SHARED            390         0         0
ANHEUSER BUSCH COS INC                 COMMON SHS      035229103     61892    1174868    SHARED   9    1174868         0         0
ANHEUSER BUSCH COS INC                 COMMON SHS      035229103     26250     498292    SHARED   A     498292         0         0
ANNALY MORTGAGE MANAGEMENT INC         COMMON SHS      035710409       974      52950    SHARED   9      52950         0         0
ANTHEM INC                             COMMON SHS      03674B104        45        600    SHARED   9        600         0         0
ANTHEM INC                             COMMON SHS      03674B104      6139      81850    SHARED   A      78250         0      3600
ANTEON INTERNATIONAL CORP              COMMON SHS      03674E108        11        300    SHARED   9        300         0         0
ANTEON INTERNATIONAL CORP              COMMON SHS      03674E108     15047     417400    SHARED   A     417400         0         0
AON CORP                               COMMON SHS      037389103      9829     410556    SHARED         202032         0    208524
AON CORP                               COMMON SHS      037389103      3319     138638    SHARED   1     138638         0         0
AON CORP                               COMMON SHS      037389103      6486     270920    SHARED   2     270920         0         0
AON CORP                               COMMON SHS      037389103      2006      83802    SHARED   3      83802         0         0
AON CORP                               COMMON SHS      037389103      2442     102020    SHARED   8     102020         0         0
AON CORP                               COMMON SHS      037389103        96       4000    SHARED   9       4000         0         0
APACHE CORP                            COMMON SHS      037411105       712       8782    SHARED           8782         0         0
APACHE CORP                            COMMON SHS      037411105         3         35    SHARED   6         35         0         0
APACHE CORP                            COMMON SHS      037411105      8694     107196    SHARED   8     105367         0      1829
APACHE CORP                            COMMON SHS      037411105     50064     617318    SHARED   9     617318         0         0
APACHE CORP                            COMMON SHS      037411105      1404      17310    SHARED   A      17310         0         0
APARTMENT INVESTMENT & MANAGEMENT CO   REAL EST INV TR 03748R101      6124     177500    SHARED   A     177500         0         0
APOLLO GROUP INC                       COMMON SHS      037604105      1022      15023    SHARED          15023         0         0
APOLLO GROUP INC                       COMMON SHS      037604105         0          1    SHARED   6          1         0         0
APOLLO GROUP INC                       COMMON SHS      037604105     38083     560041    SHARED   9     560041         0         0
APOLLO GROUP INC                       COMMON SHS      037604105      2720      40000    SHARED   A      40000         0         0
UNIVERSITY OF PHOENIX ONLINE           COMMON SHS      037604204     26249     380800    SHARED   A     380800         0         0
APOGENT TECHNOLOGIES INC               COMMON SHS      03760A101      1763      76500    SHARED   A      67000         0      9500
APOLLO GOLD CORP                       ORDINARY SHS    03761E102      5032    1700000    SHARED   5    1700000         0         0
APOLLO GOLD CORP                       ORDINARY SHS    03761E102      3404    1150000    SHARED   A    1150000         0         0
APPLE COMPUTER INC                     COMMON SHS      037833100         1         50    SHARED   6         50         0         0
APPLE COMPUTER INC                     COMMON SHS      037833100     10685     500000    SHARED   7     500000         0         0
APPLE COMPUTER INC                     COMMON SHS      037833100      1324      61960    SHARED   9      61960         0         0
APRIA HEALTHCARE GROUP INC             COMMON SHS      037933108      5574     195800    SHARED   A     119000         0     76800




APPLERA CORP-APPLIED BIOSYSTEMS GROUP  COMMON SHS      038020103         2        100    SHARED   6        100         0         0
APPLERA CORP-APPLIED BIOSYSTEMS GROUP  COMMON SHS      038020103      1128      54459    SHARED   9      54459         0         0
APPLERA CORP-CELERA GENOMICS GROUP     COMMON SHS      038020202       150      10800    SHARED   9      10800         0         0
APPLIED INDUSTRIAL TECHNOLOGIES INC    COMMON SHS      03820C105     16702     700000    SHARED   4     700000         0         0
APPLIED MATERIALS INC                  COMMON SHS      038222105       787      35037    SHARED          35037         0         0
APPLIED MATERIALS INC                  COMMON SHS      038222105         0          1    SHARED   6          1         0         0
APPLIED MATERIALS INC                  COMMON SHS      038222105     64780    2885532    SHARED   9    2885532         0         0
APPLIED MATERIALS INC                  COMMON SHS      038222105     93968    4185642    SHARED   A    3662942         0    522700
APTARGROUP INC                         COMMON SHS      038336103      9621     246700    SHARED   4     246700         0         0
APTARGROUP INC                         COMMON SHS      038336103       546      14000    SHARED   9      14000         0         0
AQUANTIVE INC                          COMMON SHS      03839G105     19365    1889300    SHARED   A    1889300         0         0
AQUILA INC                             COMMON SHS      03840P102         0          1    SHARED   6          1         0         0
AQUILA INC                             COMMON SHS      03840P102      3970    1171023    SHARED   A    1171023         0         0
ARACRUZ CELULOSE SA                    DEP RCPT PFD    038496204      2572      73390    SHARED   1      73390         0         0
ARACRUZ CELULOSE SA                    DEP RCPT PFD    038496204      6560     187205    SHARED   2     184655         0      2550
ARADIGM CORP                           COMMON SHS      038505103       422     246600    SHARED   A     214700         0     31900
ARBITRON INC                           COMMON SHS      03875Q108       219       5240    SHARED   9       5240         0         0
ARCH COAL INC                          COMMON SHS      039380100     14011     449500    SHARED   4     449500         0         0
ARCH COAL INC                          COMMON SHS      039380100         6        200    SHARED   9        200         0         0
ARCH COAL INC                          COMMON SHS      039380100      8129     260800    SHARED   A     150000         0    110800
ARCH WIRELESS INC                      COMMON SHS      039392709     27011    1364173    SHARED   A    1364173         0         0
ARCHER DANIELS MIDLAND CO              COMMON SHS      039483102         1         86    SHARED   6         86         0         0
ARCHER DANIELS MIDLAND CO              COMMON SHS      039483102     21895    1438566    SHARED   9    1438566         0         0
ARCHSTONE-SMITH TRUST                  REAL EST INV TR 039583109       860      30740    SHARED   6      30740         0         0
ARCHSTONE-SMITH TRUST                  REAL EST INV TR 039583109       846      30238    SHARED   9      30238         0         0
ARCHSTONE-SMITH TRUST                  REAL EST INV TR 039583109     51229    1830927    SHARED   A    1830927         0         0
ARDEN REALTY INC                       REAL EST INV TR 039793104      1085      35769    SHARED   6      35769         0         0
ARDEN REALTY INC                       REAL EST INV TR 039793104       130       4300    SHARED   9       4300         0         0
ARDEN REALTY INC                       REAL EST INV TR 039793104     20549     677300    SHARED   A     677300         0         0
ARGOSY GAMING CO                       COMMON SHS      040228108     13965     537325    SHARED   6     537325         0         0
ARGOSY GAMING CO                       COMMON SHS      040228108     41192    1584900    SHARED   A    1584900         0         0
ARM HOLDINGS PLC                       AMER DEP RECPT  042068106     11031    1598700    SHARED   A    1598700         0         0
ARRIS GROUP INC                        COMMON SHS      04269Q100     13837    1911155    SHARED   6    1911155         0         0
ARRIS GROUP INC                        COMMON SHS      04269Q100         1        200    SHARED   9        200         0         0
ARRIS GROUP INC                        COMMON SHS      04269Q100      9191    1269500    SHARED   A    1269500         0         0
ARTS WAY MANUFACTURING CO INC          COMMON SHS      043168103       646     134500    SHARED   4     134500         0         0
ARVINMERITOR INC                       COMMON SHS      043353101       301      12499    SHARED   7      12499         0         0
ASCENTIAL SOFTWARE CORP                COMMON SHS      04362P207        10        400    SHARED   9        400         0         0
ASCENTIAL SOFTWARE CORP                COMMON SHS      04362P207     18082     697325    SHARED   A     697325         0         0
ASHANTI GOLDFIELDS CO LTD              GLBL DEP RECPT  043743202     14536    1114700    SHARED   5    1114700         0         0
ASHANTI GOLDFIELDS CO LTD              GLBL DEP RECPT  043743202     39152    3002450    SHARED   A    3002450         0         0
ASHFORD HOSPITALITY TRUST              REAL EST INV TR 044103109       411      43785    SHARED   6      43785         0         0
ASHFORD HOSPITALITY TRUST              REAL EST INV TR 044103109      8921     950000    SHARED   A     950000         0         0
ASK JEEVES INC                         COMMON SHS      045174109     54873    3028300    SHARED   A    3028300         0         0
ASPEN TECHNOLOGY INC                   COMMON SHS      045327103      3882     378405    SHARED   6     378405         0         0
ASPEN TECHNOLOGY INC                   COMMON SHS      045327103     31792    3098612    SHARED   A    3098612         0         0
ASTORIA FINANCIAL CORP                 COMMON SHS      046265104     73488    1975480    SHARED   5    1975480         0         0




ASTORIA FINANCIAL CORP                 COMMON SHS      046265104       171       4600    SHARED   9       4600         0         0
ASTRAZENECA PLC                        AMER DEP RECPT  046353108      4519      93400    SHARED   8      93400         0         0
ASTRAZENECA PLC                        AMER DEP RECPT  046353108      1522      31466    SHARED   9      31466         0         0
ATHEROGENICS INC                       COMMON SHS      047439104       897      60000    SHARED   6      60000         0         0
ATHEROGENICS INC                       COMMON SHS      047439104      7855     525400    SHARED   A     525400         0         0
ATLANTIC COAST AIRLINES HOLDINGS INC   COMMON SHS      048396105      1980     200000    SHARED   5     200000         0         0
ATLANTIC COAST AIRLINES HOLDINGS INC   COMMON SHS      048396105         0          1    SHARED   6          1         0         0
ATLANTIC TELE-NETWORK INC              COMMON SHS      049079205      6311     225000    SHARED   4     225000         0         0
ATMEL CORP                             COMMON SHS      049513104        88      14690    SHARED   9      14690         0         0
ATMEL CORP                             COMMON SHS      049513104     14444    2403406    SHARED   A    2403406         0         0
ATMOS ENERGY CORP                      COMMON SHS      049560105     22356     920000    SHARED   A     920000         0         0
ATWOOD OCEANICS INC                    COMMON SHS      050095108      5609     175600    SHARED   4     175600         0         0
ATWOOD OCEANICS INC                    COMMON SHS      050095108         0          1    SHARED   6          1         0         0
ATWOOD OCEANICS INC                    COMMON SHS      050095108      7653     239600    SHARED   A     155400         0     84200
AUTOLIV INC                            ORDINARY SHS    052800109     22356     593784    SHARED         593784         0         0
AUTOLIV INC                            ORDINARY SHS    052800109       124       3300    SHARED   1       3300         0         0
AUTOLIV INC                            ORDINARY SHS    052800109     64980    1725908    SHARED   2    1725772         0       136
AUTOLIV INC                            ORDINARY SHS    052800109      7751     205882    SHARED   3     205882         0         0
AUTOLIV INC                            ORDINARY SHS    052800109       106       2818    SHARED   9       2818         0         0
AUTOMATIC DATA PROCESSING INC          COMMON SHS      053015103        24        600    SHARED            600         0         0
AUTOMATIC DATA PROCESSING INC          COMMON SHS      053015103      3106      78404    SHARED   6      67820         0     10584
AUTOMATIC DATA PROCESSING INC          COMMON SHS      053015103     31688     800000    SHARED   7     800000         0         0
AUTOMATIC DATA PROCESSING INC          COMMON SHS      053015103     17192     434033    SHARED   9     434033         0         0
AUTOMATIC DATA PROCESSING INC          COMMON SHS      053015103     32880     830100    SHARED   A     740300         0     89800
AUTOZONE INC                           COMMON SHS      053332102        12        136    SHARED   6        136         0         0
AUTOZONE INC                           COMMON SHS      053332102       392       4600    SHARED   9       4600         0         0
AUTOZONE INC                           COMMON SHS      053332102    106667    1251808    SHARED   A    1168708         0     83100
AVALONBAY COMMUNITIES INC              REAL EST INV TR 053484101      2116      44268    SHARED   6      44268         0         0
AVALONBAY COMMUNITIES INC              REAL EST INV TR 053484101        53       1100    SHARED   9       1100         0         0
AVALONBAY COMMUNITIES INC              REAL EST INV TR 053484101     29158     610000    SHARED   A     610000         0         0
AVAYA INC                              COMMON SHS      053499109         0          1    SHARED   6          1         0         0
AVAYA INC                              COMMON SHS      053499109       118       9149    SHARED   9       9149         0         0
AVAYA INC                              COMMON SHS      053499109    111848    8643604    SHARED   A    8643604         0         0
AVENTIS SA                             AMER DEP RECPT  053561106       287       4327    SHARED   2       4327         0         0
AVENTIS SA                             AMER DEP RECPT  053561106     21694     327405    SHARED   3     327405         0         0
AVENTIS SA                             AMER DEP RECPT  053561106       897      13532    SHARED   9      13532         0         0
AVERY DENNISON CORP                    COMMON SHS      053611109      1515      27051    SHARED   6      23036         0      4015
AVERY DENNISON CORP                    COMMON SHS      053611109     25881     462000    SHARED   7     462000         0         0
AVERY DENNISON CORP                    COMMON SHS      053611109      8428     150440    SHARED   8     148550         0      1890
AVERY DENNISON CORP                    COMMON SHS      053611109       976      17420    SHARED   9      17420         0         0
AVERY DENNISON CORP                    COMMON SHS      053611109     10392     185500    SHARED   A     185500         0         0
AVOCENT CORP                           COMMON SHS      053893103     11084     303500    SHARED   4     303500         0         0
AVOCENT CORP                           COMMON SHS      053893103       260       7131    SHARED   6       7131         0         0
AVOCENT CORP                           COMMON SHS      053893103    100334    2747360    SHARED   A    2747360         0         0
AVON PRODUCTS INC                      COMMON SHS      054303102         3         51    SHARED   6         51         0         0
AVON PRODUCTS INC                      COMMON SHS      054303102     33290     493262    SHARED   9     493262         0         0
AXA SA                                 AMER DEP RECPT  054536107      7766     361700    SHARED   1     361700         0         0




AXA SA                                 AMER DEP RECPT  054536107       354      16470    SHARED   2      16470         0         0
AXA SA                                 AMER DEP RECPT  054536107     14039     653889    SHARED   3     653889         0         0
AXA SA                                 AMER DEP RECPT  054536107       819      38124    SHARED   9      38124         0         0
AXCELIS TECHNOLOGIES INC               COMMON SHS      054540109       200      19560    SHARED   9      19560         0         0
AXCELIS TECHNOLOGIES INC               CONVERTIBLE BD  054540AB5       121     125000    SHARED   9     125000         0         0
AZTAR CORP                             COMMON SHS      054802103     78336    3481600    SHARED   4    3481600         0         0
AXCAN PHARMA INC                       ORDINARY SHS    054923107     29192    1441575    SHARED   8    1360944         0     80631
BB&T CORP                              COMMON SHS      054937107       273       7057    SHARED   9       7057         0         0
BASF AG                                AMER DEP RECPT  055262505       856      15360    SHARED   2      15360         0         0
BASF AG                                AMER DEP RECPT  055262505     20458     366960    SHARED   3     366960         0         0
BASF AG                                AMER DEP RECPT  055262505         0          1    SHARED   6          1         0         0
BASF AG                                AMER DEP RECPT  055262505        20        350    SHARED   9        350         0         0
BCE INC                                ORDINARY SHS    05534B109     40199    1404568    SHARED        1084761         0    319807
BCE INC                                ORDINARY SHS    05534B109    438581   15175819    SHARED   1   15168097         0      7722
BCE INC                                ORDINARY SHS    05534B109    320468   11094586    SHARED   2   10603367         0    491219
BCE INC                                COMMON SHS      05534B109     12760     570673    SHARED   3     570673         0         0
BCE INC                                ORDINARY SHS    05534B109    135659    4694100    SHARED   5    4694100         0         0
BCE INC                                ORDINARY SHS    05534B109    126751    4385837    SHARED   8    4103738         0    282099
BCE INC                                COMMON SHS      05534B109      3654     140199    SHARED   9     140199         0         0
BCE INC                                ORDINARY SHS    05534B109       119       4120    SHARED   A       4120         0         0
BEI TECHNOLOGIES INC                   COMMON SHS      05538P104       900      45000    SHARED   9      45000         0         0
BEI TECHNOLOGIES INC                   COMMON SHS      05538P104       340      17000    SHARED   A      17000         0         0
BISYS GROUP INC                        COMMON SHS      055472104      2589     173978    SHARED   9     173978         0         0
BISYS GROUP INC                        CONVERTIBLE BD  055472AB0        70      70000    SHARED   9      70000         0         0
BISYS GROUP INC                        CONVERTIBLE BD  055472AB0      3990    4000000    SHARED   A    4000000         0         0
BJ SERVICES CO                         COMMON SHS      055482103       444      12378    SHARED          12378         0         0
BJ SERVICES CO                         COMMON SHS      055482103         0          1    SHARED   6          1         0         0
BJ SERVICES CO                         COMMON SHS      055482103     59560    1659049    SHARED   9    1659049         0         0
BJ SERVICES CO                         COMMON SHS      055482103      1823      50779    SHARED   A      50779         0         0
BP PLC                                 AMER DEP RECPT  055622104        29        580    SHARED            580         0         0
BP PLC                                 AMER DEP RECPT  055622104       252       5110    SHARED   1       5110         0         0
BP PLC                                 AMER DEP RECPT  055622104      3940      79840    SHARED   2      51290         0     28550
BP PLC                                 AMER DEP RECPT  055622104     18113     367031    SHARED   3     367031         0         0
BP PLC                                 AMER DEP RECPT  055622104     22972     465500    SHARED   5     465500         0         0
BP PLC                                 AMER DEP RECPT  055622104      4965     100604    SHARED   6      83539         0     17065
BP PLC                                 AMER DEP RECPT  055622104     14568     295200    SHARED   7     295200         0         0
BP PLC                                 AMER DEP RECPT  055622104      7881     159700    SHARED   8     159700         0         0
BP PLC                                 AMER DEP RECPT  055622104     91876    1861726    SHARED   9    1861726         0         0
BP PLC                                 AMER DEP RECPT  055622104    308422    6249694    SHARED   A    6249694         0         0
BP PRUDHOE BAY ROYALTY TR              COMMON SHS      055630107      4336     152200    SHARED   9     152200         0         0
BMC SOFTWARE INC                       COMMON SHS      055921100     38779    2079287    SHARED        1676724         0    402563
BMC SOFTWARE INC                       COMMON SHS      055921100    120594    6466192    SHARED   1    6463992         0      2200
BMC SOFTWARE INC                       COMMON SHS      055921100     19512    1046216    SHARED   2    1046216         0         0
BMC SOFTWARE INC                       COMMON SHS      055921100         0          1    SHARED   6          1         0         0
BMC SOFTWARE INC                       COMMON SHS      055921100      6735     361100    SHARED   8     361100         0         0
BMC SOFTWARE INC                       COMMON SHS      055921100       262      14050    SHARED   9      14050         0         0
BMC SOFTWARE INC                       COMMON SHS      055921100      2616     140292    SHARED   A     140292         0         0




BAKER HUGHES INC                       COMMON SHS      057224107         3         80    SHARED   6         80         0         0
BAKER HUGHES INC                       COMMON SHS      057224107       588      18297    SHARED   9      18297         0         0
BAKER HUGHES INC                       COMMON SHS      057224107       650      20200    SHARED   A      20200         0         0
BALDOR ELECTRIC CO                     COMMON SHS      057741100      4659     203899    SHARED   4     203899         0         0
BALDWIN & LYONS INC                    COMMON SHS      057755209      4318     153875    SHARED   4     153875         0         0
BALL CORPORATION                       COMMON SHS      058498106         0          1    SHARED   6          1         0         0
BALL CORPORATION                       COMMON SHS      058498106       262       4400    SHARED   9       4400         0         0
BANCO BRADESCO SA                      DEP RCPT PFD    059460204    150276    5690129    SHARED        5202359         0    487770
BANCO BRADESCO SA                      DEP RCPT PFD    059460204      6457     244475    SHARED   1     244475         0         0
BANCO ITAU HOLDINGS FINANCEIRA S.A.    AMER DEP RECPT  059602201       601      12331    SHARED   1      12331         0         0
BANCO ITAU HOLDINGS FINANCEIRA S.A.    AMER DEP RECPT  059602201      2684      55040    SHARED   9      55040         0         0
BANCO SANTANDER CENTRAL HISPANO SA     AMER DEP RECPT  05964H105         0          1    SHARED   6          1         0         0
BANCO SANTANDER CENTRAL HISPANO SA     AMER DEP RECPT  05964H105       729      60740    SHARED   9      60740         0         0
BANK OF AMERICA CORP                   COMMON SHS      060505104     13809     171684    SHARED          99438         0     72246
BANK OF AMERICA CORP                   COMMON SHS      060505104      3806      47323    SHARED   1      47323         0         0
BANK OF AMERICA CORP                   COMMON SHS      060505104      4054      50400    SHARED   2      50400         0         0
BANK OF AMERICA CORP                   COMMON SHS      060505104      2895      36000    SHARED   4      36000         0         0
BANK OF AMERICA CORP                   COMMON SHS      060505104      6400      79567    SHARED   6      70819         0      8748
BANK OF AMERICA CORP                   COMMON SHS      060505104     10600     131797    SHARED   8     127817         0      3980
BANK OF AMERICA CORP                   COMMON SHS      060505104     43881     545578    SHARED   9     545578         0         0
BANK OF AMERICA CORP                   COMMON SHS      060505104     50220     624388    SHARED   A     501788         0    122600
BANK OF HAWAII CORP                    COMMON SHS      062540109       556      13178    SHARED   9      13178         0         0
BANK OF MONTREAL                       ORDINARY SHS    063671101      3021      56473    SHARED   2      56473         0         0
BANK OF MONTREAL                       ORDINARY SHS    063671101    152666    2853566    SHARED   8    2629082         0    224484
BANK OF MONTREAL                       COMMON SHS      063671101       826      20000    SHARED   9      20000         0         0
BANK MUTUAL CORP                       COMMON SHS      063750103     25275    2219034    SHARED   5    2219034         0         0
BANK OF NEW YORK CO INC                COMMON SHS      064057102      4547     137298    SHARED           4260         0    133038
BANK OF NEW YORK CO INC                COMMON SHS      064057102      9457     285552    SHARED   1     285552         0         0
BANK OF NEW YORK CO INC                COMMON SHS      064057102      1203      36320    SHARED   2      36320         0         0
BANK OF NEW YORK CO INC                COMMON SHS      064057102         1         45    SHARED   6         45         0         0
BANK OF NEW YORK CO INC                COMMON SHS      064057102      9328     281654    SHARED   8     281564         0        90
BANK OF NEW YORK CO INC                COMMON SHS      064057102     36953    1115718    SHARED   9    1115718         0         0
BANK OF NEW YORK CO INC                COMMON SHS      064057102     10264     309900    SHARED   A     309900         0         0
BANK OF NOVA SCOTIA                    ORDINARY SHS    064149107      1634      24833    SHARED   2      24833         0         0
BANK OF NOVA SCOTIA                    ORDINARY SHS    064149107    224332    3409299    SHARED   8    3152392         0    256907
BANK OF NOVA SCOTIA                    ORDINARY SHS    064149107       535      10566    SHARED   9      10566         0         0
BANK ONE CORP                          COMMON SHS      06423A103        29        646    SHARED   6        646         0         0
BANK ONE CORP                          COMMON SHS      06423A103      4225      92673    SHARED   9      92673         0         0
BANK ONE CORP                          COMMON SHS      06423A103      1915      42000    SHARED   A      42000         0         0
BANKNORTH GROUP INC                    COMMON SHS      06646R107      4113     126432    SHARED   5     126432         0         0
BANKNORTH GROUP INC                    COMMON SHS      06646R107         0          1    SHARED   6          1         0         0
BANKNORTH GROUP INC                    COMMON SHS      06646R107       489      15040    SHARED   9      15040         0         0
C R BARD INC                           COMMON SHS      067383109         0          1    SHARED   6          1         0         0
C R BARD INC                           COMMON SHS      067383109       999      12300    SHARED   9      12300         0         0
C R BARD INC                           COMMON SHS      067383109     43485     535200    SHARED   A     535200         0         0
BARCLAYS PLC                           AMER DEP RECPT  06738E204         0          1    SHARED   6          1         0         0
BARCLAYS PLC                           AMER DEP RECPT  06738E204      4507     124000    SHARED   8     124000         0         0




BARNES & NOBLES INC                    COMMON SHS      067774109       258       7850    SHARED   9       7850         0         0
BARNES & NOBLES INC                    CONVERTIBLE BD  067774AD1       385     355000    SHARED   9     355000         0         0
BARRICK GOLD CORP                      COMMON SHS      067901108    575059   19698564    SHARED   1   19698564         0         0
BARRICK GOLD CORP                      ORDINARY SHS    067901108     49958    1704462    SHARED   2    1625582         0     78880
BARRICK GOLD CORP                      COMMON SHS      067901108    179263    7893570    SHARED   5    7893570         0         0
BARRICK GOLD CORP                      ORDINARY SHS    067901108      2095      71474    SHARED   8      71474         0         0
BARRICK GOLD CORP                      COMMON SHS      067901108       281      12390    SHARED   9      12390         0         0
BARRICK GOLD CORP                      COMMON SHS      067901108    135706    5975610    SHARED   A    5975610         0         0
BARR PHARMACEUTICALS INC               COMMON SHS      068306109        27        350    SHARED   9        350         0         0
BARR PHARMACEUTICALS INC               COMMON SHS      068306109      4040      52500    SHARED   A       8700         0     43800
BAUSCH & LOMB INC                      COMMON SHS      071707103       384       7400    SHARED   9       7400         0         0
BAXTER INTERNATIONAL INC               COMMON SHS      071813109         0          1    SHARED   6          1         0         0
BAXTER INTERNATIONAL INC               COMMON SHS      071813109     15260     500000    SHARED   7     500000         0         0
BAXTER INTERNATIONAL INC               COMMON SHS      071813109     10114     331390    SHARED   8     325100         0      6290
BAXTER INTERNATIONAL INC               COMMON SHS      071813109      1714      56162    SHARED   9      56162         0         0
BAYER AG                               AMER DEP RECPT  072730302       525      17844    SHARED   2      16250         0      1594
BAYER AG                               AMER DEP RECPT  072730302        15        500    SHARED   9        500         0         0
BEA SYSTEMS INC                        COMMON SHS      073325102         0          1    SHARED   6          1         0         0
BEA SYSTEMS INC                        COMMON SHS      073325102       660      53660    SHARED   9      53660         0         0
BEAR STEARNS COMPANIES INC             COMMON SHS      073902108     51128     639502    SHARED   5     639502         0         0
BEAR STEARNS COMPANIES INC             COMMON SHS      073902108       286       3580    SHARED   9       3580         0         0
BEARINGPOINT INC                       COMMON SHS      074002106      6225     616957    SHARED         276527         0    340430
BEARINGPOINT INC                       COMMON SHS      074002106      2243     222325    SHARED   1     222325         0         0
BEARINGPOINT INC                       COMMON SHS      074002106     11426    1132450    SHARED   2    1132450         0         0
BEARINGPOINT INC                       COMMON SHS      074002106      2341     231967    SHARED   3     231967         0         0
BEARINGPOINT INC                       COMMON SHS      074002106     12787    1267337    SHARED   6    1267337         0         0
BEARINGPOINT INC                       COMMON SHS      074002106      8618     854120    SHARED   8     854120         0         0
BEARINGPOINT INC                       COMMON SHS      074002106     21024    2083600    SHARED   A    2083600         0         0
BEAZER HOMES USA INC                   COMMON SHS      07556Q105        11        112    SHARED   1        112         0         0
BEAZER HOMES USA INC                   COMMON SHS      07556Q105      1552      15895    SHARED   A      15895         0         0
BECKMAN COULTER INC                    COMMON SHS      075811109         0          1    SHARED   6          1         0         0
BECKMAN COULTER INC                    COMMON SHS      075811109       320       6300    SHARED   9       6300         0         0
BECTON DICKINSON & CO                  COMMON SHS      075887109     46324    1126000    SHARED   4    1126000         0         0
BECTON DICKINSON & CO                  COMMON SHS      075887109        54       1301    SHARED   6       1301         0         0
BECTON DICKINSON & CO                  COMMON SHS      075887109       951      23118    SHARED   9      23118         0         0
BECTON DICKINSON & CO                  COMMON SHS      075887109      1617      39300    SHARED   A      34400         0      4900
BED BATH & BEYOND INC                  COMMON SHS      075896100      5689     131225    SHARED   9     131225         0         0
BED BATH & BEYOND INC                  COMMON SHS      075896100      3676      84800    SHARED   A      84800         0         0
BEDFORD PROPERTY INVESTORS INC         REAL EST INV TR 076446301       594      20760    SHARED   6      20760         0         0
BEDFORD PROPERTY INVESTORS INC         REAL EST INV TR 076446301     15337     535700    SHARED   A     535700         0         0
BELLSOUTH CORP                         COMMON SHS      079860102      4820     170327    SHARED   6     149062         0     21265
BELLSOUTH CORP                         COMMON SHS      079860102     20245     715365    SHARED   9     715365         0         0
BELLSOUTH CORP                         COMMON SHS      079860102     79912    2823756    SHARED   A    2656056         0    167700
BEMIS COMPANY INC                      COMMON SHS      081437105     19145     382900    SHARED   4     382900         0         0
BEMIS COMPANY INC                      COMMON SHS      081437105      9970     199404    SHARED   9     199404         0         0
BERKLEY W R CORP                       COMMON SHS      084423102     32480     929325    SHARED   1     929325         0         0
BERKLEY W R CORP                       COMMON SHS      084423102       684      19577    SHARED   9      19577         0         0




BERKSHIRE HATHAWAY INC                 COMMON SHS      084670108    361096       4286    SHARED   5       4286         0         0
BERKSHIRE HATHAWAY INC                 COMMON SHS      084670108      4213         50    SHARED   9         50         0         0
BERKSHIRE HATHAWAY INC                 COMMON SHS      084670108     28645        340    SHARED   A        340         0         0
BERKSHIRE HATHAWAY INC                 COMMON SHS      084670207        23          8    SHARED              8         0         0
BERKSHIRE HATHAWAY INC                 COMMON SHS      084670207    459901     163375    SHARED   5     163375         0         0
BERKSHIRE HATHAWAY INC                 COMMON SHS      084670207     25535       9071    SHARED   9       9071         0         0
BERKSHIRE HATHAWAY INC                 COMMON SHS      084670207      8698       3090    SHARED   A        950         0      2140
BEST BUY COMPANY INC                   COMMON SHS      086516101         9        170    SHARED   1        170         0         0
BEST BUY COMPANY INC                   COMMON SHS      086516101         0          1    SHARED   6          1         0         0
BEST BUY COMPANY INC                   COMMON SHS      086516101     33438     640076    SHARED   9     640076         0         0
BEST BUY COMPANY INC                   COMMON SHS      086516101      8871     169820    SHARED   A     169820         0         0
BHP BILLITON LTD                       AMER DEP RECPT  088606108       788      43135    SHARED   2      43135         0         0
BHP BILLITON LTD                       AMER DEP RECPT  088606108     18758    1027271    SHARED   3    1027271         0         0
BHP BILLITON LTD                       AMER DEP RECPT  088606108         0          1    SHARED   6          1         0         0
BHP BILLITON LTD                       AMER DEP RECPT  088606108      2325     127302    SHARED   9     127302         0         0
BIG 5 SPORTING GOODS CORP              COMMON SHS      08915P101     10475     500000    SHARED   A     500000         0         0
BIG LOTS INC                           COMMON SHS      089302103     20249    1425000    SHARED   4    1425000         0         0
BIG LOTS INC                           COMMON SHS      089302103         9        600    SHARED   9        600         0         0
BIO-RAD LABORATORIES INC               COMMON SHS      090572207     29648     514100    SHARED   A     510700         0      3400
BIOMET INC                             COMMON SHS      090613100      1316      36146    SHARED   9      36146         0         0
BIOMARIN PHARMACEUTICAL INC            COMMON SHS      09061G101      7850    1010400    SHARED   A    1010400         0         0
BIOGEN IDEC INC                        COMMON SHS      09062X103        22        590    SHARED            590         0         0
BIOGEN IDEC INC                        COMMON SHS      09062X103      1841      50041    SHARED   6      50041         0         0
BIOGEN IDEC INC                        COMMON SHS      09062X103     13164     357920    SHARED   9     357920         0         0
BIOGEN IDEC INC                        COMMON SHS      09062X103    132053    3590345    SHARED   A    3455845         0    134500
BIOVAIL CORP                           ORDINARY SHS    09067J109         2         68    SHARED   8          0         0        68
BIOVAIL CORP                           COMMON SHS      09067J109      1323      61570    SHARED   9      61570         0         0
BIOVAIL CORP                           COMMON SHS      09067J109       612      28500    SHARED   A      24800         0      3700
BLACK & DECKER CORP                    COMMON SHS      091797100      1108      22463    SHARED   9      22463         0         0
H & R BLOCK INC                        COMMON SHS      093671105        17        300    SHARED            300         0         0
H & R BLOCK INC                        COMMON SHS      093671105      2891      52207    SHARED   1      52207         0         0
H & R BLOCK INC                        COMMON SHS      093671105         0          1    SHARED   6          1         0         0
H & R BLOCK INC                        COMMON SHS      093671105      4669      84318    SHARED   9      84318         0         0
BLOCKBUSTER INC                        COMMON SHS      093679108       217      12100    SHARED   9      12100         0         0
BLUE RHINO CORP                        COMMON SHS      095811105       117       8400    SHARED   1       8400         0         0
BLUE RHINO CORP                        COMMON SHS      095811105      6345     456838    SHARED   2     456838         0         0
BOARDWALK EQUITIES INC                 ORDINARY SHS    096613104      2539     141658    SHARED   6     141658         0         0
BOARDWALK EQUITIES INC                 ORDINARY SHS    096613104       214      11919    SHARED   8          0         0     11919
BOARDWALK EQUITIES INC                 REAL EST INV TR 096613104     30284    2189700    SHARED   A    2189700         0         0
BOEING CO                              COMMON SHS      097023105      6900     163747    SHARED          80801         0     82946
BOEING CO                              COMMON SHS      097023105    248427    5895271    SHARED   1    5895271         0         0
BOEING CO                              COMMON SHS      097023105      7800     185100    SHARED   2     185100         0         0
BOEING CO                              COMMON SHS      097023105       819      19426    SHARED   3      19426         0         0
BOEING CO                              COMMON SHS      097023105         3         66    SHARED   6         66         0         0
BOEING CO                              COMMON SHS      097023105     42140    1000000    SHARED   7    1000000         0         0
BOEING CO                              COMMON SHS      097023105      5592     132700    SHARED   8     132700         0         0
BOEING CO                              COMMON SHS      097023105      1767      41928    SHARED   9      41928         0         0




BOEING CO                              COMMON SHS      097023105      2122      50350    SHARED   A      50350         0         0
BOISE CASCADE CORP                     COMMON SHS      097383103        32        980    SHARED            980         0         0
BOISE CASCADE CORP                     COMMON SHS      097383103      9967     303310    SHARED   2     303310         0         0
BOISE CASCADE CORP                     COMMON SHS      097383103       483      14686    SHARED   3      14686         0         0
BOISE CASCADE CORP                     COMMON SHS      097383103     11289     343554    SHARED   4     343554         0         0
BOISE CASCADE CORP                     COMMON SHS      097383103       178       5426    SHARED   9       5426         0         0
BOISE CASCADE CORP                     COMMON SHS      097383103      9697     295097    SHARED   A       1640         0    293457
BORG WARNER INC                        COMMON SHS      099724106      1905      22389    SHARED   9      22389         0         0
BORG WARNER INC                        COMMON SHS      099724106    104900    1233100    SHARED   A    1233100         0         0
BORLAND SOFTWARE CORP                  COMMON SHS      099849101      7323     752602    SHARED   6     752602         0         0
BORLAND SOFTWARE CORP                  COMMON SHS      099849101     21357    2195000    SHARED   A    2195000         0         0
BOSTON CHICKEN INC                     CONVERT ZERO CP 100578AB9         0      20000    SHARED   9      20000         0         0
BOSTON PRIVATE FINANCIAL HOLDINGS INC  COMMON SHS      101119105      8739     351800    SHARED   A     351800         0         0
BOSTON PROPERTIES INC                  REAL EST INV TR 101121101      3005      62355    SHARED   6      62355         0         0
BOSTON PROPERTIES INC                  REAL EST INV TR 101121101      1053      21850    SHARED   9      21850         0         0
BOSTON PROPERTIES INC                  REAL EST INV TR 101121101     47048     976300    SHARED   A     976300         0         0
BOSTON SCIENTIFIC CORP                 COMMON SHS      101137107         0          1    SHARED   6          1         0         0
BOSTON SCIENTIFIC CORP                 COMMON SHS      101137107      1083      29450    SHARED   9      29450         0         0
BOSTON SCIENTIFIC CORP                 COMMON SHS      101137107        38       1045    SHARED   A       1045         0         0
BOWATER INC                            COMMON SHS      102183100      4114      88830    SHARED            530         0     88300
BOWATER INC                            COMMON SHS      102183100    175038    3779700    SHARED   1    3779700         0         0
BOWATER INC                            COMMON SHS      102183100       197       4252    SHARED   2       4252         0         0
BOWATER INC                            COMMON SHS      102183100      9315     201138    SHARED   8     201138         0         0
BOWATER INC                            COMMON SHS      102183100       227       4900    SHARED   9       4900         0         0
BOWATER INC                            COMMON SHS      102183100      1037      22400    SHARED   A      22400         0         0
BRACKNELL CORP                         ORDINARY SHS    10382K102         0     321400    SHARED   8     321400         0         0
BRADY CORP                             COMMON SHS      104674106     12836     315000    SHARED   4     315000         0         0
BRADY CORP                             COMMON SHS      104674106        20        501    SHARED   6        501         0         0
BRANDYWINE REALTY TRUST                REAL EST INV TR 105368203      1483      55383    SHARED   6      55383         0         0
BRANDYWINE REALTY TRUST                REAL EST INV TR 105368203     19941     744900    SHARED   A     744900         0         0
BRASCAN CORP                           ORDINARY SHS    10549P606    266001    6695209    SHARED   5    6695209         0         0
BRASCAN CORP                           ORDINARY SHS    10549P606    105907    2665665    SHARED   8    2396236         0    269429
BRIGGS & STRATTON CORP                 COMMON SHS      109043109     10380     154000    SHARED   4     154000         0         0
BRIGGS & STRATTON CORP                 COMMON SHS      109043109      4098      60800    SHARED   A      60800         0         0
BRINKER INTERNATIONAL INC              COMMON SHS      109641100         7        221    SHARED   6        221         0         0
BRINKER INTERNATIONAL INC              COMMON SHS      109641100     14478     436600    SHARED   A     286600         0    150000
BRINKS COMPANY                         COMMON SHS      109696104       128       5650    SHARED   9       5650         0         0
BRINKS COMPANY                         COMMON SHS      109696104      8038     355500    SHARED   A     355500         0         0
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108     27739     969896    SHARED         714128         0    255768
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108    653247   22840809    SHARED   1   22837419         0      3390
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108     22779     796475    SHARED   2     796475         0         0
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108      2141      74855    SHARED   3      74855         0         0
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108        14        491    SHARED   6        491         0         0
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108     18304     640000    SHARED   7     640000         0         0
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108     16240     567844    SHARED   8     567844         0         0
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108     31601    1104925    SHARED   9    1104925         0         0
BRISTOL MYERS SQUIBB CO                COMMON SHS      110122108    288740   10095820    SHARED   A    9946720         0    149100




BRITISH AIRWAYS PLC                    AMER DEP RECPT  110419306       343       8225    SHARED   2       8225         0         0
BRITISH AIRWAYS PLC                    AMER DEP RECPT  110419306     10421     249670    SHARED   3     249670         0         0
BRITISH AIRWAYS PLC                    AMER DEP RECPT  110419306         0          1    SHARED   6          1         0         0
BRITISH AIRWAYS PLC                    AMER DEP RECPT  110419306     20870     500000    SHARED   7     500000         0         0
BRITISH AIRWAYS PLC                    AMER DEP RECPT  110419306        92       2199    SHARED   9       2199         0         0
BRITISH AMERICAN TOBACCO PLC           AMER DEP RECPT  110448107      3485     125950    SHARED   5     125950         0         0
BRITISH AMERICAN TOBACCO PLC           AMER DEP RECPT  110448107         2         73    SHARED   9         73         0         0
BROADCOM CORP                          COMMON SHS      111320107         2         61    SHARED   6         61         0         0
BROADCOM CORP                          COMMON SHS      111320107        31        900    SHARED   9        900         0         0
BROADCOM CORP                          COMMON SHS      111320107      4261     125000    SHARED   A     125000         0         0
BROOKFIELD PROPERTIES CORP             ORDINARY SHS    112900105       918      24619    SHARED   6      24619         0         0
BROOKFIELD PROPERTIES CORP             REAL EST INV TR 112900105     14390     501400    SHARED   A     501400         0         0
BROOKLINE BANCORP INC                  COMMON SHS      11373M107     20717    1350500    SHARED   5    1350500         0         0
BROOKLINE BANCORP INC                  COMMON SHS      11373M107        34       2186    SHARED   9       2186         0         0
BROWN-FORMAN CORP                      COMMON SHS      115637100     32562     335860    SHARED   5     335860         0         0
BROWN-FORMAN CORP                      COMMON SHS      115637209     86259     923047    SHARED   5     923047         0         0
TOM BROWN INC                          COMMON SHS      115660201         0          1    SHARED   6          1         0         0
TOM BROWN INC                          COMMON SHS      115660201     55306    1714900    SHARED   A    1714900         0         0
BROWN SHOE CO INC                      COMMON SHS      115736100     18574     489700    SHARED   4     489700         0         0
BUCKEYE PARTNERS LP                    LTD PARTNERSHIP 118230101       375       8260    SHARED   9       8260         0         0
BURLINGTON NORTHERN SANTA FE CORP      COMMON SHS      12189T104     22415     692900    SHARED   4     692900         0         0
BURLINGTON NORTHERN SANTA FE CORP      COMMON SHS      12189T104     66912    2068370    SHARED   5    2068370         0         0
BURLINGTON NORTHERN SANTA FE CORP      COMMON SHS      12189T104         0          1    SHARED   6          1         0         0
BURLINGTON NORTHERN SANTA FE CORP      COMMON SHS      12189T104     14463     447087    SHARED   9     447087         0         0
BURLINGTON NORTHERN SANTA FE CORP      COMMON SHS      12189T104         8        243    SHARED   A        243         0         0
BURLINGTON RESOURCES INC               COMMON SHS      122014103     18159     327906    SHARED   9     327906         0         0
BURLINGTON RESOURCES INC               COMMON SHS      122014103       338       6100    SHARED   A       6100         0         0
BUSINESS OBJECTS SA                    AMER DEP RECPT  12328X107       266       7670    SHARED           7670         0         0
BUSINESS OBJECTS SA                    AMER DEP RECPT  12328X107        41       1190    SHARED   9       1190         0         0
BUSINESS OBJECTS SA                    AMER DEP RECPT  12328X107     13168     379800    SHARED   A     379800         0         0
C&D TECHNOLOGIES INC                   COMMON SHS      124661109     16395     855238    SHARED   6     855238         0         0
C&D TECHNOLOGIES INC                   COMMON SHS      124661109     15229     794400    SHARED   A     794400         0         0
CAE INC                                ORDINARY SHS    124765108     39563    6751446    SHARED   8    6216899         0    534547
CDI CORP                               COMMON SHS      125071100     10743     328034    SHARED   6     328034         0         0
CDI CORP                               COMMON SHS      125071100     27408     836900    SHARED   A     836900         0         0
CDW CORP                               COMMON SHS      12512N105         0          1    SHARED   6          1         0         0
CDW CORP                               COMMON SHS      12512N105      2700      46745    SHARED   9      46745         0         0
C H ROBINSON WORLDWIDE INC             COMMON SHS      12541W100        22        590    SHARED            590         0         0
C H ROBINSON WORLDWIDE INC             COMMON SHS      12541W100       644      16978    SHARED   6      16978         0         0
C H ROBINSON WORLDWIDE INC             COMMON SHS      12541W100    137916    3637983    SHARED   A    3637983         0         0
CIGNA CORP                             COMMON SHS      125509109     21685     377138    SHARED         283159         0     93979
CIGNA CORP                             COMMON SHS      125509109    246465    4286341    SHARED   1    4285561         0       780
CIGNA CORP                             COMMON SHS      125509109     11336     197140    SHARED   2     197140         0         0
CIGNA CORP                             COMMON SHS      125509109      2001      34807    SHARED   3      34807         0         0
CIGNA CORP                             COMMON SHS      125509109      2196      38193    SHARED   6      33853         0      4340
CIGNA CORP                             COMMON SHS      125509109     13299     231280    SHARED   8     231280         0         0
CIGNA CORP                             COMMON SHS      125509109      3797      66039    SHARED   9      66039         0         0




CIGNA CORP                             COMMON SHS      125509109     17451     303500    SHARED   A     297300         0      6200
CIT GROUP HOLDINGS INC                 COMMON SHS      125581108     79450    2210000    SHARED   4    2210000         0         0
CIT GROUP HOLDINGS INC                 COMMON SHS      125581108        12        341    SHARED   6        341         0         0
CIT GROUP HOLDINGS INC                 COMMON SHS      125581108        90       2500    SHARED   9       2500         0         0
CIT GROUP HOLDINGS INC                 COMMON SHS      125581108     20798     578523    SHARED   A     309223         0    269300
CMS ENERGY CORP                        COMMON SHS      125896100     33918    3981000    SHARED   A    3981000         0         0
CNA SURETY CORP                        COMMON SHS      12612L108       133      14000    SHARED   9      14000         0         0
CNF INC                                COMMON SHS      12612W104         0          1    SHARED   6          1         0         0
CNF INC                                COMMON SHS      12612W104      4365     128775    SHARED   9     128775         0         0
CNOOC LTD                              AMER DEP RECPT  126132109     36781     921370    SHARED   1     919470         0      1900
CNOOC LTD                              AMER DEP RECPT  126132109     10273     257332    SHARED   2     255900         0      1432
CNOOC LTD                              AMER DEP RECPT  126132109     13070     327400    SHARED   8     327400         0         0
CNOOC LTD                              AMER DEP RECPT  126132109        40       1000    SHARED   9       1000         0         0
CSX CORP                               COMMON SHS      126408103         0          1    SHARED   6          1         0         0
CSX CORP                               COMMON SHS      126408103       483      13443    SHARED   9      13443         0         0
CUNO INC                               COMMON SHS      126583103      3882      86200    SHARED   7      86200         0         0
CUNO INC                               COMMON SHS      126583103     15661     347800    SHARED   A     347800         0         0
CVB FINANCIAL CORP                     COMMON SHS      126600105      2831     146740    SHARED   A     146740         0         0
CVS CORP                               COMMON SHS      126650100         8        211    SHARED   6        211         0         0
CVS CORP                               COMMON SHS      126650100        21        595    SHARED   8        500         0        95
CVS CORP                               COMMON SHS      126650100      5085     140781    SHARED   9     140781         0         0
CVS CORP                               COMMON SHS      126650100     10663     295200    SHARED   A     295200         0         0
CABLE & WIRELESS PLC                   AMER DEP RECPT  126830207       210      29955    SHARED   2      29955         0         0
CABLE & WIRELESS PLC                   AMER DEP RECPT  126830207      4578     653063    SHARED   3     653063         0         0
CABLE & WIRELESS PLC                   AMER DEP RECPT  126830207        11       1520    SHARED   9       1520         0         0
CABLEVISION SYSTEMS CORP               COMMON SHS      12686C109       207       8842    SHARED   9       8842         0         0
CABLE DESIGN TECHNOLOGIES CORP         COMMON SHS      126924109      4118     458100    SHARED   4     458100         0         0
CABOT CORP                             COMMON SHS      127055101        26        810    SHARED            810         0         0
CABOT CORP                             COMMON SHS      127055101     10444     328000    SHARED   4     328000         0         0
CABOT CORP                             COMMON SHS      127055101     26379     828490    SHARED   6     828490         0         0
CABOT CORP                             COMMON SHS      127055101       123       3850    SHARED   9       3850         0         0
CABOT CORP                             COMMON SHS      127055101    162332    5098369    SHARED   A    5098369         0         0
CADBURY SCHWEPPES PLC                  AMER DEP RECPT  127209302     15893     531726    SHARED   3     531726         0         0
CADBURY SCHWEPPES PLC                  AMER DEP RECPT  127209302        57       1920    SHARED   9       1920         0         0
CADENCE DESIGN SYS INC                 COMMON SHS      127387108       698      38798    SHARED          30898         0      7900
CADENCE DESIGN SYS INC                 COMMON SHS      127387108    154645    8600952    SHARED   1    8600952         0         0
CADENCE DESIGN SYS INC                 COMMON SHS      127387108      5793     322210    SHARED   2     322210         0         0
CADENCE DESIGN SYS INC                 COMMON SHS      127387108      2520     140140    SHARED   3     140140         0         0
CADENCE DESIGN SYS INC                 COMMON SHS      127387108         0          1    SHARED   6          1         0         0
CADENCE DESIGN SYS INC                 COMMON SHS      127387108      2121     117980    SHARED   8     117980         0         0
CADENCE DESIGN SYS INC                 COMMON SHS      127387108       423      23500    SHARED   9      23500         0         0
CADENCE DESIGN SYS INC                 COMMON SHS      127387108        16        913    SHARED   A        913         0         0
CAESARS ENTERTAINMENT INC              COMMON SHS      127687101     27416    2531514    SHARED   5    2531514         0         0
CAL DIVE INTERNATIONAL INC             COMMON SHS      127914109     12211     506491    SHARED   6     506491         0         0
CAL DIVE INTERNATIONAL INC             COMMON SHS      127914109       241      10000    SHARED   9      10000         0         0
CAL DIVE INTERNATIONAL INC             COMMON SHS      127914109     27288    1131800    SHARED   A    1131800         0         0
CALIFORNIA WATER SERVICE GROUP         COMMON SHS      130788102       203       7400    SHARED   9       7400         0         0




CALPINE CORP                           CONVERTIBLE BD  131347BA3      4913    5000000    SHARED   5    5000000         0         0
CAMDEN PROPERTY TRUST                  REAL EST INV TR 133131102       369       8324    SHARED   9       8324         0         0
CAMPBELL SOUP CO                       COMMON SHS      134429109       827      30850    SHARED   9      30850         0         0
CANADIAN IMPERIAL BANK OF COMMERCE CIB ORDINARY SHS    136069101      3587      56043    SHARED   2      56043         0         0
CANADIAN IMPERIAL BANK OF COMMERCE CIB ORDINARY SHS    136069101    142482    2226277    SHARED   8    2118623         0    107654
CANADIAN IMPERIAL BANK OF COMMERCE CIB COMMON SHS      136069101       201       4025    SHARED   9       4025         0         0
CANADIAN NATIONAL RAILWAY CO           COMMON SHS      136375102      1462      23100    SHARED   1      23100         0         0
CANADIAN NATIONAL RAILWAY CO           ORDINARY SHS    136375102       107       1300    SHARED   2       1300         0         0
CANADIAN NATIONAL RAILWAY CO           ORDINARY SHS    136375102    170958    2084855    SHARED   5    2084855         0         0
CANADIAN NATIONAL RAILWAY CO           ORDINARY SHS    136375102    135133    1647966    SHARED   8    1541718         0    106248
CANADIAN NATIONAL RAILWAY CO           COMMON SHS      136375102      5579      88158    SHARED   9      88158         0         0
CANADIAN NATURAL RESOURCES LTD         ORDINARY SHS    136385101      6903     105600    SHARED              0         0    105600
CANADIAN NATURAL RESOURCES LTD         ORDINARY SHS    136385101      4136      63270    SHARED   1      63270         0         0
CANADIAN NATURAL RESOURCES LTD         ORDINARY SHS    136385101      8217     142470    SHARED   2     142470         0         0
CANADIAN NATURAL RESOURCES LTD         ORDINARY SHS    136385101     12820     196113    SHARED   8     196020         0        93
CANADIAN PACIFIC RAILWAY LTD           ORDINARY SHS    13645T100      1991      54437    SHARED   2      54437         0         0
CANADIAN PACIFIC RAILWAY LTD           COMMON SHS      13645T100      7038     250000    SHARED   7     250000         0         0
CANADIAN PACIFIC RAILWAY LTD           ORDINARY SHS    13645T100     11406     311797    SHARED   8     311597         0       200
CANADIAN PACIFIC RAILWAY LTD           COMMON SHS      13645T100       131       4650    SHARED   9       4650         0         0
CANON INC                              AMER DEP RECPT  138006309       364       7650    SHARED   2       7650         0         0
CANON INC                              AMER DEP RECPT  138006309         0          1    SHARED   6          1         0         0
CANON INC                              AMER DEP RECPT  138006309     12164     255335    SHARED   9     255335         0         0
CANON INC                              AMER DEP RECPT  138006309        38        800    SHARED   A        800         0         0
CAPITAL AUTOMOTIVE                     REAL EST INV TR 139733109       656      20500    SHARED   9      20500         0         0
CAPITAL ONE FINANCIAL CORP             COMMON SHS      14040H105       883      14400    SHARED   9      14400         0         0
CAPITAL ONE FINANCIAL CORP             COMMON SHS      14040H105      3081      50264    SHARED   A      50264         0         0
CAPITALSOURCE INC                      COMMON SHS      14055X102         9        400    SHARED   9        400         0         0
CAPITALSOURCE INC                      COMMON SHS      14055X102     11328     522500    SHARED   A     515900         0      6600
CARBO CERAMICS INC                     COMMON SHS      140781105      5238     102200    SHARED   A     102200         0         0
CARDINAL HEALTH INC                    COMMON SHS      14149Y108        21        350    SHARED            350         0         0
CARDINAL HEALTH INC                    COMMON SHS      14149Y108      2469      40370    SHARED   1      40370         0         0
CARDINAL HEALTH INC                    COMMON SHS      14149Y108     14449     236250    SHARED   7     236250         0         0
CARDINAL HEALTH INC                    COMMON SHS      14149Y108      7388     120790    SHARED   8     118925         0      1865
CARDINAL HEALTH INC                    COMMON SHS      14149Y108     83814    1370406    SHARED   9    1370406         0         0
CARDINAL HEALTH INC                    COMMON SHS      14149Y108     17042     278650    SHARED   A     275650         0      3000
CAREMARK RX INC                        COMMON SHS      141705103        20        800    SHARED            800         0         0
CAREMARK RX INC                        COMMON SHS      141705103      1916      75625    SHARED   7      75625         0         0
CAREMARK RX INC                        COMMON SHS      141705103        20        800    SHARED   9        800         0         0
CAREMARK RX INC                        COMMON SHS      141705103    106170    4191475    SHARED   A    4179775         0     11700
CARLISLE COMPANIES INC                 COMMON SHS      142339100     57385     942900    SHARED   4     942900         0         0
CARNIVAL CORP                          COMMON SHS      143658300        98       2470    SHARED           2470         0         0
CARNIVAL CORP                          COMMON SHS      143658300    100630    2532850    SHARED   1    2532850         0         0
CARNIVAL CORP                          COMMON SHS      143658300      1006      25309    SHARED   2      25309         0         0
CARNIVAL CORP                          COMMON SHS      143658300     19865     500000    SHARED   7     500000         0         0
CARNIVAL CORP                          COMMON SHS      143658300     10993     276684    SHARED   9     276684         0         0
CARRAMERICA REALTY CORP                REAL EST INV TR 144418100      2018      67749    SHARED   6      67749         0         0
CARRAMERICA REALTY CORP                REAL EST INV TR 144418100       917      30800    SHARED   9      30800         0         0




CARRAMERICA REALTY CORP                REAL EST INV TR 144418100     35039    1176600    SHARED   A    1176600         0         0
CASUAL MALE RETAIL GROUP INC           COMMON SHS      148711104     10424    1502000    SHARED   A    1502000         0         0
CATAPULT COMMUNICATIONS CORP           COMMON SHS      149016107     11640     802745    SHARED   A     802745         0         0
CATELLUS DEVELOPMENT CORP              COMMON SHS      149113102      1370      56798    SHARED   6      56798         0         0
CATELLUS DEVELOPMENT CORP              COMMON SHS      149113102        51       2098    SHARED   9       2098         0         0
CATELLUS DEVELOPMENT CORP              COMMON SHS      149113102     43958    1822489    SHARED   A    1822489         0         0
CATERPILLAR INC                        COMMON SHS      149123101         1         15    SHARED   6         15         0         0
CATERPILLAR INC                        COMMON SHS      149123101      3516      42353    SHARED   9      42353         0         0
CATO CORP                              COMMON SHS      149205106      6150     300000    SHARED   4     300000         0         0
CAVALIER HOMES INC                     COMMON SHS      149507105      2384     800000    SHARED   4     800000         0         0
CELL GENESYS INC                       COMMON SHS      150921104      3032     234300    SHARED   9     234300         0         0
CELL GENESYS INC                       COMMON SHS      150921104        16       1200    SHARED   A       1200         0         0
CELESTICA INC                          ORDINARY SHS    15101Q108     13202     783835    SHARED         623210         0    160625
CELESTICA INC                          COMMON SHS      15101Q108     12785     810900    SHARED   1     805200         0      5700
CELESTICA INC                          ORDINARY SHS    15101Q108     87567    4624059    SHARED   2    4483709         0    140350
CELESTICA INC                          COMMON SHS      15101Q108      8319     552051    SHARED   3     552051         0         0
CELESTICA INC                          ORDINARY SHS    15101Q108      9718     496837    SHARED   8     496700         0       137
CELESTICA INC                          COMMON SHS      15101Q108       452      25180    SHARED   9      25180         0         0
CELESTICA INC                          COMMON SHS      15101Q108       681      45220    SHARED   A      45220         0         0
CELGENE CORP                           COMMON SHS      151020104       524      11648    SHARED          11648         0         0
CELGENE CORP                           COMMON SHS      151020104       509      11300    SHARED   9      11300         0         0
CELGENE CORP                           COMMON SHS      151020104      7446     165400    SHARED   A     165400         0         0
CEMEX SA                               AMER DEP RECPT  151290889       522      19934    SHARED          19934         0         0
CEMEX SA                               AMER DEP RECPT  151290889    270046   10307104    SHARED   1   10295162         0     11942
CEMEX SA                               AMER DEP RECPT  151290889     12115     462422    SHARED   2     462422         0         0
CEMEX SA                               AMER DEP RECPT  151290889      9762     372593    SHARED   3     372593         0         0
CEMEX SA                               AMER DEP RECPT  151290889        26       1000    SHARED   9       1000         0         0
CENDANT CORP                           COMMON SHS      151313103        25       1120    SHARED           1120         0         0
CENDANT CORP                           COMMON SHS      151313103      1937      87000    SHARED   4      87000         0         0
CENDANT CORP                           COMMON SHS      151313103    109289    4907441    SHARED   5    4907441         0         0
CENDANT CORP                           COMMON SHS      151313103      2165      97219    SHARED   6      97219         0         0
CENDANT CORP                           COMMON SHS      151313103        33       1500    SHARED   9       1500         0         0
CENDANT CORP                           COMMON SHS      151313103     80308    3606100    SHARED   A    3406100         0    200000
CENTENE CORP                           COMMON SHS      15135B101     12103     432100    SHARED   A     432100         0         0
CENTERPOINT PROPERTIES CORP            REAL EST INV TR 151895109     18685     249462    SHARED   9     249462         0         0
CENTERPOINT PROPERTIES CORP            CONVERT PREF    151895307      1063      12150    SHARED   9      12150         0         0
CENTERPOINT ENERGY INC                 COMMON SHS      15189T107     41776    4311300    SHARED   A    4311300         0         0
CENTEX CORP                            COMMON SHS      152312104       296       2750    SHARED   9       2750         0         0
CENTRAL FUND CANADA- CLASS A           CLOSE END MUT F 153501101      7376    1405000    SHARED   A    1405000         0         0
CENTRAL PARKING CORP                   COMMON SHS      154785109      2678     179400    SHARED         179400         0         0
CENTRAL PARKING CORP                   COMMON SHS      154785109      8486     568400    SHARED   2     568400         0         0
CENTRAL PARKING CORP                   COMMON SHS      154785109       489      32776    SHARED   3      32776         0         0
CENTRAL PARKING CORP                   COMMON SHS      154785109      6990     468200    SHARED   8     468200         0         0
CENTRAL VERMONT PUBLIC SERVICE CORP    COMMON SHS      155771108      1645      70000    SHARED   4      70000         0         0
CENTRAL VERMONT PUBLIC SERVICE CORP    COMMON SHS      155771108        71       3000    SHARED   9       3000         0         0
CENTRAL VERMONT PUBLIC SERVICE CORP    COMMON SHS      155771108      8704     370400    SHARED   A     370400         0         0
CENTURYTEL INC                         COMMON SHS      156700106         1         25    SHARED   6         25         0         0




CENTURYTEL INC                         COMMON SHS      156700106       660      20246    SHARED   9      20246         0         0
CENTURYTEL INC                         COMMON SHS      156700106     49315    1511800    SHARED   A    1511800         0         0
CERIDIAN CORP                          COMMON SHS      156779100        68       3235    SHARED           3235         0         0
CERIDIAN CORP                          COMMON SHS      156779100     17283     825370    SHARED   1     825370         0         0
CERIDIAN CORP                          COMMON SHS      156779100      7077     337950    SHARED   2     337950         0         0
CERIDIAN CORP                          COMMON SHS      156779100       795      37946    SHARED   3      37946         0         0
CERIDIAN CORP                          COMMON SHS      156779100       153       7300    SHARED   9       7300         0         0
CERNER CORP                            COMMON SHS      156782104      5299     140000    SHARED   A     140000         0         0
CERTEGY INC                            COMMON SHS      156880106      6560     200000    SHARED   7     200000         0         0
CERTEGY INC                            COMMON SHS      156880106       120       3658    SHARED   9       3658         0         0
CHAMPPS ENTERTAINMENT INC              COMMON SHS      158787101      6863     920000    SHARED   4     920000         0         0
CHARLES RIVER ASSOCIATES INC           COMMON SHS      159852102      7815     244300    SHARED   9     244300         0         0
CHARLES RIVER ASSOCIATES INC           COMMON SHS      159852102        45       1400    SHARED   A       1400         0         0
CHARTER ONE FINANCIAL INC              COMMON SHS      160903100       556      16087    SHARED   9      16087         0         0
CHARMING SHOPPES INC                   COMMON SHS      161133103     28080    5200000    SHARED   4    5200000         0         0
CHARMING SHOPPES INC                   COMMON SHS      161133103     10449    1934985    SHARED   6    1934985         0         0
CHARMING SHOPPES INC                   COMMON SHS      161133103     11537    2136500    SHARED   A    2136500         0         0
CHARMING SHOPPES INC                   CONVERTIBLE BD  161133AC7      1928    2000000    SHARED   A    2000000         0         0
CHARTER COMMUNICATIONS INC             CONVERTIBLE BD  16117MAB3     14108   14850000    SHARED   A   14850000         0         0
CHARTER COMMUNICATIONS INC             CONVERTIBLE BD  16117MAC1      3916    4400000    SHARED   A    4400000         0         0
CHECKFREE CORP                         COMMON SHS      162813109       254       9200    SHARED   9       9200         0         0
CHELSEA PROPERTY GROUP INC             REAL EST INV TR 163421100      3526      64332    SHARED   9      64332         0         0
CHELSEA PROPERTY GROUP INC             REAL EST INV TR 163421100      7186     131100    SHARED   A     131100         0         0
CHEMICAL FINL CORP                     COMMON SHS      163731102       200       5500    SHARED   4       5500         0         0
CHESAPEAKE ENERGY CORP                 COMMON SHS      165167107     24289    1788600    SHARED   A    1788600         0         0
CHEVRONTEXACO CORP                     COMMON SHS      166764100     22524     260720    SHARED         260720         0         0
CHEVRONTEXACO CORP                     COMMON SHS      166764100      8038      93038    SHARED   6      81015         0     12023
CHEVRONTEXACO CORP                     COMMON SHS      166764100      4189      48494    SHARED   8      42300         0      6194
CHEVRONTEXACO CORP                     COMMON SHS      166764100     32268     373520    SHARED   9     373520         0         0
CHEVRONTEXACO CORP                     COMMON SHS      166764100    369000    4271328    SHARED   A    4271328         0         0
CHICAGO MERCANTILE EXCHANGE            COMMON SHS      167760107       434       6000    SHARED   9       6000         0         0
CHICAGO PIZZA & BREWERY INC            COMMON SHS      167889104      5431     364000    SHARED   A     364000         0         0
CHICO'S FAS INC                        COMMON SHS      168615102       501      13569    SHARED          13569         0         0
CHICO'S FAS INC                        COMMON SHS      168615102      7194     194700    SHARED   9     194700         0         0
CHICO'S FAS INC                        COMMON SHS      168615102        33        900    SHARED   A        900         0         0
CHINA MOBILE (HONG KONG) LTD           AMER DEP RECPT  16941M109       877      56500    SHARED          56500         0         0
CHINA MOBILE (HONG KONG) LTD           AMER DEP RECPT  16941M109      1553     100000    SHARED   1     100000         0         0
CHINA MOBILE (HONG KONG) LTD           AMER DEP RECPT  16941M109     16232    1045190    SHARED   2    1045190         0         0
CHINA MOBILE (HONG KONG) LTD           AMER DEP RECPT  16941M109      3024     194700    SHARED   A     194700         0         0
CHIRON CORP                            COMMON SHS      170040109         0          1    SHARED   6          1         0         0
CHIRON CORP                            COMMON SHS      170040109       996      17473    SHARED   9      17473         0         0
CHIRON CORP                            COMMON SHS      170040109     23674     415400    SHARED   A     415400         0         0
CHOICEPOINT INC                        COMMON SHS      170388102      6094     160000    SHARED   7     160000         0         0
CHOICEPOINT INC                        COMMON SHS      170388102       460      12080    SHARED   9      12080         0         0
CHOICEPOINT INC                        COMMON SHS      170388102      4571     120000    SHARED   A     120000         0         0
CHROMCRAFT REVINGTON INC               COMMON SHS      171117104      2268     200000    SHARED   4     200000         0         0
CHUBB CORP                             COMMON SHS      171232101        90       1321    SHARED   6       1321         0         0




CHUBB CORP                             COMMON SHS      171232101        54        800    SHARED   8        800         0         0
CHUBB CORP                             COMMON SHS      171232101     11671     171384    SHARED   9     171384         0         0
CHUBB CORP                             CONVERT PREF    171232309      5712     200000    SHARED   A     200000         0         0
CHUNGHWA TELECOM CO LTD                AMER DEP RECPT  17133Q205     69197    4772220    SHARED   1    4767620         0      4600
CHUNGHWA TELECOM CO LTD                AMER DEP RECPT  17133Q205     86499    5965463    SHARED   2    5737164         0    228299
CHUNGHWA TELECOM CO LTD                AMER DEP RECPT  17133Q205      6943     478842    SHARED   3     478842         0         0
CHUNGHWA TELECOM CO LTD                AMER DEP RECPT  17133Q205     34124    2353400    SHARED   5    2353400         0         0
CHUNGHWA TELECOM CO LTD                AMER DEP RECPT  17133Q205       510      35200    SHARED   9      35200         0         0
CHUNGHWA TELECOM CO LTD                AMER DEP RECPT  17133Q205      1637     112900    SHARED   A     112900         0         0
CHURCH & DWIGHT CO INC                 COMMON SHS      171340102       315       7960    SHARED   9       7960         0         0
CIENA CORP                             COMMON SHS      171779101       253      38170    SHARED   9      38170         0         0
CIENA CORP                             COMMON SHS      171779101     41749    6287545    SHARED   A    5804845         0    482700
CIENA CORP                             CONVERTIBLE BD  171779AA9       368     400000    SHARED   9     400000         0         0
CINERGY CORP                           COMMON SHS      172474108         0          1    SHARED   6          1         0         0
CINERGY CORP                           COMMON SHS      172474108       239       6165    SHARED   9       6165         0         0
CINERGY CORP                           COMMON SHS      172474108    256883    6619000    SHARED   A    6619000         0         0
CIRCOR INTERNATIONAL INC               COMMON SHS      17273K109     18778     779150    SHARED   4     779150         0         0
CISCO SYSTEMS INC                      COMMON SHS      17275R102        35       1450    SHARED           1450         0         0
CISCO SYSTEMS INC                      COMMON SHS      17275R102         2         81    SHARED   6         81         0         0
CISCO SYSTEMS INC                      COMMON SHS      17275R102     32792    1350000    SHARED   7    1350000         0         0
CISCO SYSTEMS INC                      COMMON SHS      17275R102    148674    6120772    SHARED   9    6120772         0         0
CISCO SYSTEMS INC                      COMMON SHS      17275R102    159117    6550703    SHARED   A    5966703         0    584000
CITADEL BROADCASTING CORP              COMMON SHS      17285T106      3930     175700    SHARED   A     175700         0         0
CINTAS CORP                            COMMON SHS      172908105      2748      54825    SHARED   9      54825         0         0
CITIGROUP INC                          COMMON SHS      172967101       896      18452    SHARED          18452         0         0
CITIGROUP INC                          COMMON SHS      172967101      4029      83000    SHARED   4      83000         0         0
CITIGROUP INC                          COMMON SHS      172967101      8592     177000    SHARED   5     177000         0         0
CITIGROUP INC                          COMMON SHS      172967101      9460     194890    SHARED   6     171579         0     23311
CITIGROUP INC                          COMMON SHS      172967101     25626     527944    SHARED   8     524949         0      2995
CITIGROUP INC                          COMMON SHS      172967101    148562    3060603    SHARED   9    3060603         0         0
CITIGROUP INC                          COMMON SHS      172967101    113961    2347784    SHARED   A    2111084         0    236700
CITIZENS COMMUNICATIONS CO             COMMON SHS      17453B101       214      17242    SHARED   9      17242         0         0
CITIZENS COMMUNICATIONS CO             COMMON SHS      17453B101      4029     324400    SHARED   A     324400         0         0
CITRIX SYSTEMS INC                     COMMON SHS      177376100         0          1    SHARED   6          1         0         0
CITRIX SYSTEMS INC                     COMMON SHS      177376100       839      39565    SHARED   9      39565         0         0
CITY INVESTING CO LIQUIDATING TRUST    COMMON SHS      177900107     13614    6529648    SHARED   5    6529648         0         0
CITY INVESTING CO LIQUIDATING TRUST    COMMON SHS      177900107         1        300    SHARED   9        300         0         0
CITY NATIONAL CORP                     COMMON SHS      178566105      6631     106753    SHARED   5     106753         0         0
CITY NATIONAL CORP                     COMMON SHS      178566105        49        789    SHARED   6        789         0         0
CITY NATIONAL CORP                     COMMON SHS      178566105       435       7000    SHARED   9       7000         0         0
CITY NATIONAL CORP                     COMMON SHS      178566105     68910    1109300    SHARED   A    1109300         0         0
CLAIRE'S STORES INC                    COMMON SHS      179584107     10096     535900    SHARED   9     535900         0         0
CLAIRE'S STORES INC                    COMMON SHS      179584107        55       2900    SHARED   A       2900         0         0
CLARCOR INC                            COMMON SHS      179895107      6026     136645    SHARED   6     136645         0         0
CLEAR CHANNEL COMMUNICATIONS INC       COMMON SHS      184502102        23        500    SHARED            500         0         0
CLEAR CHANNEL COMMUNICATIONS INC       COMMON SHS      184502102         0          1    SHARED   6          1         0         0
CLEAR CHANNEL COMMUNICATIONS INC       COMMON SHS      184502102     23415     500000    SHARED   7     500000         0         0




CLEAR CHANNEL COMMUNICATIONS INC       COMMON SHS      184502102     73198    1563050    SHARED   9    1563050         0         0
CLEAR CHANNEL COMMUNICATIONS INC       COMMON SHS      184502102     59326    1266831    SHARED   A    1266831         0         0
CLEVELAND CLIFFS INC                   COMMON SHS      185896107      9884     194000    SHARED   A     194000         0         0
CLOROX CO                              COMMON SHS      189054109         0          1    SHARED   6          1         0         0
CLOROX CO                              COMMON SHS      189054109      7333     151011    SHARED   9     151011         0         0
CLOROX CO                              COMMON SHS      189054109     19463     400800    SHARED   A     400800         0         0
COACH INC                              COMMON SHS      189754104      5420     143567    SHARED   9     143567         0         0
COCA-COLA CO                           COMMON SHS      191216100        36        700    SHARED            700         0         0
COCA-COLA CO                           COMMON SHS      191216100       260       5126    SHARED   6       5126         0         0
COCA-COLA CO                           COMMON SHS      191216100     47371     933428    SHARED   9     933428         0         0
COCA-COLA CO                           COMMON SHS      191216100    135623    2672376    SHARED   A    2466576         0    205800
COCA-COLA ENTERPRISES INC              COMMON SHS      191219104     33008    1509300    SHARED   5    1509300         0         0
COCA-COLA ENTERPRISES INC              COMMON SHS      191219104         0          1    SHARED   6          1         0         0
COCA-COLA ENTERPRISES INC              COMMON SHS      191219104        23       1040    SHARED   9       1040         0         0
COEUR D'ALENE MINES CORP               COMMON SHS      192108108     30331    5247600    SHARED   5    5247600         0         0
COEUR D'ALENE MINES CORP               COMMON SHS      192108108      3179     550000    SHARED   A     550000         0         0
COGNIZANT TECHNOLOGY SOLUTIONS CORP    COMMON SHS      192446102         0          1    SHARED   6          1         0         0
COGNIZANT TECHNOLOGY SOLUTIONS CORP    COMMON SHS      192446102       172       3758    SHARED   9       3758         0         0
COGNIZANT TECHNOLOGY SOLUTIONS CORP    COMMON SHS      192446102     40131     879300    SHARED   A     879300         0         0
COGNOS INC                             COMMON SHS      19244C109     53092    1733900    SHARED   A    1733900         0         0
COHERENT INC                           COMMON SHS      192479103     14997     630128    SHARED   6     630128         0         0
COHERENT INC                           COMMON SHS      192479103        38       1600    SHARED   9       1600         0         0
COHERENT INC                           COMMON SHS      192479103     59231    2488700    SHARED   A    2488700         0         0
COHU INC                               COMMON SHS      192576106     12107     632200    SHARED   4     632200         0         0
COINSTAR INC                           COMMON SHS      19259P300      2553     141336    SHARED         141336         0         0
COINSTAR INC                           COMMON SHS      19259P300       108       6000    SHARED   1       6000         0         0
COINSTAR INC                           COMMON SHS      19259P300      9864     546200    SHARED   2     546200         0         0
COLGATE-PALMOLIVE CO                   COMMON SHS      194162103        15        300    SHARED            300         0         0
COLGATE-PALMOLIVE CO                   COMMON SHS      194162103      1896      37890    SHARED   6      33345         0      4545
COLGATE-PALMOLIVE CO                   COMMON SHS      194162103      6154     122960    SHARED   9     122960         0         0
COLGATE-PALMOLIVE CO                   COMMON SHS      194162103     64069    1280100    SHARED   A    1070100         0    210000
COLOMBIA REPUBLIC OF                   LT GOVT BND FXD 195325AT2      5544      50000    SHARED   2      50000         0         0
COMCAST CORP                           COMMON SHS      20030N101       767      23334    SHARED   1      23334         0         0
COMCAST CORP                           COMMON SHS      20030N101      2059      62636    SHARED   2      62636         0         0
COMCAST CORP                           COMMON SHS      20030N101         1         21    SHARED   6         21         0         0
COMCAST CORP                           COMMON SHS      20030N101      3098      94243    SHARED   8      94243         0         0
COMCAST CORP                           COMMON SHS      20030N101     12731     387323    SHARED   9     387323         0         0
COMCAST CORP                           COMMON SHS      20030N101      3973     120871    SHARED   A      50089         0     70782
COMCAST CORP                           COMMON SHS      20030N200         1         30    SHARED   6         30         0         0
COMCAST CORP                           COMMON SHS      20030N200     16141     516013    SHARED   9     516013         0         0
COMCAST CORP                           COMMON SHS      20030N200     12759     407900    SHARED   A     407900         0         0
COMERICA INC                           COMMON SHS      200340107      3364      60000    SHARED   5      60000         0         0
COMERICA INC                           COMMON SHS      200340107       408       7283    SHARED   9       7283         0         0
COMERICA INC                           COMMON SHS      200340107    234051    4175000    SHARED   A    4175000         0         0
COMMERCE BANCORP INC                   COMMON SHS      200519106        16        300    SHARED            300         0         0
COMMERCE BANCORP INC                   COMMON SHS      200519106         0          1    SHARED   6          1         0         0
COMMERCE BANCORP INC                   COMMON SHS      200519106      2843      53971    SHARED   9      53971         0         0




COMMERCE BANCORP INC                   COMMON SHS      200519106     55514    1053800    SHARED   A    1053800         0         0
COMMERCIAL FEDERAL CORP                COMMON SHS      201647104     47345    1772547    SHARED   5    1772547         0         0
COMMERCIAL NET LEASE REALTY            REAL EST INV TR 202218103       445      25000    SHARED   9      25000         0         0
COMMONWEALTH INDUSTRIES INC            COMMON SHS      203004106      8032     800000    SHARED   4     800000         0         0
COMMONWEALTH TELEPHONE ENTERPRISES INC COMMON SHS      203349105        42       1100    SHARED   9       1100         0         0
COMMONWEALTH TELEPHONE ENTERPRISES INC COMMON SHS      203349105     15085     399600    SHARED   A     389600         0     10000
COMPANHIA BRASILEIRA DE DISTR PAO DE A DEP RCPT PFD    20440T201       491      19529    SHARED   1      19529         0         0
CIA VALE DO RIO DOCE                   DEP RCPT PFD    204412100     98337    1909079    SHARED        1796009         0    113070
CIA VALE DO RIO DOCE                   DEP RCPT PFD    204412100     79506    1543510    SHARED   1    1543510         0         0
CIA VALE DO RIO DOCE                   DEP RCPT PFD    204412100     83014    1611600    SHARED   2    1565640         0     45960
CIA VALE DO RIO DOCE                   DEP RCPT PFD    204412100      9960     193358    SHARED   3     193358         0         0
CIA VALE DO RIO DOCE                   DEP RCPT PFD    204412100     86985    1688697    SHARED   8    1630997         0     57700
CIA VALE DO RIO DOCE                   DEP RCPT PFD    204412100      1431      27780    SHARED   9      27780         0         0
CIA VALE DO RIO DOCE                   AMER DEP RECPT  204412209     23102     394900    SHARED   1     392360         0      2540
CIA VALE DO RIO DOCE                   AMER DEP RECPT  204412209      4010      68550    SHARED   2      68550         0         0
CIA VALE DO RIO DOCE                   AMER DEP RECPT  204412209         0          1    SHARED   6          1         0         0
CIA VALE DO RIO DOCE                   AMER DEP RECPT  204412209        39        670    SHARED   8        670         0         0
CIA VALE DO RIO DOCE                   AMER DEP RECPT  204412209      1580      27000    SHARED   9      27000         0         0
COMPANHIA PARANAENSE DE ENERGIA-COPEL  DEP RCPT PFD    20441B407     38630    8098529    SHARED        8053029         0     45500
CIA DE BEBIDAS DAS AMERICAS (AMBEV)    DEP RCPT PFD    20441W203      1480      58000    SHARED          58000         0         0
CIA DE BEBIDAS DAS AMERICAS (AMBEV)    DEP RCPT PFD    20441W203      1245      48800    SHARED   9      48800         0         0
COMPANIA DE MINAS BUENAVENTURA SA      AMER DEP RECPT  204448104     29383    1038986    SHARED   A    1038986         0         0
COMPANIA DE TELECOMUNICACIONES DE CHIL AMER DEP RECPT  204449300       701      46880    SHARED   1      46880         0         0
COMPANIA DE TELECOMUNICACIONES DE CHIL AMER DEP RECPT  204449300    101148    6765784    SHARED   2    6271614         0    494170
COMPANIA DE TELECOMUNICACIONES DE CHIL AMER DEP RECPT  204449300     10312     689782    SHARED   8     689782         0         0
COMPASS BANCSHARES INC                 COMMON SHS      20449H109         0          1    SHARED   6          1         0         0
COMPASS BANCSHARES INC                 COMMON SHS      20449H109       523      13296    SHARED   9      13296         0         0
COMPUTER ASSOCIATES INTERNATIONAL INC  COMMON SHS      204912109         0          1    SHARED   6          1         0         0
COMPUTER ASSOCIATES INTERNATIONAL INC  COMMON SHS      204912109       758      27712    SHARED   9      27712         0         0
COMPUTER ASSOCIATES INTERNATIONAL INC  COMMON SHS      204912109     18131     663151    SHARED   A     434051         0    229100
COMPUTER SCIENCES CORP                 COMMON SHS      205363104         7        167    SHARED   6        167         0         0
COMPUTER SCIENCES CORP                 COMMON SHS      205363104     44230    1000000    SHARED   7    1000000         0         0
COMPUTER SCIENCES CORP                 COMMON SHS      205363104      2804      63400    SHARED   8      63400         0         0
COMPUTER SCIENCES CORP                 COMMON SHS      205363104      3375      76302    SHARED   9      76302         0         0
COMPUTER SCIENCES CORP                 COMMON SHS      205363104      9978     225600    SHARED   A     225600         0         0
COMPUWARE CORP                         COMMON SHS      205638109         0          1    SHARED   6          1         0         0
COMPUWARE CORP                         COMMON SHS      205638109        70      11600    SHARED   9      11600         0         0
COMVERSE TECHNOLOGY INC                COMMON SHS      205862402       165       9400    SHARED   9       9400         0         0
COMVERSE TECHNOLOGY INC                COMMON SHS      205862402      1463      83184    SHARED   A      83184         0         0
CONAGRA FOODS INC                      COMMON SHS      205887102     17945     680000    SHARED         680000         0         0
CONAGRA FOODS INC                      COMMON SHS      205887102         0          1    SHARED   6          1         0         0
CONAGRA FOODS INC                      COMMON SHS      205887102         5        175    SHARED   8          0         0       175
CONAGRA FOODS INC                      COMMON SHS      205887102      1962      74350    SHARED   9      74350         0         0
CONCEPTUS INC                          COMMON SHS      206016107      4396     413954    SHARED   6     413954         0         0
CONCEPTUS INC                          COMMON SHS      206016107     11198    1054400    SHARED   A    1054400         0         0
CONCORD COMMUNICATIONS INC             COMMON SHS      206186108      5032     252000    SHARED   9     252000         0         0
CONCORD COMMUNICATIONS INC             COMMON SHS      206186108        26       1300    SHARED   A       1300         0         0




CONCORD EFS INC                        COMMON SHS      206197105     17925    1207900    SHARED   5    1207900         0         0
CONCORD EFS INC                        COMMON SHS      206197105         8        547    SHARED   6        547         0         0
CONCORD EFS INC                        COMMON SHS      206197105      1357      91413    SHARED   9      91413         0         0
CONCORD EFS INC                        COMMON SHS      206197105      3007     202600    SHARED   A     202600         0         0
CONCUR TECHNOLOGIES INC                COMMON SHS      206708109       484      50000    SHARED   A      50000         0         0
CONEXANT SYSTEMS INC                   COMMON SHS      207142100      1491     300000    SHARED   7     300000         0         0
CONMED CORP                            COMMON SHS      207410101      5867     246522    SHARED   6     246522         0         0
CONNETICS CORP                         COMMON SHS      208192104         1         28    SHARED   6         28         0         0
CONNETICS CORP                         COMMON SHS      208192104      6278     345700    SHARED   A     345700         0         0
CONOCOPHILLIPS                         COMMON SHS      20825C104      1705      26000    SHARED   4      26000         0         0
CONOCOPHILLIPS                         COMMON SHS      20825C104      1377      20996    SHARED   6      20996         0         0
CONOCOPHILLIPS                         COMMON SHS      20825C104     12881     196451    SHARED   8     196451         0         0
CONOCOPHILLIPS                         COMMON SHS      20825C104      8612     131343    SHARED   9     131343         0         0
CONOCOPHILLIPS                         COMMON SHS      20825C104      6118      93300    SHARED   A      93300         0         0
CONSOL ENERGY                          COMMON SHS      20854P109     14289     551700    SHARED   4     551700         0         0
CONSOL ENERGY                          COMMON SHS      20854P109      1743      67300    SHARED   5      67300         0         0
CONSOL ENERGY                          COMMON SHS      20854P109         8        300    SHARED   9        300         0         0
CONSOLIDATED EDISON INC                COMMON SHS      209115104      2167      50376    SHARED   9      50376         0         0
CONSOLIDATED EDISON INC                COMMON SHS      209115104     21505     500000    SHARED   A     500000         0         0
CONSTELLATION BRANDS INC               COMMON SHS      21036P108       517      15710    SHARED   9      15710         0         0
CONSTELLATION ENERGY GROUP             COMMON SHS      210371100         0          1    SHARED   6          1         0         0
CONSTELLATION ENERGY GROUP             COMMON SHS      210371100       303       7750    SHARED   9       7750         0         0
CONSTELLATION ENERGY GROUP             COMMON SHS      210371100     13914     355300    SHARED   A     355300         0         0
CONTINENTAL AIRLINES INC               COMMON SHS      210795308      8135     500000    SHARED   7     500000         0         0
CONTINENTAL AIRLINES INC               COMMON SHS      210795308        46       2857    SHARED   A       2857         0         0
CONTINENTAL MATERIAL CORP              COMMON SHS      211615307      2711      99500    SHARED   4      99500         0         0
COOPER CAMERON CORP                    COMMON SHS      216640102       247       5300    SHARED   9       5300         0         0
COOPER COMPANIES INC                   COMMON SHS      216648402        28        600    SHARED   9        600         0         0
COOPER COMPANIES INC                   COMMON SHS      216648402     16557     351300    SHARED   A     351300         0         0
COORS (ADOLFO)                         COMMON SHS      217016104         0          1    SHARED   6          1         0         0
COORS (ADOLFO)                         COMMON SHS      217016104     14132     251900    SHARED   A     114000         0    137900
COPART INC                             COMMON SHS      217204106       465      28200    SHARED   9      28200         0         0
CORN PRODUCTS INTL INC                 COMMON SHS      219023108     38584    1120000    SHARED   4    1120000         0         0
CORN PRODUCTS INTL INC                 COMMON SHS      219023108       989      28702    SHARED   9      28702         0         0
CORN PRODUCTS INTL INC                 COMMON SHS      219023108      1125      32642    SHARED   A      32642         0         0
CORNING INC                            COMMON SHS      219350105         1         55    SHARED   6         55         0         0
CORNING INC                            COMMON SHS      219350105     12869    1233884    SHARED   9    1233884         0         0
CORNING INC                            COMMON SHS      219350105        12       1164    SHARED   A       1164         0         0
CORPORATE EXECUTIVE BOARD CO           COMMON SHS      21988R102      8687     186135    SHARED   6     186135         0         0
CORPORATE EXECUTIVE BOARD CO           COMMON SHS      21988R102     37551     804600    SHARED   A     804600         0         0
CORPORATE OFFICE PROPERTIES TRUST      REAL EST INV TR 22002T108       474      22571    SHARED   6      22571         0         0
CORPORATE OFFICE PROPERTIES TRUST      REAL EST INV TR 22002T108       588      28000    SHARED   9      28000         0         0
CORPORATE OFFICE PROPERTIES TRUST      REAL EST INV TR 22002T108      8400     400000    SHARED   A     400000         0         0
CORRECTIONAL PROPERTIES TRUST          REAL EST INV TR 22025E104       900      31245    SHARED   9      31245         0         0
CORUS BANKSHARES INC                   COMMON SHS      220873103       922      29200    SHARED   4      29200         0         0
COST PLUS INC                          COMMON SHS      221485105         0          1    SHARED   6          1         0         0
COST PLUS INC                          COMMON SHS      221485105     25654     625700    SHARED   A     625700         0         0




COSTCO WHOLESALE CORP                  COMMON SHS      22160K105         7        181    SHARED   6        181         0         0
COSTCO WHOLESALE CORP                  COMMON SHS      22160K105      6963     187276    SHARED   8     183765         0      3511
COSTCO WHOLESALE CORP                  COMMON SHS      22160K105     68655    1846561    SHARED   9    1846561         0         0
COSTCO WHOLESALE CORP                  COMMON SHS      22160K105       260       7000    SHARED   A       7000         0         0
COTT CORP                              ORDINARY SHS    22163N106      8859     243645    SHARED   8     243645         0         0
COTT CORP                              COMMON SHS      22163N106        42       1500    SHARED   9       1500         0         0
COUNTRYWIDE FINANCIAL CORP             COMMON SHS      222372104        30        400    SHARED            400         0         0
COUNTRYWIDE FINANCIAL CORP             COMMON SHS      222372104         9        123    SHARED   6        123         0         0
COUNTRYWIDE FINANCIAL CORP             COMMON SHS      222372104      1936      25526    SHARED   9      25526         0         0
COUNTRYWIDE FINANCIAL CORP             COMMON SHS      222372104    194879    2569271    SHARED   A    2449271         0    120000
COUNTRYWIDE FINANCIAL CORP             CONVERT ZERO CP 222372AE4    725250    6000000    SHARED   A    6000000         0         0
COURIER CORP                           COMMON SHS      222660102      5771     150000    SHARED   4     150000         0         0
COUSINS PROPERTIES INC                 REAL EST INV TR 222795106       876      28633    SHARED   6      28633         0         0
COUSINS PROPERTIES INC                 REAL EST INV TR 222795106       275       9000    SHARED   9       9000         0         0
COUSINS PROPERTIES INC                 REAL EST INV TR 222795106     12001     392200    SHARED   A     392200         0         0
COVENTRY HEALTH CARE INC               COMMON SHS      222862104        52        800    SHARED   9        800         0         0
COVENTRY HEALTH CARE INC               COMMON SHS      222862104    146641    2273857    SHARED   A    2270957         0      2900
COX COMMUNICATIONS INC                 COMMON SHS      224044107         1         15    SHARED   6         15         0         0
COX COMMUNICATIONS INC                 COMMON SHS      224044107       640      18578    SHARED   9      18578         0         0
COX COMMUNICATIONS INC                 COMMON SHS      224044107      5984     173700    SHARED   A      83900         0     89800
CP SHIPS LTD                           ORDINARY SHS    22409V102      1795      66718    SHARED   2      66718         0         0
CP SHIPS LTD                           ORDINARY SHS    22409V102     11773     437672    SHARED   8     437672         0         0
CP SHIPS LTD                           COMMON SHS      22409V102         5        225    SHARED   9        225         0         0
CRANE CO                               COMMON SHS      224399105     18481     601200    SHARED   A     601200         0         0
CREDENCE SYSTEMS CORP                  COMMON SHS      225302108      6444     489700    SHARED   9     489700         0         0
CREDENCE SYSTEMS CORP                  COMMON SHS      225302108      6102     463700    SHARED   A     463700         0         0
CREE INC                               COMMON SHS      225447101      1065      60200    SHARED   9      60200         0         0
CRESCENT REAL ESTATE EQUITIES CO       REAL EST INV TR 225756105       737      43000    SHARED   9      43000         0         0
CRESCENT REAL ESTATE EQUITIES CO       REAL EST INV TR 225756105      4509     263200    SHARED   A     263200         0         0
CROWN CASTLE INTERNATIONAL CORP        COMMON SHS      228227104     73134    6630435    SHARED   1    6630435         0         0
CTI MOLECULAR IMAGING INC              COMMON SHS      22943D105     24589    1454100    SHARED   A    1454100         0         0
CULLEN FROST BANKERS INC               COMMON SHS      229899109       412      10144    SHARED   9      10144         0         0
CULLEN FROST BANKERS INC               COMMON SHS      229899109     32127     791900    SHARED   A     791900         0         0
CURTISS WRIGHT CORP                    COMMON SHS      231561408       222       4948    SHARED   9       4948         0         0
CYMER INC                              COMMON SHS      232572107       388       8400    SHARED   9       8400         0         0
CYMER INC                              COMMON SHS      232572107     25940     561600    SHARED   A     561600         0         0
CYPRESS BIOSCIENCE INC                 COMMON SHS      232674507      1061      70001    SHARED   6      70001         0         0
CYPRESS BIOSCIENCE INC                 COMMON SHS      232674507         1         37    SHARED   9         37         0         0
CYPRESS BIOSCIENCE INC                 COMMON SHS      232674507      3992     263500    SHARED   A     263500         0         0
CYPRESS SEMICONDUCTOR CORP             CONVERTIBLE BD  232806AF6       561     561000    SHARED   9     561000         0         0
CYTYC CORP                             COMMON SHS      232946103       385      28000    SHARED   9      28000         0         0
CYTYC CORP                             COMMON SHS      232946103      1613     117200    SHARED   A     102100         0     15100
DNP SELECT INCOME FUND INC             CLOSE END MUT F 23325P104       370      33801    SHARED   9      33801         0         0
DRS TECHNOLOGIES INC                   COMMON SHS      23330X100        11        400    SHARED   9        400         0         0
DRS TECHNOLOGIES INC                   COMMON SHS      23330X100      7526     270900    SHARED   A     149000         0    121900
D R HORTON INC                         COMMON SHS      23331A109     49825    1151750    SHARED   4    1151750         0         0
D R HORTON INC                         COMMON SHS      23331A109      6538     151142    SHARED   9     151142         0         0




D R HORTON INC                         COMMON SHS      23331A109     46515    1075232    SHARED   A    1075232         0         0
DST SYSTEMS INC                        COMMON SHS      233326107       447      10700    SHARED   9      10700         0         0
DSP GROUP INC                          COMMON SHS      23332B106     14879     597300    SHARED   9     597300         0         0
DSP GROUP INC                          COMMON SHS      23332B106        80       3200    SHARED   A       3200         0         0
DTE ENERGY COMPANY                     COMMON SHS      233331107        24        600    SHARED            600         0         0
DTE ENERGY COMPANY                     COMMON SHS      233331107     39182     994471    SHARED   1     994471         0         0
DTE ENERGY COMPANY                     COMMON SHS      233331107       786      19949    SHARED   9      19949         0         0
DTE ENERGY COMPANY                     COMMON SHS      233331107    274449    6965704    SHARED   A    6740204         0    225500
DANA CORP                              COMMON SHS      235811106       299      16301    SHARED   9      16301         0         0
DANAHER CORP                           COMMON SHS      235851102         2         20    SHARED   6         20         0         0
DANAHER CORP                           COMMON SHS      235851102      3903      42537    SHARED   9      42537         0         0
DARDEN RESTAURANTS INC                 COMMON SHS      237194105         8        359    SHARED   6        359         0         0
DARDEN RESTAURANTS INC                 COMMON SHS      237194105       100       4763    SHARED   9       4763         0         0
DARDEN RESTAURANTS INC                 COMMON SHS      237194105     20681     982955    SHARED   A     656955         0    326000
DEAN FOODS INC                         COMMON SHS      242370104       793      24137    SHARED   9      24137         0         0
DEAN FOODS INC                         COMMON SHS      242370104     72528    2206500    SHARED   A    2200500         0      6000
DECOMA INTERNATIONAL INC               ORDINARY SHS    24359C100      2442     183870    SHARED   2     183870         0         0
DECOMA INTERNATIONAL INC               ORDINARY SHS    24359C100     11447     861990    SHARED   8     861990         0         0
DEERE & CO                             COMMON SHS      244199105         2         30    SHARED   6         30         0         0
DEERE & CO                             COMMON SHS      244199105     19515     300000    SHARED   7     300000         0         0
DEERE & CO                             COMMON SHS      244199105      2698      41474    SHARED   9      41474         0         0
DEERE & CO                             COMMON SHS      244199105         4         63    SHARED   A         63         0         0
DEL MONTE FOODS CO                     COMMON SHS      24522P103         4        358    SHARED   6        358         0         0
DEL MONTE FOODS CO                     COMMON SHS      24522P103      1723     165698    SHARED   9     165698         0         0
DELL INC                               COMMON SHS      24702R101         3         81    SHARED   6         81         0         0
DELL INC                               COMMON SHS      24702R101     16980     500000    SHARED   7     500000         0         0
DELL INC                               COMMON SHS      24702R101     10405     306389    SHARED   9     306389         0         0
DELL INC                               COMMON SHS      24702R101     77085    2269876    SHARED   A    2067876         0    202000
DELPHI CORP                            COMMON SHS      247126105      1483     145232    SHARED   6     121904         0     23328
DELPHI CORP                            COMMON SHS      247126105       101       9940    SHARED   9       9940         0         0
DELPHI CORP                            COMMON SHS      247126105     12232    1198000    SHARED   A    1198000         0         0
DELTA AIR LINES INC                    COMMON SHS      247361108         0          1    SHARED   6          1         0         0
DELTA AIR LINES INC                    COMMON SHS      247361108     11810    1000000    SHARED   7    1000000         0         0
DELTA AIR LINES INC                    COMMON SHS      247361108        34       2852    SHARED   9       2852         0         0
DELTA APPAREL INC                      COMMON SHS      247368103      6123     340000    SHARED   4     340000         0         0
DELTA WOODSIDE INDUSTRIES INC          COMMON SHS      247909203      1092     560000    SHARED   4     560000         0         0
DENTSPLY INTERNATIONAL INC             COMMON SHS      249030107       104       2300    SHARED   9       2300         0         0
DENTSPLY INTERNATIONAL INC             COMMON SHS      249030107      1536      34000    SHARED   A      29600         0      4400
DEVON ENERGY CORP                      COMMON SHS      25179M103        23        410    SHARED            410         0         0
DEVON ENERGY CORP                      COMMON SHS      25179M103         1         25    SHARED   6         25         0         0
DEVON ENERGY CORP                      COMMON SHS      25179M103      1957      34178    SHARED   9      34178         0         0
DEVON ENERGY CORP                      COMMON SHS      25179M103     40037     699208    SHARED   A     591208         0    108000
DEVON ENERGY CORP                      CONVERTIBLE BD  25179MAA1       115     112000    SHARED   9     112000         0         0
DEVRY INC                              COMMON SHS      251893103         0          1    SHARED   6          1         0         0
DEVRY INC                              COMMON SHS      251893103       407      16200    SHARED   9      16200         0         0
DIAGEO PLC                             AMER DEP RECPT  25243Q205       341       6442    SHARED           6442         0         0
DIAGEO PLC                             AMER DEP RECPT  25243Q205         0          1    SHARED   6          1         0         0




DIAGEO PLC                             AMER DEP RECPT  25243Q205      4387      83000    SHARED   8      83000         0         0
DIAGEO PLC                             AMER DEP RECPT  25243Q205      2954      55880    SHARED   9      55880         0         0
DIAL CORP                              COMMON SHS      25247D101         3        111    SHARED   3        111         0         0
DIAL CORP                              COMMON SHS      25247D101      7325     257300    SHARED   8     257300         0         0
DIAL CORP                              COMMON SHS      25247D101         3        100    SHARED   9        100         0         0
DIAMONDS TRUST                         OPEN END UT TR  252787106      1010       9660    SHARED   9       9660         0         0
DIEBOLD INC                            COMMON SHS      253651103     46220     858000    SHARED   4     858000         0         0
DIEBOLD INC                            COMMON SHS      253651103      1933      35875    SHARED   6      33162         0      2713
DIEBOLD INC                            COMMON SHS      253651103      1449      26900    SHARED   9      26900         0         0
DIEBOLD INC                            COMMON SHS      253651103     41604     772300    SHARED   A     772300         0         0
DIGITAL THEATER SYSTEMS INC            COMMON SHS      25389G102        99       4000    SHARED   9       4000         0         0
DIGITAL THEATER SYSTEMS INC            COMMON SHS      25389G102       244       9900    SHARED   A       9900         0         0
DILLARDS INC                           COMMON SHS      254067101     48985    2976000    SHARED   4    2976000         0         0
DILLARDS INC                           COMMON SHS      254067101     14971     909535    SHARED   A     747535         0    162000
WASHINGTON MUTUAL INC                  WTS TO EQUITY   25429Q110         4      24100    SHARED   9      24100         0         0
DIMON INC                              COMMON SHS      254394109     21223    3144200    SHARED   4    3144200         0         0
DIMON INC                              COMMON SHS      254394109        20       3001    SHARED   6       3001         0         0
DIONEX CORP                            COMMON SHS      254546104      3020      65618    SHARED   6      65618         0         0
DIONEX CORP                            COMMON SHS      254546104     11505     250000    SHARED   7     250000         0         0
DIONEX CORP                            COMMON SHS      254546104       552      12000    SHARED   9      12000         0         0
DIRECT GENERAL CORP                    COMMON SHS      25456W204      6471     195500    SHARED   9     195500         0         0
DIRECT GENERAL CORP                    COMMON SHS      25456W204        33       1000    SHARED   A       1000         0         0
WALT DISNEY CO                         COMMON SHS      254687106       919      39386    SHARED          39386         0         0
WALT DISNEY CO                         COMMON SHS      254687106      2847     122013    SHARED   6     105998         0     16015
WALT DISNEY CO                         COMMON SHS      254687106     23330    1000000    SHARED   7    1000000         0         0
WALT DISNEY CO                         COMMON SHS      254687106         6        237    SHARED   8         72         0       165
WALT DISNEY CO                         COMMON SHS      254687106     68399    2931810    SHARED   9    2931810         0         0
WALT DISNEY CO                         COMMON SHS      254687106     61088    2618414    SHARED   A    2618414         0         0
DIXIE GROUP INC                        COMMON SHS      255519100      3110     405000    SHARED   4     405000         0         0
DR REDDY'S LABORATORIES LTD            AMER DEP RECPT  256135203       421      13300    SHARED              0         0     13300
DOLLAR THRIFTY AUTOMOTIVE GROUP INC    COMMON SHS      256743105     53488    2062000    SHARED   4    2062000         0         0
DOLLAR TREE STORES INC                 COMMON SHS      256747106         9        284    SHARED   6        284         0         0
DOLLAR TREE STORES INC                 COMMON SHS      256747106        45       1500    SHARED   9       1500         0         0
DOLLAR TREE STORES INC                 COMMON SHS      256747106     77354    2573306    SHARED   A    2251706         0    321600
DOMINION RESOURCES INC                 COMMON SHS      25746U109         1         21    SHARED   6         21         0         0
DOMINION RESOURCES INC                 COMMON SHS      25746U109      6103      95619    SHARED   9      95619         0         0
DOMINION RESOURCES INC                 COMMON SHS      25746U109    324186    5078900    SHARED   A    5078900         0         0
DONALDSON CO INC                       COMMON SHS      257651109     24285     410500    SHARED   4     410500         0         0
R R DONNELLEY & SONS CO                COMMON SHS      257867101     28267     937546    SHARED         771146         0    166400
R R DONNELLEY & SONS CO                COMMON SHS      257867101     85140    2823880    SHARED   1    2823880         0         0
R R DONNELLEY & SONS CO                COMMON SHS      257867101      5088     168740    SHARED   2     168740         0         0
R R DONNELLEY & SONS CO                COMMON SHS      257867101       831      27560    SHARED   3      27560         0         0
R R DONNELLEY & SONS CO                COMMON SHS      257867101      4300     142617    SHARED   6     124284         0     18333
R R DONNELLEY & SONS CO                COMMON SHS      257867101      9469     314070    SHARED   8     314070         0         0
R R DONNELLEY & SONS CO                COMMON SHS      257867101       271       9000    SHARED   9       9000         0         0
R R DONNELLEY & SONS CO                COMMON SHS      257867101     31166    1033690    SHARED   A    1033690         0         0
DORAL FINANCIAL CORP                   COMMON SHS      25811P100       349      10800    SHARED   9      10800         0         0




DOREL INDUSTRIES INC                   ORDINARY SHS    25822C205    134659    3792136    SHARED   8    3636525         0    155611
DOT HILL SYSTEMS CORP                  COMMON SHS      25848T109     12215     806300    SHARED   9     806300         0         0
DOT HILL SYSTEMS CORP                  COMMON SHS      25848T109        67       4400    SHARED   A       4400         0         0
DOUBLECLICK INC                        COMMON SHS      258609304         0          1    SHARED   6          1         0         0
DOUBLECLICK INC                        COMMON SHS      258609304     40663    3978800    SHARED   A    3978800         0         0
DOV PHARMACEUTICAL INC                 COMMON SHS      259858108      2127     157900    SHARED   A     157900         0         0
DOVER CORP                             COMMON SHS      260003108     24963     628000    SHARED   4     628000         0         0
DOVER CORP                             COMMON SHS      260003108        32        801    SHARED   6        801         0         0
DOVER CORP                             COMMON SHS      260003108      2478      62345    SHARED   9      62345         0         0
DOW CHEMICAL CO                        COMMON SHS      260543103     33464     804999    SHARED         646312         0    158687
DOW CHEMICAL CO                        COMMON SHS      260543103    181643    4369566    SHARED   1    4367166         0      2400
DOW CHEMICAL CO                        COMMON SHS      260543103     16178     389170    SHARED   2     389170         0         0
DOW CHEMICAL CO                        COMMON SHS      260543103      2419      58192    SHARED   3      58192         0         0
DOW CHEMICAL CO                        COMMON SHS      260543103      2584      62168    SHARED   6      51962         0     10206
DOW CHEMICAL CO                        COMMON SHS      260543103      5454     131200    SHARED   8     131200         0         0
DOW CHEMICAL CO                        COMMON SHS      260543103     19871     478012    SHARED   9     478012         0         0
DOW CHEMICAL CO                        COMMON SHS      260543103    138263    3326020    SHARED   A    3326020         0         0
DOW JONES & CO INC                     COMMON SHS      260561105     44909     900880    SHARED   5     900880         0         0
DOW JONES & CO INC                     COMMON SHS      260561105      2805      56269    SHARED   6      50336         0      5933
DOW JONES & CO INC                     COMMON SHS      260561105      1269      25460    SHARED   9      25460         0         0
DOW JONES & CO INC                     COMMON SHS      260561105     12403     248800    SHARED   A     248800         0         0
DREXLER TECHNOLOGY CORP                COMMON SHS      261876106      2363     172867    SHARED   6     172867         0         0
DREXLER TECHNOLOGY CORP                COMMON SHS      261876106      9395     687300    SHARED   A     687300         0         0
DU PONT (EI) DE NEMOURS & CO           COMMON SHS      263534109      5085     110805    SHARED   6      98513         0     12292
DU PONT (EI) DE NEMOURS & CO           COMMON SHS      263534109     65614    1429819    SHARED   9    1429819         0         0
DU PONT (EI) DE NEMOURS & CO           COMMON SHS      263534109    172473    3758403    SHARED   A    3758403         0         0
DUCKWALL ALCO STORES INC               COMMON SHS      264142100      5110     325500    SHARED   4     325500         0         0
DUKE ENERGY CORP                       COMMON SHS      264399106        12        601    SHARED   6        601         0         0
DUKE ENERGY CORP                       COMMON SHS      264399106      7890     385828    SHARED   9     385828         0         0
DUKE ENERGY CORP                       COMMON SHS      264399106    131912    6450458    SHARED   A    6450458         0         0
DUKE ENERGY CORP                       CONVERT PREF    264399585      3320     239850    SHARED   9     239850         0         0
DUKE REALTY CORP                       REAL EST INV TR 264411505       429      13845    SHARED   6      13845         0         0
DUKE REALTY CORP                       REAL EST INV TR 264411505       189       6100    SHARED   9       6100         0         0
DUKE REALTY CORP                       REAL EST INV TR 264411505      3100     100000    SHARED   A     100000         0         0
DUN & BRADSTREET CORP                  COMMON SHS      26483E100      1126      22197    SHARED   1      22197         0         0
DUN & BRADSTREET CORP                  COMMON SHS      26483E100       610      12030    SHARED   2      12030         0         0
DUN & BRADSTREET CORP                  COMMON SHS      26483E100         1         16    SHARED   6         16         0         0
DUN & BRADSTREET CORP                  COMMON SHS      26483E100      6187     122000    SHARED   7     122000         0         0
DUN & BRADSTREET CORP                  COMMON SHS      26483E100       813      16027    SHARED   9      16027         0         0
EMC CORP                               COMMON SHS      268648102     14004    1083890    SHARED   1    1083890         0         0
EMC CORP                               COMMON SHS      268648102       624      48270    SHARED   2      48270         0         0
EMC CORP                               COMMON SHS      268648102         4        321    SHARED   6        321         0         0
EMC CORP                               COMMON SHS      268648102     12920    1000000    SHARED   7    1000000         0         0
EMC CORP                               COMMON SHS      268648102      3678     284666    SHARED   8     284666         0         0
EMC CORP                               COMMON SHS      268648102      1778     137643    SHARED   9     137643         0         0
EMC CORP                               COMMON SHS      268648102     28085    2173733    SHARED   A    2173733         0         0
ENSCO INTERNATIONAL INC                COMMON SHS      26874Q100      1287      47372    SHARED          47372         0         0




ENSCO INTERNATIONAL INC                COMMON SHS      26874Q100      3111     114500    SHARED   4     114500         0         0
ENSCO INTERNATIONAL INC                COMMON SHS      26874Q100     17955     660850    SHARED   9     660850         0         0
ENSCO INTERNATIONAL INC                COMMON SHS      26874Q100       880      32400    SHARED   A      32400         0         0
ENI SPA                                AMER DEP RECPT  26874R108      1121      11805    SHARED   2      11805         0         0
ENI SPA                                AMER DEP RECPT  26874R108     21083     221975    SHARED   3     221975         0         0
ENI SPA                                AMER DEP RECPT  26874R108         0          1    SHARED   6          1         0         0
ENI SPA                                AMER DEP RECPT  26874R108        21        225    SHARED   9        225         0         0
EOG RESOURCES INC                      COMMON SHS      26875P101         9        200    SHARED   9        200         0         0
EOG RESOURCES INC                      COMMON SHS      26875P101      1622      35136    SHARED   A      35136         0         0
E.ON AG                                AMER DEP RECPT  268780103       980      14980    SHARED   2      14980         0         0
E.ON AG                                AMER DEP RECPT  268780103     15019     229515    SHARED   3     229515         0         0
E.ON AG                                AMER DEP RECPT  268780103         0          1    SHARED   6          1         0         0
ESB FINANCIAL CORP                     COMMON SHS      26884F102      1409      85994    SHARED   A          0         0     85994
E*TRADE FINANCIAL CORP                 COMMON SHS      269246104         0          1    SHARED   6          1         0         0
E*TRADE FINANCIAL CORP                 COMMON SHS      269246104       228      18000    SHARED   9      18000         0         0
E*TRADE FINANCIAL CORP                 COMMON SHS      269246104    142049   11229200    SHARED   A   11229200         0         0
EAST WEST BANCORP INC                  COMMON SHS      27579R104      1873      34900    SHARED   A      34900         0         0
EASTMAN CHEMICAL CO                    COMMON SHS      277432100        24        600    SHARED            600         0         0
EASTMAN CHEMICAL CO                    COMMON SHS      277432100     22441     567700    SHARED   1     567700         0         0
EASTMAN CHEMICAL CO                    COMMON SHS      277432100        14        351    SHARED   6        351         0         0
EASTMAN CHEMICAL CO                    COMMON SHS      277432100       222       5605    SHARED   9       5605         0         0
EASTMAN CHEMICAL CO                    COMMON SHS      277432100     46232    1169540    SHARED   A    1169540         0         0
EASTMAN KODAK CO                       COMMON SHS      277461109      2191      85351    SHARED   9      85351         0         0
EASTMAN KODAK CO                       COMMON SHS      277461109      2521      98200    SHARED   A      98200         0         0
EATON CORP                             COMMON SHS      278058102         0          1    SHARED   6          1         0         0
EATON CORP                             COMMON SHS      278058102      8358      77405    SHARED   9      77405         0         0
EBAY INC                               COMMON SHS      278642103         2         31    SHARED   6         31         0         0
EBAY INC                               COMMON SHS      278642103     18103     280271    SHARED   9     280271         0         0
EBAY INC                               COMMON SHS      278642103     74574    1154576    SHARED   A    1154576         0         0
ECHOSTAR COMMUNICATIONS CORP           COMMON SHS      278762109    101974    2999221    SHARED   5    2999221         0         0
ECHOSTAR COMMUNICATIONS CORP           COMMON SHS      278762109         5        160    SHARED   A        160         0         0
ECOLAB INC                             COMMON SHS      278865100       877      32048    SHARED   9      32048         0         0
ECOLOGY & ENVIRONMENT INC              COMMON SHS      278878103      2243     230000    SHARED   4     230000         0         0
EDELBROCK CORP                         COMMON SHS      279434104      2660     211600    SHARED   4     211600         0         0
EDISON INTERNATIONAL                   COMMON SHS      281020107         0          1    SHARED   6          1         0         0
EDISON INTERNATIONAL                   COMMON SHS      281020107        77       3500    SHARED   9       3500         0         0
EDISON INTERNATIONAL                   COMMON SHS      281020107      2193     100000    SHARED   A     100000         0         0
EDUCATION MANAGEMENT CORP              COMMON SHS      28139T101       354      11400    SHARED   9      11400         0         0
EDWARDS LIFESCIENCES CORP              COMMON SHS      28176E108      1504      50000    SHARED   7      50000         0         0
EDWARDS LIFESCIENCES CORP              COMMON SHS      28176E108        44       1477    SHARED   9       1477         0         0
EL PASO ENERGY CAPITAL TRUST I         CONVERT PREF    283678209      9788     290000    SHARED   A     290000         0         0
ELDORADO GOLD CORP NEW                 ORDINARY SHS    284902103      9753    2408200    SHARED   5    2408200         0         0
ELECTRO SCIENTIFIC INDUSTRIES INC      COMMON SHS      285229100     22009     924735    SHARED   6     924735         0         0
ELECTRO SCIENTIFIC INDUSTRIES INC      COMMON SHS      285229100     62816    2639338    SHARED   A    2639338         0         0
ELECTRONIC ARTS INC                    COMMON SHS      285512109         2         41    SHARED   6         41         0         0
ELECTRONIC ARTS INC                    COMMON SHS      285512109       294       6160    SHARED   9       6160         0         0
ELECTRONIC ARTS INC                    COMMON SHS      285512109     46311     969264    SHARED   A     898864         0     70400




ELECTRONIC DATA SYSTEMS CORP           COMMON SHS      285661104     12769     520349    SHARED         405796         0    114553
ELECTRONIC DATA SYSTEMS CORP           COMMON SHS      285661104    328608   13390709    SHARED   1   13390709         0         0
ELECTRONIC DATA SYSTEMS CORP           COMMON SHS      285661104      6501     264930    SHARED   2     264930         0         0
ELECTRONIC DATA SYSTEMS CORP           COMMON SHS      285661104      1763      71840    SHARED   3      71840         0         0
ELECTRONIC DATA SYSTEMS CORP           COMMON SHS      285661104       151       6151    SHARED   6       6151         0         0
ELECTRONIC DATA SYSTEMS CORP           COMMON SHS      285661104      6535     266310    SHARED   8     266310         0         0
ELECTRONIC DATA SYSTEMS CORP           COMMON SHS      285661104      6991     284883    SHARED   9     284883         0         0
ELECTRONIC DATA SYSTEMS CORP           COMMON SHS      285661104     11057     450580    SHARED   A     450580         0         0
EMBARCADERO TECHNOLOGIES INC           COMMON SHS      290787100     15398     965400    SHARED   9     965400         0         0
EMBARCADERO TECHNOLOGIES INC           COMMON SHS      290787100        80       5000    SHARED   A       5000         0         0
EMBRAER-EMPRESA BRAS DE AERONAUTICA SA AMER DEP RECPT  29081M102    106841    3049990    SHARED        2672100         0    377890
EMBRAER-EMPRESA BRAS DE AERONAUTICA SA AMER DEP RECPT  29081M102     43224    1233920    SHARED   1    1230868         0      3052
EMBRAER-EMPRESA BRAS DE AERONAUTICA SA AMER DEP RECPT  29081M102     24543     700632    SHARED   2     602640         0     97992
EMBRAER-EMPRESA BRAS DE AERONAUTICA SA AMER DEP RECPT  29081M102    116433    3323800    SHARED   A    3323800         0         0
EMCORE CORP                            COMMON SHS      290846104      1562     331547    SHARED   6     331547         0         0
EMCORE CORP                            COMMON SHS      290846104      7439    1579500    SHARED   A    1579500         0         0
EMERGING MARKETS TELECOMMUNICATIONS FU CLOSE END MUT F 290890102      1865     250000    SHARED   4     250000         0         0
EMERSON ELECTRIC CO                    COMMON SHS      291011104      6019      92964    SHARED              0         0     92964
EMERSON ELECTRIC CO                    COMMON SHS      291011104      2257      34856    SHARED   3      34856         0         0
EMERSON ELECTRIC CO                    COMMON SHS      291011104       662      10228    SHARED   6      10228         0         0
EMERSON ELECTRIC CO                    COMMON SHS      291011104     32375     500000    SHARED   7     500000         0         0
EMERSON ELECTRIC CO                    COMMON SHS      291011104       157       2425    SHARED   8       2340         0        85
EMERSON ELECTRIC CO                    COMMON SHS      291011104      9516     146966    SHARED   9     146966         0         0
EMERSON ELECTRIC CO                    COMMON SHS      291011104      3283      50700    SHARED   A        700         0     50000
EMMIS COMMUNICATIONS CORP              COMMON SHS      291525103       415      15354    SHARED          15354         0         0
EMMIS COMMUNICATIONS CORP              COMMON SHS      291525103     19168     708600    SHARED   9     708600         0         0
EMMIS COMMUNICATIONS CORP              COMMON SHS      291525103       100       3700    SHARED   A       3700         0         0
EMULEX CORP                            COMMON SHS      292475209       442      16550    SHARED   9      16550         0         0
EMULEX CORP                            COMMON SHS      292475209     21752     815300    SHARED   A     815300         0         0
ENCANA CORP                            ORDINARY SHS    292505104       536      10500    SHARED          10500         0         0
ENCANA CORP                            ORDINARY SHS    292505104       603      11815    SHARED   2      11815         0         0
ENCANA CORP                            COMMON SHS      292505104     13488     342000    SHARED   7     342000         0         0
ENCANA CORP                            ORDINARY SHS    292505104     80638    1581141    SHARED   8    1481740         0     99401
ENCANA CORP                            COMMON SHS      292505104      8885     186257    SHARED   9     186257         0         0
ENCANA CORP                            ORDINARY SHS    292505104        15        300    SHARED   A        300         0         0
ENBRIDGE INC                           ORDINARY SHS    29250N105     82568    1537582    SHARED   8    1402872         0    134710
ENCYSIVE PHARMACEUTICALS INC           COMMON SHS      29256X107      4047     452200    SHARED   9     452200         0         0
ENCYSIVE PHARMACEUTICALS INC           COMMON SHS      29256X107        20       2200    SHARED   A       2200         0         0
ENDESA SA                              AMER DEP RECPT  29258N107     24574    1286623    SHARED   2     969902         0    316721
ENDESA SA                              AMER DEP RECPT  29258N107         0          1    SHARED   6          1         0         0
ENDESA SA                              AMER DEP RECPT  29258N107      3863     202236    SHARED   8      77036         0    125200
ENDESA SA                              AMER DEP RECPT  29258N107       376      19662    SHARED   9      19662         0         0
ENERGY EAST CORP                       COMMON SHS      29266M109         0          1    SHARED   6          1         0         0
ENERGY EAST CORP                       COMMON SHS      29266M109       176       7879    SHARED   9       7879         0         0
ENERGY EAST CORP                       COMMON SHS      29266M109    122797    5482000    SHARED   A    5482000         0         0
ENERGIZER HOLDINGS INC                 COMMON SHS      29266R108       614      16356    SHARED   9      16356         0         0
ENGELHARD CORP                         COMMON SHS      292845104       799      26676    SHARED   9      26676         0         0




ENTERCOM COMMUNICATIONS CORP           COMMON SHS      293639100       181       3409    SHARED   9       3409         0         0
ENTERCOM COMMUNICATIONS CORP           COMMON SHS      293639100     49237     929700    SHARED   A     929700         0         0
ENTERGY CORP                           COMMON SHS      29364G103        23        400    SHARED            400         0         0
ENTERGY CORP                           COMMON SHS      29364G103     29650     519000    SHARED   1     519000         0         0
ENTERGY CORP                           COMMON SHS      29364G103     45704     800000    SHARED   4     800000         0         0
ENTERGY CORP                           COMMON SHS      29364G103      1548      27100    SHARED   9      27100         0         0
ENTERGY CORP                           COMMON SHS      29364G103     87256    1527325    SHARED   A    1527325         0         0
ENTERTAINMENT PROPERTIES TRUST         REAL EST INV TR 29380T105       684      19719    SHARED   6      19719         0         0
ENTERTAINMENT PROPERTIES TRUST         REAL EST INV TR 29380T105     10559     304200    SHARED   A     304200         0         0
ENTRAVISION COMMUNICATIONS CORP        COMMON SHS      29382R107     18073    1628196    SHARED   6    1628196         0         0
ENTRAVISION COMMUNICATIONS CORP        COMMON SHS      29382R107     81589    7350400    SHARED   A    7350400         0         0
ENTRUST INC                            COMMON SHS      293848107      6083    1490899    SHARED   6    1490899         0         0
ENTRUST INC                            COMMON SHS      293848107     17177    4210100    SHARED   A    4210100         0         0
ENZON PHARMACEUTICALS INC              COMMON SHS      293904108      6060     505000    SHARED   9     505000         0         0
ENZON PHARMACEUTICALS INC              COMMON SHS      293904108      1313     109400    SHARED   A      95400         0     14000
ENZON PHARMACEUTICALS INC              CONVERTIBLE BD  293904AB4     17209   19500000    SHARED   A   19500000         0         0
ENVIRONMENTAL ELEMENTS CORP            COMMON SHS      293940102        17     142663    SHARED   A          0         0    142663
EQUIFAX INC                            COMMON SHS      294429105      9800     400000    SHARED   7     400000         0         0
EQUIFAX INC                            COMMON SHS      294429105       155       6316    SHARED   9       6316         0         0
EQUITABLE RESOURCES INC                COMMON SHS      294549100        26        600    SHARED   9        600         0         0
EQUITABLE RESOURCES INC                COMMON SHS      294549100     18241     425000    SHARED   A     425000         0         0
EQUITY OFFICE PROPERTIES TRUST         REAL EST INV TR 294741103      1662      58000    SHARED   4      58000         0         0
EQUITY OFFICE PROPERTIES TRUST         REAL EST INV TR 294741103      3897     136036    SHARED   6     136036         0         0
EQUITY OFFICE PROPERTIES TRUST         REAL EST INV TR 294741103      2723      95042    SHARED   9      95042         0         0
EQUITY OFFICE PROPERTIES TRUST         REAL EST INV TR 294741103     58053    2026270    SHARED   A    2026270         0         0
EQUITY RESIDENTIAL                     REAL EST INV TR 29476L107      3653     123787    SHARED   6     123787         0         0
EQUITY RESIDENTIAL                     REAL EST INV TR 29476L107      5649     191426    SHARED   9     191426         0         0
EQUITY RESIDENTIAL                     REAL EST INV TR 29476L107     65855    2231600    SHARED   A    2231600         0         0
ERICSSON (LM) TELEPHONE CO             AMER DEP RECPT  294821608      2134     120584    SHARED   9     120584         0         0
ERICSSON (LM) TELEPHONE CO             AMER DEP RECPT  294821608      2239     126500    SHARED   A     126500         0         0
ERIE INDTY CO                          COMMON SHS      29530P102     38727     913800    SHARED   4     913800         0         0
ESCO TECHNOLOGIES INC                  COMMON SHS      296315104     26993     618400    SHARED   4     618400         0         0
ESCO TECHNOLOGIES INC                  COMMON SHS      296315104      3997      91562    SHARED   6      91562         0         0
ESPEED INC                             COMMON SHS      296643109     29855    1275300    SHARED   A    1275300         0         0
ESPEY MANUFACTURING & ELECTRONICS CORP COMMON SHS      296650104      2028      78000    SHARED   4      78000         0         0
ESPRIT EXPLORATION LTD                 ORDINARY SHS    29666K109      9922    3569100    SHARED   8    3569100         0         0
ESSEX PROPERTY TRUST INC               REAL EST INV TR 297178105         0          1    SHARED   6          1         0         0
ESSEX PROPERTY TRUST INC               REAL EST INV TR 297178105       527       8200    SHARED   9       8200         0         0
ESSEX PROPERTY TRUST INC               REAL EST INV TR 297178105     16055     250000    SHARED   A     250000         0         0
EVERGREEN RESOURCES INC                COMMON SHS      299900308      5839     179600    SHARED   9     179600         0         0
EVERGREEN RESOURCES INC                COMMON SHS      299900308        29        900    SHARED   A        900         0         0
EXAR CORP                              COMMON SHS      300645108     13187     772100    SHARED   A     772100         0         0
EXELON CORP                            COMMON SHS      30161N101         8        116    SHARED   6        116         0         0
EXELON CORP                            COMMON SHS      30161N101      7567     114032    SHARED   8     103325         0     10707
EXELON CORP                            COMMON SHS      30161N101      4421      66623    SHARED   9      66623         0         0
EXELON CORP                            COMMON SHS      30161N101    377853    5693985    SHARED   A    5615385         0     78600
EXELIXIS INC                           COMMON SHS      30161Q104       531      75001    SHARED   6      75001         0         0




EXELIXIS INC                           COMMON SHS      30161Q104     11732    1657000    SHARED   A    1657000         0         0
EXODUS COMMUNICATIONS INC              COMMON SHS      302088109         0      30200    SHARED   9      30200         0         0
EXPEDITORS INT'L WAS INC               COMMON SHS      302130109        24        650    SHARED            650         0         0
EXPEDITORS INT'L WAS INC               COMMON SHS      302130109         0          1    SHARED   6          1         0         0
EXPEDITORS INT'L WAS INC               COMMON SHS      302130109    103373    2744895    SHARED   A    2744895         0         0
EXPONENT INC                           COMMON SHS      30214U102      2140     100000    SHARED   4     100000         0         0
EXPRESS SCRIPTS INC                    COMMON SHS      302182100      1955      29430    SHARED   9      29430         0         0
EXPRESS SCRIPTS INC                    COMMON SHS      302182100     19451     292800    SHARED   A     292800         0         0
EXTREME NETWORKS INC                   COMMON SHS      30226D106      5671     786568    SHARED   6     786568         0         0
EXTREME NETWORKS INC                   COMMON SHS      30226D106     57804    8017200    SHARED   A    8017200         0         0
EXXON MOBIL CORP                       COMMON SHS      30231G102        22        530    SHARED            530         0         0
EXXON MOBIL CORP                       COMMON SHS      30231G102      4897     119427    SHARED   6     104744         0     14683
EXXON MOBIL CORP                       COMMON SHS      30231G102     16384     399600    SHARED   8     388102         0     11498
EXXON MOBIL CORP                       COMMON SHS      30231G102    298708    7285549    SHARED   9    7285549         0         0
EXXON MOBIL CORP                       COMMON SHS      30231G102     98827    2410424    SHARED   A    1858124         0    552300
FBL FINANCIAL GROUP INC                COMMON SHS      30239F106     13545     525000    SHARED   4     525000         0         0
FLIR SYSTEMS INC                       COMMON SHS      302445101     26050     713698    SHARED   6     713698         0         0
FLIR SYSTEMS INC                       COMMON SHS      302445101         7        200    SHARED   9        200         0         0
FLIR SYSTEMS INC                       COMMON SHS      302445101     41121    1126600    SHARED   A    1126600         0         0
FMC CORP                               COMMON SHS      302491303      9536     279399    SHARED   6     279399         0         0
FMC CORP                               COMMON SHS      302491303     27454     804400    SHARED   A     804400         0         0
FMC TECHNOLOGIES INC                   COMMON SHS      30249U101     10870     466510    SHARED   6     466510         0         0
FMC TECHNOLOGIES INC                   COMMON SHS      30249U101     20194     866716    SHARED   A     866716         0         0
FPL GROUP INC                          COMMON SHS      302571104        46        701    SHARED   6        701         0         0
FPL GROUP INC                          COMMON SHS      302571104     13194     201686    SHARED   9     201686         0         0
FPL GROUP INC                          COMMON SHS      302571104    203221    3106400    SHARED   A    3042300         0     64100
FSI INTERNATIONAL INC                  COMMON SHS      302633102      4797     650000    SHARED   4     650000         0         0
FTI CONSULTING INC                     COMMON SHS      302941109     13771     589250    SHARED   9     589250         0         0
FTI CONSULTING INC                     COMMON SHS      302941109        72       3100    SHARED   A       3100         0         0
FAIR ISAAC INC                         COMMON SHS      303250104      1003      20400    SHARED   9      20400         0         0
FAIR ISAAC INC                         COMMON SHS      303250104      9920     201794    SHARED   A     201794         0         0
FAIRCHILD SEMICONDUCTOR CORP           COMMON SHS      303726103     25598    1025163    SHARED   A    1025163         0         0
FAIRCHILD SEMICONDUCTOR CORP           CONVERTIBLE BD  303727AJ0     20608   18650000    SHARED   A   18650000         0         0
FAIRMONT HOTELS & RESORTS INC          COMMON SHS      305204109     11779     434014    SHARED   6     434014         0         0
FAIRMONT HOTELS & RESORTS INC          COMMON SHS      305204109      3393     125000    SHARED   7     125000         0         0
FAIRMONT HOTELS & RESORTS INC          COMMON SHS      305204109        74       2725    SHARED   9       2725         0         0
FAIRMONT HOTELS & RESORTS INC          COMMON SHS      305204109     71104    2619900    SHARED   A    2619900         0         0
FAMILY DOLLAR STORES INC               COMMON SHS      307000109        29        800    SHARED            800         0         0
FAMILY DOLLAR STORES INC               COMMON SHS      307000109     96119    2678900    SHARED   4    2678900         0         0
FAMILY DOLLAR STORES INC               COMMON SHS      307000109       252       7016    SHARED   6       7016         0         0
FAMILY DOLLAR STORES INC               COMMON SHS      307000109      7176     200000    SHARED   7     200000         0         0
FAMILY DOLLAR STORES INC               COMMON SHS      307000109      2259      62950    SHARED   9      62950         0         0
FAMILY DOLLAR STORES INC               COMMON SHS      307000109     45799    1276459    SHARED   A    1093759         0    182700
FARMER BROS CO                         COMMON SHS      307675108     57484     184688    SHARED   5     184688         0         0
FEDERAL AGRICULTURE MORTGAGE CORP      COMMON SHS      313148306      1913      59844    SHARED   6      59844         0         0
FEDERAL AGRICULTURE MORTGAGE CORP      COMMON SHS      313148306        80       2500    SHARED   9       2500         0         0
FREDDIE MAC                            COMMON SHS      313400301        36        620    SHARED            620         0         0




FREDDIE MAC                            COMMON SHS      313400301      3957      67846    SHARED   1      67846         0         0
FREDDIE MAC                            COMMON SHS      313400301      3674      63000    SHARED   4      63000         0         0
FREDDIE MAC                            COMMON SHS      313400301    188587    3233665    SHARED   5    3233665         0         0
FREDDIE MAC                            COMMON SHS      313400301        14        241    SHARED   6        241         0         0
FREDDIE MAC                            COMMON SHS      313400301       811      13900    SHARED   9      13900         0         0
FREDDIE MAC                            COMMON SHS      313400301     57856     992043    SHARED   A     762643         0    229400
FANNIE MAE                             COMMON SHS      313586109        21        280    SHARED            280         0         0
FANNIE MAE                             COMMON SHS      313586109     96264    1282500    SHARED   4    1282500         0         0
FANNIE MAE                             COMMON SHS      313586109      3399      45285    SHARED   6      39353         0      5932
FANNIE MAE                             COMMON SHS      313586109         2         25    SHARED   8          0         0        25
FANNIE MAE                             COMMON SHS      313586109     31910     425131    SHARED   9     425131         0         0
FANNIE MAE                             COMMON SHS      313586109     70179     934974    SHARED   A     759174         0    175800
FEDERAL SIGNAL CORP                    COMMON SHS      313855108       214      12200    SHARED   9      12200         0         0
FEDERATED DEPARTMENT STORES INC        COMMON SHS      31410H101     36196     768000    SHARED   4     768000         0         0
FEDERATED DEPARTMENT STORES INC        COMMON SHS      31410H101         2         41    SHARED   6         41         0         0
FEDERATED DEPARTMENT STORES INC        COMMON SHS      31410H101      5148     109235    SHARED   9     109235         0         0
FEDERATED INVESTORS INC                COMMON SHS      314211103         0          1    SHARED   6          1         0         0
FEDERATED INVESTORS INC                COMMON SHS      314211103       352      12000    SHARED   9      12000         0         0
FEDERATED INVESTORS INC                COMMON SHS      314211103    100511    3423400    SHARED   A    3423400         0         0
FEDEX CORP                             COMMON SHS      31428X106       872      12922    SHARED   9      12922         0         0
FELCOR LODGING TRUST INC               REAL EST INV TR 31430F101      9636     869676    SHARED   6     869676         0         0
FELCOR LODGING TRUST INC               REAL EST INV TR 31430F101      2191     197700    SHARED   A     197700         0         0
FELCOR LODGING TRUST INC               CONVERT PREF    31430F200     50935    2106500    SHARED   A    2106500         0         0
FERRO CORP                             COMMON SHS      315405100       303      11137    SHARED   9      11137         0         0
F5 NETWORKS INC                        COMMON SHS      315616102      9761     388900    SHARED   9     388900         0         0
F5 NETWORKS INC                        COMMON SHS      315616102     37068    1476800    SHARED   A    1476800         0         0
FIDELITY NATIONAL FINANCIAL INC        COMMON SHS      316326107       736      18988    SHARED   9      18988         0         0
FIFTH THIRD BANCORP                    COMMON SHS      316773100        30        510    SHARED            510         0         0
FIFTH THIRD BANCORP                    COMMON SHS      316773100        10        169    SHARED   6        169         0         0
FIFTH THIRD BANCORP                    COMMON SHS      316773100     11370     192385    SHARED   9     192385         0         0
FIFTH THIRD BANCORP                    COMMON SHS      316773100     49385     835617    SHARED   A     650017         0    185600
FILENET CORP                           COMMON SHS      316869106      6850     252972    SHARED   6     252972         0         0
FILENET CORP                           COMMON SHS      316869106     31792    1174000    SHARED   A    1174000         0         0
FINANCIAL FEDERAL CORP                 COMMON SHS      317492106     10280     336498    SHARED   6     336498         0         0
FINANCIAL FEDERAL CORP                 COMMON SHS      317492106        31       1000    SHARED   9       1000         0         0
FINANCIAL FEDERAL CORP                 COMMON SHS      317492106     25971     850100    SHARED   A     850100         0         0
FIRST COMMUNITY BANCORP                COMMON SHS      31983B101     12474     345160    SHARED   5     345160         0         0
FIRST DATA CORP                        COMMON SHS      319963104        34        820    SHARED            820         0         0
FIRST DATA CORP                        COMMON SHS      319963104         5        123    SHARED   6        123         0         0
FIRST DATA CORP                        COMMON SHS      319963104     16576     403403    SHARED   9     403403         0         0
FIRST DATA CORP                        COMMON SHS      319963104     85040    2069605    SHARED   A    1892605         0    177000
FIRST DEFIANCE FINANCIAL CORP          COMMON SHS      32006W106      6263     235000    SHARED   4     235000         0         0
FIRST HORIZON PHARMACEUTICAL CORP      COMMON SHS      32051K106      8506     759500    SHARED   A     759500         0         0
FIRST INDIANA CORP                     COMMON SHS      32054R108      1725      92000    SHARED   4      92000         0         0
FIRST NATIONAL CORP                    COMMON SHS      320942105       216       7200    SHARED   9       7200         0         0
FIRST NIAGARA FINANCIAL GROUP INC      COMMON SHS      33582V108      1491     100000    SHARED   4     100000         0         0
FIRST NIAGARA FINANCIAL GROUP INC      COMMON SHS      33582V108     41652    2793549    SHARED   5    2793549         0         0




FIRST ST BANCORPORATION                COMMON SHS      336453105      4896     140900    SHARED   5     140900         0         0
FIRST ST BANCORPORATION                COMMON SHS      336453105      6930     199423    SHARED   A     199423         0         0
FIRST TENNESSEE NATIONAL CORP          COMMON SHS      337162101       432       9800    SHARED   9       9800         0         0
FISERV INC                             COMMON SHS      337738108      2993      75741    SHARED   9      75741         0         0
FIRSTENERGY CORP                       COMMON SHS      337932107      1532      43515    SHARED   9      43515         0         0
FIRSTENERGY CORP                       COMMON SHS      337932107    348747    9907579    SHARED   A    9907579         0         0
FISHER SCIENTIFIC INTERNATIONAL INC    COMMON SHS      338032204     11271     272432    SHARED   6     272432         0         0
FISHER SCIENTIFIC INTERNATIONAL INC    COMMON SHS      338032204        54       1300    SHARED   9       1300         0         0
FISHER SCIENTIFIC INTERNATIONAL INC    COMMON SHS      338032204     40977     990500    SHARED   A     982500         0      8000
FLEET BOSTON FINANCIAL CORP            COMMON SHS      339030108     10738     246000    SHARED         246000         0         0
FLEET BOSTON FINANCIAL CORP            COMMON SHS      339030108      2139      49000    SHARED   4      49000         0         0
FLEET BOSTON FINANCIAL CORP            COMMON SHS      339030108     41818     958025    SHARED   5     958025         0         0
FLEET BOSTON FINANCIAL CORP            COMMON SHS      339030108      3294      75469    SHARED   6      58199         0     17270
FLEET BOSTON FINANCIAL CORP            COMMON SHS      339030108     10678     244626    SHARED   9     244626         0         0
FLEET BOSTON FINANCIAL CORP            COMMON SHS      339030108    278435    6378800    SHARED   A    6378800         0         0
FLEXSTEEL INDUSTRIES INC               COMMON SHS      339382103      1350      60000    SHARED   4      60000         0         0
FLORIDA EAST COAST INDUSTRIES INC      COMMON SHS      340632108     15575     470546    SHARED   1     470546         0         0
FLORIDA EAST COAST INDUSTRIES INC      COMMON SHS      340632108    218881    6612710    SHARED   5    6612710         0         0
FLORIDA EAST COAST INDUSTRIES INC      COMMON SHS      340632108       169       5100    SHARED   9       5100         0         0
FLUOR CORP                             COMMON SHS      343412102         1         36    SHARED   6         36         0         0
FLUOR CORP                             COMMON SHS      343412102       258       6520    SHARED   9       6520         0         0
FLOWSERVE CORP                         COMMON SHS      34354P105     23933    1146207    SHARED   6    1146207         0         0
FLOWSERVE CORP                         COMMON SHS      34354P105     43255    2071600    SHARED   A    2071600         0         0
FOMENTO ECONOMICO MEXICANO SA DE CV FE AMER DEP RECPT  344419106     64470    1748090    SHARED        1551590         0    196500
FOMENTO ECONOMICO MEXICANO SA DE CV FE AMER DEP RECPT  344419106     38903    1054850    SHARED   5    1054850         0         0
FORD MOTOR CO                          COMMON SHS      345370860     41097    2568541    SHARED   1    2568541         0         0
FORD MOTOR CO                          COMMON SHS      345370860        15        936    SHARED   6        936         0         0
FORD MOTOR CO                          COMMON SHS      345370860      2351     146965    SHARED   9     146965         0         0
FORD MOTOR CO                          COMMON SHS      345370860        16       1013    SHARED   A       1013         0         0
FORD MOTOR CO CAP TR II                CONVERT PREF    345395206      1473      26370    SHARED   6      21780         0      4590
FORD MOTOR CO CAP TR II                CONVERT PREF    345395206      5832     104430    SHARED   9     104430         0         0
FORD MOTOR CO CAP TR II                CONVERT PREF    345395206    420606    7531000    SHARED   A    7531000         0         0
FOREST CITY ENTERPRISES INC            COMMON SHS      345550107       907      19089    SHARED   6      19089         0         0
FOREST CITY ENTERPRISES INC            COMMON SHS      345550107     10324     217300    SHARED   A     217300         0         0
FOREST LABORATORIES INC                COMMON SHS      345838106      1200      19412    SHARED          19412         0         0
FOREST LABORATORIES INC                COMMON SHS      345838106     61402     993557    SHARED   9     993557         0         0
FOREST LABORATORIES INC                COMMON SHS      345838106     56290     910840    SHARED   A     754240         0    156600
FOREST OIL CORP                        COMMON SHS      346091705        57       2000    SHARED   9       2000         0         0
FOREST OIL CORP                        COMMON SHS      346091705       669      23400    SHARED   A      23400         0         0
FORTUNE BRANDS INC                     COMMON SHS      349631101       110       1545    SHARED   6       1545         0         0
FORTUNE BRANDS INC                     COMMON SHS      349631101      1172      16396    SHARED   9      16396         0         0
FORWARD AIR CORP                       COMMON SHS      349853101     15214     553253    SHARED   6     553253         0         0
FORWARD AIR CORP                       COMMON SHS      349853101        69       2500    SHARED   9       2500         0         0
FORWARD AIR CORP                       COMMON SHS      349853101     52268    1900648    SHARED   A    1900648         0         0
FOSSIL INC                             COMMON SHS      349882100       446      15922    SHARED          15922         0         0
FOSSIL INC                             COMMON SHS      349882100      9460     337750    SHARED   9     337750         0         0
FOSSIL INC                             COMMON SHS      349882100        50       1800    SHARED   A       1800         0         0




FOUR SEASONS HOTELS INC                COMMON SHS      35100E104     39738     776900    SHARED   A     776900         0         0
FOX ENTERTAINMENT GROUP INC            COMMON SHS      35138T107     24803     850860    SHARED   5     850860         0         0
FOX ENTERTAINMENT GROUP INC            COMMON SHS      35138T107         0          1    SHARED   6          1         0         0
FOX ENTERTAINMENT GROUP INC            COMMON SHS      35138T107      2040      69967    SHARED   9      69967         0         0
FRANKLIN RESOURCES INC                 COMMON SHS      354613101     63395    1217738    SHARED   9    1217738         0         0
FRANKLIN RESOURCES INC                 COMMON SHS      354613101     56703    1089182    SHARED   A          0         0   1089182
FRED'S INC                             COMMON SHS      356108100     12392     400000    SHARED   4     400000         0         0
FRED'S INC                             COMMON SHS      356108100      2764      89215    SHARED   9      89215         0         0
FRED'S INC                             COMMON SHS      356108100     26342     850300    SHARED   A     850300         0         0
FREEPORT MCMORAN COPPER & GOLD INC     COMMON SHS      35671D857         0          1    SHARED   6          1         0         0
FREEPORT MCMORAN COPPER & GOLD INC     COMMON SHS      35671D857       168       3995    SHARED   9       3995         0         0
FREEPORT MCMORAN COPPER & GOLD INC     COMMON SHS      35671D857     33008     783483    SHARED   A     783483         0         0
FRESH BRANDS INC                       COMMON SHS      35803U108      8339     758100    SHARED   4     758100         0         0
FRIEDMAN BILLINGS RAMSEY GROUP INC (NE COMMON SHS      358434108     90003    3899600    SHARED   5    3899600         0         0
FRIEDMAN BILLINGS RAMSEY GROUP INC (NE COMMON SHS      358434108       369      16000    SHARED   9      16000         0         0
FRONTIER OIL CORP                      COMMON SHS      35914P105      1995     115861    SHARED   A     115861         0         0
FURNITURE BRANDS INTERNATIONAL INC     COMMON SHS      360921100     21531     734100    SHARED   9     734100         0         0
FURNITURE BRANDS INTERNATIONAL INC     COMMON SHS      360921100       114       3900    SHARED   A       3900         0         0
G & K SERVICES INC                     COMMON SHS      361268105       778      21183    SHARED   9      21183         0         0
GA FINANCIAL INC                       COMMON SHS      361437106      5974     172000    SHARED   4     172000         0         0
GATX CORP                              COMMON SHS      361448103       232       8300    SHARED   9       8300         0         0
GSI LUMONICS INC                       ORDINARY SHS    36229U102      1824     120000    SHARED         120000         0         0
GSI LUMONICS INC                       ORDINARY SHS    36229U102       123       8085    SHARED   1       8085         0         0
GSI LUMONICS INC                       ORDINARY SHS    36229U102     26284    1729180    SHARED   2    1690820         0     38360
GSI LUMONICS INC                       ORDINARY SHS    36229U102     16574    1090370    SHARED   8    1090370         0         0
GTSI CORP                              COMMON SHS      36238K103      2813     203100    SHARED   4     203100         0         0
GALEN HOLDINGS PLC                     AMER DEP RECPT  363240102      8762     168500    SHARED   A     168500         0         0
ARTHUR J GALLAGHER & CO                COMMON SHS      363576109     65614    2019500    SHARED   4    2019500         0         0
ARTHUR J GALLAGHER & CO                COMMON SHS      363576109      2911      89604    SHARED   6      77501         0     12103
ARTHUR J GALLAGHER & CO                COMMON SHS      363576109        19        600    SHARED   9        600         0         0
ARTHUR J GALLAGHER & CO                COMMON SHS      363576109     74513    2293400    SHARED   A    2112100         0    181300
GALLAHER GROUP PLC                     AMER DEP RECPT  363595109      1512      35550    SHARED   5      35550         0         0
GALLAHER GROUP PLC                     AMER DEP RECPT  363595109       273       6420    SHARED   9       6420         0         0
GAMESTOP CORP                          COMMON SHS      36466R101      2245     145700    SHARED         145700         0         0
GAMESTOP CORP                          COMMON SHS      36466R101     10906     707700    SHARED   2     707700         0         0
GAMESTOP CORP                          COMMON SHS      36466R101        62       4000    SHARED   9       4000         0         0
GANNETT CO INC                         COMMON SHS      364730101      8916     100000    SHARED         100000         0         0
GANNETT CO INC                         COMMON SHS      364730101      1118      12538    SHARED   3      12538         0         0
GANNETT CO INC                         COMMON SHS      364730101      3745      42000    SHARED   4      42000         0         0
GANNETT CO INC                         COMMON SHS      364730101     33756     378600    SHARED   5     378600         0         0
GANNETT CO INC                         COMMON SHS      364730101     12168     136479    SHARED   9     136479         0         0
GANNETT CO INC                         COMMON SHS      364730101      4868      54600    SHARED   A      54600         0         0
GAP INC                                COMMON SHS      364760108         0          1    SHARED   6          1         0         0
GAP INC                                COMMON SHS      364760108      3089     133069    SHARED   9     133069         0         0
GAP INC                                CONVERTIBLE BD  364760AJ7      2308    1500000    SHARED   A    1500000         0         0
GARDEN FRESH RESTAURANT CORP           COMMON SHS      365235100      4336     270000    SHARED   4     270000         0         0
GARTNER INC                            COMMON SHS      366651107      1553     137300    SHARED         137300         0         0




GARTNER INC                            COMMON SHS      366651107        12       1060    SHARED   1       1060         0         0
GARTNER INC                            COMMON SHS      366651107      1706     150840    SHARED   A     150840         0         0
GARTNER INC                            COMMON SHS      366651206      2977     273662    SHARED   1     273662         0         0
GARTNER INC                            COMMON SHS      366651206      9210     846509    SHARED   2     846509         0         0
GARTNER INC                            COMMON SHS      366651206        18       1641    SHARED   9       1641         0         0
GATEWAY INC                            COMMON SHS      367626108         0          1    SHARED   6          1         0         0
GATEWAY INC                            COMMON SHS      367626108      2300     500000    SHARED   7     500000         0         0
GEHL CO                                COMMON SHS      368483103      5964     420000    SHARED   4     420000         0         0
GENENTECH INC                          COMMON SHS      368710406        14        150    SHARED            150         0         0
GENENTECH INC                          COMMON SHS      368710406         2         26    SHARED   6         26         0         0
GENENTECH INC                          COMMON SHS      368710406     46785     500000    SHARED   7     500000         0         0
GENENTECH INC                          COMMON SHS      368710406     14413     154031    SHARED   9     154031         0         0
GENENTECH INC                          COMMON SHS      368710406    101608    1085900    SHARED   A    1085900         0         0
GENERAL DYNAMICS CORP                  COMMON SHS      369550108        25        280    SHARED            280         0         0
GENERAL DYNAMICS CORP                  COMMON SHS      369550108      2845      31477    SHARED   6      28097         0      3380
GENERAL DYNAMICS CORP                  COMMON SHS      369550108     45195     500000    SHARED   7     500000         0         0
GENERAL DYNAMICS CORP                  COMMON SHS      369550108      4538      50200    SHARED   8      50200         0         0
GENERAL DYNAMICS CORP                  COMMON SHS      369550108        72        800    SHARED   9        800         0         0
GENERAL DYNAMICS CORP                  COMMON SHS      369550108     37738     417500    SHARED   A     417500         0         0
GENERAL ELECTRIC CO                    COMMON SHS      369604103       668      21559    SHARED          21559         0         0
GENERAL ELECTRIC CO                    COMMON SHS      369604103     92367    2981500    SHARED   4    2981500         0         0
GENERAL ELECTRIC CO                    COMMON SHS      369604103      6646     214510    SHARED   6     185026         0     29484
GENERAL ELECTRIC CO                    COMMON SHS      369604103     20827     672280    SHARED   8     656884         0     15396
GENERAL ELECTRIC CO                    COMMON SHS      369604103    375003   12104683    SHARED   9   12104683         0         0
GENERAL ELECTRIC CO                    COMMON SHS      369604103    113432    3661452    SHARED   A    2910252         0    751200
GENERAL GROWTH PROPERTIES              REAL EST INV TR 370021107      1017      36645    SHARED   6      36645         0         0
GENERAL GROWTH PROPERTIES              REAL EST INV TR 370021107       880      31722    SHARED   9      31722         0         0
GENERAL GROWTH PROPERTIES              REAL EST INV TR 370021107     31995    1152990    SHARED   A    1152990         0         0
GENERAL MILLS INC                      COMMON SHS      370334104     18546     409408    SHARED         409408         0         0
GENERAL MILLS INC                      COMMON SHS      370334104    146349    3230670    SHARED   1    3230670         0         0
GENERAL MILLS INC                      COMMON SHS      370334104       541      11935    SHARED   2      11935         0         0
GENERAL MILLS INC                      COMMON SHS      370334104         3         56    SHARED   6         56         0         0
GENERAL MILLS INC                      COMMON SHS      370334104      3200      70635    SHARED   8      57500         0     13135
GENERAL MILLS INC                      COMMON SHS      370334104      4293      94758    SHARED   9      94758         0         0
GENERAL MOTORS CORP                    COMMON SHS      370442105     52450     982218    SHARED   1     982218         0         0
GENERAL MOTORS CORP                    COMMON SHS      370442105         0          1    SHARED   6          1         0         0
GENERAL MOTORS CORP                    COMMON SHS      370442105      2681      50210    SHARED   9      50210         0         0
GENERAL MOTORS CORP                    CONVERT PREF    370442717        65       2000    SHARED   9       2000         0         0
GENERAL MOTORS CORP                    CONVERT PREF    370442717    165861    5135000    SHARED   A    5135000         0         0
GENESIS HEALTHCARE CORP                COMMON SHS      37184D101       837      36750    SHARED   A      31950         0      4800
GENTEX CORP                            COMMON SHS      371901109       886      20074    SHARED          20074         0         0
GENTEX CORP                            COMMON SHS      371901109         0          1    SHARED   6          1         0         0
GENTEX CORP                            COMMON SHS      371901109     25696     581890    SHARED   9     581890         0         0
GENTEX CORP                            COMMON SHS      371901109    100274    2270700    SHARED   A    2270700         0         0
GENLYTE GROUP INC                      COMMON SHS      372302109      7198     123300    SHARED   4     123300         0         0
GENTA INC                              COMMON SHS      37245M207      8269     794300    SHARED   A     786000         0      8300
GENUINE PARTS CO                       COMMON SHS      372460105        45       1351    SHARED   6       1351         0         0




GENUINE PARTS CO                       COMMON SHS      372460105     15328     461700    SHARED   7     461700         0         0
GENUINE PARTS CO                       COMMON SHS      372460105      4787     144185    SHARED   8     125425         0     18760
GENUINE PARTS CO                       COMMON SHS      372460105       421      12675    SHARED   9      12675         0         0
GENZYME CORP-GENERAL DIVISION          COMMON SHS      372917104         0          1    SHARED   6          1         0         0
GENZYME CORP-GENERAL DIVISION          COMMON SHS      372917104       934      18934    SHARED   9      18934         0         0
GENZYME CORP-GENERAL DIVISION          COMMON SHS      372917104     34898     707300    SHARED   A     707300         0         0
GEORGIA-PACIFIC (GEORGIA-PAC CORP)     COMMON SHS      373298108      4936     160940    SHARED   2     160940         0         0
GEORGIA-PACIFIC (GEORGIA-PAC CORP)     COMMON SHS      373298108       183       5969    SHARED   8       5969         0         0
GEORGIA-PACIFIC (GEORGIA-PAC CORP)     COMMON SHS      373298108       970      31614    SHARED   9      31614         0         0
GEORGIA-PACIFIC (GEORGIA-PAC CORP)     COMMON SHS      373298108     81979    2672950    SHARED   A    2672950         0         0
GETTY IMAGES INC                       COMMON SHS      374276103       256       5100    SHARED   9       5100         0         0
GETTY IMAGES INC                       COMMON SHS      374276103        30        600    SHARED   A        600         0         0
GIBRALTAR STEEL CORP                   COMMON SHS      37476F103      5986     238000    SHARED   4     238000         0         0
GIBRALTAR STEEL CORP                   COMMON SHS      37476F103     28432    1130500    SHARED   A    1130500         0         0
GILEAD SCIENCES INC                    COMMON SHS      375558103       864      14869    SHARED          14869         0         0
GILEAD SCIENCES INC                    COMMON SHS      375558103      1745      30016    SHARED   6      30016         0         0
GILEAD SCIENCES INC                    COMMON SHS      375558103     18896     325009    SHARED   9     325009         0         0
GILEAD SCIENCES INC                    COMMON SHS      375558103    111882    1924350    SHARED   A    1870350         0     54000
GILEAD SCIENCES INC                    CONVERTIBLE BD  375558AD5      2740    2000000    SHARED   A    2000000         0         0
GILLETTE CO                            COMMON SHS      375766102       294       8001    SHARED   6       8001         0         0
GILLETTE CO                            COMMON SHS      375766102      5833     158820    SHARED   8     154880         0      3940
GILLETTE CO                            COMMON SHS      375766102      9280     252657    SHARED   9     252657         0         0
GILLETTE CO                            COMMON SHS      375766102         1         28    SHARED   A         28         0         0
GILDAN ACTIVEWEAR INC                  ORDINARY SHS    375916103    142173    3551673    SHARED   8    3321445         0    230228
GLAMIS GOLD LTD                        COMMON SHS      376775102     69576    3122800    SHARED   5    3122800         0         0
GLAMIS GOLD LTD                        COMMON SHS      376775102     13114     766000    SHARED   A     766000         0         0
GLAXOSMITHKLINE PLC                    AMER DEP RECPT  37733W105     17199     368914    SHARED   3     368914         0         0
GLAXOSMITHKLINE PLC                    AMER DEP RECPT  37733W105         0          1    SHARED   6          1         0         0
GLAXOSMITHKLINE PLC                    AMER DEP RECPT  37733W105      4382      94000    SHARED   8      94000         0         0
GLAXOSMITHKLINE PLC                    AMER DEP RECPT  37733W105      2344      50283    SHARED   9      50283         0         0
GLENBOROUGH REALTY TRUST INC           REAL EST INV TR 37803P105      1686      84501    SHARED   6      84501         0         0
GLENBOROUGH REALTY TRUST INC           REAL EST INV TR 37803P105       362      18150    SHARED   9      18150         0         0
GLENBOROUGH REALTY TRUST INC           REAL EST INV TR 37803P105     22081    1106800    SHARED   A    1106800         0         0
GLENBOROUGH REALTY TRUST INC           CONVERT PREF    37803P204       246      10000    SHARED   9      10000         0         0
GLENBOROUGH REALTY TRUST INC           CONVERT PREF    37803P204     96229    3907000    SHARED   A    3907000         0         0
GLIMCHER REALTY TRUST                  REAL EST INV TR 379302102       853      38133    SHARED   6      38133         0         0
GLIMCHER REALTY TRUST                  REAL EST INV TR 379302102        22       1000    SHARED   9       1000         0         0
GLIMCHER REALTY TRUST                  REAL EST INV TR 379302102      8856     395700    SHARED   A     395700         0         0
GLOBAL INDUSTRIES LTD                  COMMON SHS      379336100     21336    4143000    SHARED   4    4143000         0         0
GLOBAL INDUSTRIES LTD                  COMMON SHS      379336100       457      88800    SHARED   A      88800         0         0
GLOBAL PAYMENTS INC                    COMMON SHS      37940X102        84       1776    SHARED   9       1776         0         0
GLOBAL PAYMENTS INC                    COMMON SHS      37940X102     40109     851200    SHARED   A     851200         0         0
GOLD FIELDS LTD                        AMER DEP RECPT  38059T106        15       1100    SHARED   5       1100         0         0
GOLD FIELDS LTD                        AMER DEP RECPT  38059T106      5430     389528    SHARED   A     389528         0         0
GOLDEN TELECOM INC                     ORDINARY SHS    38122G107      1441      51930    SHARED          51930         0         0
GOLDEN WEST FINANCIAL CORP             COMMON SHS      381317106       835       8090    SHARED   3       8090         0         0
GOLDEN WEST FINANCIAL CORP             COMMON SHS      381317106      3859      37400    SHARED   5      37400         0         0




GOLDEN WEST FINANCIAL CORP             COMMON SHS      381317106       310       3000    SHARED   9       3000         0         0
GOLDMAN SACHS GROUP INC                COMMON SHS      38141G104        27        270    SHARED            270         0         0
GOLDMAN SACHS GROUP INC                COMMON SHS      38141G104     17767     179953    SHARED   9     179953         0         0
GOLDMAN SACHS GROUP INC                COMMON SHS      38141G104     37321     378010    SHARED   A     303310         0     74700
GOODRICH CORP                          COMMON SHS      382388106     18610     626800    SHARED         542300         0     84500
GOODRICH CORP                          COMMON SHS      382388106        32       1066    SHARED   6       1066         0         0
GOODRICH CORP                          COMMON SHS      382388106         2         65    SHARED   8         65         0         0
GOODRICH CORP                          COMMON SHS      382388106         9        300    SHARED   9        300         0         0
GOODYS FAMILY CLOTHING INC             COMMON SHS      382588101        93       9905    SHARED   1       9905         0         0
GOODYS FAMILY CLOTHING INC             COMMON SHS      382588101      5078     542500    SHARED   2     542500         0         0
GOODYS FAMILY CLOTHING INC             COMMON SHS      382588101      3722     397700    SHARED   8     397700         0         0
GRACO INC                              COMMON SHS      384109104     44523    1110300    SHARED   4    1110300         0         0
GRACO INC                              COMMON SHS      384109104       114       2851    SHARED   6       2851         0         0
GRACO INC                              COMMON SHS      384109104       271       6750    SHARED   9       6750         0         0
GRAINGER W W INC                       COMMON SHS      384802104     23695     500000    SHARED   7     500000         0         0
GRAINGER W W INC                       COMMON SHS      384802104       809      17076    SHARED   9      17076         0         0
GRANT PRIDECO INC                      COMMON SHS      38821G101        23       1740    SHARED   9       1740         0         0
GRANT PRIDECO INC                      COMMON SHS      38821G101       647      49700    SHARED   A      49700         0         0
GREAT PLAINS ENERGY INC                COMMON SHS      391164100       235       7400    SHARED   9       7400         0         0
GREATER BAY BANCORP INC                COMMON SHS      391648102      9426     330983    SHARED   6     330983         0         0
GREATER BAY BANCORP INC                COMMON SHS      391648102     31249    1097221    SHARED   A    1097221         0         0
GREEN MOUNTAIN POWER CORP              COMMON SHS      393154109      4760     201700    SHARED   4     201700         0         0
GREEN MOUNTAIN POWER CORP              COMMON SHS      393154109        21        890    SHARED   9        890         0         0
GREENPOINT FINANCIAL CORP              COMMON SHS      395384100     34271     970305    SHARED   5     970305         0         0
GREENPOINT FINANCIAL CORP              COMMON SHS      395384100       291       8250    SHARED   9       8250         0         0
GREY WOLF INC                          COMMON SHS      397888108     43457   11619400    SHARED   A   11619400         0         0
GRIFFIN LAND & NURSERIES INC           COMMON SHS      398231100      2459     173000    SHARED   4     173000         0         0
GRIFFIN LAND & NURSERIES INC           COMMON SHS      398231100         0         12    SHARED   9         12         0         0
GRIFFON CORP                           COMMON SHS      398433102       500      24659    SHARED   6      24659         0         0
GRUPO TELEVISA SA DE CV                AMER DEP RECPT  40049J206     20456     513200    SHARED         434400         0     78800
GRUPO TELEVISA SA DE CV                AMER DEP RECPT  40049J206      1951      48950    SHARED   9      48950         0         0
GTECH HOLDINGS CORP                    COMMON SHS      400518106      3464      70000    SHARED   A      70000         0         0
GRUPO AEROPORTUARIO DEL SURESTE SA DE  AMER DEP RECPT  40051E202      2855     162200    SHARED         162200         0         0
GRUPO AEROPORTUARIO DEL SURESTE SA DE  AMER DEP RECPT  40051E202       511      29060    SHARED   1      29060         0         0
GRUPO AEROPORTUARIO DEL SURESTE SA DE  AMER DEP RECPT  40051E202     24019    1364725    SHARED   2    1336785         0     27940
GRUPO AEROPORTUARIO DEL SURESTE SA DE  AMER DEP RECPT  40051E202       613      34820    SHARED   3      34820         0         0
GUANGSHEN RAILWAY COMPANY LIMITED      AMER DEP RECPT  40065W107      6607     455000    SHARED   8     455000         0         0
GUIDANT CORP                           COMMON SHS      401698105         0          1    SHARED   6          1         0         0
GUIDANT CORP                           COMMON SHS      401698105       493       8190    SHARED   9       8190         0         0
GUIDANT CORP                           COMMON SHS      401698105      3664      60872    SHARED   A        872         0     60000
GULF ISLAND FABRICATION INC            COMMON SHS      402307102       215      12600    SHARED   A      12600         0         0
GYMBOREE INC                           COMMON SHS      403777105       466      27037    SHARED   6      27037         0         0
GYMBOREE INC                           COMMON SHS      403777105     70357    4083400    SHARED   A    4083400         0         0
H & Q HEALTHCARE INVESTORS FUND        CLOSE END MUT F 404052102      2736     150000    SHARED   4     150000         0         0
HCA INC                                COMMON SHS      404119109        51       1190    SHARED           1190         0         0
HCA INC                                COMMON SHS      404119109     67217    1564645    SHARED   1    1564645         0         0
HCA INC                                COMMON SHS      404119109     73706    1715700    SHARED   5    1715700         0         0




HCA INC                                COMMON SHS      404119109         7        161    SHARED   6        161         0         0
HCA INC                                COMMON SHS      404119109      4175      97179    SHARED   8      97099         0        80
HCA INC                                COMMON SHS      404119109       535      12447    SHARED   9      12447         0         0
HCA INC                                COMMON SHS      404119109     46608    1084912    SHARED   A     838012         0    246900
HDFC BANK LTD                          AMER DEP RECPT  40415F101       406      13300    SHARED              0         0     13300
HDFC BANK LTD                          AMER DEP RECPT  40415F101       641      21000    SHARED   9      21000         0         0
HSBC HOLDINGS PLC                      AMER DEP RECPT  404280406       721       9145    SHARED   2       8780         0       365
HSBC HOLDINGS PLC                      AMER DEP RECPT  404280406     16946     215000    SHARED   3     215000         0         0
HSBC HOLDINGS PLC                      AMER DEP RECPT  404280406         0          1    SHARED   6          1         0         0
HSBC HOLDINGS PLC                      AMER DEP RECPT  404280406      9026     114520    SHARED   8     114520         0         0
HSBC HOLDINGS PLC                      AMER DEP RECPT  404280406      1853      23507    SHARED   9      23507         0         0
HAGGAR CORP                            COMMON SHS      405173105      8194     420000    SHARED   4     420000         0         0
HALLIBURTON CO                         COMMON SHS      406216101       484      18633    SHARED   9      18633         0         0
HALLIBURTON CO                         COMMON SHS      406216101       632      24300    SHARED   A      24300         0         0
JOHN HANCOCK BANK & THRIFT OPPORTUNITY CLOSE END MUT F 409735107     17045    1650000    SHARED   4    1650000         0         0
JOHN HANCOCK BANK & THRIFT OPPORTUNITY CLOSE END MUT F 409735107        59       5700    SHARED   9       5700         0         0
HANCOCK HOLDING CO                     COMMON SHS      410120109      4557      83500    SHARED   4      83500         0         0
HANCOCK HOLDING CO                     COMMON SHS      410120109      1931      35394    SHARED   9      35394         0         0
JOHN HANCOCK FINANCIAL SERVICES INC    COMMON SHS      41014S106     36011     960300    SHARED   5     960300         0         0
JOHN HANCOCK FINANCIAL SERVICES INC    COMMON SHS      41014S106        60       1601    SHARED   9       1601         0         0
HANDLEMAN CO                           COMMON SHS      410252100     24636    1200000    SHARED   4    1200000         0         0
HANOVER COMPRESSOR CO                  CONVERTIBLE BD  410768AC9     55568   59750000    SHARED   A   59750000         0         0
HARDINGE INC                           COMMON SHS      412324303      8114     700700    SHARED   4     700700         0         0
HARLEY-DAVIDSON INC                    COMMON SHS      412822108         7        151    SHARED   6        151         0         0
HARLEY-DAVIDSON INC                    COMMON SHS      412822108      9506     200000    SHARED   7     200000         0         0
HARLEY-DAVIDSON INC                    COMMON SHS      412822108       815      17150    SHARED   9      17150         0         0
HARLEY-DAVIDSON INC                    COMMON SHS      412822108      9292     195506    SHARED   A     195506         0         0
HARLEYSVILLE GROUP INC                 COMMON SHS      412824104      4284     215400    SHARED   4     215400         0         0
HARLEYSVILLE GROUP INC                 COMMON SHS      412824104        24       1200    SHARED   9       1200         0         0
HARTE HANKS INC                        COMMON SHS      416196103         0          1    SHARED   6          1         0         0
HARTE HANKS INC                        COMMON SHS      416196103      1115      51250    SHARED   9      51250         0         0
HARTFORD FINANCIAL SERVICES GROUP INC  COMMON SHS      416515104    187869    3182600    SHARED   5    3182600         0         0
HARTFORD FINANCIAL SERVICES GROUP INC  COMMON SHS      416515104         0          1    SHARED   6          1         0         0
HARTFORD FINANCIAL SERVICES GROUP INC  COMMON SHS      416515104         2         35    SHARED   8          0         0        35
HARTFORD FINANCIAL SERVICES GROUP INC  COMMON SHS      416515104     11479     194460    SHARED   9     194460         0         0
HARTFORD FINANCIAL SERVICES GROUP INC  COMMON SHS      416515104       242       4100    SHARED   A       4100         0         0
HARVARD INDUSTRIES INC                 COMMON SHS      417434503         2     903584    SHARED   A     903584         0         0
HASBRO INC                             COMMON SHS      418056107     38304    1800000    SHARED   4    1800000         0         0
HASBRO INC                             COMMON SHS      418056107     12768     600000    SHARED   7     600000         0         0
HAVERTY FURNITURE COS INC              COMMON SHS      419596101     18271     920000    SHARED   4     920000         0         0
HAWAIIAN ELECTRIC INC                  COMMON SHS      419870100         9        200    SHARED   9        200         0         0
HAWAIIAN ELECTRIC INC                  COMMON SHS      419870100     57791    1220000    SHARED   A    1220000         0         0
HAWTHORNE FINL CORP                    COMMON SHS      420542102      3517     125695    SHARED   5     125695         0         0
HEALTHCARE SERVICES GROUP INC          COMMON SHS      421906108      3349     173600    SHARED   4     173600         0         0
HEALTHCARE SERVICES GROUP INC          COMMON SHS      421906108      3838     198975    SHARED   8     198975         0         0
HEALTH CARE PROPERTY INVESTORS INC     REAL EST INV TR 421915109         0          1    SHARED   6          1         0         0
HEALTH CARE PROPERTY INVESTORS INC     REAL EST INV TR 421915109        18        350    SHARED   8        350         0         0




HEALTH CARE PROPERTY INVESTORS INC     REAL EST INV TR 421915109       726      14300    SHARED   9      14300         0         0
HEALTHSOUTH CORP                       CONVERTIBLE BD  421924AF8     52574   54200000    SHARED   5   54200000         0         0
HEALTH MANAGEMENT ASSOCIATES INC       COMMON SHS      421933102      4937     205709    SHARED   9     205709         0         0
HEALTH MANAGEMENT ASSOCIATES INC       COMMON SHS      421933102     40376    1682336    SHARED   A    1682336         0         0
HEADWATERS INC                         COMMON SHS      42210P102     13550     690599    SHARED   6     690599         0         0
HEADWATERS INC                         COMMON SHS      42210P102      6023     307000    SHARED   A     289000         0     18000
HEALTH NET INC                         COMMON SHS      42222G108      7831     239473    SHARED   5     239473         0         0
HEALTH NET INC                         COMMON SHS      42222G108     46300    1415900    SHARED   A    1415900         0         0
HEARTLAND EXPRESS INC                  COMMON SHS      422347104      7482     309291    SHARED   9     309291         0         0
HEARTLAND EXPRESS INC                  COMMON SHS      422347104        41       1700    SHARED   A       1700         0         0
H J HEINZ CO                           COMMON SHS      423074103      6856     188200    SHARED         188200         0         0
H J HEINZ CO                           COMMON SHS      423074103    280128    7689485    SHARED   1    7689485         0         0
H J HEINZ CO                           COMMON SHS      423074103        15        401    SHARED   6        401         0         0
H J HEINZ CO                           COMMON SHS      423074103     17138     470433    SHARED   9     470433         0         0
HELMERICH & PAYNE INC                  COMMON SHS      423452101       360      12900    SHARED   9      12900         0         0
JACK HENRY & ASSOCIATES INC            COMMON SHS      426281101       759      36900    SHARED   9      36900         0         0
JACK HENRY & ASSOCIATES INC            COMMON SHS      426281101     20341     988400    SHARED   A     988400         0         0
HERSHEY FOODS CORP                     COMMON SHS      427866108     19879     258200    SHARED   7     258200         0         0
HERSHEY FOODS CORP                     COMMON SHS      427866108      1084      14081    SHARED   9      14081         0         0
HEWITT ASSOCIATES, INC.                COMMON SHS      42822Q100         7        237    SHARED   6        237         0         0
HEWITT ASSOCIATES, INC.                COMMON SHS      42822Q100        24        800    SHARED   9        800         0         0
HEWITT ASSOCIATES, INC.                COMMON SHS      42822Q100     73464    2456985    SHARED   A    2456985         0         0
HEWLETT PACKARD CO                     COMMON SHS      428236103      8754     381122    SHARED         232363         0    148759
HEWLETT PACKARD CO                     COMMON SHS      428236103     84047    3658986    SHARED   1    3658986         0         0
HEWLETT PACKARD CO                     COMMON SHS      428236103      7079     308179    SHARED   2     308179         0         0
HEWLETT PACKARD CO                     COMMON SHS      428236103       344      14963    SHARED   3      14963         0         0
HEWLETT PACKARD CO                     COMMON SHS      428236103      1171      51000    SHARED   4      51000         0         0
HEWLETT PACKARD CO                     COMMON SHS      428236103      3213     139888    SHARED   6     124519         0     15369
HEWLETT PACKARD CO                     COMMON SHS      428236103     25640    1116250    SHARED   7    1116250         0         0
HEWLETT PACKARD CO                     COMMON SHS      428236103      5547     241500    SHARED   8     241500         0         0
HEWLETT PACKARD CO                     COMMON SHS      428236103     14972     651814    SHARED   9     651814         0         0
HEWLETT PACKARD CO                     COMMON SHS      428236103     75110    3269932    SHARED   A    3262932         0      7000
HIBERNIA CORP                          COMMON SHS      428656102      6738     286600    SHARED   5     286600         0         0
HIGH YIELD PLUS FUND                   CLOSE END MUT F 429906100        67      14500    SHARED   9      14500         0         0
HIGHWOODS PROPERTIES INC               REAL EST INV TR 431284108        17        650    SHARED            650         0         0
HIGHWOODS PROPERTIES INC               REAL EST INV TR 431284108      3866     152200    SHARED   8     152200         0         0
HILLENBRAND INDUSTRIES INC             COMMON SHS      431573104     93462    1506000    SHARED   4    1506000         0         0
HILLENBRAND INDUSTRIES INC             COMMON SHS      431573104     50219     809200    SHARED   5     809200         0         0
HILLENBRAND INDUSTRIES INC             COMMON SHS      431573104       124       2001    SHARED   6       2001         0         0
HILLENBRAND INDUSTRIES INC             COMMON SHS      431573104      1620      26100    SHARED   A      23000         0      3100
HILTON HOTELS CORP                     COMMON SHS      432848109       645      37633    SHARED   6      37633         0         0
HILTON HOTELS CORP                     COMMON SHS      432848109     55060    3214263    SHARED   A    3214263         0         0
HITACHI LTD                            AMER DEP RECPT  433578507       137       2275    SHARED   2       2275         0         0
HITACHI LTD                            AMER DEP RECPT  433578507     13120     218412    SHARED   3     218412         0         0
HITACHI LTD                            AMER DEP RECPT  433578507       699      11630    SHARED   8      11630         0         0
HITACHI LTD                            AMER DEP RECPT  433578507        41        690    SHARED   9        690         0         0
HOLLINGER INTERNATIONAL INC            COMMON SHS      435569108      2759     176620    SHARED   8     176620         0         0




HOLLINGER INTERNATIONAL INC            COMMON SHS      435569108        39       2500    SHARED   9       2500         0         0
HOLLY CORP                             COMMON SHS      435758305      2943     107000    SHARED   4     107000         0         0
HOME DEPOT INC                         COMMON SHS      437076102         0          1    SHARED   6          1         0         0
HOME DEPOT INC                         COMMON SHS      437076102      8792     247720    SHARED   8     247720         0         0
HOME DEPOT INC                         COMMON SHS      437076102     70710    1992387    SHARED   9    1992387         0         0
HOME DEPOT INC                         COMMON SHS      437076102     28357     799018    SHARED   A     799018         0         0
HONDA MOTOR CO LTD                     AMER DEP RECPT  438128308      4568     203000    SHARED   8     203000         0         0
HONDA MOTOR CO LTD                     AMER DEP RECPT  438128308      1369      60850    SHARED   9      60850         0         0
HONEYWELL INTERNATIONAL INC            COMMON SHS      438516106     11701     350000    SHARED         350000         0         0
HONEYWELL INTERNATIONAL INC            COMMON SHS      438516106      6332     189406    SHARED   6     164490         0     24916
HONEYWELL INTERNATIONAL INC            COMMON SHS      438516106        23        700    SHARED   8        700         0         0
HONEYWELL INTERNATIONAL INC            COMMON SHS      438516106     64362    1925287    SHARED   9    1925287         0         0
HONEYWELL INTERNATIONAL INC            COMMON SHS      438516106     28478     851875    SHARED   A     739675         0    112200
HOOKER FURNITURE CORP                  COMMON SHS      439038100      3084      75600    SHARED   4      75600         0         0
HOSPITALITY PROPERTIES TRUST           REAL EST INV TR 44106M102       770      18650    SHARED   9      18650         0         0
HOST MARRIOTT CORP                     REAL EST INV TR 44107P104      1952     158433    SHARED   6     158433         0         0
HOST MARRIOTT CORP                     REAL EST INV TR 44107P104        22       1770    SHARED   9       1770         0         0
HOST MARRIOTT CORP                     REAL EST INV TR 44107P104     83742    6797200    SHARED   A    6797200         0         0
HOT TOPIC INC                          COMMON SHS      441339108     29858    1013500    SHARED   A    1013500         0         0
HUANENG POWER INTERNATIONAL INC        AMER DEP RECPT  443304100       441       6348    SHARED           6348         0         0
HUANENG POWER INTERNATIONAL INC        AMER DEP RECPT  443304100       382       5500    SHARED   9       5500         0         0
HUBBELL INC                            COMMON SHS      443510201      7754     175836    SHARED          88736         0     87100
HUBBELL INC                            COMMON SHS      443510201     21333     483750    SHARED   1     483750         0         0
HUBBELL INC                            COMMON SHS      443510201      8532     193464    SHARED   2     193464         0         0
HUBBELL INC                            COMMON SHS      443510201       688      15601    SHARED   3      15601         0         0
HUBBELL INC                            COMMON SHS      443510201      8662     196415    SHARED   8     196415         0         0
HUBBELL INC                            COMMON SHS      443510201       905      20524    SHARED   9      20524         0         0
HUBBELL INC                            COMMON SHS      443510201      2311      52410    SHARED   A      52410         0         0
HUDSON CITY BANCORP INC                COMMON SHS      443683107    104179    2728616    SHARED   5    2728616         0         0
HUDSON CITY BANCORP INC                COMMON SHS      443683107       638      16700    SHARED   9      16700         0         0
HUMAN GENOME SCIENCES INC              COMMON SHS      444903108      2872     216780    SHARED   9     216780         0         0
HUMAN GENOME SCIENCES INC              COMMON SHS      444903108     11685     881900    SHARED   A     881900         0         0
HUTCHINSON TECHNOLOGY INC              COMMON SHS      448407106      4866     158300    SHARED   4     158300         0         0
HYDRIL                                 COMMON SHS      448774109      8306     347100    SHARED   A     347100         0         0
HYPERCOM CORP                          COMMON SHS      44913M105      2663     559493    SHARED   6     559493         0         0
HYPERION SOLUTIONS CORP                COMMON SHS      44914M104       164       5447    SHARED   9       5447         0         0
HYPERION SOLUTIONS CORP                COMMON SHS      44914M104     76697    2544700    SHARED   A    2544700         0         0
ICU MED INC                            COMMON SHS      44930G107      8764     255656    SHARED   6     255656         0         0
BIOGEN IDEC INC                        CONVERT ZERO CP 449370AC9    594000    4000000    SHARED   A    4000000         0         0
IDX SYSTEMS CORP                       COMMON SHS      449491109      3945     147100    SHARED   A     147100         0         0
IMC GLOBAL INC                         CONVERT PREF    449669209      4209      57300    SHARED   A      57300         0         0
IMS HEALTH INC                         COMMON SHS      449934108        12        500    SHARED            500         0         0
IMS HEALTH INC                         COMMON SHS      449934108       165       6630    SHARED   6       6630         0         0
IMS HEALTH INC                         COMMON SHS      449934108     12430     500000    SHARED   7     500000         0         0
IMS HEALTH INC                         COMMON SHS      449934108      4271     171796    SHARED   8     171796         0         0
IMS HEALTH INC                         COMMON SHS      449934108      3211     129183    SHARED   9     129183         0         0
INVERSIONES Y REPRESENTACION SA        GLBL DEP RECPT  450047204     28989    2898873    SHARED   1    2894415         0      4458




ISTAR FINANCIAL INC                    REAL EST INV TR 45031U101        21        550    SHARED            550         0         0
ISTAR FINANCIAL INC                    REAL EST INV TR 45031U101     59443    1528100    SHARED   5    1528100         0         0
ISTAR FINANCIAL INC                    REAL EST INV TR 45031U101      2648      68082    SHARED   6      68082         0         0
ISTAR FINANCIAL INC                    REAL EST INV TR 45031U101       535      13750    SHARED   9      13750         0         0
ISTAR FINANCIAL INC                    REAL EST INV TR 45031U101    165238    4247774    SHARED   A    4247774         0         0
ISTA PHARMACEUTICALS INC               COMMON SHS      45031X204        93      10000    SHARED   9      10000         0         0
ITLA CAPITAL CORP                      COMMON SHS      450565106     23366     466396    SHARED   5     466396         0         0
ITT EDUCATIONAL SERVICES INC           COMMON SHS      45068B109      2245      47800    SHARED   9      47800         0         0
ITT INDUSTRIES INC                     COMMON SHS      450911102         0          1    SHARED   6          1         0         0
ITT INDUSTRIES INC                     COMMON SHS      450911102      1023      13780    SHARED   9      13780         0         0
ITT INDUSTRIES INC                     COMMON SHS      450911102      2267      30542    SHARED   A      30542         0         0
ICICI BANK LTD                         AMER DEP RECPT  45104G104     58965    3432191    SHARED   2    3186076         0    246115
ICICI BANK LTD                         AMER DEP RECPT  45104G104      2458     143100    SHARED   9     143100         0         0
ILEX ONCOLOGY INC                      COMMON SHS      451923106     13141     618400    SHARED   A     618400         0         0
ILLINOIS TOOL WORKS INC                COMMON SHS      452308109         2         26    SHARED   6         26         0         0
ILLINOIS TOOL WORKS INC                COMMON SHS      452308109     41955     500000    SHARED   7     500000         0         0
ILLINOIS TOOL WORKS INC                COMMON SHS      452308109     30514     363651    SHARED   9     363651         0         0
ILLINOIS TOOL WORKS INC                COMMON SHS      452308109       351       4189    SHARED   A       4189         0         0
IMCLONE SYSTEMS INC                    COMMON SHS      45245W109       432      10900    SHARED   9      10900         0         0
IMAGISTICS INTERNATIONAL INC           COMMON SHS      45247T104         0          2    SHARED   6          2         0         0
IMAGISTICS INTERNATIONAL INC           COMMON SHS      45247T104        25        667    SHARED   9        667         0         0
IMAGISTICS INTERNATIONAL INC           COMMON SHS      45247T104      4744     126500    SHARED   A     126500         0         0
IMPERIAL CHEMICAL INDUSTRIES PLC       AMER DEP RECPT  452704505       243      16991    SHARED   2      16991         0         0
IMMUNOMEDICS INC                       COMMON SHS      452907108       503     110200    SHARED   A     110200         0         0
IMPERIAL OIL LTD                       ORDINARY SHS    453038408      8974     155995    SHARED   8      93350         0     62645
IMPERIAL OIL LTD                       COMMON SHS      453038408       362       8150    SHARED   9       8150         0         0
INCO LTD                               ORDINARY SHS    453258402       248       4805    SHARED   8       4805         0         0
INCO LTD                               COMMON SHS      453258402      5256     122200    SHARED   9     122200         0         0
INDEVUS PHARMACEUTICALS INC            COMMON SHS      454072109       589     100000    SHARED   A     100000         0         0
INDYMAC BANCORP INC                    REAL EST INV TR 456607100       465      15600    SHARED   9      15600         0         0
INFORMATICA CORP                       COMMON SHS      45666Q102     28664    2782957    SHARED   A    2782957         0         0
INFORMATION HOLDINGS INC               COMMON SHS      456727106      2203      99699    SHARED   6      99699         0         0
INFOSYS TECHNOLOGIES LTD               AMER DEP RECPT  456788108         0          1    SHARED   6          1         0         0
INFOSYS TECHNOLOGIES LTD               AMER DEP RECPT  456788108      1168      12200    SHARED   9      12200         0         0
INFOSPACE INC                          COMMON SHS      45678T201     20466     887900    SHARED   A     887900         0         0
ING GROEP NV                           AMER DEP RECPT  456837103       782      33385    SHARED   2      33385         0         0
ING GROEP NV                           AMER DEP RECPT  456837103     23158     989247    SHARED   3     989247         0         0
ING GROEP NV                           AMER DEP RECPT  456837103         0          1    SHARED   6          1         0         0
ING GROEP NV                           AMER DEP RECPT  456837103      4660     199074    SHARED   8     199074         0         0
ING GROEP NV                           AMER DEP RECPT  456837103       176       7530    SHARED   9       7530         0         0
INNKEEPERS USA TRUST                   CONVERT PREF    4576J0302     49424    1968300    SHARED   A    1968300         0         0
INSPIRE PHARMACEUTICALS INC            COMMON SHS      457733103      2057     145261    SHARED   A     145261         0         0
INSTEEL INDUSTRIES INC                 COMMON SHS      45774W108       672     810000    SHARED   4     810000         0         0
INTEGRA LIFESCIENCES HOLDINGS CORP     COMMON SHS      457985208      3991     139400    SHARED   A     139400         0         0
INSURED MUNICIPAL INCOME FUND          OPEN END MUT FD 45809F104       184      13000    SHARED   9      13000         0         0
INTEGRATED DEVICE TECHNOLOGY INC       COMMON SHS      458118106     14380     837485    SHARED   6     837485         0         0
INTEGRATED DEVICE TECHNOLOGY INC       COMMON SHS      458118106     88947    5180400    SHARED   A    5180400         0         0




INTEGRATED CIRCUIT SYSTEMS INC         COMMON SHS      45811K208         0          1    SHARED   6          1         0         0
INTEGRATED CIRCUIT SYSTEMS INC         COMMON SHS      45811K208    132808    4661562    SHARED   A    4661562         0         0
INTEGRATED SILICON SOLUTION INC        COMMON SHS      45812P107     16927    1080200    SHARED   A    1080200         0         0
INTEL CORP                             COMMON SHS      458140100      1221      37930    SHARED          37930         0         0
INTEL CORP                             COMMON SHS      458140100         3         96    SHARED   6         96         0         0
INTEL CORP                             COMMON SHS      458140100     25760     800000    SHARED   7     800000         0         0
INTEL CORP                             COMMON SHS      458140100    210923    6550403    SHARED   9    6550403         0         0
INTEL CORP                             COMMON SHS      458140100    153422    4764650    SHARED   A    4415650         0    349000
INTELLICORP INC                        COMMON SHS      458153103         0      20000    SHARED   9      20000         0         0
INTERACTIVE CORP                       COMMON SHS      45840Q101       850      25057    SHARED          25057         0         0
INTERACTIVE CORP                       COMMON SHS      45840Q101     20365     600200    SHARED   7     600200         0         0
INTERACTIVE CORP                       COMMON SHS      45840Q101     32875     968914    SHARED   9     968914         0         0
INTERACTIVE CORP                       COMMON SHS      45840Q101     17196     506800    SHARED   A     506800         0         0
INTERGRAPH CORP                        COMMON SHS      458683109     20332     850000    SHARED   4     850000         0         0
INTERMUNE INC                          COMMON SHS      45884X103     14772     637822    SHARED   6     637822         0         0
INTERMUNE INC                          COMMON SHS      45884X103    107291    4632600    SHARED   A    4625100         0      7500
INTERMUNE INC                          CONVERTIBLE BD  45884XAA1      8573    8530000    SHARED   A    8530000         0         0
INTEGRATED ALARM SERVICES              COMMON SHS      45890M109     15596    1834800    SHARED   5    1834800         0         0
INTERNATIONAL BUSINESS MACHINES CORP   COMMON SHS      459200101      1010      10896    SHARED          10896         0         0
INTERNATIONAL BUSINESS MACHINES CORP   COMMON SHS      459200101      2039      22000    SHARED   4      22000         0         0
INTERNATIONAL BUSINESS MACHINES CORP   COMMON SHS      459200101         2         21    SHARED   6         21         0         0
INTERNATIONAL BUSINESS MACHINES CORP   COMMON SHS      459200101     51901     560000    SHARED   7     560000         0         0
INTERNATIONAL BUSINESS MACHINES CORP   COMMON SHS      459200101     17273     186370    SHARED   8     184855         0      1515
INTERNATIONAL BUSINESS MACHINES CORP   COMMON SHS      459200101    233481    2519221    SHARED   9    2519221         0         0
INTERNATIONAL BUSINESS MACHINES CORP   COMMON SHS      459200101     85490     922422    SHARED   A     796722         0    125700
INTL FLAVORS & FRAGRANCES INC          COMMON SHS      459506101     93862    2687925    SHARED   5    2687925         0         0
INTL FLAVORS & FRAGRANCES INC          COMMON SHS      459506101     17460     500000    SHARED   7     500000         0         0
INTL FLAVORS & FRAGRANCES INC          COMMON SHS      459506101      2684      76849    SHARED   9      76849         0         0
INTERNATIONAL GAME TECHNOLOGY          COMMON SHS      459902102         0          1    SHARED   6          1         0         0
INTERNATIONAL GAME TECHNOLOGY          COMMON SHS      459902102       844      23644    SHARED   9      23644         0         0
INTERNATIONAL GAME TECHNOLOGY          COMMON SHS      459902102     21420     600000    SHARED   A     600000         0         0
INTERNATIONAL PAPER CO                 COMMON SHS      460146103     20657     479159    SHARED         299214         0    179945
INTERNATIONAL PAPER CO                 COMMON SHS      460146103    314679    7299441    SHARED   1    7298821         0       620
INTERNATIONAL PAPER CO                 COMMON SHS      460146103      8222     190730    SHARED   2     190730         0         0
INTERNATIONAL PAPER CO                 COMMON SHS      460146103      2145      49745    SHARED   3      49745         0         0
INTERNATIONAL PAPER CO                 COMMON SHS      460146103      3104      72000    SHARED   4      72000         0         0
INTERNATIONAL PAPER CO                 COMMON SHS      460146103      2910      67507    SHARED   9      67507         0         0
INTERNATIONAL PAPER CO                 COMMON SHS      460146103        57       1320    SHARED   A       1320         0         0
INTL RECTIFIER CORP                    COMMON SHS      460254105         0          1    SHARED   6          1         0         0
INTL RECTIFIER CORP                    COMMON SHS      460254105       346       7000    SHARED   9       7000         0         0
INTL RECTIFIER CORP                    COMMON SHS      460254105      7412     150000    SHARED   A     150000         0         0
INTERNATIONAL SHIPHOLDING CORP         COMMON SHS      460321201      7080     480000    SHARED   4     480000         0         0
INTERNATIONAL STEEL GROUP              COMMON SHS      460377104      1461      37500    SHARED   A      37500         0         0
INTERPUBLIC GROUP OF COMPANIES INC     COMMON SHS      460690100        40       2570    SHARED           2570         0         0
INTERPUBLIC GROUP OF COMPANIES INC     COMMON SHS      460690100     92928    5956897    SHARED   1    5956897         0         0
INTERPUBLIC GROUP OF COMPANIES INC     COMMON SHS      460690100       789      50553    SHARED   3      50553         0         0
INTERPUBLIC GROUP OF COMPANIES INC     COMMON SHS      460690100      7221     462893    SHARED   9     462893         0         0




INTERPUBLIC GROUP OF COMPANIES INC     COMMON SHS      460690100     29640    1900000    SHARED   A    1900000         0         0
INTERPUBLIC GROUP OF COMPANIES INC     CONVERTIBLE BD  460690AF7      1346    1370000    SHARED   9    1370000         0         0
INTERPUBLIC GROUP OF COMPANIES INC     CONVERTIBLE BD  460690AT7      8582    5600000    SHARED   1    5600000         0         0
INTERSIL CORP                          COMMON SHS      46069S109     12237     492436    SHARED   6     492436         0         0
INTERSIL CORP                          COMMON SHS      46069S109    131988    5311369    SHARED   A    5311369         0         0
INTRAWEST CORP                         ORDINARY SHS    460915200      1360      56900    SHARED   2      56900         0         0
INTRAWEST CORP                         COMMON SHS      460915200      8783     475000    SHARED   4     475000         0         0
INTRAWEST CORP                         ORDINARY SHS    460915200      8680     363200    SHARED   8     363200         0         0
INTRAWEST CORP                         COMMON SHS      460915200      6219     336350    SHARED   9     336350         0         0
INTRAWEST CORP                         COMMON SHS      460915200        33       1800    SHARED   A       1800         0         0
INTERTAPE POLYMER GROUP INC            ORDINARY SHS    460919103      3517     213300    SHARED   2     213300         0         0
INTERTAPE POLYMER GROUP INC            ORDINARY SHS    460919103     16127     977970    SHARED   8     977970         0         0
INTERVOICE-BRITE INC                   COMMON SHS      461142101      6552     551961    SHARED   6     551961         0         0
INTERVOICE-BRITE INC                   COMMON SHS      461142101      2309     194500    SHARED   A     194500         0         0
INTIER AUTOMOTIVE INC                  ORDINARY SHS    46115N104     14747     639500    SHARED   8     639500         0         0
INTUIT INC                             COMMON SHS      461202103         2         41    SHARED   6         41         0         0
INTUIT INC                             COMMON SHS      461202103      3053      57705    SHARED   9      57705         0         0
INTUIT INC                             COMMON SHS      461202103     91208    1723842    SHARED   A    1723842         0         0
INVESTMENT TECHNOLOGY GROUP INC        COMMON SHS      46145F105       218      13500    SHARED   9      13500         0         0
INVIVO CORP                            COMMON SHS      461858102      7672     350000    SHARED   4     350000         0         0
INVIVO CORP                            COMMON SHS      461858102        41       1875    SHARED   9       1875         0         0
INVITROGEN CORP                        COMMON SHS      46185R100     98161    1402300    SHARED   1    1402300         0         0
INVITROGEN CORP                        COMMON SHS      46185R100      3268      46680    SHARED   2      46680         0         0
INVITROGEN CORP                        COMMON SHS      46185R100       583       8331    SHARED   3       8331         0         0
INVITROGEN CORP                        COMMON SHS      46185R100         0          1    SHARED   6          1         0         0
INVITROGEN CORP                        COMMON SHS      46185R100       995      14220    SHARED   9      14220         0         0
INVESTORS FINANCIAL SERVICES CORP      COMMON SHS      461915100       567      14768    SHARED   9      14768         0         0
INVESTORS FINANCIAL SERVICES CORP      COMMON SHS      461915100     37753     982900    SHARED   A     982900         0         0
IONICS INC                             COMMON SHS      462218108     12740     400000    SHARED   7     400000         0         0
IONICS INC                             COMMON SHS      462218108       131       4100    SHARED   9       4100         0         0
IPAYMENT INC                           COMMON SHS      46262E105       340      10000    SHARED   9      10000         0         0
BANK OF IRELAND                        AMER DEP RECPT  46267Q103         0          1    SHARED   6          1         0         0
BANK OF IRELAND                        AMER DEP RECPT  46267Q103       236       4300    SHARED   9       4300         0         0
IRON MOUNTAIN INC                      COMMON SHS      462846106      2092      52900    SHARED   9      52900         0         0
IRON MOUNTAIN INC                      COMMON SHS      462846106     56888    1438751    SHARED   A    1438751         0         0
ISHARES MSCI HONG KONG INDEX FUND      CLOSE END MUT F 464286871        17       1740    SHARED   1       1740         0         0
ISHARES MSCI HONG KONG INDEX FUND      CLOSE END MUT F 464286871      2340     234020    SHARED   A     234020         0         0
ISHARES RUSSELL 2000 GROWTH INDEX FUND CLOSE END MUT F 464287648       206       3472    SHARED   6       3472         0         0
ISHARES RUSSELL 2000 GROWTH INDEX FUND CLOSE END MUT F 464287648       593      10000    SHARED   9      10000         0         0
ISHARES TR RUSSELL 2000 INDEX FUND     CLOSE END MUT F 464287655       343       3100    SHARED   9       3100         0         0
ISHARES TRUST                          CLOSE END MUT F 464287697       373       6475    SHARED   9       6475         0         0
I2 TECHNOLOGIES INC                    COMMON SHS      465754109     12630    7608600    SHARED   A    7608600         0         0
IVANHOE MINES LTD                      ORDINARY SHS    46579N103      8947     868600    SHARED   A     868600         0         0
IVAX CORP                              COMMON SHS      465823102       781      32725    SHARED   9      32725         0         0
IVAX CORP                              COMMON SHS      465823102     61195    2562625    SHARED   A    2562625         0         0
IVAX CORP                              CONVERTIBLE BD  465823AG7       305     300000    SHARED   9     300000         0         0
IVAX CORP                              CONVERTIBLE BD  465823AG7      5075    5000000    SHARED   A    5000000         0         0




JDS UNIPHASE CORP                      COMMON SHS      46612J101       128      34992    SHARED   9      34992         0         0
JDS UNIPHASE CORP                      COMMON SHS      46612J101      1278     350000    SHARED   A     350000         0         0
JDA SOFTWARE GROUP INC                 COMMON SHS      46612K108      2434     147400    SHARED   A     147400         0         0
J JILL GROUP INC                       COMMON SHS      466189107      4464     351206    SHARED   6     351206         0         0
J JILL GROUP INC                       COMMON SHS      466189107     15660    1232100    SHARED   A    1232100         0         0
JLG INDUSTRIES INC                     COMMON SHS      466210101      6692     439400    SHARED   4     439400         0         0
JP MORGAN CHASE & CO                   COMMON SHS      46625H100      1047      28500    SHARED          28500         0         0
JP MORGAN CHASE & CO                   COMMON SHS      46625H100    161105    4386190    SHARED   1    4386190         0         0
JP MORGAN CHASE & CO                   COMMON SHS      46625H100      5660     154100    SHARED   2     154100         0         0
JP MORGAN CHASE & CO                   COMMON SHS      46625H100        12        328    SHARED   3        328         0         0
JP MORGAN CHASE & CO                   COMMON SHS      46625H100      4743     129133    SHARED   6     112698         0     16435
JP MORGAN CHASE & CO                   COMMON SHS      46625H100     13428     365597    SHARED   8     354912         0     10685
JP MORGAN CHASE & CO                   COMMON SHS      46625H100     41408    1127349    SHARED   9    1127349         0         0
JP MORGAN CHASE & CO                   COMMON SHS      46625H100    162775    4431650    SHARED   A    4431650         0         0
JABIL CIRCUIT INC                      COMMON SHS      466313103         0          1    SHARED   6          1         0         0
JABIL CIRCUIT INC                      COMMON SHS      466313103     94095    3324900    SHARED   A    3324900         0         0
JACK IN THE BOX INC                    COMMON SHS      466367109         0          1    SHARED   6          1         0         0
JACK IN THE BOX INC                    COMMON SHS      466367109     19933     933200    SHARED   A     574000         0    359200
JACOBS ENGINEERING GROUP               COMMON SHS      469814107      5390     112260    SHARED   9     112260         0         0
JACOBS ENGINEERING GROUP               COMMON SHS      469814107     25997     541500    SHARED   A     541500         0         0
JAKKS PACIFIC INC                      COMMON SHS      47012E106      2212     168100    SHARED         168100         0         0
JAKKS PACIFIC INC                      COMMON SHS      47012E106        99       7510    SHARED   1       7510         0         0
JAKKS PACIFIC INC                      COMMON SHS      47012E106      7567     575000    SHARED   2     575000         0         0
JAKKS PACIFIC INC                      COMMON SHS      47012E106       642      48797    SHARED   3      48797         0         0
JAKKS PACIFIC INC                      COMMON SHS      47012E106      8229     625300    SHARED   8     625300         0         0
JEFFERIES GROUP INC                    COMMON SHS      472319102      9575     289968    SHARED   9     289968         0         0
JEFFERIES GROUP INC                    COMMON SHS      472319102     16583     502200    SHARED   A     502200         0         0
JEFFERSON PILOT CORP                   COMMON SHS      475070108      1749      34525    SHARED   6      28300         0      6225
JEFFERSON PILOT CORP                   COMMON SHS      475070108      1631      32193    SHARED   9      32193         0         0
JEFFERSON PILOT CORP                   COMMON SHS      475070108     13037     257400    SHARED   A     257400         0         0
JOHNSON & JOHNSON                      COMMON SHS      478160104        37        720    SHARED            720         0         0
JOHNSON & JOHNSON                      COMMON SHS      478160104      1971      38146    SHARED   1      38146         0         0
JOHNSON & JOHNSON                      COMMON SHS      478160104        21        398    SHARED   6        398         0         0
JOHNSON & JOHNSON                      COMMON SHS      478160104     51453     996000    SHARED   7     996000         0         0
JOHNSON & JOHNSON                      COMMON SHS      478160104      7350     142285    SHARED   8     142175         0       110
JOHNSON & JOHNSON                      COMMON SHS      478160104    183695    3555847    SHARED   9    3555847         0         0
JOHNSON & JOHNSON                      COMMON SHS      478160104    229017    4433168    SHARED   A    4056268         0    376900
JOHNSON CONTROLS INC                   COMMON SHS      478366107         2         21    SHARED   6         21         0         0
JOHNSON CONTROLS INC                   COMMON SHS      478366107     23224     200000    SHARED   7     200000         0         0
JOHNSON CONTROLS INC                   COMMON SHS      478366107      2851      24550    SHARED   8      24550         0         0
JOHNSON CONTROLS INC                   COMMON SHS      478366107        12        100    SHARED   9        100         0         0
JONES LANG LASALLE INC                 COMMON SHS      48020Q107      4824     232720    SHARED   6     232720         0         0
JONES LANG LASALLE INC                 COMMON SHS      48020Q107     29223    1409700    SHARED   A    1409700         0         0
JOURNAL COMMUNICATIONS INC             COMMON SHS      481130102         7        400    SHARED   9        400         0         0
JOURNAL COMMUNICATIONS INC             COMMON SHS      481130102       524      28300    SHARED   A      28300         0         0
JOY GLOBAL INC                         COMMON SHS      481165108     10812     413456    SHARED   5     413456         0         0
JUNIPER NETWORKS INC                   COMMON SHS      48203R104         1         80    SHARED   6         80         0         0




JUNIPER NETWORKS INC                   COMMON SHS      48203R104       443      23735    SHARED   9      23735         0         0
JUNIPER NETWORKS INC                   COMMON SHS      48203R104     10336     553300    SHARED   A     553300         0         0
JUNIPER NETWORKS INC                   CONVERTIBLE BD  48203RAA2        21      20000    SHARED   9      20000         0         0
KCS ENERGY INC                         COMMON SHS      482434206       720      68272    SHARED   9      68272         0         0
KCS ENERGY INC                         COMMON SHS      482434206      2252     213443    SHARED   A     213443         0         0
KLA-TENCOR CORP                        COMMON SHS      482480100        26        450    SHARED            450         0         0
KLA-TENCOR CORP                        COMMON SHS      482480100         1         21    SHARED   6         21         0         0
KLA-TENCOR CORP                        COMMON SHS      482480100      1984      33817    SHARED   9      33817         0         0
KLA-TENCOR CORP                        COMMON SHS      482480100     53280     908132    SHARED   A     908132         0         0
KLM ROYAL DUTCH AIRLINES               NEW YORK SHARES 482516309      8105     500000    SHARED   7     500000         0         0
KT CORP                                AMER DEP RECPT  48268K101     19413    1017961    SHARED        1017961         0         0
KT CORP                                AMER DEP RECPT  48268K101    401893   21074619    SHARED   1   21065319         0      9300
KT CORP                                AMER DEP RECPT  48268K101    144176    7560363    SHARED   2    7264643         0    295720
KT CORP                                AMER DEP RECPT  48268K101     12236     641616    SHARED   3     641616         0         0
KT CORP                                AMER DEP RECPT  48268K101     64180    3365473    SHARED   8    3273173         0     92300
KT CORP                                AMER DEP RECPT  48268K101      1146      60090    SHARED   9      60090         0         0
KT CORP                                AMER DEP RECPT  48268K101      1552      81400    SHARED   A      81400         0         0
K2 INC                                 COMMON SHS      482732104      5978     393000    SHARED   9     393000         0         0
K2 INC                                 COMMON SHS      482732104        30       2000    SHARED   A       2000         0         0
KANSAS CITY LIFE INSURANCE CO          COMMON SHS      484836101      7854     170000    SHARED   4     170000         0         0
KANSAS CITY LIFE INSURANCE CO          COMMON SHS      484836101       106       2300    SHARED   9       2300         0         0
KANSAS CITY SOUTHERN                   COMMON SHS      485170302     12029     840000    SHARED   4     840000         0         0
KANSAS CITY SOUTHERN                   COMMON SHS      485170302         5        360    SHARED   9        360         0         0
KAYDON CORP                            COMMON SHS      486587108     10424     403400    SHARED   4     403400         0         0
KB HOME                                COMMON SHS      48666K109       508       7000    SHARED   9       7000         0         0
KB HOME                                COMMON SHS      48666K109         3         47    SHARED   A         47         0         0
KELLOGG CO                             COMMON SHS      487836108     14470     380000    SHARED         380000         0         0
KELLOGG CO                             COMMON SHS      487836108       824      21626    SHARED   9      21626         0         0
KELLWOOD CO                            COMMON SHS      488044108     18450     450000    SHARED   4     450000         0         0
KELLWOOD CO                            COMMON SHS      488044108      3944      96200    SHARED   8      96200         0         0
KELLWOOD CO                            COMMON SHS      488044108        74       1800    SHARED   9       1800         0         0
KELLY SERVICES INC                     COMMON SHS      488152208     43004    1506800    SHARED   4    1506800         0         0
KEMET CORP                             COMMON SHS      488360108     13902    1015465    SHARED   A    1015465         0         0
KENDLE INTERNATIONAL INC               COMMON SHS      48880L107       323      51015    SHARED   6      51015         0         0
KENDLE INTERNATIONAL INC               COMMON SHS      48880L107       358      56500    SHARED   A      48900         0      7600
KENNAMETAL INC                         COMMON SHS      489170100     14393     362083    SHARED   6     362083         0         0
KENNAMETAL INC                         COMMON SHS      489170100     10740     270200    SHARED   A     270200         0         0
KERR MCGEE CORP                        CONVERT PREF    492386305      1038      20700    SHARED   9      20700         0         0
KERR MCGEE CORP                        CONVERT PREF    492386305      7519     150000    SHARED   A     150000         0         0
KEYCORP                                COMMON SHS      493267108     78484    2676800    SHARED   5    2676800         0         0
KEYCORP                                COMMON SHS      493267108       472      16097    SHARED   9      16097         0         0
KEYCORP                                COMMON SHS      493267108      6878     234600    SHARED   A     234600         0         0
KEYSPAN CORP                           COMMON SHS      49337W100       419      11382    SHARED   9      11382         0         0
KEYSPAN CORP                           COMMON SHS      49337W100    190624    5180000    SHARED   A    5180000         0         0
KILROY REALTY CORP                     REAL EST INV TR 49427F108      1578      48173    SHARED   6      48173         0         0
KILROY REALTY CORP                     REAL EST INV TR 49427F108       115       3500    SHARED   9       3500         0         0
KILROY REALTY CORP                     REAL EST INV TR 49427F108     21949     670200    SHARED   A     670200         0         0




KIMBERLY-CLARK CORP                    COMMON SHS      494368103     26791     453400    SHARED         453400         0         0
KIMBERLY-CLARK CORP                    COMMON SHS      494368103      3155      53400    SHARED   2      53400         0         0
KIMBERLY-CLARK CORP                    COMMON SHS      494368103      3900      66000    SHARED   4      66000         0         0
KIMBERLY-CLARK CORP                    COMMON SHS      494368103      4839      81885    SHARED   6      71092         0     10793
KIMBERLY-CLARK CORP                    COMMON SHS      494368103     14454     244610    SHARED   8     242075         0      2535
KIMBERLY-CLARK CORP                    COMMON SHS      494368103      6021     101893    SHARED   9     101893         0         0
KIMBERLY-CLARK CORP                    COMMON SHS      494368103     39106     661800    SHARED   A     561800         0    100000
KIMCO REALTY CORP                      REAL EST INV TR 49446R109       881      19683    SHARED   6      19683         0         0
KIMCO REALTY CORP                      REAL EST INV TR 49446R109       307       6850    SHARED   9       6850         0         0
KIMCO REALTY CORP                      REAL EST INV TR 49446R109     11188     250000    SHARED   A     250000         0         0
KINDER MORGAN ENERGY PARTNERS LP       LTD PARTNERSHIP 494550106      5214     105835    SHARED   9     105835         0         0
KINDER MORGAN INC                      COMMON SHS      49455P101     23226     393000    SHARED         393000         0         0
KINDER MORGAN INC                      COMMON SHS      49455P101      2018      34152    SHARED   9      34152         0         0
KINDER MORGAN MANAGEMENT LLC           COMMON SHS      49455U100       714      16631    SHARED   9      16631         0         0
KINDRED HEALTHCARE INC                 WTS TO EQUITY   494580111     13029     560242    SHARED   5     560242         0         0
KINDRED HEALTHCARE INC                 WTS TO EQUITY   494580111      3287     134263    SHARED   A     134263         0         0
KINDRED HEALTHCARE INC                 WTS TO EQUITY   494580129     29339    1400603    SHARED   5    1400603         0         0
KINDRED HEALTHCARE INC                 WTS TO EQUITY   494580129      7401     335658    SHARED   A     335658         0         0
KING PHARMACEUTICALS INC               COMMON SHS      495582108      4966     325429    SHARED              0         0    325429
KING PHARMACEUTICALS INC               COMMON SHS      495582108     25652    1681000    SHARED   1    1680100         0       900
KING PHARMACEUTICALS INC               COMMON SHS      495582108      2000     131070    SHARED   2     131070         0         0
KING PHARMACEUTICALS INC               COMMON SHS      495582108        11        751    SHARED   6        751         0         0
KING PHARMACEUTICALS INC               COMMON SHS      495582108       163      10700    SHARED   9      10700         0         0
KING PHARMACEUTICALS INC               COMMON SHS      495582108     23822    1561100    SHARED   A     951000         0    610100
KINROSS GOLD CORP                      ORDINARY SHS    496902206     29266    2835898    SHARED   A    2835898         0         0
KINGSWAY FINANCIAL SERVICES INC        ORDINARY SHS    496904103     78097    5349088    SHARED   8    5138734         0    210354
KNIGHT-RIDDER INC                      COMMON SHS      499040103         0          1    SHARED   6          1         0         0
KNIGHT-RIDDER INC                      COMMON SHS      499040103      1767      22836    SHARED   9      22836         0         0
KNIGHT TRANSPORTATION INC              COMMON SHS      499064103     18219     710300    SHARED   A     710300         0         0
KOHL'S CORP                            COMMON SHS      500255104        40        880    SHARED   9        880         0         0
KOHL'S CORP                            COMMON SHS      500255104     28092     625100    SHARED   A     462900         0    162200
KONINKLIJKE PHILIPS ELECTRONICS NV     NEW YORK SHARES 500472303      1584      54436    SHARED   1      54436         0         0
KONINKLIJKE PHILIPS ELECTRONICS NV     NEW YORK SHARES 500472303     10979     377424    SHARED   2     374185         0      3239
KONINKLIJKE PHILIPS ELECTRONICS NV     NEW YORK SHARES 500472303     21482     738463    SHARED   3     738463         0         0
KONINKLIJKE PHILIPS ELECTRONICS NV     NEW YORK SHARES 500472303         0          1    SHARED   6          1         0         0
KONINKLIJKE PHILIPS ELECTRONICS NV     NEW YORK SHARES 500472303       479      16474    SHARED   9      16474         0         0
KOOKMIN BANK                           AMER DEP RECPT  50049M109      1458      38535    SHARED          38535         0         0
KOOKMIN BANK                           AMER DEP RECPT  50049M109     36335     960219    SHARED   1     960219         0         0
KOOKMIN BANK                           AMER DEP RECPT  50049M109     88270    2332718    SHARED   2    2247488         0     85230
KOOKMIN BANK                           AMER DEP RECPT  50049M109     10424     275480    SHARED   3     275480         0         0
KOOKMIN BANK                           AMER DEP RECPT  50049M109      6242     164970    SHARED   8     164970         0         0
KOOKMIN BANK                           AMER DEP RECPT  50049M109     17757     469272    SHARED   9     469272         0         0
KOOKMIN BANK                           AMER DEP RECPT  50049M109       179       4740    SHARED   A       4740         0         0
KOPIN CORP                             COMMON SHS      500600101     10600    1579800    SHARED   9    1579800         0         0
KOPIN CORP                             COMMON SHS      500600101        52       7800    SHARED   A       7800         0         0
KOREA ELECTRIC POWER CORP              AMER DEP RECPT  500631106      3179     306000    SHARED         306000         0         0
KOREA ELECTRIC POWER CORP              AMER DEP RECPT  500631106     10607    1020860    SHARED   1    1020860         0         0




KOREA ELECTRIC POWER CORP              AMER DEP RECPT  500631106     27404    2637562    SHARED   2    2604365         0     33197
KOREA ELECTRIC POWER CORP              AMER DEP RECPT  500631106     11984    1153463    SHARED   3    1153463         0         0
KOREA ELECTRIC POWER CORP              AMER DEP RECPT  500631106      4989     480207    SHARED   8     480207         0         0
KOREA ELECTRIC POWER CORP              AMER DEP RECPT  500631106      4068     391500    SHARED   9     391500         0         0
KOSAN BIOSCIENCES INC                  COMMON SHS      50064W107      8228     834500    SHARED   A     834500         0         0
KRAFT FOODS INC                        COMMON SHS      50075N104     23622     733136    SHARED         627983         0    105153
KRAFT FOODS INC                        COMMON SHS      50075N104     14003     434620    SHARED   2     434620         0         0
KRAFT FOODS INC                        COMMON SHS      50075N104      1270      39410    SHARED   3      39410         0         0
KRAFT FOODS INC                        COMMON SHS      50075N104      8757     271789    SHARED   8     271789         0         0
KRAFT FOODS INC                        COMMON SHS      50075N104      2657      82455    SHARED   9      82455         0         0
KRAFT FOODS INC                        COMMON SHS      50075N104      3286     102000    SHARED   A     102000         0         0
KROGER CO                              COMMON SHS      501044101     25940    1401419    SHARED        1094940         0    306479
KROGER CO                              COMMON SHS      501044101    263382   14229190    SHARED   1   14229190         0         0
KROGER CO                              COMMON SHS      501044101      5847     315900    SHARED   2     315900         0         0
KROGER CO                              COMMON SHS      501044101       591      31952    SHARED   3      31952         0         0
KROGER CO                              COMMON SHS      501044101     88107    4759985    SHARED   5    4759985         0         0
KROGER CO                              COMMON SHS      501044101         0          1    SHARED   6          1         0         0
KROGER CO                              COMMON SHS      501044101      9643     520937    SHARED   8     520937         0         0
KROGER CO                              COMMON SHS      501044101       362      19550    SHARED   9      19550         0         0
KROLL INC                              COMMON SHS      501049100        65       2500    SHARED   9       2500         0         0
KROLL INC                              COMMON SHS      501049100      7704     296300    SHARED   A     296300         0         0
KYOCERA CORP                           AMER DEP RECPT  501556203       369       5500    SHARED   9       5500         0         0
LTC PROPERTIES INC                     REAL EST INV TR 502175102       831      56400    SHARED   9      56400         0         0
LTX CORP                               COMMON SHS      502392103     19192    1276900    SHARED   A    1276900         0         0
L-3 COMMUNICATIONS HOLDINGS INC        COMMON SHS      502424104         0          1    SHARED   6          1         0         0
L-3 COMMUNICATIONS HOLDINGS INC        COMMON SHS      502424104      1612      31380    SHARED   9      31380         0         0
L-3 COMMUNICATIONS HOLDINGS INC        COMMON SHS      502424104    158949    3094807    SHARED   A    3094807         0         0
L-3 COMMUNICATIONS CORP                CONVERTIBLE BD  502424AD6     11537   10500000    SHARED   A   10500000         0         0
LA QUINTA CORPORATION                  COMMON SHS      50419U202     19881    3101500    SHARED   4    3101500         0         0
LA QUINTA CORPORATION                  COMMON SHS      50419U202       469      73215    SHARED   6      73215         0         0
LA QUINTA CORPORATION                  COMMON SHS      50419U202      8504    1326700    SHARED   A    1326700         0         0
LA-Z-BOY INC                           COMMON SHS      505336107      8157     388800    SHARED   4     388800         0         0
LA-Z-BOY INC                           COMMON SHS      505336107       210      10000    SHARED   9      10000         0         0
LABONE INC                             COMMON SHS      50540L105       625      19240    SHARED   9      19240         0         0
LABONE INC                             COMMON SHS      50540L105      8553     263400    SHARED   A     263400         0         0
LABORATORY CORP OF AMERICA HOLDINGS    COMMON SHS      50540R409     17544     474800    SHARED   5     474800         0         0
LABORATORY CORP OF AMERICA HOLDINGS    COMMON SHS      50540R409       482      13050    SHARED   9      13050         0         0
LAFARGE NORTH AMERICA INC              COMMON SHS      505862102     28279     697900    SHARED   5     697900         0         0
LAM RESEARCH CORP                      COMMON SHS      512807108     20325     629253    SHARED   6     629253         0         0
LAM RESEARCH CORP                      COMMON SHS      512807108       294       9100    SHARED   9       9100         0         0
LAM RESEARCH CORP                      COMMON SHS      512807108    289698    8968983    SHARED   A    8968983         0         0
LAM RESEARCH CORP                      CONVERTIBLE BD  512807AE8     26059   25300000    SHARED   A   25300000         0         0
LAMAR ADVERTISING CO                   COMMON SHS      512815101        34        903    SHARED   6        903         0         0
LAMAR ADVERTISING CO                   COMMON SHS      512815101      1057      28325    SHARED   9      28325         0         0
LANCASTER COLONY CORP                  COMMON SHS      513847103     32402     717500    SHARED   4     717500         0         0
LANCASTER COLONY CORP                  COMMON SHS      513847103       641      14204    SHARED   6      14204         0         0
LANCASTER COLONY CORP                  COMMON SHS      513847103        24        530    SHARED   9        530         0         0




LANDSTAR SYSTEM INC                    COMMON SHS      515098101     50275    1321624    SHARED   A    1321624         0         0
LATIN AMERICA EQUITY FUND INC          CLOSE END MUT F 51827Q106      3388     222015    SHARED   4     222015         0         0
LATTICE SEMICONDUCTOR CORP             COMMON SHS      518415104     10420    1076486    SHARED   5    1076486         0         0
LATTICE SEMICONDUCTOR CORP             COMMON SHS      518415104     16427    1697000    SHARED   A    1697000         0         0
ESTEE LAUDER COMPANIES INC             COMMON SHS      518439104     15948     406225    SHARED   9     406225         0         0
ESTEE LAUDER COMPANIES INC             COMMON SHS      518439104     10798     275050    SHARED   A     275050         0         0
LAWSON SOFTWARE INC                    COMMON SHS      520780107     16825    2044400    SHARED   A    2044400         0         0
LAYNE CHRISTENSEN COMPANY              COMMON SHS      521050104      6228     530000    SHARED   4     530000         0         0
LEAR CORP                              COMMON SHS      521865105      1079      17600    SHARED   9      17600         0         0
LEAPFROG ENTERPRISES INC               COMMON SHS      52186N106       204       7675    SHARED   9       7675         0         0
LEAPFROG ENTERPRISES INC               COMMON SHS      52186N106     73056    2753700    SHARED   A    2557000         0    196700
LECG CORP                              COMMON SHS      523234102        57       2500    SHARED   9       2500         0         0
LECG CORP                              COMMON SHS      523234102      2756     120400    SHARED   A     120400         0         0
LEGGETT & PLATT INC                    COMMON SHS      524660107     45235    2091300    SHARED   4    2091300         0         0
LEGGETT & PLATT INC                    COMMON SHS      524660107        82       3801    SHARED   6       3801         0         0
LEGG MASON INC                         COMMON SHS      524901105       566       7332    SHARED   9       7332         0         0
LEHMAN BROTHERS HOLDINGS INC           COMMON SHS      524908100       463       6000    SHARED   4       6000         0         0
LEHMAN BROTHERS HOLDINGS INC           COMMON SHS      524908100      1128      14610    SHARED   9      14610         0         0
LEHMAN BROTHERS HOLDINGS INC           COMMON SHS      524908100         7         97    SHARED   A         97         0         0
LENNAR CORP                            COMMON SHS      526057104     23040     240000    SHARED   4     240000         0         0
LENNAR CORP                            COMMON SHS      526057104         1         15    SHARED   6         15         0         0
LENNAR CORP                            COMMON SHS      526057104       771       8029    SHARED   9       8029         0         0
LENNAR CORP                            COMMON SHS      526057104         7         73    SHARED   A         73         0         0
LENNAR CORP                            COMMON SHS      526057302      2194      24000    SHARED   4      24000         0         0
LENNAR CORP                            COMMON SHS      526057302        12        130    SHARED   9        130         0         0
LENNOX INTERNATIONAL INC               COMMON SHS      526107107     18621    1115000    SHARED   4    1115000         0         0
LENNOX INTERNATIONAL INC               CONVERTIBLE BD  526107AB3      6655    5500000    SHARED   A    5500000         0         0
LEVEL 3 COMMUNICATIONS INC             CONVERTIBLE BD  52729NBA7       519     500000    SHARED   9     500000         0         0
LEXINGTON CORPORATE PROPERTIES TRUST   REAL EST INV TR 529043101       838      41521    SHARED   6      41521         0         0
LEXINGTON CORPORATE PROPERTIES TRUST   REAL EST INV TR 529043101      9697     480300    SHARED   A     480300         0         0
LEXMARK INTERNATIONAL INC              COMMON SHS      529771107      9431     119930    SHARED   8     118120         0      1810
LEXMARK INTERNATIONAL INC              COMMON SHS      529771107       390       4962    SHARED   9       4962         0         0
LEXMARK INTERNATIONAL INC              COMMON SHS      529771107     42725     543300    SHARED   A     474300         0     69000
LIBERTY MEDIA INTO MOTOROLA            CONVERTIBLE BD  530715AN1     10784   12800000    SHARED   A   12800000         0         0
LIBERTY MEDIA CORP                     CONVERTIBLE BD  530715AR2      9405    9000000    SHARED   A    9000000         0         0
LIBERTY MEDIA CORP                     COMMON SHS      530718105    444916   37419338    SHARED   5   37419338         0         0
LIBERTY MEDIA CORP                     COMMON SHS      530718105      2026     170426    SHARED   9     170426         0         0
LIBERTY MEDIA CORP                     COMMON SHS      530718105      5655     475592    SHARED   A     475592         0         0
LIBERTY PROPERTY TRUST                 REAL EST INV TR 531172104      2753      70759    SHARED   6      70759         0         0
LIBERTY PROPERTY TRUST                 REAL EST INV TR 531172104     16487     423842    SHARED   9     423842         0         0
LIBERTY PROPERTY TRUST                 REAL EST INV TR 531172104     69339    1782500    SHARED   A    1782500         0         0
LIFEPOINT HOSPITALS INC                COMMON SHS      53219L109       369      12541    SHARED          12541         0         0
LIFEPOINT HOSPITALS INC                COMMON SHS      53219L109     10370     352134    SHARED   A     345334         0      6800
LIFEPOINT HOSPITALS HLDG               CONVERTIBLE BD  53219LAE9      2522    2500000    SHARED   A    2500000         0         0
LIGAND PHARMACEUTICALS INC             COMMON SHS      53220K207      6514     443400    SHARED   A     436000         0      7400
LIHIR GOLD LTD                         AMER DEP RECPT  532349206      1092      50000    SHARED   A      50000         0         0
ELI LILLY & CO                         COMMON SHS      532457108      1270      18051    SHARED          18051         0         0




ELI LILLY & CO                         COMMON SHS      532457108       141       2007    SHARED   6       2007         0         0
ELI LILLY & CO                         COMMON SHS      532457108     28132     400000    SHARED   7     400000         0         0
ELI LILLY & CO                         COMMON SHS      532457108     57264     814219    SHARED   9     814219         0         0
ELI LILLY & CO                         COMMON SHS      532457108      6028      85706    SHARED   A      18106         0     67600
LIMITED BRANDS INC                     COMMON SHS      532716107     14973     830456    SHARED   4     830456         0         0
LIMITED BRANDS INC                     COMMON SHS      532716107         2         91    SHARED   6         91         0         0
LINCARE HOLDINGS INC                   COMMON SHS      532791100       390      13000    SHARED   9      13000         0         0
LINCARE HOLDINGS INC                   COMMON SHS      532791100      5225     174000    SHARED   A     108000         0     66000
LINCOLN NATIONAL CORP                  COMMON SHS      534187109     16098     398763    SHARED   9     398763         0         0
LINEAR TECHNOLOGY CORP                 COMMON SHS      535678106        31        730    SHARED            730         0         0
LINEAR TECHNOLOGY CORP                 COMMON SHS      535678106         0          1    SHARED   6          1         0         0
LINEAR TECHNOLOGY CORP                 COMMON SHS      535678106       779      18525    SHARED   9      18525         0         0
LINEAR TECHNOLOGY CORP                 COMMON SHS      535678106     86204    2049064    SHARED   A    2049064         0         0
LINENS N THINGS INC                    COMMON SHS      535679104      9517     316400    SHARED   4     316400         0         0
LINENS N THINGS INC                    COMMON SHS      535679104         0          1    SHARED   6          1         0         0
LIONS GATE ENTMT CORP                  COMMON SHS      535919203      8786    1961200    SHARED   9    1961200         0         0
LIONS GATE ENTMT CORP                  COMMON SHS      535919203        47      10600    SHARED   A      10600         0         0
LIQUIDATION WORLD INC                  ORDINARY SHS    53634D203      1448     278500    SHARED   8     278500         0         0
LIZ CLAIBORNE INC                      COMMON SHS      539320101       566      15959    SHARED   9      15959         0         0
LIZ CLAIBORNE INC                      COMMON SHS      539320101     61172    1725100    SHARED   A    1725100         0         0
LOCKHEED MARTIN CORP                   COMMON SHS      539830109        25        490    SHARED            490         0         0
LOCKHEED MARTIN CORP                   COMMON SHS      539830109         2         45    SHARED   6         45         0         0
LOCKHEED MARTIN CORP                   COMMON SHS      539830109     25700     500000    SHARED   7     500000         0         0
LOCKHEED MARTIN CORP                   COMMON SHS      539830109      8205     159622    SHARED   9     159622         0         0
LOCKHEED MARTIN CORP                   COMMON SHS      539830109     76666    1491556    SHARED   A    1270256         0    221300
LOEWS CORP - CAROLINA GROUP            COMMON SHS      540424207     89998    3565700    SHARED   A    3561700         0      4000
LOGITECH INTERNATIONAL SA              AMER DEP RECPT  541419107      7177     168763    SHARED   6     168763         0         0
LOGITECH INTERNATIONAL SA              AMER DEP RECPT  541419107     25841     607600    SHARED   A     607600         0         0
LONE STAR TECHNOLOGIES INC             COMMON SHS      542312103      8405     526000    SHARED   4     526000         0         0
LONE STAR TECHNOLOGIES INC             COMMON SHS      542312103      1830     114533    SHARED   A     114533         0         0
LOWE'S COMPANIES INC                   COMMON SHS      548661107        16        290    SHARED            290         0         0
LOWE'S COMPANIES INC                   COMMON SHS      548661107        52        931    SHARED   6        931         0         0
LOWE'S COMPANIES INC                   COMMON SHS      548661107        11        200    SHARED   8        200         0         0
LOWE'S COMPANIES INC                   COMMON SHS      548661107      4740      85576    SHARED   9      85576         0         0
LOWE'S COMPANIES INC                   COMMON SHS      548661107     18310     330562    SHARED   A     330562         0         0
LUCENT TECHNOLOGIES INC                COMMON SHS      549463107      1215     427918    SHARED   9     427918         0         0
LUCENT TECHNOLOGIES INC                COMMON SHS      549463107     11148    3925226    SHARED   A    3925226         0         0
LUCENT TECHNOLOGIES INC                CONVERTIBLE BD  549463AG2       578     500000    SHARED   9     500000         0         0
LUCENT TECHNOLOGIES INC                CONVERTIBLE BD  549463AH0       598     500000    SHARED   9     500000         0         0
LUCENT TECHNOLOGIES INC                CONVERTIBLE BD  549463AK3       280     260000    SHARED   9     260000         0         0
LUXOTTICA GROUP SPA                    AMER DEP RECPT  55068R202      1712      98376    SHARED          98376         0         0
LUXOTTICA GROUP SPA                    AMER DEP RECPT  55068R202      3010     173000    SHARED   8     173000         0         0
LUXOTTICA GROUP SPA                    AMER DEP RECPT  55068R202     15303     879497    SHARED   9     879497         0         0
LUXOTTICA GROUP SPA                    AMER DEP RECPT  55068R202        21       1200    SHARED   A       1200         0         0
LYONDELL CHEMICAL CO                   COMMON SHS      552078107       790      46600    SHARED          46600         0         0
LYONDELL CHEMICAL CO                   COMMON SHS      552078107     33480    1975200    SHARED   A    1676000         0    299200
M & T BANK CORP                        COMMON SHS      55261F104      1630      16586    SHARED   9      16586         0         0




MBIA INC                               COMMON SHS      55262C100        14        230    SHARED            230         0         0
MBIA INC                               COMMON SHS      55262C100      1344      22690    SHARED   9      22690         0         0
MBIA INC                               COMMON SHS      55262C100    116568    1968050    SHARED   A    1923050         0     45000
MBNA CORP                              COMMON SHS      55262L100         1         50    SHARED   6         50         0         0
MBNA CORP                              COMMON SHS      55262L100      9324     375220    SHARED   9     375220         0         0
MBNA CORP                              COMMON SHS      55262L100        40       1600    SHARED   A       1600         0         0
MDC HOLDINGS INC                       COMMON SHS      552676108     21285     330000    SHARED   4     330000         0         0
MDU RESOURCES GROUP INC                COMMON SHS      552690109       465      19512    SHARED   9      19512         0         0
MDS INC                                ORDINARY SHS    55269P302     52638    2634525    SHARED   8    2445901         0    188624
MGIC INVESTMENT CORP                   COMMON SHS      552848103     25054     440000    SHARED   4     440000         0         0
MGIC INVESTMENT CORP                   COMMON SHS      552848103        68       1200    SHARED   9       1200         0         0
MGI PHARMA INC                         COMMON SHS      552880106      1235      30001    SHARED   6      30001         0         0
MGI PHARMA INC                         COMMON SHS      552880106     30381     738300    SHARED   A     734900         0      3400
M/I HOMES INC                          COMMON SHS      55305B101      2534      64900    SHARED   4      64900         0         0
MTS SYSTEMS CORP                       COMMON SHS      553777103      8543     444270    SHARED   6     444270         0         0
MTS SYSTEMS CORP                       COMMON SHS      553777103      4342     225800    SHARED   A     225800         0         0
MACERICH CO                            REAL EST INV TR 554382101      3304      74241    SHARED   6      74241         0         0
MACERICH CO                            REAL EST INV TR 554382101     52288    1175000    SHARED   A    1175000         0         0
MACK-CALI REALTY CORP                  REAL EST INV TR 554489104       659      15830    SHARED   6      15830         0         0
MACROMEDIA INC                         COMMON SHS      556100105     15874     889800    SHARED   A     889800         0         0
MAGNA INTERNATIONAL INC                ORDINARY SHS    559222401    167770    1612554    SHARED   8    1492280         0    120274
MAGNA INTERNATIONAL INC                COMMON SHS      559222401       136       1702    SHARED   9       1702         0         0
MAINE & MARITIMES CORP                 COMMON SHS      560377103       949      27100    SHARED   4      27100         0         0
MANDALAY RESORT GROUP                  COMMON SHS      562567107         1         31    SHARED   6         31         0         0
MANDALAY RESORT GROUP                  COMMON SHS      562567107        22        500    SHARED   9        500         0         0
MANDALAY RESORT GROUP                  COMMON SHS      562567107     57671    1289598    SHARED   A    1289598         0         0
MANHATTAN ASSOCIATES INC               COMMON SHS      562750109      6849     247800    SHARED   9     247800         0         0
MANHATTAN ASSOCIATES INC               COMMON SHS      562750109        36       1300    SHARED   A       1300         0         0
MANPOWER INC                           COMMON SHS      56418H100      1148      24385    SHARED          24385         0         0
MANPOWER INC                           COMMON SHS      56418H100     61889    1314550    SHARED   9    1314550         0         0
MANUFACTURED HOME COMMUNITIES INC      REAL EST INV TR 564682102       803      21317    SHARED   6      21317         0         0
MANUFACTURED HOME COMMUNITIES INC      REAL EST INV TR 564682102     14763     392100    SHARED   A     392100         0         0
MANULIFE FINANCIAL CORP                COMMON SHS      56501R106     16150     500000    SHARED   4     500000         0         0
MANULIFE FINANCIAL CORP                ORDINARY SHS    56501R106    146824    3508344    SHARED   8    3286765         0    221579
MANULIFE FINANCIAL CORP                COMMON SHS      56501R106       361      11177    SHARED   9      11177         0         0
MARATHON OIL CORP                      COMMON SHS      565849106      3110      94000    SHARED   4      94000         0         0
MARATHON OIL CORP                      COMMON SHS      565849106        86       2601    SHARED   6       2601         0         0
MARATHON OIL CORP                      COMMON SHS      565849106       291       8800    SHARED   9       8800         0         0
MARLIN BUSINESS SERVICES CORP          COMMON SHS      571157106      9572     550100    SHARED   9     550100         0         0
MARLIN BUSINESS SERVICES CORP          COMMON SHS      571157106        50       2900    SHARED   A       2900         0         0
MARSH & MCLENNAN COS INC               COMMON SHS      571748102      3374      70459    SHARED   6      62454         0      8005
MARSH & MCLENNAN COS INC               COMMON SHS      571748102     16168     337600    SHARED   8     337600         0         0
MARSH & MCLENNAN COS INC               COMMON SHS      571748102      6495     135620    SHARED   9     135620         0         0
MARSH & MCLENNAN COS INC               COMMON SHS      571748102     57163    1193630    SHARED   A     873930         0    319700
MARSHALL & ILSLEY CORP                 COMMON SHS      571834100         0          1    SHARED   6          1         0         0
MARSHALL & ILSLEY CORP                 COMMON SHS      571834100      1735      45364    SHARED   9      45364         0         0
MARRIOTT INTERNATIONAL INC             COMMON SHS      571903202       786      17020    SHARED   9      17020         0         0




MARRIOTT INTERNATIONAL INC             COMMON SHS      571903202        51       1102    SHARED   A       1102         0         0
MARTIN MARIETTA MATERIALS INC          COMMON SHS      573284106     53392    1136733    SHARED   5    1136733         0         0
MARTIN MARIETTA MATERIALS INC          COMMON SHS      573284106         0          1    SHARED   6          1         0         0
MARTIN MARIETTA MATERIALS INC          COMMON SHS      573284106      3481      74119    SHARED   9      74119         0         0
MARVEL ENTERPRISES INC                 COMMON SHS      57383M108      9196     315900    SHARED   9     315900         0         0
MARVEL ENTERPRISES INC                 COMMON SHS      57383M108        52       1800    SHARED   A       1800         0         0
MASCO CORP                             COMMON SHS      574599106      3097     113000    SHARED   4     113000         0         0
MASCO CORP                             COMMON SHS      574599106         2         81    SHARED   6         81         0         0
MASCO CORP                             COMMON SHS      574599106     16737     610619    SHARED   9     610619         0         0
MASCO CORP                             COMMON SHS      574599106        12        446    SHARED   A        446         0         0
MATRIX SERVICE CO                      COMMON SHS      576853105      5445     300000    SHARED   4     300000         0         0
MATTEL INC                             COMMON SHS      577081102      5846     303357    SHARED         113855         0    189502
MATTEL INC                             COMMON SHS      577081102      3232     167696    SHARED   1     167696         0         0
MATTEL INC                             COMMON SHS      577081102      5692     295400    SHARED   2     295400         0         0
MATTEL INC                             COMMON SHS      577081102         0          1    SHARED   6          1         0         0
MATTEL INC                             COMMON SHS      577081102     19270    1000000    SHARED   7    1000000         0         0
MATTEL INC                             COMMON SHS      577081102      6276     325707    SHARED   8     325707         0         0
MATTEL INC                             COMMON SHS      577081102      4157     215736    SHARED   9     215736         0         0
MATTEL INC                             COMMON SHS      577081102     29382    1524765    SHARED   A    1524765         0         0
MAXIM INTEGRATED PRODUCTS INC          COMMON SHS      57772K101       132       2656    SHARED   9       2656         0         0
MAXIM INTEGRATED PRODUCTS INC          COMMON SHS      57772K101     19253     386600    SHARED   A     386600         0         0
MAY DEPARTMENT STORES CO               COMMON SHS      577778103        17        601    SHARED   6        601         0         0
MAY DEPARTMENT STORES CO               COMMON SHS      577778103      1726      59373    SHARED   9      59373         0         0
MAXIMUS INC                            COMMON SHS      577933104      9848     251672    SHARED   6     251672         0         0
MAXIMUS INC                            COMMON SHS      577933104       274       7000    SHARED   9       7000         0         0
MAXIMUS INC                            COMMON SHS      577933104     35393     904500    SHARED   A     904500         0         0
MAYTAG CORP                            COMMON SHS      578592107      1528      54880    SHARED   9      54880         0         0
MCCLATCHY COMPANY                      COMMON SHS      579489105       107       1550    SHARED   9       1550         0         0
MCCLATCHY COMPANY                      COMMON SHS      579489105     12756     185400    SHARED   A     185400         0         0
MCCORMICK & CO INC                     COMMON SHS      579780206       265       8800    SHARED   9       8800         0         0
MCDATA CORP                            COMMON SHS      580031201         0          6    SHARED   6          6         0         0
MCDATA CORP                            COMMON SHS      580031201         1         84    SHARED   9         84         0         0
MCDATA CORP                            COMMON SHS      580031201     24393    2559600    SHARED   A    2559600         0         0
MCDERMOTT INTERNATIONAL INC            COMMON SHS      580037109       239      20000    SHARED   A      20000         0         0
MCDONALD'S CORP                        COMMON SHS      580135101      3973     160000    SHARED   4     160000         0         0
MCDONALD'S CORP                        COMMON SHS      580135101         4        143    SHARED   6        143         0         0
MCDONALD'S CORP                        COMMON SHS      580135101     12966     522205    SHARED   9     522205         0         0
MCDONALD'S CORP                        COMMON SHS      580135101     19169     772000    SHARED   A     672000         0    100000
MCG CAPITAL CORP                       COMMON SHS      58047P107     30047    1540849    SHARED   5    1540849         0         0
MCGRAW-HILL COMPANIES INC              COMMON SHS      580645109     28332     405200    SHARED   5     405200         0         0
MCGRAW-HILL COMPANIES INC              COMMON SHS      580645109        52        741    SHARED   6        741         0         0
MCGRAW-HILL COMPANIES INC              COMMON SHS      580645109     16183     231450    SHARED   9     231450         0         0
MCGRAW-HILL COMPANIES INC              COMMON SHS      580645109      3531      50500    SHARED   A      50500         0         0
MCKESSON CORP                          COMMON SHS      58155Q103         6        197    SHARED   6        197         0         0
MCKESSON CORP                          COMMON SHS      58155Q103        90       2800    SHARED   9       2800         0         0
MCKESSON CORP                          COMMON SHS      58155Q103     35477    1103150    SHARED   A     931150         0    172000
MCMORAN EXPLORATION CO                 COMMON SHS      582411104         8        439    SHARED   9        439         0         0




MCMORAN EXPLORATION CO                 COMMON SHS      582411104       520      27737    SHARED   A      27737         0         0
MEADOWBROOK INSURANCE GROUP INC        COMMON SHS      58319P108      8265    1954000    SHARED   5    1954000         0         0
MEADWESTVACO CORP                      COMMON SHS      583334107      7083     238100    SHARED   4     238100         0         0
MEADWESTVACO CORP                      COMMON SHS      583334107         1         35    SHARED   6         35         0         0
MEADWESTVACO CORP                      COMMON SHS      583334107       145       4890    SHARED   9       4890         0         0
MEDCO HEALTH SOLUTIONS INC             COMMON SHS      58405U102         0          1    SHARED   6          1         0         0
MEDCO HEALTH SOLUTIONS INC             COMMON SHS      58405U102      1640      48240    SHARED   7      48240         0         0
MEDCO HEALTH SOLUTIONS INC             COMMON SHS      58405U102         2         58    SHARED   8         54         0         4
MEDCO HEALTH SOLUTIONS INC             COMMON SHS      58405U102     14125     415557    SHARED   9     415557         0         0
MEDIACOM COMMUNICATIONS CORP           COMMON SHS      58446K105      5084     586400    SHARED   A     586400         0         0
MEDIACOM COMMUNICATIONS CORP           CONVERTIBLE BD  58446KAA3      4863    5000000    SHARED   A    5000000         0         0
MEDICINES CO                           COMMON SHS      584688105       884      30000    SHARED   6      30000         0         0
MEDICINES CO                           COMMON SHS      584688105     34138    1158800    SHARED   A    1158800         0         0
MEDICIS PHARMACEUTICAL CORP            COMMON SHS      584690309      6074      85184    SHARED   6      85184         0         0
MEDICIS PHARMACEUTICAL CORP            COMMON SHS      584690309     19619     275168    SHARED   A     272568         0      2600
MEDIMMUNE INC                          COMMON SHS      584699102      1036      40802    SHARED          40802         0         0
MEDIMMUNE INC                          COMMON SHS      584699102         0          1    SHARED   6          1         0         0
MEDIMMUNE INC                          COMMON SHS      584699102     40842    1607950    SHARED   9    1607950         0         0
MEDIMMUNE INC                          COMMON SHS      584699102     16008     630244    SHARED   A     630244         0         0
MEDTRONIC INC                          COMMON SHS      585055106       426       8766    SHARED           8766         0         0
MEDTRONIC INC                          COMMON SHS      585055106       322       6632    SHARED   6       6632         0         0
MEDTRONIC INC                          COMMON SHS      585055106     90034    1852171    SHARED   9    1852171         0         0
MEDTRONIC INC                          COMMON SHS      585055106     51863    1066928    SHARED   A     891328         0    175600
MELLON FINANCIAL CORP                  COMMON SHS      58551A108      1092      34000    SHARED   4      34000         0         0
MELLON FINANCIAL CORP                  COMMON SHS      58551A108      1414      44042    SHARED   9      44042         0         0
MENS WEARHOUSE INC                     COMMON SHS      587118100      8738     349400    SHARED   4     349400         0         0
MENS WEARHOUSE INC                     COMMON SHS      587118100         0          1    SHARED   6          1         0         0
MERCANTILE BANKSHARES CORP             COMMON SHS      587405101     36349     797475    SHARED   4     797475         0         0
MERCANTILE BANKSHARES CORP             COMMON SHS      587405101       149       3276    SHARED   6       3276         0         0
MERCANTILE BANKSHARES CORP             COMMON SHS      587405101       875      19200    SHARED   9      19200         0         0
MERCANTILE BANKSHARES CORP             COMMON SHS      587405101     25436     558050    SHARED   A     558050         0         0
MERCER INTERNATIONAL INC               COMMON SHS      588056101      3480     545400    SHARED   4     545400         0         0
MERCHANTS GROUP INC                    COMMON SHS      588539106      4526     190000    SHARED   4     190000         0         0
MERCK & CO INC                         COMMON SHS      589331107        35        760    SHARED            760         0         0
MERCK & CO INC                         COMMON SHS      589331107    109623    2372794    SHARED   5    2372794         0         0
MERCK & CO INC                         COMMON SHS      589331107      2314      50093    SHARED   6      41898         0      8195
MERCK & CO INC                         COMMON SHS      589331107     18480     400000    SHARED   7     400000         0         0
MERCK & CO INC                         COMMON SHS      589331107     12864     278451    SHARED   8     270405         0      8046
MERCK & CO INC                         COMMON SHS      589331107    219451    4750022    SHARED   9    4750022         0         0
MERCK & CO INC                         COMMON SHS      589331107    269359    5830287    SHARED   A    5528887         0    301400
MERCURY GENERAL CORP                   COMMON SHS      589400100     25803     554300    SHARED   4     554300         0         0
MERCURY GENERAL CORP                   COMMON SHS      589400100       265       5701    SHARED   6       5701         0         0
MERCURY INTERACTIVE CORP               COMMON SHS      589405109         0          1    SHARED   6          1         0         0
MERCURY INTERACTIVE CORP               COMMON SHS      589405109      8782     180553    SHARED   9     180553         0         0
MERCURY INTERACTIVE CORP               COMMON SHS      589405109    108602    2232770    SHARED   A    2232770         0         0
MERCURY INTERACTIVE CORP               CONVERTIBLE BD  589405AA7       117     117000    SHARED   9     117000         0         0
MEREDITH CORP                          COMMON SHS      589433101    111081    2275776    SHARED   5    2275776         0         0




MEREDITH CORP                          COMMON SHS      589433101        49       1000    SHARED   9       1000         0         0
MERISTAR HOSPITALITY CORP              REAL EST INV TR 58984Y103      8168    1254747    SHARED   6    1254747         0         0
MERISTAR HOSPITALITY CORP              REAL EST INV TR 58984Y103     29330    4505300    SHARED   A    4505300         0         0
MERISTAR HOSPITALITY CORP              CONVERTIBLE BD  58984YAJ2    120500  100000000    SHARED   A  100000000         0         0
MERIT MEDICAL SYSTEMS INC              COMMON SHS      589889104     15864     712649    SHARED   A     712649         0         0
MERIDIAN GOLD INC                      COMMON SHS      589975101     32368    2044315    SHARED   A    2044315         0         0
MERITAGE CORP                          COMMON SHS      59001A102       801      12086    SHARED   6      12086         0         0
MERITAGE CORP                          COMMON SHS      59001A102      3100      46755    SHARED   9      46755         0         0
MERITAGE CORP                          COMMON SHS      59001A102     31756     478900    SHARED   A     478900         0         0
MERIX CORP                             COMMON SHS      590049102     27412    1117494    SHARED   A    1117494         0         0
MERRILL LYNCH & CO INC                 COMMON SHS      590188108       143       2445    SHARED           2445         0         0
MERRILL LYNCH & CO INC                 COMMON SHS      590188108     35334     602460    SHARED   1     602460         0         0
MERRILL LYNCH & CO INC                 COMMON SHS      590188108       850      14485    SHARED   2      14485         0         0
MERRILL LYNCH & CO INC                 COMMON SHS      590188108         2         41    SHARED   6         41         0         0
MERRILL LYNCH & CO INC                 COMMON SHS      590188108      1495      25497    SHARED   9      25497         0         0
MERRILL LYNCH & CO INC                 COMMON SHS      590188108      5910     100764    SHARED   A      27764         0     73000
MESA AIR GROUP INC                     COMMON SHS      590479101      6260     500000    SHARED   4     500000         0         0
METALLICA RESOURCES INC                ORDINARY SHS    59125J104      2186     988998    SHARED   A     988998         0         0
METHANEX CORP                          ORDINARY SHS    59151K108     39843    2742094    SHARED   8    2534867         0    207227
METLIFE INC                            COMMON SHS      59156R108     17104     508000    SHARED   4     508000         0         0
METLIFE INC                            COMMON SHS      59156R108     14006     415970    SHARED   5     415970         0         0
METLIFE INC                            COMMON SHS      59156R108      1613      47913    SHARED   9      47913         0         0
METSO OYJ                              AMER DEP RECPT  592671101      2993     238861    SHARED   2     238861         0         0
METSO OYJ                              AMER DEP RECPT  592671101         4        326    SHARED   3        326         0         0
METTLER-TOLEDO INTERNATIONAL INC       COMMON SHS      592688105        30        720    SHARED            720         0         0
METTLER-TOLEDO INTERNATIONAL INC       COMMON SHS      592688105     13005     308100    SHARED   4     308100         0         0
METTLER-TOLEDO INTERNATIONAL INC       COMMON SHS      592688105     35776     847572    SHARED   6     847572         0         0
METTLER-TOLEDO INTERNATIONAL INC       COMMON SHS      592688105        42       1000    SHARED   9       1000         0         0
METTLER-TOLEDO INTERNATIONAL INC       COMMON SHS      592688105    217550    5153982    SHARED   A    5079282         0     74700
MEXICO FUND                            CLOSE END MUT F 592835102     10212     620800    SHARED   4     620800         0         0
MEXICO FUND                            CLOSE END MUT F 592835102        19       1166    SHARED   9       1166         0         0
MICHAELS STORES INC                    COMMON SHS      594087108     20012     452762    SHARED   A     452762         0         0
MICREL INC                             COMMON SHS      594793101     11215     719823    SHARED   6     719823         0         0
MICREL INC                             COMMON SHS      594793101       390      25000    SHARED   7      25000         0         0
MICREL INC                             COMMON SHS      594793101      9661     620100    SHARED   9     620100         0         0
MICREL INC                             COMMON SHS      594793101    132344    8494500    SHARED   A    8494500         0         0
MICROSOFT CORP                         COMMON SHS      594918104     10331     375127    SHARED         375127         0         0
MICROSOFT CORP                         COMMON SHS      594918104      2104      76389    SHARED   6      66227         0     10162
MICROSOFT CORP                         COMMON SHS      594918104     27540    1000000    SHARED   7    1000000         0         0
MICROSOFT CORP                         COMMON SHS      594918104     19601     711740    SHARED   8     707430         0      4310
MICROSOFT CORP                         COMMON SHS      594918104    146376    5315048    SHARED   9    5315048         0         0
MICROSOFT CORP                         COMMON SHS      594918104    330276   11992589    SHARED   A   11131189         0    861400
MICROVISION INC                        COMMON SHS      594960106      7782    1021300    SHARED   9    1021300         0         0
MICROVISION INC                        COMMON SHS      594960106        41       5400    SHARED   A       5400         0         0
MICROCHIP TECHNOLOGY INC               COMMON SHS      595017104        20        590    SHARED            590         0         0
MICROCHIP TECHNOLOGY INC               COMMON SHS      595017104      1681      50400    SHARED   9      50400         0         0
MICROCHIP TECHNOLOGY INC               COMMON SHS      595017104    127310    3816238    SHARED   A    3816238         0         0




MICROCELL TELECOMMUNICATIONS INC       ORDINARY SHS    59501T874      3826     221269    SHARED   A     221269         0         0
MICROMUSE INC                          COMMON SHS      595094103      4071     590000    SHARED   A     590000         0         0
MICROTUNE INC                          COMMON SHS      59514P109      2620    1139100    SHARED   A    1139100         0         0
MID ATLANTIC MEDICAL SERVICES INC      COMMON SHS      59523C107     11625     179400    SHARED   5     179400         0         0
MIDCAP SPDR TRUST                      OPEN END UT TR  595635103      3902      37025    SHARED   9      37025         0         0
MILLENNIUM PHARMACEUTICALS INC         COMMON SHS      599902103         0          1    SHARED   6          1         0         0
MILLENNIUM PHARMACEUTICALS INC         COMMON SHS      599902103        84       4498    SHARED   9       4498         0         0
MILLENNIUM PHARMACEUTICALS INC         COMMON SHS      599902103     42328    2267193    SHARED   A    2267193         0         0
MILLENNIUM CHEMICALS INC               COMMON SHS      599903101       893      70400    SHARED   A      70400         0         0
MILLIPORE CORP                         COMMON SHS      601073109     17220     400000    SHARED   7     400000         0         0
MILLIPORE CORP                         COMMON SHS      601073109       278       6461    SHARED   9       6461         0         0
MINDSPEED TECHNOLOGIES INC             COMMON SHS      602682106       685     100000    SHARED   7     100000         0         0
MINE SAFETY APPLIANCES CO              COMMON SHS      602720104      1042      13100    SHARED   A      13100         0         0
MINERALS TECHNOLOGIES INC              COMMON SHS      603158106     13333     225037    SHARED   6     225037         0         0
MINERALS TECHNOLOGIES INC              COMMON SHS      603158106     18824     317700    SHARED   9     317700         0         0
MINERALS TECHNOLOGIES INC              COMMON SHS      603158106     52727     889900    SHARED   A     889900         0         0
MIRAMAR MNG CORP (CAD)                 ORDINARY SHS    60466E100      3350    1000000    SHARED   A    1000000         0         0
MISSION RESOURCES CORP                 COMMON SHS      605109107     10170    4500000    SHARED   A    4500000         0         0
MOLEX INC                              COMMON SHS      608554101       131       3751    SHARED   6       3751         0         0
MOLEX INC                              COMMON SHS      608554101      5111     146483    SHARED   7     146483         0         0
MOLEX INC                              COMMON SHS      608554101       492      14112    SHARED   9      14112         0         0
MOLEX INC                              COMMON SHS      608554200      4301     146483    SHARED   7     146483         0         0
MOLEX INC                              COMMON SHS      608554200       168       5718    SHARED   9       5718         0         0
MOLINA HEALTHCARE INC                  COMMON SHS      60855R100       366      14500    SHARED   9      14500         0         0
MOLINA HEALTHCARE INC                  COMMON SHS      60855R100     28447    1127500    SHARED   A    1127500         0         0
MONACO COACH CORP                      COMMON SHS      60886R103     11519     484000    SHARED   4     484000         0         0
MONSANTO CO                            COMMON SHS      61166W101       405      14072    SHARED   2      14072         0         0
MONSANTO CO                            COMMON SHS      61166W101     24575     853900    SHARED   4     853900         0         0
MONSANTO CO                            COMMON SHS      61166W101       254       8815    SHARED   9       8815         0         0
MONSANTO CO                            COMMON SHS      61166W101     73400    2550390    SHARED   A    2550390         0         0
MOODY'S CORP                           COMMON SHS      615369105         2         31    SHARED   6         31         0         0
MOODY'S CORP                           COMMON SHS      615369105     14774     244000    SHARED   7     244000         0         0
MOODY'S CORP                           COMMON SHS      615369105      2183      36047    SHARED   9      36047         0         0
MOODY'S CORP                           COMMON SHS      615369105    142681    2356423    SHARED   A    2356423         0         0
MOORE WALLACE INC                      COMMON SHS      615857109       337      18000    SHARED   9      18000         0         0
MORGAN STANLEY DEAN WITTER & CO        COMMON SHS      617446448      9732     168165    SHARED          84864         0     83301
MORGAN STANLEY DEAN WITTER & CO        COMMON SHS      617446448    105566    1824186    SHARED   1    1824186         0         0
MORGAN STANLEY DEAN WITTER & CO        COMMON SHS      617446448      6447     111400    SHARED   2     111400         0         0
MORGAN STANLEY DEAN WITTER & CO        COMMON SHS      617446448      1844      31860    SHARED   3      31860         0         0
MORGAN STANLEY DEAN WITTER & CO        COMMON SHS      617446448       984      17000    SHARED   4      17000         0         0
MORGAN STANLEY DEAN WITTER & CO        COMMON SHS      617446448      3101      53589    SHARED   6      45579         0      8010
MORGAN STANLEY DEAN WITTER & CO        COMMON SHS      617446448     36834     636504    SHARED   9     636504         0         0
MORGAN STANLEY DEAN WITTER & CO        COMMON SHS      617446448     46712     807194    SHARED   A     807194         0         0
MOTOROLA INC                           COMMON SHS      620076109        27       1900    SHARED           1900         0         0
MOTOROLA INC                           COMMON SHS      620076109     53662    3813901    SHARED   1    3813901         0         0
MOTOROLA INC                           COMMON SHS      620076109       587      41700    SHARED   2      41700         0         0
MOTOROLA INC                           COMMON SHS      620076109      2966     210769    SHARED   6     174559         0     36210




MOTOROLA INC                           COMMON SHS      620076109      1394      99100    SHARED   8      99100         0         0
MOTOROLA INC                           COMMON SHS      620076109      5203     369817    SHARED   9     369817         0         0
MOTOROLA INC                           COMMON SHS      620076109     64137    4558451    SHARED   A    4182851         0    375600
MOTOROLA INC                           CONVERT PREF    620076208     54288    1250000    SHARED   A    1250000         0         0
MUELLER INDUSTRIES INC                 COMMON SHS      624756102     32762     953500    SHARED   4     953500         0         0
MUELLER INDUSTRIES INC                 COMMON SHS      624756102     45296    1318290    SHARED   5    1318290         0         0
MUELLER INDUSTRIES INC                 COMMON SHS      624756102       354      10300    SHARED   9      10300         0         0
MUNIHOLDINGS INSURED FUND INC          CLOSE END MUT F 625930102       178      13000    SHARED   9      13000         0         0
MUNIYIELD CALIFORNIA INSURED INC       CLOSE END MUT F 62629L104       624      44650    SHARED   9      44650         0         0
MUNIYIELD NEW YORK INSURED FUND        CLOSE END MUT F 626301105       195      14512    SHARED   9      14512         0         0
MURPHY OIL CORP                        COMMON SHS      626717102       755      11554    SHARED   9      11554         0         0
MYERS INDUSTRIES INC                   COMMON SHS      628464109     25997    2144977    SHARED   4    2144977         0         0
MYERS INDUSTRIES INC                   COMMON SHS      628464109       179      14798    SHARED   6      14798         0         0
MYKROLIS CORP                          COMMON SHS      62852P103     13881     863264    SHARED   6     863264         0         0
MYKROLIS CORP                          COMMON SHS      62852P103      4353     270725    SHARED   7     270725         0         0
MYKROLIS CORP                          COMMON SHS      62852P103        12        720    SHARED   9        720         0         0
MYLAN LABORATORIES INC                 COMMON SHS      628530107      2338      92577    SHARED          92577         0         0
MYLAN LABORATORIES INC                 COMMON SHS      628530107      2464      97545    SHARED   1      97545         0         0
MYLAN LABORATORIES INC                 COMMON SHS      628530107     11741     464820    SHARED   2     464820         0         0
MYLAN LABORATORIES INC                 COMMON SHS      628530107       549      21740    SHARED   3      21740         0         0
MYLAN LABORATORIES INC                 COMMON SHS      628530107     11063     437946    SHARED   8     437946         0         0
MYLAN LABORATORIES INC                 COMMON SHS      628530107       238       9441    SHARED   9       9441         0         0
MYLAN LABORATORIES INC                 COMMON SHS      628530107      1599      63321    SHARED   A      54321         0      9000
MYOGEN INC                             COMMON SHS      62856E104        36       2500    SHARED   9       2500         0         0
MYOGEN INC                             COMMON SHS      62856E104      2550     178300    SHARED   A     178300         0         0
NBTY INC                               COMMON SHS      628782104        64       2400    SHARED   9       2400         0         0
NBTY INC                               COMMON SHS      628782104      3519     131000    SHARED   A     131000         0         0
NCO GROUP INC                          COMMON SHS      628858102     14909     654763    SHARED   6     654763         0         0
NCO GROUP INC                          COMMON SHS      628858102     26058    1144400    SHARED   A    1144400         0         0
NCO GROUP INC                          CONVERTIBLE BD  628858AB8      5100    5000000    SHARED   A    5000000         0         0
NS GROUP INC                           COMMON SHS      628916108       511      52700    SHARED   A      52700         0         0
NEC CORP                               AMER DEP RECPT  629050204       110      14625    SHARED   2      14625         0         0
NEC CORP                               AMER DEP RECPT  629050204         0          1    SHARED   6          1         0         0
NII HOLDINGS INC                       COMMON SHS      62913F201      8910     119388    SHARED   6     119388         0         0
NII HOLDINGS INC                       COMMON SHS      62913F201     55188     739484    SHARED   A     739484         0         0
NPS PHARMACEUTICALS INC                COMMON SHS      62936P103      1844      60001    SHARED   6      60001         0         0
NPS PHARMACEUTICALS INC                COMMON SHS      62936P103     65386    2127060    SHARED   A    2122060         0      5000
NTL INC                                COMMON SHS      62940M104    292101    4187834    SHARED   5    4187834         0         0
NTL INC                                COMMON SHS      62940M104        89       1278    SHARED   9       1278         0         0
NTL INC                                COMMON SHS      62940M104     35896     514637    SHARED   A     514637         0         0
NTT DOCOMO INC                         AMER DEP RECPT  62942M201         0          1    SHARED   6          1         0         0
NTT DOCOMO INC                         AMER DEP RECPT  62942M201       573      25025    SHARED   A      25025         0         0
NUI CORP                               COMMON SHS      629431107       810      50248    SHARED   9      50248         0         0
NVR INC                                COMMON SHS      62944T105      1305       2800    SHARED   9       2800         0         0
NVR INC                                COMMON SHS      62944T105     64501     138414    SHARED   A     138414         0         0
NABI BIOPHARMACEUTICALS                COMMON SHS      629519109      3899     306800    SHARED   A     296600         0     10200
NASDAQ 100                             OPEN END UT TR  631100104      1193      32710    SHARED   9      32710         0         0




NASHUA CORP                            COMMON SHS      631226107      4038     475000    SHARED   4     475000         0         0
NATIONAL AUSTRALIA CAP SEC (UK) PLC    CONVERT PREF    632525309      5054     132313    SHARED   9     132313         0         0
NATIONAL CITY CORP                     COMMON SHS      635405103      1026      30240    SHARED   9      30240         0         0
NATIONAL COMMERCE FINANCIAL CORP       COMMON SHS      63545P104     69905    2562500    SHARED   4    2562500         0         0
NATIONAL COMMERCE FINANCIAL CORP       COMMON SHS      63545P104      3066     112401    SHARED   6      96096         0     16305
NATIONAL COMMERCE FINANCIAL CORP       COMMON SHS      63545P104        44       1600    SHARED   9       1600         0         0
NATIONAL COMMERCE FINANCIAL CORP       COMMON SHS      63545P104     89298    3273400    SHARED   A    3273400         0         0
NATIONAL GRID TRANSCO PLC              AMER DEP RECPT  636274102      6394     176378    SHARED   3     176378         0         0
NATIONAL HEALTH INVESTORS INC          REAL EST INV TR 63633D104       580      23317    SHARED   9      23317         0         0
NATIONAL INSTRUMENTS CORP              COMMON SHS      636518102     12424     273245    SHARED   6     273245         0         0
NATIONAL INSTRUMENTS CORP              COMMON SHS      636518102        14        300    SHARED   9        300         0         0
NATIONAL INSTRUMENTS CORP              COMMON SHS      636518102     86692    1906585    SHARED   A    1906585         0         0
NATIONAL RV HOLDINGS INC               COMMON SHS      637277104      3980     400000    SHARED   4     400000         0         0
NATIONAL SEMICONDUCTOR CORP            COMMON SHS      637640103         0          3    SHARED   9          3         0         0
NATIONAL SEMICONDUCTOR CORP            COMMON SHS      637640103     10057     255200    SHARED   A     255200         0         0
NATIONAL WESTERN LIFE INSURANCE CO     COMMON SHS      638522102     23228     150000    SHARED   4     150000         0         0
NATIONWIDE FINANCIAL SERVICES INC      COMMON SHS      638612101     83032    2511550    SHARED   5    2511550         0         0
NATIONWIDE FINANCIAL SERVICES INC      COMMON SHS      638612101        61       1852    SHARED   9       1852         0         0
NATIONWIDE HEALTH PROPERTIES INC       REAL EST INV TR 638620104       250      12800    SHARED   9      12800         0         0
NAVIGANT CONSULTING INC                COMMON SHS      63935N107      7875     417554    SHARED   6     417554         0         0
NEIGHBORCARE INC                       COMMON SHS      64015Y104      1452      73500    SHARED   A      63900         0      9600
NEIMAN MARCUS GROUP INC                COMMON SHS      640204202     21565     401800    SHARED   A     401800         0         0
NEIMAN MARCUS GROUP INC                COMMON SHS      640204301       310       6200    SHARED   A       6200         0         0
NEKTAR THERAPEUTIC                     COMMON SHS      640268108         0          1    SHARED   6          1         0         0
NEKTAR THERAPEUTIC                     COMMON SHS      640268108      8533     627000    SHARED   9     627000         0         0
NEKTAR THERAPEUTIC                     COMMON SHS      640268108      8216     603700    SHARED   A     596800         0      6900
NELNET INC                             COMMON SHS      64031N108        16        700    SHARED   9        700         0         0
NELNET INC                             COMMON SHS      64031N108       972      43400    SHARED   A      43400         0         0
NEOSE TECHNOLOGIES INC                 COMMON SHS      640522108      2733     297100    SHARED   A     297100         0         0
NETWORK ASSOCIATES INC                 COMMON SHS      640938106      6387     424636    SHARED   6     424636         0         0
NETWORK ASSOCIATES INC                 COMMON SHS      640938106        87       5800    SHARED   9       5800         0         0
NETWORK ASSOCIATES INC                 COMMON SHS      640938106      3903     259479    SHARED   A     259479         0         0
NETFLIX COM INC                        COMMON SHS      64110L106       366       6700    SHARED   9       6700         0         0
NETIQ CORP                             COMMON SHS      64115P102      4012     302800    SHARED   4     302800         0         0
NETIQ CORP                             COMMON SHS      64115P102     19748    1490379    SHARED   6    1490379         0         0
NETIQ CORP                             COMMON SHS      64115P102        27       2000    SHARED   9       2000         0         0
NETIQ CORP                             COMMON SHS      64115P102     39588    2987800    SHARED   A    2987800         0         0
NETSCREEN TECHNOLOGIES INC             COMMON SHS      64117V107     15248     616090    SHARED   9     616090         0         0
NETSCREEN TECHNOLOGIES INC             COMMON SHS      64117V107     35469    1433100    SHARED   A    1433100         0         0
NETWORK APPLIANCE INC                  COMMON SHS      64120L104         0          1    SHARED   6          1         0         0
NETWORK APPLIANCE INC                  COMMON SHS      64120L104       335      16300    SHARED   9      16300         0         0
NETWORK APPLIANCE INC                  COMMON SHS      64120L104     72205    3517035    SHARED   A    3517035         0         0
NEUROCRINE BIOSCIENCES INC             COMMON SHS      64125C109       545      10001    SHARED   6      10001         0         0
NEUROCRINE BIOSCIENCES INC             COMMON SHS      64125C109      7287     133600    SHARED   A     133600         0         0
NEW IRELAND FUND INC                   CLOSE END MUT F 645673104      2002     135000    SHARED   4     135000         0         0
NEW YORK COMMUNITY BANCORP INC         COMMON SHS      649445103       203       5333    SHARED   9       5333         0         0
NEW YORK TIMES CO                      COMMON SHS      650111107     11321     236895    SHARED   9     236895         0         0




NEW YORK TIMES CO                      COMMON SHS      650111107     37926     793600    SHARED   A     692200         0    101400
NEWCASTLE INVESTMENT CORP              REAL EST INV TR 65105M108      2368      87386    SHARED   9      87386         0         0
NEWELL RUBBERMAID INC                  COMMON SHS      651229106      3394     149055    SHARED           3755         0    145300
NEWELL RUBBERMAID INC                  COMMON SHS      651229106       813      35700    SHARED   2      35700         0         0
NEWELL RUBBERMAID INC                  COMMON SHS      651229106         6        249    SHARED   3        249         0         0
NEWELL RUBBERMAID INC                  COMMON SHS      651229106      1456      63965    SHARED   6      52980         0     10985
NEWELL RUBBERMAID INC                  COMMON SHS      651229106      6801     298664    SHARED   8     298664         0         0
NEWELL RUBBERMAID INC                  COMMON SHS      651229106       755      33163    SHARED   9      33163         0         0
NEWELL RUBBERMAID INC                  COMMON SHS      651229106      7268     319200    SHARED   A     319200         0         0
NEWFIELD EXPLORATION COMPANY           COMMON SHS      651290108         0          1    SHARED   6          1         0         0
NEWFIELD EXPLORATION COMPANY           COMMON SHS      651290108       303       6800    SHARED   9       6800         0         0
NEWFIELD EXPLORATION COMPANY           COMMON SHS      651290108     56233    1262537    SHARED   A    1262537         0         0
NEWHALL LAND & FARMING CO              LTD PARTNERSHIP 651426108       323       8000    SHARED   9       8000         0         0
NEWMONT MINING CORP                    COMMON SHS      651639106    340367    7002000    SHARED   5    7002000         0         0
NEWMONT MINING CORP                    COMMON SHS      651639106      2041      41997    SHARED   9      41997         0         0
NEWMONT MINING CORP                    COMMON SHS      651639106     50988    1048914    SHARED   A    1048914         0         0
NEWS CORP LTD                          AMER DEP RECPT  652487703      1787      49515    SHARED          49515         0         0
NEWS CORP LTD                          AMER DEP RECPT  652487703      2094      58000    SHARED   2      58000         0         0
NEWS CORP LTD                          AMER DEP RECPT  652487703      1480      41000    SHARED   8      41000         0         0
NEWS CORP LTD                          AMER DEP RECPT  652487703     30261     838254    SHARED   9     838254         0         0
NEWS CORP LTD                          AMER DEP RECPT  652487703      4570     126600    SHARED   A     126600         0         0
NEWS CORP LTD                          DEP RCPT PFD    652487802      2870      94870    SHARED   2      94000         0       870
NEWS CORP LTD                          DEP RCPT PFD    652487802     40513    1339261    SHARED   5    1339261         0         0
NEWS CORP LTD                          DEP RCPT PFD    652487802      8090     267453    SHARED   9     267453         0         0
NEWS CORP LTD                          DEP RCPT PFD    652487802      1957      64700    SHARED   A      64700         0         0
NEXTERA ENTERPRISES INC                COMMON SHS      65332E101        98     257111    SHARED   9     257111         0         0
NEXTEL COMMUNICATIONS INC              COMMON SHS      65332V103        20        700    SHARED            700         0         0
NEXTEL COMMUNICATIONS INC              COMMON SHS      65332V103         0          1    SHARED   6          1         0         0
NEXTEL COMMUNICATIONS INC              COMMON SHS      65332V103      1409      50200    SHARED   9      50200         0         0
NEXTEL COMMUNICATIONS INC              COMMON SHS      65332V103     29203    1040745    SHARED   A    1040745         0         0
NEXTEL COMMUNICATIONS INC              CONVERTIBLE BD  65332VAY9     67830   66500000    SHARED   A   66500000         0         0
NEXEN INC                              ORDINARY SHS    65334H102    158347    3374822    SHARED   8    3151363         0    223459
NICOR INC                              COMMON SHS      654086107        20        601    SHARED   6        601         0         0
NICOR INC                              COMMON SHS      654086107     23045     677000    SHARED   A     677000         0         0
NIKE INC                               COMMON SHS      654106103     11785     172150    SHARED   1     172150         0         0
NIKE INC                               COMMON SHS      654106103         0          1    SHARED   6          1         0         0
NIKE INC                               COMMON SHS      654106103     13997     204452    SHARED   9     204452         0         0
NIKE INC                               COMMON SHS      654106103      1740      25411    SHARED   A      25411         0         0
NIPPON TELEGRAPH & TELEPHONE CORP      AMER DEP RECPT  654624105      3673     149553    SHARED   1     149553         0         0
NIPPON TELEGRAPH & TELEPHONE CORP      AMER DEP RECPT  654624105      7942     323377    SHARED   2     323377         0         0
NIPPON TELEGRAPH & TELEPHONE CORP      AMER DEP RECPT  654624105     12904     525412    SHARED   3     525412         0         0
NIPPON TELEGRAPH & TELEPHONE CORP      AMER DEP RECPT  654624105         0          1    SHARED   6          1         0         0
NIPPON TELEGRAPH & TELEPHONE CORP      AMER DEP RECPT  654624105       148       6045    SHARED   8       6045         0         0
NIPPON TELEGRAPH & TELEPHONE CORP      AMER DEP RECPT  654624105        87       3550    SHARED   9       3550         0         0
NISOURCE INC                           COMMON SHS      65473P105       394      17948    SHARED   9      17948         0         0
NISOURCE INC                           COMMON SHS      65473P105    135041    6155000    SHARED   A    6155000         0         0
NOKIA CORP                             AMER DEP RECPT  654902204        21       1221    SHARED           1221         0         0




NOKIA CORP                             AMER DEP RECPT  654902204      2097     123378    SHARED   6     104478         0     18900
NOKIA CORP                             AMER DEP RECPT  654902204     66538    3914012    SHARED   9    3914012         0         0
NOKIA CORP                             AMER DEP RECPT  654902204     44831    2637100    SHARED   A    2637100         0         0
NOBLE ENERGY INC                       COMMON SHS      655044105         0          1    SHARED   6          1         0         0
NOBLE ENERGY INC                       COMMON SHS      655044105        50       1128    SHARED   9       1128         0         0
NOBLE ENERGY INC                       COMMON SHS      655044105      1009      22700    SHARED   A      22700         0         0
NOMURA HOLDINGS INC                    AMER DEP RECPT  65535H208       547      32315    SHARED          32315         0         0
NOMURA HOLDINGS INC                    AMER DEP RECPT  65535H208         0          1    SHARED   6          1         0         0
NOMURA HOLDINGS INC                    AMER DEP RECPT  65535H208       187      11050    SHARED   9      11050         0         0
RELIANT ENERGY RESOURCES               CONVERTIBLE BD  655419AC3        10      10000    SHARED   9      10000         0         0
NORANDA INC                            ORDINARY SHS    655422103     29489    1435000    SHARED   5    1435000         0         0
NORANDA INC                            ORDINARY SHS    655422103        54       2647    SHARED   8       2147         0       500
NORANDA INC                            COMMON SHS      655422103        76       4800    SHARED   9       4800         0         0
NORDSTROM INC                          COMMON SHS      655664100      1236      36036    SHARED   9      36036         0         0
NORFOLK SOUTHERN CORP                  COMMON SHS      655844108     28380    1200000    SHARED   4    1200000         0         0
NORFOLK SOUTHERN CORP                  COMMON SHS      655844108    109648    4636300    SHARED   5    4636300         0         0
NORFOLK SOUTHERN CORP                  COMMON SHS      655844108      3238     136898    SHARED   9     136898         0         0
NORFOLK SOUTHERN CORP                  COMMON SHS      655844108         7        298    SHARED   A        298         0         0
NORSK HYDRO ASA                        AMER DEP RECPT  656531605     36263     586781    SHARED   2     420081         0    166700
NORSK HYDRO ASA                        AMER DEP RECPT  656531605        37        600    SHARED   9        600         0         0
NORTEL INVERSORA SA                    AMER DEP RECPT  656567401      3065     524000    SHARED   A     524000         0         0
NORTEL NETWORKS CORP                   ORDINARY SHS    656568102       888     161660    SHARED   2     161660         0         0
NORTEL NETWORKS CORP                   ORDINARY SHS    656568102      5756    1048448    SHARED   8    1048148         0       300
NORTEL NETWORKS CORP                   COMMON SHS      656568102       286      67715    SHARED   9      67715         0         0
NORTEL NETWORKS CORP                   COMMON SHS      656568102      1187     280700    SHARED   A     280700         0         0
NORTEL NETWORKS CORP                   CONVERTIBLE BD  656568AB8    297218  312450000    SHARED   A  312450000         0         0
NORTH AMERICAN PALLADIUM LTD           ORDINARY SHS    656912102      3869     377500    SHARED   A     377500         0         0
NORTH FORK BANCORP INC                 COMMON SHS      659424105      9177     226770    SHARED   9     226770         0         0
NORTH FORK BANCORP INC                 COMMON SHS      659424105         6        160    SHARED   A        160         0         0
NORTHEAST UTILITIES                    COMMON SHS      664397106     35298    1750000    SHARED   4    1750000         0         0
NORTHEAST UTILITIES                    COMMON SHS      664397106        79       3900    SHARED   9       3900         0         0
NORTHERN TRUST CORP                    COMMON SHS      665859104       514      11063    SHARED   9      11063         0         0
NORTHGATE EXPLORATION LTD              ORDINARY SHS    666416102      3471    1300000    SHARED   A    1300000         0         0
NORTHROP GRUMMAN CORP                  COMMON SHS      666807102    167680    1753970    SHARED   5    1753970         0         0
NORTHROP GRUMMAN CORP                  COMMON SHS      666807102         0          1    SHARED   6          1         0         0
NORTHROP GRUMMAN CORP                  COMMON SHS      666807102     47800     500000    SHARED   7     500000         0         0
NORTHROP GRUMMAN CORP                  COMMON SHS      666807102     13011     136095    SHARED   9     136095         0         0
NORTHWEST AIRLINES CORP                COMMON SHS      667280101      6310     500000    SHARED   7     500000         0         0
NORTHWEST NATURAL GAS CO               COMMON SHS      667655104       231       7500    SHARED   9       7500         0         0
NORTHWEST PIPE COMPANY                 COMMON SHS      667746101      3570     268000    SHARED   4     268000         0         0
NOVA CHEMICALS CORP                    ORDINARY SHS    66977W109     14475     509579    SHARED   6     509579         0         0
NOVA CHEMICALS CORP                    ORDINARY SHS    66977W109         6        174    SHARED   8          0         0       174
NOVA CHEMICALS CORP                    COMMON SHS      66977W109        23        860    SHARED   9        860         0         0
NOVA CHEMICALS CORP                    COMMON SHS      66977W109     34076    1264400    SHARED   A    1264400         0         0
NOVARTIS AG                            AMER DEP RECPT  66987V109       456       9930    SHARED   2       9930         0         0
NOVARTIS AG                            AMER DEP RECPT  66987V109         0          1    SHARED   6          1         0         0
NOVARTIS AG                            AMER DEP RECPT  66987V109      1140      24840    SHARED   9      24840         0         0




NOVARTIS AG                            AMER DEP RECPT  66987V109        11        241    SHARED   A        241         0         0
NUANCE COMMUNICATIONS INC              COMMON SHS      669967101     10832    1417800    SHARED   A    1417800         0         0
NOVELL INC                             COMMON SHS      670006105       179      17000    SHARED   9      17000         0         0
NOVELLUS SYSTEMS INC                   COMMON SHS      670008101         0          1    SHARED   6          1         0         0
NOVELLUS SYSTEMS INC                   COMMON SHS      670008101       387       9200    SHARED   9       9200         0         0
NOVELLUS SYSTEMS INC                   COMMON SHS      670008101     42492    1010500    SHARED   A    1010500         0         0
NOVEN PHARMACEUTICALS INC              COMMON SHS      670009109       353      23200    SHARED   A      23200         0         0
NU SKIN ENTERPRISES INC- CLASS A- P.I. COMMON SHS      67018T105      4418     275000    SHARED   A     275000         0         0
NSTAR                                  COMMON SHS      67019E107       396       8160    SHARED   9       8160         0         0
NSTAR                                  COMMON SHS      67019E107       752      15500    SHARED   A      15500         0         0
NUCOR CORP                             COMMON SHS      670346105     93962    1677900    SHARED   4    1677900         0         0
NUCOR CORP                             COMMON SHS      670346105       179       3201    SHARED   6       3201         0         0
NUCOR CORP                             COMMON SHS      670346105      3678      65680    SHARED   9      65680         0         0
NUEVO ENERGY CO                        COMMON SHS      670509108      2149      88900    SHARED   4      88900         0         0
NUEVO FINANCING I                      CONVERT PREF    670511203     70245    1702900    SHARED   A    1702900         0         0
NUVEEN PREMIUM INCOME MUNICIPAL FUND 4 CLOSE END MUT F 6706K4105       318      25000    SHARED   9      25000         0         0
NUVEEN QUALITY PFD INCOME FD           CLOSE END MUT F 67071S101       285      18000    SHARED   9      18000         0         0
NUVELO INC                             COMMON SHS      67072M103      7501    2161600    SHARED   A    2161600         0         0
NUVEEN NEW JERSEY PREMIUM INCOME MUNIC CLOSE END MUT F 67101N106       205      12598    SHARED   9      12598         0         0
OSI PHARMACEUTICALS INC                COMMON SHS      671040103       805      25001    SHARED   6      25001         0         0
OSI PHARMACEUTICALS INC                COMMON SHS      671040103         0         11    SHARED   9         11         0         0
OSI PHARMACEUTICALS INC                COMMON SHS      671040103     55802    1732450    SHARED   A    1729350         0      3100
OSI PHARMACEUTICALS INC                CONVERTIBLE BD  671040AB9      4511    4500000    SHARED   A    4500000         0         0
OCCIDENTAL PETROLEUM CORP              COMMON SHS      674599105      1901      45000    SHARED   4      45000         0         0
OCCIDENTAL PETROLEUM CORP              COMMON SHS      674599105     23025     545100    SHARED   5     545100         0         0
OCCIDENTAL PETROLEUM CORP              COMMON SHS      674599105      8704     206065    SHARED   8     206065         0         0
OCCIDENTAL PETROLEUM CORP              COMMON SHS      674599105       110       2600    SHARED   9       2600         0         0
OCCIDENTAL PETROLEUM CORP              COMMON SHS      674599105      1043      24700    SHARED   A      24700         0         0
OFFSHORE LOGISTICS INC                 COMMON SHS      676255102     29159    1189200    SHARED   4    1189200         0         0
OFFSHORE LOGISTICS INC                 COMMON SHS      676255102         9        386    SHARED   6        386         0         0
OFFSHORE LOGISTICS INC                 COMMON SHS      676255102        66       2700    SHARED   9       2700         0         0
OIL STATES INTERNATIONAL INC           COMMON SHS      678026105      7702     552500    SHARED   4     552500         0         0
OIL STATES INTERNATIONAL INC           COMMON SHS      678026105      4942     354503    SHARED   6     354503         0         0
OIL STATES INTERNATIONAL INC           COMMON SHS      678026105     39859    2859300    SHARED   A    2859300         0         0
OLD REPUBLIC INTERNATIONAL CORP        COMMON SHS      680223104    165797    6537750    SHARED   4    6537750         0         0
OLD REPUBLIC INTERNATIONAL CORP        COMMON SHS      680223104    222913    8789940    SHARED   5    8789940         0         0
OLD REPUBLIC INTERNATIONAL CORP        COMMON SHS      680223104      1608      63392    SHARED   6      54760         0      8632
OLD REPUBLIC INTERNATIONAL CORP        COMMON SHS      680223104        46       1800    SHARED   9       1800         0         0
OLD REPUBLIC INTERNATIONAL CORP        COMMON SHS      680223104      6543     258000    SHARED   A     258000         0         0
OLIN CORP                              COMMON SHS      680665205         2         97    SHARED   6         97         0         0
OLIN CORP                              COMMON SHS      680665205     14453     720500    SHARED   A     720500         0         0
OMNICARE INC                           COMMON SHS      681904108        18        450    SHARED   9        450         0         0
OMNICARE INC                           COMMON SHS      681904108      1247      30866    SHARED   A      26866         0      4000
OMNICOM GROUP INC                      COMMON SHS      681919106       630       7219    SHARED           7219         0         0
OMNICOM GROUP INC                      COMMON SHS      681919106     54925     628935    SHARED   5     628935         0         0
OMNICOM GROUP INC                      COMMON SHS      681919106         3         34    SHARED   6         34         0         0
OMNICOM GROUP INC                      COMMON SHS      681919106     52100     596587    SHARED   9     596587         0         0




OMNICOM GROUP INC                      COMMON SHS      681919106     23518     269300    SHARED   A     242300         0     27000
OMNICARE INC                           PREFERRED       68214L201       500      10000    SHARED   9      10000         0         0
ONEOK INC                              COMMON SHS      682680103        73       3300    SHARED   9       3300         0         0
ONEOK INC                              COMMON SHS      682680103    116022    5254600    SHARED   A    5254600         0         0
ONYX PHARMACEUTICALS INC               COMMON SHS      683399109      7436     263400    SHARED   A     263400         0         0
VIMPEL COMMUNICATIONS                  AMER DEP RECPT  68370R109     17159     233460    SHARED         221960         0     11500
ORACLE CORP                            COMMON SHS      68389X105        21       1570    SHARED           1570         0         0
ORACLE CORP                            COMMON SHS      68389X105      6600     500000    SHARED   7     500000         0         0
ORACLE CORP                            COMMON SHS      68389X105     17618    1334707    SHARED   9    1334707         0         0
ORACLE CORP                            COMMON SHS      68389X105     71469    5414313    SHARED   A    5014313         0    400000
OSHKOSH B'GOSH INC                     COMMON SHS      688222207      6180     288000    SHARED   4     288000         0         0
OSHKOSH TRUCK CORP                     COMMON SHS      688239201     24494     480000    SHARED   4     480000         0         0
OSHKOSH TRUCK CORP                     COMMON SHS      688239201     71121    1393700    SHARED   A    1393700         0         0
OVERLAND STORAGE INC                   COMMON SHS      690310107      8825     469400    SHARED   A     469400         0         0
OVERNITE CORP                          COMMON SHS      690322102        80       3500    SHARED   9       3500         0         0
OVERNITE CORP                          COMMON SHS      690322102      4680     205700    SHARED   A     205700         0         0
OVERSEAS SHIPHOLDING GROUP INC         COMMON SHS      690368105     66796    1961700    SHARED   4    1961700         0         0
OWENS & MINOR INC                      COMMON SHS      690732102      6471     295332    SHARED   6     295332         0         0
OWENS & MINOR INC                      COMMON SHS      690732102       158       7200    SHARED   9       7200         0         0
PG&E CORP                              COMMON SHS      69331C108         9        327    SHARED   9        327         0         0
PG&E CORP                              COMMON SHS      69331C108     13885     500000    SHARED   A     500000         0         0
PMC-SIERRA INC                         COMMON SHS      69344F106         0          1    SHARED   6          1         0         0
PMC-SIERRA INC                         COMMON SHS      69344F106       415      20600    SHARED   9      20600         0         0
PMC-SIERRA INC                         CONVERTIBLE BD  69344FAB2     42551   42500000    SHARED   A   42500000         0         0
PMI GROUP INC                          COMMON SHS      69344M101        32        850    SHARED            850         0         0
PMI GROUP INC                          COMMON SHS      69344M101     47524    1276500    SHARED   4    1276500         0         0
PMI GROUP INC                          COMMON SHS      69344M101      3481      93500    SHARED   5      93500         0         0
PMI GROUP INC                          COMMON SHS      69344M101        26        704    SHARED   9        704         0         0
PMI GROUP INC                          COMMON SHS      69344M101    110466    2967113    SHARED   A    2806113         0    161000
PNC FINANCIAL SERVICES GROUP           COMMON SHS      693475105      5358      97900    SHARED   5      97900         0         0
PNC FINANCIAL SERVICES GROUP           COMMON SHS      693475105      2759      50404    SHARED   9      50404         0         0
PNC FINANCIAL SERVICES GROUP           COMMON SHS      693475105         3         59    SHARED   A         59         0         0
POSCO                                  AMER DEP RECPT  693483109       617      18155    SHARED          18155         0         0
POSCO                                  AMER DEP RECPT  693483109      8545     251540    SHARED   1     251540         0         0
POSCO                                  AMER DEP RECPT  693483109     21105     621290    SHARED   2     621290         0         0
POSCO                                  AMER DEP RECPT  693483109     10688     314630    SHARED   3     314630         0         0
POSCO                                  AMER DEP RECPT  693483109     15796     465010    SHARED   9     465010         0         0
POSCO                                  AMER DEP RECPT  693483109       136       4000    SHARED   A       4000         0         0
PNM RESOURCES INC                      COMMON SHS      69349H107     34906    1242200    SHARED   4    1242200         0         0
PNM RESOURCES INC                      COMMON SHS      69349H107      1773      63100    SHARED   8      63100         0         0
PNM RESOURCES INC                      COMMON SHS      69349H107       155       5500    SHARED   9       5500         0         0
PPG INDUSTRIES INC                     COMMON SHS      693506107       154       2400    SHARED   8       2400         0         0
PPG INDUSTRIES INC                     COMMON SHS      693506107      1692      26433    SHARED   9      26433         0         0
PPL CORP                               COMMON SHS      69351T106      3630      82960    SHARED   6      74475         0      8485
PPL CORP                               COMMON SHS      69351T106       210       4796    SHARED   9       4796         0         0
PPL CORP                               COMMON SHS      69351T106    112872    2579941    SHARED   A    2579941         0         0
PRG-SCHULTZ INTERNATIONAL INC          COMMON SHS      69357C107      7941    1620514    SHARED   6    1620514         0         0




PRG-SCHULTZ INTERNATIONAL INC          COMMON SHS      69357C107      9948    2030300    SHARED   A    2030300         0         0
PS BUSINESS PARKS INC                  REAL EST INV TR 69360J107      2011      48739    SHARED   6      48739         0         0
PS BUSINESS PARKS INC                  REAL EST INV TR 69360J107       578      14000    SHARED   9      14000         0         0
PS BUSINESS PARKS INC                  REAL EST INV TR 69360J107     35690     865000    SHARED   A     865000         0         0
PACCAR INC                             COMMON SHS      693718108       200       2350    SHARED   9       2350         0         0
PACCAR INC                             COMMON SHS      693718108        13        154    SHARED   A        154         0         0
PACIFIC CAPITAL BANCORP                COMMON SHS      69404P101       547      14852    SHARED   9      14852         0         0
PACIFIC CREST CAP INC                  COMMON SHS      694166109      5170     200000    SHARED   5     200000         0         0
PACIFICARE HEALTH SYSTEMS INC          COMMON SHS      695112102      1879      27800    SHARED   A      24200         0      3600
PACIFICARE HEALTH SYSTEMS INC          CONVERTIBLE BD  695112AG7      3485    2000000    SHARED   A    2000000         0         0
PACTIV CORP                            COMMON SHS      695257105       117       4894    SHARED           4894         0         0
PACTIV CORP                            COMMON SHS      695257105     49778    2082759    SHARED   1    2081329         0      1430
PACTIV CORP                            COMMON SHS      695257105      1162      48620    SHARED   2      48620         0         0
PACTIV CORP                            COMMON SHS      695257105        18        773    SHARED   9        773         0         0
PALL CORP                              COMMON SHS      696429307       579      21594    SHARED   6      11426         0     10168
PALL CORP                              COMMON SHS      696429307     13415     500000    SHARED   7     500000         0         0
PALL CORP                              COMMON SHS      696429307       835      31123    SHARED   9      31123         0         0
PALL CORP                              COMMON SHS      696429307    146274    5451875    SHARED   A    5443975         0      7900
PARAMETRIC TECHNOLOGY CORP             COMMON SHS      699173100      6742    1711103    SHARED   6    1711103         0         0
PAREXEL INTERNATIONAL CORP             COMMON SHS      699462107      8922     548723    SHARED   6     548723         0         0
PAREXEL INTERNATIONAL CORP             COMMON SHS      699462107     11818     726800    SHARED   A     726800         0         0
PARK ELECTROCHEMICAL CORP              COMMON SHS      700416209     11915     449800    SHARED   A     449800         0         0
PARKER DRILLING CO                     COMMON SHS      701081101       411     161000    SHARED   A     161000         0         0
PARKER HANNIFIN CORP                   COMMON SHS      701094104       828      13910    SHARED   9      13910         0         0
PARKER HANNIFIN CORP                   COMMON SHS      701094104         3         47    SHARED   A         47         0         0
PARKWAY PROPERTIES INC                 REAL EST INV TR 70159Q104       706      16981    SHARED   6      16981         0         0
PARKWAY PROPERTIES INC                 REAL EST INV TR 70159Q104     12688     305000    SHARED   A     305000         0         0
PATTERSON DENTAL CO                    COMMON SHS      703412106      5732      89340    SHARED   9      89340         0         0
PATTERSON UTI ENERGY INC               COMMON SHS      703481101      1139      34594    SHARED   6      34594         0         0
PATTERSON UTI ENERGY INC               COMMON SHS      703481101        59       1800    SHARED   9       1800         0         0
PATTERSON UTI ENERGY INC               COMMON SHS      703481101     29124     884701    SHARED   A     884701         0         0
PAYCHEX INC                            COMMON SHS      704326107        31        830    SHARED            830         0         0
PAYCHEX INC                            COMMON SHS      704326107     20167     542111    SHARED   9     542111         0         0
PAYCHEX INC                            COMMON SHS      704326107     63437    1705300    SHARED   A    1609400         0     95900
PAYLESS SHOESOURCE INC                 COMMON SHS      704379106      1079      80489    SHARED   A      80489         0         0
PEABODY ENERGY CORP                    COMMON SHS      704549104     78690    1886600    SHARED   4    1886600         0         0
PEABODY ENERGY CORP                    COMMON SHS      704549104      1689      40500    SHARED   A      40500         0         0
PECHINEY SA                            AMER DEP RECPT  705151207       615      20682    SHARED   1      20682         0         0
PECHINEY SA                            AMER DEP RECPT  705151207         0          1    SHARED   2          1         0         0
PEDIATRIX MEDICAL GROUP INC            COMMON SHS      705324101     28841     523525    SHARED   9     523525         0         0
PEDIATRIX MEDICAL GROUP INC            COMMON SHS      705324101       154       2800    SHARED   A       2800         0         0
PEGASUS SOLUTIONS INC                  COMMON SHS      705906105       264      25200    SHARED   6      25200         0         0
PEGASUS SOLUTIONS INC                  COMMON SHS      705906105      4775     456100    SHARED   9     456100         0         0
PEGASUS SOLUTIONS INC                  COMMON SHS      705906105     13065    1247890    SHARED   A    1247890         0         0
PEMSTAR INC                            COMMON SHS      706552106      2796     849900    SHARED   9     849900         0         0
PEMSTAR INC                            COMMON SHS      706552106        15       4500    SHARED   A       4500         0         0
PENN AMERICA GROUP INC                 COMMON SHS      707247102      3903     294100    SHARED   4     294100         0         0




PENN NATIONAL GAMING INC               COMMON SHS      707569109     10880     471400    SHARED   A     471400         0         0
PENN TRAFFIC CO                        COMMON SHS      707832200        12     389598    SHARED   A     389598         0         0
PENN VIRGINIA RESOURCES PARTNERS LP    LTD PARTNERSHIP 707884102       322       9400    SHARED   9       9400         0         0
PENNEY JC CO INC                       COMMON SHS      708160106      2960     112627    SHARED   6      96902         0     15725
PENNEY JC CO INC                       COMMON SHS      708160106      1381      52534    SHARED   9      52534         0         0
PENNEY JC CO INC                       COMMON SHS      708160106     15839     602700    SHARED   A     602700         0         0
PENNSYLVANIA REAL ESTATE INVESTMENT TR REAL EST INV TR 709102107       460      12659    SHARED   6      12659         0         0
PENNSYLVANIA REAL ESTATE INVESTMENT TR REAL EST INV TR 709102107        38       1050    SHARED   9       1050         0         0
PENNSYLVANIA REAL ESTATE INVESTMENT TR REAL EST INV TR 709102107      6401     176322    SHARED   A     176322         0         0
PENTAIR INC                            COMMON SHS      709631105     21913     479500    SHARED   A     479500         0         0
PEOPLES BANCORP INC                    COMMON SHS      709789101     13977     473645    SHARED   4     473645         0         0
PEOPLES ENERGY CORP                    COMMON SHS      711030106       221       5249    SHARED   9       5249         0         0
PEOPLES FINANCIAL CORP                 COMMON SHS      71103B102         0      10752    SHARED   9      10752         0         0
PEOPLESOFT INC                         COMMON SHS      712713106         3        111    SHARED   6        111         0         0
PEOPLESOFT INC                         COMMON SHS      712713106       128       5600    SHARED   9       5600         0         0
PEOPLESOFT INC                         COMMON SHS      712713106    110846    4861650    SHARED   A    4861650         0         0
PEPCO HOLDINGS INC                     COMMON SHS      713291102        23       1200    SHARED           1200         0         0
PEPCO HOLDINGS INC                     COMMON SHS      713291102    159836    8179962    SHARED   1    8179962         0         0
PEPCO HOLDINGS INC                     COMMON SHS      713291102       754      38586    SHARED   3      38586         0         0
PEPCO HOLDINGS INC                     COMMON SHS      713291102        94       4831    SHARED   9       4831         0         0
PEPCO HOLDINGS INC                     COMMON SHS      713291102    152455    7802200    SHARED   A    7802200         0         0
PEPSI BOTTLING GROUP INC               COMMON SHS      713409100     14011     579450    SHARED   5     579450         0         0
PEPSIAMERICAS INC                      COMMON SHS      71343P200       455      26600    SHARED   9      26600         0         0
PEPSICO INC                            COMMON SHS      713448108         4         93    SHARED             93         0         0
PEPSICO INC                            COMMON SHS      713448108        16        336    SHARED   6        336         0         0
PEPSICO INC                            COMMON SHS      713448108        20        430    SHARED   8        300         0       130
PEPSICO INC                            COMMON SHS      713448108     67967    1457896    SHARED   9    1457896         0         0
PEPSICO INC                            COMMON SHS      713448108     48854    1047912    SHARED   A     932512         0    115400
PERFORMANCE FOOD GROUP CO              COMMON SHS      713755106      4232     117000    SHARED   A     117000         0         0
PERFORMANCE FOOD GROUP CO              CONVERTIBLE BD  713755AA4      6641    5500000    SHARED   A    5500000         0         0
PERICOM SEMICONDUCTOR CORP             COMMON SHS      713831105      5127     480936    SHARED   6     480936         0         0
PERICOM SEMICONDUCTOR CORP             COMMON SHS      713831105     12807    1201405    SHARED   A    1201405         0         0
PERKINELMER INC                        COMMON SHS      714046109         0          1    SHARED   6          1         0         0
PERKINELMER INC                        COMMON SHS      714046109       517      30312    SHARED   9      30312         0         0
P T INDOSAT (PERSERO) TBK              AMER DEP RECPT  715680104       265      14730    SHARED   2      14730         0         0
PETCO ANIMAL SUPPLIES INC              COMMON SHS      716016209      6210     203950    SHARED   9     203950         0         0
PETCO ANIMAL SUPPLIES INC              COMMON SHS      716016209        33       1100    SHARED   A       1100         0         0
PETRO-CANADA                           ORDINARY SHS    71644E102       575       9000    SHARED   2       9000         0         0
PETRO-CANADA                           ORDINARY SHS    71644E102    161803    2531732    SHARED   8    2338994         0    192738
PETROCHINA CO LTD                      AMER DEP RECPT  71646E100      1747      30621    SHARED   6      25331         0      5290
PETROCHINA CO LTD                      AMER DEP RECPT  71646E100      7525     131900    SHARED   9     131900         0         0
PETROCHINA CO LTD                      AMER DEP RECPT  71646E100     12739     223300    SHARED   A     223300         0         0
PETROBRAS ENERGIA PARTICIPACIONES SA   AMER DEP RECPT  71646M102      2971     270358    SHARED   1     269963         0       395
PETROLEUM & RESOURCES CORP             CLOSE END MUT F 716549100      3561     150000    SHARED   4     150000         0         0
PETROLEUM & RESOURCES CORP             CLOSE END MUT F 716549100        80       3349    SHARED   9       3349         0         0
PETROLEO BRASILEIRO SA (PETROBRAS)     DEP RCPT PFD    71654V101    128635    4825034    SHARED        4275713         0    549321
PETROLEO BRASILEIRO SA (PETROBRAS)     DEP RCPT PFD    71654V101     59577    2234700    SHARED   1    2234700         0         0




PETROLEO BRASILEIRO SA (PETROBRAS)     DEP RCPT PFD    71654V101       773      28990    SHARED   2      28990         0         0
PETROLEO BRASILEIRO SA (PETROBRAS)     AMER DEP RECPT  71654V408      7895     270000    SHARED         270000         0         0
PETROLEO BRASILEIRO SA (PETROBRAS)     AMER DEP RECPT  71654V408      1930      66000    SHARED   1      66000         0         0
PETROLEO BRASILEIRO SA (PETROBRAS)     AMER DEP RECPT  71654V408      1304      44600    SHARED   9      44600         0         0
PETROLEO BRASILEIRO SA (PETROBRAS)     AMER DEP RECPT  71654V408     46784    1600000    SHARED   A    1600000         0         0
PETROLEUM HELICOPTERS INC              COMMON SHS      716604103      2330      95100    SHARED   4      95100         0         0
PETROLEUM HELICOPTERS INC              COMMON SHS      716604202      6210     230000    SHARED   4     230000         0         0
PETROLEUM HELICOPTERS INC              COMMON SHS      716604202         3        100    SHARED   9        100         0         0
PETROQUEST ENERGY INC                  COMMON SHS      716748108      5095    1633008    SHARED   A    1633008         0         0
PETSMART INC                           COMMON SHS      716768106     37752    1586230    SHARED   9    1586230         0         0
PFIZER INC                             COMMON SHS      717081103     11497     325430    SHARED         161160         0    164270
PFIZER INC                             COMMON SHS      717081103    370379   10483406    SHARED   1   10482247         0      1159
PFIZER INC                             COMMON SHS      717081103     14018     396766    SHARED   2     396766         0         0
PFIZER INC                             COMMON SHS      717081103      2170      61424    SHARED   3      61424         0         0
PFIZER INC                             COMMON SHS      717081103     96345    2727000    SHARED   4    2727000         0         0
PFIZER INC                             COMMON SHS      717081103      4174     118148    SHARED   6     104892         0     13256
PFIZER INC                             COMMON SHS      717081103     70660    2000000    SHARED   7    2000000         0         0
PFIZER INC                             COMMON SHS      717081103     24597     696206    SHARED   8     692371         0      3835
PFIZER INC                             COMMON SHS      717081103    229696    6501431    SHARED   9    6501431         0         0
PFIZER INC                             COMMON SHS      717081103    324768    9192411    SHARED   A    8293131         0    899280
PHARMACEUTICAL PRODUCT DEVELOPMENT INC COMMON SHS      717124101      6455     239340    SHARED   6     239340         0         0
PHARMACEUTICAL PRODUCT DEVELOPMENT INC COMMON SHS      717124101        62       2300    SHARED   9       2300         0         0
PHARMACEUTICAL PRODUCT DEVELOPMENT INC COMMON SHS      717124101     44172    1637810    SHARED   A    1631910         0      5900
PHARMACEUTICAL HLDRS TR                CLOSE END MUT F 71712A206      2863      36007    SHARED   A      36007         0         0
PHARMION CORP                          COMMON SHS      71715B409        26       1700    SHARED   9       1700         0         0
PHARMION CORP                          COMMON SHS      71715B409      6207     407000    SHARED   A     407000         0         0
PHELPS DODGE CORP                      COMMON SHS      717265102         2         30    SHARED   6         30         0         0
PHELPS DODGE CORP                      COMMON SHS      717265102       632       8310    SHARED   9       8310         0         0
PHILIPPINE LONG DISTANCE TELEPHONE CO  AMER DEP RECPT  718252604     12477     716243    SHARED         716243         0         0
PHILIPPINE LONG DISTANCE TELEPHONE CO  AMER DEP RECPT  718252604      2456     141000    SHARED   2     141000         0         0
PHILIPPINE LONG DISTANCE TELEPHONE CO  AMER DEP RECPT  718252604     17386     998025    SHARED   8     998025         0         0
PHILIPPINE LONG DISTANCE TELEPHONE CO  CONVERT PREF    718252703        14        300    SHARED            300         0         0
PHILIPPINE LONG DISTANCE TELEPHONE CO  CONVERT PREF    718252703      1775      37300    SHARED   2      37300         0         0
PHOSPHATE RESOURCE PARTNERS LP         LTD PARTNERSHIP 719217101       789     415000    SHARED   A     415000         0         0
PHOTON DYNAMICS INC                    COMMON SHS      719364101     12456     309550    SHARED   9     309550         0         0
PHOTON DYNAMICS INC                    COMMON SHS      719364101        60       1500    SHARED   A       1500         0         0
PHOTRONICS INC                         COMMON SHS      719405102      8060     404600    SHARED   9     404600         0         0
PHOTRONICS INC                         COMMON SHS      719405102        42       2100    SHARED   A       2100         0         0
PIER 1 IMPORTS INC                     COMMON SHS      720279108      4088     187000    SHARED   4     187000         0         0
PIER 1 IMPORTS INC                     COMMON SHS      720279108     52775    2414219    SHARED   A    2414219         0         0
PINNACLE SYSTEMS INC                   COMMON SHS      723481107       398      46680    SHARED          46680         0         0
PINNACLE SYSTEMS INC                   COMMON SHS      723481107     23434    2747200    SHARED   9    2747200         0         0
PINNACLE SYSTEMS INC                   COMMON SHS      723481107       123      14400    SHARED   A      14400         0         0
PINNACLE WEST CAPITAL CORP             COMMON SHS      723484101      2088      52183    SHARED   6      44393         0      7790
PINNACLE WEST CAPITAL CORP             COMMON SHS      723484101      2693      67295    SHARED   8      63075         0      4220
PINNACLE WEST CAPITAL CORP             COMMON SHS      723484101       156       3900    SHARED   9       3900         0         0
PINNACLE WEST CAPITAL CORP             COMMON SHS      723484101    145833    3644000    SHARED   A    3644000         0         0




PIONEER NATURAL RESOURCES CO           COMMON SHS      723787107      5109     160000    SHARED   4     160000         0         0
PIONEER NATURAL RESOURCES CO           COMMON SHS      723787107       996      31200    SHARED   A      31200         0         0
PITNEY BOWES INC                       COMMON SHS      724479100      3858      94971    SHARED   6      82268         0     12703
PITNEY BOWES INC                       COMMON SHS      724479100      2698      66425    SHARED   9      66425         0         0
PITNEY BOWES INC                       COMMON SHS      724479100     18433     453800    SHARED   A     453800         0         0
PLACER DOME INC                        ORDINARY SHS    725906101     49296    2127600    SHARED   5    2127600         0         0
PLACER DOME INC                        COMMON SHS      725906101       134       7500    SHARED   9       7500         0         0
PLACER DOME INC                        COMMON SHS      725906101     41708    2328755    SHARED   A    2328755         0         0
PLANTRONICS INC                        COMMON SHS      727493108      1006      30800    SHARED   A      30800         0         0
PLUM CREEK TIMBER CO INC               REAL EST INV TR 729251108      8559     281069    SHARED         281069         0         0
PLUM CREEK TIMBER CO INC               REAL EST INV TR 729251108      7796     256031    SHARED   9     256031         0         0
POGO PRODUCING CO                      COMMON SHS      730448107       725      15000    SHARED   9      15000         0         0
POLARIS INDUSTRIES INC                 COMMON SHS      731068102        80        900    SHARED   9        900         0         0
POLARIS INDUSTRIES INC                 COMMON SHS      731068102     13012     146900    SHARED   A     146900         0         0
POLO RALPH LAUREN CORP                 COMMON SHS      731572103       253       8800    SHARED   9       8800         0         0
POLO RALPH LAUREN CORP                 COMMON SHS      731572103     67637    2348500    SHARED   A    2348500         0         0
POLYCOM INC                            COMMON SHS      73172K104         0          1    SHARED   6          1         0         0
POLYCOM INC                            COMMON SHS      73172K104      3923     200950    SHARED   9     200950         0         0
POLYCOM INC                            COMMON SHS      73172K104        21       1100    SHARED   A       1100         0         0
POLYONE CORP                           COMMON SHS      73179P106      9585    1500000    SHARED   4    1500000         0         0
PORTFOLIO RECOVERY ASSOCS INC          COMMON SHS      73640Q105      5562     209500    SHARED   9     209500         0         0
PORTFOLIO RECOVERY ASSOCS INC          COMMON SHS      73640Q105        29       1100    SHARED   A       1100         0         0
PORTUGAL TELECOM SGPS SA               AMER DEP RECPT  737273102        72       7162    SHARED   2          0         0      7162
PORTUGAL TELECOM SGPS SA               AMER DEP RECPT  737273102     24083    2403481    SHARED   3    2403481         0         0
PORTUGAL TELECOM SGPS SA               AMER DEP RECPT  737273102        70       6978    SHARED   9       6978         0         0
PORTUGAL TELECOM SGPS SA               AMER DEP RECPT  737273102      4701     469116    SHARED   A     469116         0         0
POTLATCH CORP                          COMMON SHS      737628107     46362    1333400    SHARED   5    1333400         0         0
POWELL INDUSTRIES INC                  COMMON SHS      739128106      4226     220700    SHARED   4     220700         0         0
PRAXAIR INC                            COMMON SHS      74005P104     57170    1496600    SHARED   4    1496600         0         0
PRAXAIR INC                            COMMON SHS      74005P104       895      23434    SHARED   9      23434         0         0
PREPAID LEGAL SERVICES INC             COMMON SHS      740065107       217       8300    SHARED   9       8300         0         0
PRECISION DRILLING CORP                ORDINARY SHS    74022D100     18511     326177    SHARED   2     316037         0     10140
PRECISION DRILLING CORP                ORDINARY SHS    74022D100      4557      80298    SHARED   8      80298         0         0
PRECISION DRILLING CORP                COMMON SHS      74022D100       673      15400    SHARED   A      15400         0         0
PREMCOR INC                            COMMON SHS      74045Q104         1         30    SHARED             30         0         0
PREMCOR INC                            COMMON SHS      74045Q104     17799     684586    SHARED   6     684586         0         0
PREMCOR INC                            COMMON SHS      74045Q104     90709    3488800    SHARED   A    3488800         0         0
PREMIER FARNELL PLC                    AMER DEP RECPT  74050U107       127      15500    SHARED   9      15500         0         0
PRESIDENTIAL LIFE CORP                 COMMON SHS      740884101     18673    1418900    SHARED   4    1418900         0         0
PRIDE INTERNATIONAL INC                COMMON SHS      74153Q102     63268    3394195    SHARED   A    3394195         0         0
PRIME HOSPITALITY CORP                 COMMON SHS      741917108      5393     528700    SHARED   2     528700         0         0
PRIME HOSPITALITY CORP                 COMMON SHS      741917108       566      55535    SHARED   3      55535         0         0
PRIME HOSPITALITY CORP                 COMMON SHS      741917108      7169     702800    SHARED   4     702800         0         0
PRIME HOSPITALITY CORP                 COMMON SHS      741917108     20520    2011800    SHARED   5    2011800         0         0
PRINCIPAL FINANCIAL GROUP              COMMON SHS      74251V102     27289     825200    SHARED   4     825200         0         0
PRINCIPAL FINANCIAL GROUP              COMMON SHS      74251V102       116       3495    SHARED   9       3495         0         0
PRINTRONIX INC                         COMMON SHS      742578107      2283     130000    SHARED   4     130000         0         0




PROCTER & GAMBLE CO                    COMMON SHS      742718109        23        230    SHARED            230         0         0
PROCTER & GAMBLE CO                    COMMON SHS      742718109      6715      67230    SHARED   2      67230         0         0
PROCTER & GAMBLE CO                    COMMON SHS      742718109     85337     854400    SHARED   4     854400         0         0
PROCTER & GAMBLE CO                    COMMON SHS      742718109        14        140    SHARED   6        140         0         0
PROCTER & GAMBLE CO                    COMMON SHS      742718109     15362     153806    SHARED   8     145998         0      7808
PROCTER & GAMBLE CO                    COMMON SHS      742718109     78665     787597    SHARED   9     787597         0         0
PROCTER & GAMBLE CO                    COMMON SHS      742718109     89424     895316    SHARED   A     789116         0    106200
PROGRESS ENERGY INC                    COMMON SHS      743263105         2         41    SHARED   6         41         0         0
PROGRESS ENERGY INC                    COMMON SHS      743263105      4175      92250    SHARED   9      92250         0         0
PROGRESS ENERGY INC                    COMMON SHS      743263105    234945    5191000    SHARED   A    5191000         0         0
PROGRESSIVE CORP                       COMMON SHS      743315103       251       3000    SHARED   9       3000         0         0
PROLOGIS                               REAL EST INV TR 743410102      2834      88321    SHARED   6      88321         0         0
PROLOGIS                               REAL EST INV TR 743410102      2370      73845    SHARED   9      73845         0         0
PROLOGIS                               REAL EST INV TR 743410102     75200    2343400    SHARED   A    2343400         0         0
PROSPERITY BANCSHARES INC              COMMON SHS      743606105      3712     164837    SHARED   5     164837         0         0
PROTECTIVE LIFE CORP                   COMMON SHS      743674103      5161     152500    SHARED   4     152500         0         0
PROTECTIVE LIFE CORP                   COMMON SHS      743674103         0          1    SHARED   6          1         0         0
PROTECTIVE LIFE CORP                   COMMON SHS      743674103        85       2500    SHARED   9       2500         0         0
PROTECTIVE LIFE CORP                   COMMON SHS      743674103      3025      89400    SHARED   A      89400         0         0
PROTEIN DESIGN LABS INC                COMMON SHS      74369L103      6389     356900    SHARED   A     356900         0         0
PROVIDENCE & WORCHESTER RAILROAD CO    COMMON SHS      743737108      1822     205000    SHARED   4     205000         0         0
PROVIDENCE & WORCHESTER RAILROAD CO    COMMON SHS      743737108       321      36100    SHARED   7      36100         0         0
PROVIDENCE SERVICE CORP                COMMON SHS      743815102       437      27000    SHARED   9      27000         0         0
PROVIDIAN FINANCIAL CORP               COMMON SHS      74406A102         0          1    SHARED   6          1         0         0
PROVIDIAN FINANCIAL CORP               COMMON SHS      74406A102       778      66800    SHARED   9      66800         0         0
PROVIDIAN FINANCIAL CORP               COMMON SHS      74406A102     92056    7908625    SHARED   A    7908625         0         0
PROVIDIAN FINANCIAL CORP               CONVERT ZERO CP 74406AAB8   4739331   99253000    SHARED   5   99253000         0         0
PROVIDIAN FINANCIAL CORP               CONVERTIBLE BD  74406AAC6       289     250000    SHARED   9     250000         0         0
PRUDENTIAL FINANCIAL INC               COMMON SHS      744320102     60567    1450000    SHARED   4    1450000         0         0
PRUDENTIAL FINANCIAL INC               COMMON SHS      744320102    159814    3826036    SHARED   5    3826036         0         0
PRUDENTIAL FINANCIAL INC               COMMON SHS      744320102       182       4362    SHARED   6       4362         0         0
PRUDENTIAL FINANCIAL INC               COMMON SHS      744320102       567      13584    SHARED   9      13584         0         0
PRUDENTIAL FINANCIAL INC               COMMON SHS      744320102        35        842    SHARED   A        842         0         0
PSYCHIATRIC SOLUTIONS INC              COMMON SHS      74439H108      1568      75000    SHARED   A      75000         0         0
PUBLIC SERVICE ENTERPRISE GROUP INC    COMMON SHS      744573106      3013      68781    SHARED   9      68781         0         0
PUBLIC SERVICE ENTERPRISE GROUP INC    COMMON SHS      744573106    139372    3182000    SHARED   A    3182000         0         0
PUBLIC STORAGE INC                     REAL EST INV TR 74460D109      1817      41878    SHARED   6      41878         0         0
PUBLIC STORAGE INC                     REAL EST INV TR 74460D109       219       5042    SHARED   9       5042         0         0
PUBLIC STORAGE INC                     REAL EST INV TR 74460D109     28972     667700    SHARED   A     667700         0         0
PUGET ENERGY INC                       COMMON SHS      745310102       128       5400    SHARED   9       5400         0         0
PUGET ENERGY INC                       COMMON SHS      745310102    139045    5849600    SHARED   A    5849600         0         0
PULTE HOMES INC                        COMMON SHS      745867101     60853     650000    SHARED   4     650000         0         0
PULTE HOMES INC                        COMMON SHS      745867101       253       2700    SHARED   9       2700         0         0
PUTNAM PREMIER INCOME TRUST            CLOSE END MUT F 746853100        79      12000    SHARED   9      12000         0         0
PUTNAM MUNICIPAL OPPORTUNITIES TRUST   CLOSE END MUT F 746922103       391      30000    SHARED   9      30000         0         0
QLOGIC CORP                            COMMON SHS      747277101        17        330    SHARED            330         0         0
QLOGIC CORP                            COMMON SHS      747277101         0          1    SHARED   6          1         0         0




QLOGIC CORP                            COMMON SHS      747277101        76       1472    SHARED   9       1472         0         0
QLOGIC CORP                            COMMON SHS      747277101    103489    2005600    SHARED   A    2005600         0         0
QUALCOMM INC                           COMMON SHS      747525103        21        390    SHARED            390         0         0
QUALCOMM INC                           COMMON SHS      747525103        57       1051    SHARED   6       1051         0         0
QUALCOMM INC                           COMMON SHS      747525103     20406     378388    SHARED   9     378388         0         0
QUALCOMM INC                           COMMON SHS      747525103     67356    1248956    SHARED   A    1156956         0     92000
QUANEX CORP                            COMMON SHS      747620102     18698     405600    SHARED   9     405600         0         0
QUANEX CORP                            COMMON SHS      747620102       101       2200    SHARED   A       2200         0         0
QUEBECOR WORLD INC                     COMMON SHS      748203106       851      41353    SHARED   3      41353         0         0
QUEST DIAGNOSTICS INC                  COMMON SHS      74834L100     20402     279056    SHARED   9     279056         0         0
QUEST DIAGNOSTICS INC                  COMMON SHS      74834L100     10053     137500    SHARED   A     137500         0         0
QUEST SOFTWARE INC                     COMMON SHS      74834T103      6027     424419    SHARED   6     424419         0         0
QUEST SOFTWARE INC                     COMMON SHS      74834T103     42068    2962500    SHARED   A    2962500         0         0
QUESTAR CORP                           COMMON SHS      748356102       722      20533    SHARED   9      20533         0         0
QUICKSILVER RES INC                    COMMON SHS      74837R104      8017     248200    SHARED   9     248200         0         0
QUICKSILVER RES INC                    COMMON SHS      74837R104        42       1300    SHARED   A       1300         0         0
QUIKSILVER INC                         COMMON SHS      74838C106     17796    1003700    SHARED   A    1003700         0         0
QUILMES INDUSTRIAL SA                  AMER DEP RECPT  74838Y207      1522      93080    SHARED              0         0     93080
QUINENCO SA                            AMER DEP RECPT  748718103      1009     113403    SHARED         113403         0         0
QWEST COMMUNICATIONS INTERNATIONAL INC COMMON SHS      749121109        32       7405    SHARED   9       7405         0         0
QWEST COMMUNICATIONS INTERNATIONAL INC COMMON SHS      749121109      5663    1310900    SHARED   A    1310900         0         0
R.H. DONNELLEY CORP                    COMMON SHS      74955W307        25        621    SHARED   6        621         0         0
R.H. DONNELLEY CORP                    COMMON SHS      74955W307       200       5012    SHARED   9       5012         0         0
RLI CORPORATION                        COMMON SHS      749607107     58709    1567236    SHARED   4    1567236         0         0
RLI CORPORATION                        COMMON SHS      749607107       264       7051    SHARED   6       7051         0         0
RPM INTERNATIONAL INC                  COMMON SHS      749685103     11407     693000    SHARED   4     693000         0         0
RPM INTERNATIONAL INC                  COMMON SHS      749685103     15642     950323    SHARED   9     950323         0         0
RSA SECURITY INC                       COMMON SHS      749719100         0          1    SHARED   6          1         0         0
RSA SECURITY INC                       COMMON SHS      749719100     16354    1151700    SHARED   9    1151700         0         0
RSA SECURITY INC                       COMMON SHS      749719100     42620    3001400    SHARED   A    3001400         0         0
RTI INTERNATIONAL METALS INC           COMMON SHS      74973W107      9580     567900    SHARED   4     567900         0         0
RADIAN GROUP INC                       COMMON SHS      750236101     34125     700000    SHARED   4     700000         0         0
RADIAN GROUP INC                       COMMON SHS      750236101         0          1    SHARED   6          1         0         0
RADIAN GROUP INC                       COMMON SHS      750236101      3510      72000    SHARED   8      72000         0         0
RADIAN GROUP INC                       COMMON SHS      750236101       566      11600    SHARED   9      11600         0         0
RADIAN GROUP INC                       COMMON SHS      750236101    100666    2064948    SHARED   A    2064948         0         0
RADIO ONE INC                          COMMON SHS      75040P108      1417      72500    SHARED   A      72500         0         0
RADIO ONE INC                          COMMON SHS      75040P405      9038     468300    SHARED   A     468300         0         0
RADIOSHACK CORP                        COMMON SHS      750438103         0          1    SHARED   6          1         0         0
RADIOSHACK CORP                        COMMON SHS      750438103        92       3000    SHARED   9       3000         0         0
RADIOSHACK CORP                        COMMON SHS      750438103      4332     141200    SHARED   A     141200         0         0
RAMCO-GERSHENSON PPTYS TR              REAL EST INV TR 751452202      1154      40783    SHARED   6      40783         0         0
RAMCO-GERSHENSON PPTYS TR              REAL EST INV TR 751452202     16997     600600    SHARED   A     600600         0         0
RANDGOLD RESOURCES LTD                 AMER DEP RECPT  752344309     13617     498800    SHARED   A     498800         0         0
RANDGOLD & EXPLORATION CO LTD          AMER DEP RECPT  753009307      2509     153020    SHARED   5     153020         0         0
RARE HOSPITALITY INTERNATIONAL INC     COMMON SHS      753820109      6547     267900    SHARED   9     267900         0         0
RARE HOSPITALITY INTERNATIONAL INC     COMMON SHS      753820109        37       1500    SHARED   A       1500         0         0




RAYTHEON CO                            COMMON SHS      755111507        26        870    SHARED            870         0         0
RAYTHEON CO                            COMMON SHS      755111507     74586    2482887    SHARED   1    2481277         0      1610
RAYTHEON CO                            COMMON SHS      755111507      4870     162120    SHARED   2     162120         0         0
RAYTHEON CO                            COMMON SHS      755111507      1833      61009    SHARED   3      61009         0         0
RAYTHEON CO                            COMMON SHS      755111507       692      23048    SHARED   6      23048         0         0
RAYTHEON CO                            COMMON SHS      755111507     18024     600000    SHARED   7     600000         0         0
RAYTHEON CO                            COMMON SHS      755111507      3733     124263    SHARED   9     124263         0         0
RAYTHEON CO                            COMMON SHS      755111507     19902     662500    SHARED   A     662500         0         0
RECKSON ASSOCIATES REALTY CORP         REAL EST INV TR 75621K106       824      33928    SHARED   6      33928         0         0
RECKSON ASSOCIATES REALTY CORP         REAL EST INV TR 75621K106        49       2000    SHARED   9       2000         0         0
RECKSON ASSOCIATES REALTY CORP         REAL EST INV TR 75621K106     11516     473900    SHARED   A     473900         0         0
RECKSON ASSOCIATES REALTY CORP         CONVERT PREF    75621K205     52762    2049000    SHARED   A    2049000         0         0
RED HAT INC                            COMMON SHS      756577102      8432     449250    SHARED   9     449250         0         0
RED HAT INC                            COMMON SHS      756577102      4726     251800    SHARED   A     251800         0         0
RED ROBIN GOURMET BURGERS              COMMON SHS      75689M101       304      10000    SHARED   9      10000         0         0
REEBOK INTERNATIONAL LTD               COMMON SHS      758110100       303       7700    SHARED   9       7700         0         0
REEBOK INTERNATIONAL LTD               COMMON SHS      758110100     26500     673953    SHARED   A     673953         0         0
REED ELSEVIER NV                       AMER DEP RECPT  758204101     11401     460658    SHARED   3     460658         0         0
REED ELSEVIER NV                       AMER DEP RECPT  758204101         7        300    SHARED   9        300         0         0
REGAL ENTERTAINMENT GROUP              COMMON SHS      758766109       636      31000    SHARED   9      31000         0         0
REGENCY CENTERS CORP                   REAL EST INV TR 758849103      1349      33843    SHARED   6      33843         0         0
REGENCY CENTERS CORP                   REAL EST INV TR 758849103     22715     570000    SHARED   A     570000         0         0
REGENERATION TECHNOLOGIES INC          COMMON SHS      75886N100      1640     149671    SHARED   A     138671         0     11000
REGIS CORP                             COMMON SHS      758932107     20416     516600    SHARED   9     516600         0         0
REGIS CORP                             COMMON SHS      758932107     20191     510900    SHARED   A     510900         0         0
REGIONS FINANCIAL CORP                 COMMON SHS      758940100       658      17680    SHARED   9      17680         0         0
REHABCARE GROUP INC                    COMMON SHS      759148109      7199     338608    SHARED   6     338608         0         0
REHABCARE GROUP INC                    COMMON SHS      759148109      8865     417000    SHARED   A     417000         0         0
RELIANCE STEEL & ALUMINUM CO           COMMON SHS      759509102     53618    1614500    SHARED   4    1614500         0         0
RELIANCE STEEL & ALUMINUM CO           COMMON SHS      759509102     13137     395572    SHARED   6     395572         0         0
RELIANCE STEEL & ALUMINUM CO           COMMON SHS      759509102     19782     595650    SHARED   A     595650         0         0
RELIANT RESOURCES INC                  COMMON SHS      75952B105     52405    7120300    SHARED   5    7120300         0         0
RENT-A-CENTER INC                      COMMON SHS      76009N100     12817     428950    SHARED   A     312950         0    116000
REPSOL YPF SA                          AMER DEP RECPT  76026T205     17183     878920    SHARED   2     327445         0    551475
REPSOL YPF SA                          AMER DEP RECPT  76026T205     17391     889553    SHARED   3     889553         0         0
REPSOL YPF SA                          AMER DEP RECPT  76026T205       138       7050    SHARED   9       7050         0         0
REPUBLIC SERVICES INC                  COMMON SHS      760759100    150455    5870250    SHARED   5    5870250         0         0
REPUBLIC SERVICES INC                  COMMON SHS      760759100       200       7800    SHARED   9       7800         0         0
RESMED INC                             COMMON SHS      761152107     15297     368250    SHARED   9     368250         0         0
RESMED INC                             COMMON SHS      761152107        83       2000    SHARED   A       2000         0         0
RESOURCES CONNECTION INC               COMMON SHS      76122Q105      4506     165000    SHARED   6     165000         0         0
RESOURCES CONNECTION INC               COMMON SHS      76122Q105     27380    1002569    SHARED   A    1002569         0         0
RETEK INC                              COMMON SHS      76128Q109         0          1    SHARED   6          1         0         0
RETEK INC                              COMMON SHS      76128Q109     19679    2120600    SHARED   A    2120600         0         0
REUTERS GROUP PLC                      AMER DEP RECPT  76132M102       876      34509    SHARED   9      34509         0         0
REWARDS NETWORK INC                    COMMON SHS      761557107      4292     402600    SHARED   9     402600         0         0
REWARDS NETWORK INC                    COMMON SHS      761557107        23       2200    SHARED   A       2200         0         0




REYNOLDS & REYNOLDS CO                 COMMON SHS      761695105     85250    2934600    SHARED   4    2934600         0         0
REYNOLDS & REYNOLDS CO                 COMMON SHS      761695105      1213      41741    SHARED   9      41741         0         0
R J REYNOLDS TOBACCO HOLDINGS INC      COMMON SHS      76182K105    170548    2932900    SHARED   5    2932900         0         0
RIO TINTO PLC                          AMER DEP RECPT  767204100         0          1    SHARED   6          1         0         0
RIO TINTO PLC                          AMER DEP RECPT  767204100       312       2800    SHARED   9       2800         0         0
RIO TINTO PLC                          AMER DEP RECPT  767204100       323       2900    SHARED   A       2900         0         0
ROBERT HALF INTL INC                   COMMON SHS      770323103        30       1280    SHARED           1280         0         0
ROBERT HALF INTL INC                   COMMON SHS      770323103         0          1    SHARED   6          1         0         0
ROBERT HALF INTL INC                   COMMON SHS      770323103      7002     300000    SHARED   7     300000         0         0
ROBERT HALF INTL INC                   COMMON SHS      770323103      1887      80850    SHARED   9      80850         0         0
ROBERT HALF INTL INC                   COMMON SHS      770323103     85896    3680200    SHARED   A    3680200         0         0
ROCKWELL AUTOMATION INC                COMMON SHS      773903109      2892      81229    SHARED   6      70394         0     10835
ROCKWELL AUTOMATION INC                COMMON SHS      773903109      3560     100000    SHARED   7     100000         0         0
ROCKWELL AUTOMATION INC                COMMON SHS      773903109        24        675    SHARED   9        675         0         0
ROCKWELL AUTOMATION INC                COMMON SHS      773903109     35988    1010900    SHARED   A    1010900         0         0
ROCKWELL COLLINS INC                   COMMON SHS      774341101      3003     100000    SHARED   7     100000         0         0
ROCKWELL COLLINS INC                   COMMON SHS      774341101        20        675    SHARED   9        675         0         0
ROCKWELL COLLINS INC                   COMMON SHS      774341101     69375    2310195    SHARED   A    2310195         0         0
ROFIN-SINAR TECHNOLOGIES INC           COMMON SHS      775043102      1901      55000    SHARED   4      55000         0         0
ROHM & HAAS CO                         COMMON SHS      775371107      2301      53883    SHARED   9      53883         0         0
ROPER INDUSTRIES INC                   COMMON SHS      776696106     78614    1595900    SHARED   4    1595900         0         0
ROPER INDUSTRIES INC                   COMMON SHS      776696106       153       3101    SHARED   6       3101         0         0
ROPER INDUSTRIES INC                   COMMON SHS      776696106       148       3000    SHARED   9       3000         0         0
ROPER INDUSTRIES INC                   COMMON SHS      776696106     11517     233800    SHARED   A     233800         0         0
ROSS STORES INC                        COMMON SHS      778296103        17        640    SHARED            640         0         0
ROSS STORES INC                        COMMON SHS      778296103         9        347    SHARED   6        347         0         0
ROSS STORES INC                        COMMON SHS      778296103      7812     295560    SHARED   9     295560         0         0
ROSS STORES INC                        COMMON SHS      778296103    142201    5380276    SHARED   A    5193876         0    186400
ROSTELECOM                             AMER DEP RECPT  778529107      3211     256460    SHARED         256460         0         0
ROTO-ROOTER INC                        COMMON SHS      778787101      5258     114050    SHARED   6     114050         0         0
ROTO-ROOTER INC                        COMMON SHS      778787101      1423      30865    SHARED   A      28665         0      2200
ROUSE CO                               REAL EST INV TR 779273101      2736      58213    SHARED   6      58213         0         0
ROUSE CO                               REAL EST INV TR 779273101       344       7325    SHARED   9       7325         0         0
ROUSE CO                               REAL EST INV TR 779273101     37577     799500    SHARED   A     799500         0         0
ROUSE CO                               CONVERT PREF    779273309       325       5300    SHARED   9       5300         0         0
ROWAN COMPANIES INC                    COMMON SHS      779382100      6576     283800    SHARED   4     283800         0         0
ROWAN COMPANIES INC                    COMMON SHS      779382100       292      12600    SHARED   9      12600         0         0
ROWAN COMPANIES INC                    COMMON SHS      779382100     43650    1883900    SHARED   A    1883900         0         0
ROYAL BANK OF CANADA                   ORDINARY SHS    780087102       902      14600    SHARED   2      14600         0         0
ROYAL BANK OF CANADA                   ORDINARY SHS    780087102    169610    2744496    SHARED   8    2499891         0    244605
ROYAL BANK OF CANADA                   COMMON SHS      780087102       206       4320    SHARED   9       4320         0         0
ROYAL DUTCH PETROLEUM CO               NEW YORK SHARES 780257804      9666     184500    SHARED   1     184500         0         0
ROYAL DUTCH PETROLEUM CO               NEW YORK SHARES 780257804      3162      60360    SHARED   2      47000         0     13360
ROYAL DUTCH PETROLEUM CO               NEW YORK SHARES 780257804      8382     160000    SHARED   4     160000         0         0
ROYAL DUTCH PETROLEUM CO               NEW YORK SHARES 780257804     16492     314800    SHARED   5     314800         0         0
ROYAL DUTCH PETROLEUM CO               NEW YORK SHARES 780257804       520       9926    SHARED   6       9926         0         0
ROYAL DUTCH PETROLEUM CO               NEW YORK SHARES 780257804     14669     280000    SHARED   7     280000         0         0




ROYAL DUTCH PETROLEUM CO               NEW YORK SHARES 780257804     59926    1143838    SHARED   9    1143838         0         0
ROYAL DUTCH PETROLEUM CO               NEW YORK SHARES 780257804    170943    3262900    SHARED   A    3262900         0         0
KONINKLIJKE KPN NV                     AMER DEP RECPT  780641205       188      24400    SHARED   9      24400         0         0
RUSSELL METALS INC                     ORDINARY SHS    781903604      1324     150600    SHARED   2     150600         0         0
RUSSELL METALS INC                     ORDINARY SHS    781903604     10999    1251318    SHARED   8    1251318         0         0
RUSS BERRIE & CO INC                   COMMON SHS      782233100     49138    1449500    SHARED   4    1449500         0         0
RUSSELL CORP                           COMMON SHS      782352108      3832     218200    SHARED   4     218200         0         0
RYDER SYSTEMS INC                      COMMON SHS      783549108     15910     465898    SHARED   6     465898         0         0
RYDER SYSTEMS INC                      COMMON SHS      783549108         7        200    SHARED   9        200         0         0
RYDER SYSTEMS INC                      COMMON SHS      783549108         8        241    SHARED   A        241         0         0
S & K FAMOUS BRANDS INC                COMMON SHS      783774102      4485     260000    SHARED   4     260000         0         0
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103     22512     863512    SHARED         583687         0    279825
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103    211073    8096409    SHARED   1    8096409         0         0
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103     17370     666285    SHARED   2     666285         0         0
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103      1598      61312    SHARED   3      61312         0         0
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103       756      29000    SHARED   4      29000         0         0
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103       254       9740    SHARED   6       9740         0         0
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103      9863     378335    SHARED   8     373865         0      4470
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103     50276    1928503    SHARED   9    1928503         0         0
SBC COMMUNICATIONS INC                 COMMON SHS      78387G103    216913    8320388    SHARED   A    8157088         0    163300
SCI SYSTEMS INC                        CONVERTIBLE BD  783890AF3    104168  109650000    SHARED   A  109650000         0         0
SK TELECOM CO LTD                      AMER DEP RECPT  78440P108       604      32400    SHARED              0         0     32400
SK TELECOM CO LTD                      AMER DEP RECPT  78440P108    142983    7666651    SHARED   1    7666651         0         0
SK TELECOM CO LTD                      AMER DEP RECPT  78440P108      1271      68152    SHARED   2      68152         0         0
SK TELECOM CO LTD                      AMER DEP RECPT  78440P108       317      17002    SHARED   9      17002         0         0
SK TELECOM CO LTD                      AMER DEP RECPT  78440P108      3808     204200    SHARED   A     204200         0         0
SL GREEN REALTY CORP                   REAL EST INV TR 78440X101      1769      43092    SHARED   6      43092         0         0
SL GREEN REALTY CORP                   REAL EST INV TR 78440X101       911      22204    SHARED   9      22204         0         0
SL GREEN REALTY CORP                   REAL EST INV TR 78440X101     29223     711900    SHARED   A     711900         0         0
SLM CORP                               COMMON SHS      78442P106      3164      83975    SHARED   9      83975         0         0
SLM CORP                               COMMON SHS      78442P106      1884      50000    SHARED   A      50000         0         0
S & P 500 DEPOSITORY RECEIPT           OPEN END UT TR  78462F103      1791      16095    SHARED   9      16095         0         0
S & P 500 DEPOSITORY RECEIPT           OPEN END UT TR  78462F103     13354     120000    SHARED   A     120000         0         0
SPX CORP                               COMMON SHS      784635104       907      15420    SHARED   9      15420         0         0
SR TELECOM INC                         ORDINARY SHS    78464P208       368      46001    SHARED   2      46001         0         0
SR TELECOM INC                         ORDINARY SHS    78464P208      1337     167169    SHARED   8     167169         0         0
SABRE HOLDINGS CORP                    COMMON SHS      785905100     17272     800000    SHARED   7     800000         0         0
SABRE HOLDINGS CORP                    COMMON SHS      785905100         4        208    SHARED   9        208         0         0
SAFETY INSURANCE GROUP INC             COMMON SHS      78648T100      1625      95000    SHARED   4      95000         0         0
SAFETY INSURANCE GROUP INC             COMMON SHS      78648T100     12451     727680    SHARED   5     727680         0         0
SAFEWAY INC                            COMMON SHS      786514208      2016      92000    SHARED   4      92000         0         0
SAFEWAY INC                            COMMON SHS      786514208     30945    1412375    SHARED   5    1412375         0         0
SAFEWAY INC                            COMMON SHS      786514208         0          1    SHARED   6          1         0         0
SAFEWAY INC                            COMMON SHS      786514208        12        550    SHARED   8        550         0         0
SAFEWAY INC                            COMMON SHS      786514208       928      42345    SHARED   9      42345         0         0
ST JOE COMPANY                         COMMON SHS      790148100     52791    1415700    SHARED   1    1415700         0         0
ST JOE COMPANY                         COMMON SHS      790148100     55294    1482803    SHARED   5    1482803         0         0




ST JOE COMPANY                         COMMON SHS      790148100        37       1000    SHARED   9       1000         0         0
ST JUDE MEDICAL INC                    COMMON SHS      790849103       431       7020    SHARED   9       7020         0         0
ST PAUL COMPANIES INC                  COMMON SHS      792860108     36359     917000    SHARED   4     917000         0         0
ST PAUL COMPANIES INC                  COMMON SHS      792860108      4426     111637    SHARED   6      99822         0     11815
ST PAUL COMPANIES INC                  COMMON SHS      792860108     12537     316181    SHARED   9     316181         0         0
ST PAUL COMPANIES INC                  COMMON SHS      792860108     26153     659600    SHARED   A     659600         0         0
ST PAUL COMPANIES INC                  CONVERT PREF    792860306      2929      39605    SHARED   9      39605         0         0
SAKS INC                               COMMON SHS      79377W108     22686    1508400    SHARED   4    1508400         0         0
SALISBURY BANCORP INC                  COMMON SHS      795226109       362       9310    SHARED   9       9310         0         0
SALIX PHARMACEUTICALS LTD              COMMON SHS      795435106      2029      89485    SHARED   6      89485         0         0
SALIX PHARMACEUTICALS LTD              COMMON SHS      795435106     24738    1091215    SHARED   A    1083215         0      8000
SAN PAOLO-IMI SPA                      AMER DEP RECPT  799175104      8574     330647    SHARED   3     330647         0         0
SANDISK CORP                           COMMON SHS      80004C101      7212     117964    SHARED   A     117964         0         0
SANOFI SYNTHELABO SA                   AMER DEP RECPT  80105N105       523      13852    SHARED          13852         0         0
SANOFI SYNTHELABO SA                   AMER DEP RECPT  80105N105       117       3100    SHARED   9       3100         0         0
SAP AG                                 AMER DEP RECPT  803054204       436      10501    SHARED          10501         0         0
SAP AG                                 AMER DEP RECPT  803054204       593      14280    SHARED   2      14280         0         0
SAP AG                                 AMER DEP RECPT  803054204     57628    1386620    SHARED   9    1386620         0         0
SAP AG                                 AMER DEP RECPT  803054204      3454      83100    SHARED   A      83100         0         0
SAPIENT CORP                           COMMON SHS      803062108     14532    2595000    SHARED   A    2595000         0         0
SARA LEE CORP                          COMMON SHS      803111103        24       1090    SHARED           1090         0         0
SARA LEE CORP                          COMMON SHS      803111103     54275    2500000    SHARED   1    2500000         0         0
SARA LEE CORP                          COMMON SHS      803111103       845      38900    SHARED   2      38900         0         0
SARA LEE CORP                          COMMON SHS      803111103      3973     183000    SHARED   4     183000         0         0
SARA LEE CORP                          COMMON SHS      803111103      4962     228563    SHARED   6     199997         0     28566
SARA LEE CORP                          COMMON SHS      803111103      4456     205259    SHARED   8     205259         0         0
SARA LEE CORP                          COMMON SHS      803111103      4047     186432    SHARED   9     186432         0         0
SARA LEE CORP                          COMMON SHS      803111103     39813    1833845    SHARED   A    1523845         0    310000
SATYAM COMPUTERS SERVICES LTD          AMER DEP RECPT  804098101       361      12316    SHARED           5085         0      7231
SATYAM COMPUTERS SERVICES LTD          AMER DEP RECPT  804098101     56165    1914927    SHARED   1    1901907         0     13020
SATYAM COMPUTERS SERVICES LTD          AMER DEP RECPT  804098101     68324    2329479    SHARED   2    2223899         0    105580
SATYAM COMPUTERS SERVICES LTD          AMER DEP RECPT  804098101      6512     222014    SHARED   3     222014         0         0
SATYAM COMPUTERS SERVICES LTD          AMER DEP RECPT  804098101       314      10714    SHARED   A      10714         0         0
SAXON CAPITAL INC                      COMMON SHS      80556P302     56359    2690185    SHARED   5    2690185         0         0
SCANA CORP                             COMMON SHS      80589M102       687      20072    SHARED   9      20072         0         0
SCANA CORP                             COMMON SHS      80589M102       432      12621    SHARED   A      12621         0         0
HENRY SCHEIN INC                       COMMON SHS      806407102       162       2400    SHARED   9       2400         0         0
HENRY SCHEIN INC                       COMMON SHS      806407102      1608      23800    SHARED   A      20700         0      3100
SCHERING-PLOUGH CORP                   COMMON SHS      806605101         9        530    SHARED            530         0         0
SCHERING-PLOUGH CORP                   COMMON SHS      806605101      2645     152098    SHARED   6     135163         0     16935
SCHERING-PLOUGH CORP                   COMMON SHS      806605101     31302    1800000    SHARED   7    1800000         0         0
SCHERING-PLOUGH CORP                   COMMON SHS      806605101      5310     305342    SHARED   9     305342         0         0
SCHERING-PLOUGH CORP                   COMMON SHS      806605101     28560    1642300    SHARED   A    1401600         0    240700
SCHLUMBERGER LTD                       COMMON SHS      806857108        36        661    SHARED   6        661         0         0
SCHLUMBERGER LTD                       COMMON SHS      806857108     21888     400000    SHARED   7     400000         0         0
SCHLUMBERGER LTD                       COMMON SHS      806857108     32488     593720    SHARED   9     593720         0         0
SCHLUMBERGER LTD                       COMMON SHS      806857108      8241     150600    SHARED   A     150600         0         0




SCHOLASTIC CORP                        COMMON SHS      807066105      5358     157400    SHARED   2     157400         0         0
SCHOLASTIC CORP                        COMMON SHS      807066105       382      11216    SHARED   9      11216         0         0
CHARLES SCHWAB CORP                    COMMON SHS      808513105         0          1    SHARED   6          1         0         0
CHARLES SCHWAB CORP                    COMMON SHS      808513105       567      47850    SHARED   9      47850         0         0
CHARLES SCHWAB CORP                    COMMON SHS      808513105     14274    1205542    SHARED   A    1205542         0         0
SCIENTIFIC GAMES CORP                  COMMON SHS      80874P109       542      31887    SHARED          31887         0         0
SCIENTIFIC GAMES CORP                  COMMON SHS      80874P109      9696     570000    SHARED   9     570000         0         0
SCIENTIFIC GAMES CORP                  COMMON SHS      80874P109        51       3000    SHARED   A       3000         0         0
SCOTTISH POWER PLC                     AMER DEP RECPT  81013T705      1560      57391    SHARED   6      48626         0      8765
SCOTTISH POWER PLC                     AMER DEP RECPT  81013T705       156       5756    SHARED   9       5756         0         0
SCOTTS CO                              COMMON SHS      810186106      8147     137708    SHARED   6     137708         0         0
SCOTTS CO                              COMMON SHS      810186106        71       1200    SHARED   9       1200         0         0
SCOTTS CO                              COMMON SHS      810186106      1597      27000    SHARED   A      27000         0         0
EW SCRIPPS CO                          COMMON SHS      811054204    228718    2429552    SHARED   5    2429552         0         0
SCUDDER HIGH INCOME TR                 CLOSE END MUT F 811153105       224      30000    SHARED   9      30000         0         0
SEACHANGE INTERNATIONAL INC            COMMON SHS      811699107      5393     350200    SHARED   A     350200         0         0
SEALED AIR CORP                        COMMON SHS      81211K100       208       3833    SHARED   9       3833         0         0
SEARS ROEBUCK & CO                     COMMON SHS      812387108      3717      81702    SHARED   8      81702         0         0
SEARS ROEBUCK & CO                     COMMON SHS      812387108      1810      39786    SHARED   9      39786         0         0
SEATTLE GENETICS INC                   COMMON SHS      812578102       858     100001    SHARED   6     100001         0         0
SEATTLE GENETICS INC                   COMMON SHS      812578102      4290     500000    SHARED   A     500000         0         0
AMEX INDUSTRIAL SELECT SPDR FUND       CLOSE END MUT F 81369Y704       305      11400    SHARED   9      11400         0         0
SELECT MEDICAL CORP                    COMMON SHS      816196109      6222     382197    SHARED   9     382197         0         0
SELECT MEDICAL CORP                    COMMON SHS      816196109     17337    1064900    SHARED   A    1052100         0     12800
SELECTIVE INSURANCE GROUP INC          COMMON SHS      816300107     21034     650000    SHARED   4     650000         0         0
SELECTIVE INSURANCE GROUP INC          COMMON SHS      816300107        18        559    SHARED   9        559         0         0
SEMTECH CORP                           COMMON SHS      816850101     24849    1093203    SHARED   6    1093203         0         0
SEMTECH CORP                           COMMON SHS      816850101       189       8300    SHARED   9       8300         0         0
SEMTECH CORP                           COMMON SHS      816850101    168441    7410500    SHARED   A    7410500         0         0
SEMPRA ENERGY                          COMMON SHS      816851109         1         22    SHARED   6         22         0         0
SEMPRA ENERGY                          COMMON SHS      816851109       179       5962    SHARED   9       5962         0         0
SEMPRA ENERGY                          COMMON SHS      816851109    159739    5314000    SHARED   A    5314000         0         0
SEMPRA ENERGY                          CONVERT PREF    816851208     60384    2140000    SHARED   A    2140000         0         0
SENECA FOODS CORP                      COMMON SHS      817070105      2703     121500    SHARED   4     121500         0         0
SENECA FOODS CORP                      COMMON SHS      817070501      5517     256600    SHARED   4     256600         0         0
SENIOR HOUSING PROPERTIES TRUST        REAL EST INV TR 81721M109      1199      69600    SHARED   9      69600         0         0
SERENA SOFTWARE INC                    COMMON SHS      817492101     14137     770400    SHARED   A     770400         0         0
SEROLOGICALS CORP                      COMMON SHS      817523103      1631      87700    SHARED   A      76300         0     11400
SERVICEMASTER CO                       COMMON SHS      81760N109       457      39187    SHARED   9      39187         0         0
SHAW GROUP INC                         COMMON SHS      820280105     17386    1276500    SHARED   4    1276500         0         0
SHAW GROUP INC                         COMMON SHS      820280105      3492     256400    SHARED   A     256400         0         0
SHELL TRANSPORT & TRADING CO PLC       AMER DEP RECPT  822703609     99122    2201240    SHARED   2    2036040         0    165200
SHELL TRANSPORT & TRADING CO PLC       AMER DEP RECPT  822703609     18205     404290    SHARED   3     404290         0         0
SHELL TRANSPORT & TRADING CO PLC       AMER DEP RECPT  822703609      3593      79781    SHARED   6      69554         0     10227
SHELL TRANSPORT & TRADING CO PLC       AMER DEP RECPT  822703609      5007     111200    SHARED   8     111200         0         0
SHELL TRANSPORT & TRADING CO PLC       AMER DEP RECPT  822703609      1076      23889    SHARED   9      23889         0         0
SHELL TRANSPORT & TRADING CO PLC       AMER DEP RECPT  822703609     28126     624600    SHARED   A     624600         0         0




SHERWIN-WILLIAMS CO                    COMMON SHS      824348106       342       9833    SHARED   9       9833         0         0
SHIRE PHARMACEUTICALS GROUP PLC        AMER DEP RECPT  82481R106       250       8590    SHARED   2       8590         0         0
SHIRE PHARMACEUTICALS GROUP PLC        AMER DEP RECPT  82481R106     20090     691551    SHARED   3     691551         0         0
SHIRE PHARMACEUTICALS GROUP PLC        AMER DEP RECPT  82481R106         9        296    SHARED   6        296         0         0
SHIRE PHARMACEUTICALS GROUP PLC        AMER DEP RECPT  82481R106       275       9450    SHARED   9       9450         0         0
SHIRE PHARMACEUTICALS GROUP PLC        AMER DEP RECPT  82481R106     51485    1772284    SHARED   A    1767984         0      4300
SHUFFLE MASTER INC                     COMMON SHS      825549108     10770     311100    SHARED   9     311100         0         0
SHUFFLE MASTER INC                     COMMON SHS      825549108        55       1600    SHARED   A       1600         0         0
SICOR INC                              COMMON SHS      825846108      5103     187600    SHARED   5     187600         0         0
SICOR INC                              COMMON SHS      825846108         0          1    SHARED   6          1         0         0
SICOR INC                              COMMON SHS      825846108      5440     200000    SHARED   A     200000         0         0
SIEBEL SYSTEMS INC                     COMMON SHS      826170102      1226      88425    SHARED   9      88425         0         0
SIEMENS AG                             AMER DEP RECPT  826197501       515       6438    SHARED           6438         0         0
SIEMENS AG                             AMER DEP RECPT  826197501       747       9350    SHARED   9       9350         0         0
SIERRA HEALTH SERVICES INC             COMMON SHS      826322109     13155     479252    SHARED   6     479252         0         0
SIERRA HEALTH SERVICES INC             COMMON SHS      826322109     32690    1190900    SHARED   A    1190900         0         0
SIERRA PACIFIC RESOURCES CO            COMMON SHS      826428104     34513    4702000    SHARED   4    4702000         0         0
SIERRA PACIFIC RESOURCES CO            COMMON SHS      826428104      1576     214716    SHARED   6     214716         0         0
SIERRA PACIFIC RESOURCES CO            COMMON SHS      826428104         3        432    SHARED   9        432         0         0
SIERRA PACIFIC RESOURCES CO            COMMON SHS      826428104     10120    1378809    SHARED   A    1378809         0         0
SIGMA-ALDRICH CORP                     COMMON SHS      826552101     11436     200000    SHARED   7     200000         0         0
SIGMA-ALDRICH CORP                     COMMON SHS      826552101      2057      35970    SHARED   9      35970         0         0
SIGMA-ALDRICH CORP                     COMMON SHS      826552101      7148     125000    SHARED   A     125000         0         0
SIGMATEL INC                           COMMON SHS      82661W107        16        650    SHARED   9        650         0         0
SIGMATEL INC                           COMMON SHS      82661W107      1488      60300    SHARED   A      60300         0         0
SILICON VALLEY BANCSHARES              COMMON SHS      827064106         0          1    SHARED   6          1         0         0
SILICON VALLEY BANCSHARES              COMMON SHS      827064106     23052     639100    SHARED   A     639100         0         0
SIMON PROPERTY GROUP INC               REAL EST INV TR 828806109      4298      92757    SHARED   6      92757         0         0
SIMON PROPERTY GROUP INC               REAL EST INV TR 828806109     10187     219835    SHARED   9     219835         0         0
SIMON PROPERTY GROUP INC               REAL EST INV TR 828806109     64182    1385018    SHARED   A    1385018         0         0
SINCLAIR BROADCAST GROUP INC           COMMON SHS      829226109     19571    1311738    SHARED   5    1311738         0         0
SIRIUS SATELLITE RADIO INC             CONVERTIBLE BD  82966UAA1      1240     500000    SHARED   9     500000         0         0
SIX FLAGS INC                          COMMON SHS      83001P109      4855     645600    SHARED   A     645600         0         0
SKYWEST INC                            COMMON SHS      830879102      9647     532400    SHARED   4     532400         0         0
SKYWEST INC                            COMMON SHS      830879102        14        800    SHARED   9        800         0         0
SKYWEST INC                            COMMON SHS      830879102     25040    1381900    SHARED   A    1381900         0         0
SMITH & NEPHEW PLC                     AMER DEP RECPT  83175M205       300       7148    SHARED           7148         0         0
SMITH & NEPHEW PLC                     AMER DEP RECPT  83175M205       344       8200    SHARED   9       8200         0         0
SMITH INTERNATIONAL INC                COMMON SHS      832110100       274       6600    SHARED   9       6600         0         0
SMITH INTERNATIONAL INC                COMMON SHS      832110100     10936     263388    SHARED   A     263388         0         0
SMUCKER J M CO (THE)                   COMMON SHS      832696405         1         16    SHARED   6         16         0         0
SMUCKER J M CO (THE)                   COMMON SHS      832696405         0          1    SHARED   8          1         0         0
SMUCKER J M CO (THE)                   COMMON SHS      832696405      2182      48180    SHARED   9      48180         0         0
SOCIEDAD QUIMICA Y MINERA DE CHILE SA  DEP RCPT PFD    833635105       233       5600    SHARED   2       5600         0         0
SOCIEDAD QUIMICA Y MINERA DE CHILE SA  DEP RCPT PFD    833635105      3592      86400    SHARED   8      86400         0         0
SOLECTRON CORP                         COMMON SHS      834182107        23       3950    SHARED           3950         0         0
SOLECTRON CORP                         COMMON SHS      834182107         0          1    SHARED   6          1         0         0




SOLECTRON CORP                         COMMON SHS      834182107       627     106164    SHARED   9     106164         0         0
SOLECTRON CORP                         COMMON SHS      834182107      5668     959100    SHARED   A     959100         0         0
SOLUTIA INC                            COMMON SHS      834376105         2       5105    SHARED   6       5105         0         0
SOLUTIA INC                            COMMON SHS      834376105       542    1484900    SHARED   A     783600         0    701300
SONOCO PRODUCTS CO                     COMMON SHS      835495102     11571     470000    SHARED         470000         0         0
SONY CORP                              AMER DEP RECPT  835699307     20366     587425    SHARED   2     579335         0      8090
SONY CORP                              AMER DEP RECPT  835699307     12443     358904    SHARED   3     358904         0         0
SONY CORP                              AMER DEP RECPT  835699307        52       1501    SHARED   6       1501         0         0
SONY CORP                              AMER DEP RECPT  835699307        33        950    SHARED   8        950         0         0
SONY CORP                              AMER DEP RECPT  835699307     13103     377925    SHARED   9     377925         0         0
SONY CORP                              AMER DEP RECPT  835699307      4278     123400    SHARED   A     123400         0         0
SOUTH JERSEY INDUSTRIES INC            COMMON SHS      838518108       386       9537    SHARED   9       9537         0         0
SOUTHERN CO                            COMMON SHS      842587107      1920      63475    SHARED   9      63475         0         0
SOUTHERN CO                            COMMON SHS      842587107    179171    5923000    SHARED   A    5923000         0         0
SOUTHTRUST CORP                        COMMON SHS      844730101      3833     117100    SHARED   5     117100         0         0
SOUTHTRUST CORP                        COMMON SHS      844730101       419      12800    SHARED   9      12800         0         0
SOUTHWEST AIRLINES CO                  COMMON SHS      844741108        22       1360    SHARED           1360         0         0
SOUTHWEST AIRLINES CO                  COMMON SHS      844741108         1         55    SHARED   6         55         0         0
SOUTHWEST AIRLINES CO                  COMMON SHS      844741108      1052      65200    SHARED   7      65200         0         0
SOUTHWEST AIRLINES CO                  COMMON SHS      844741108      7222     447469    SHARED   9     447469         0         0
SOUTHWEST AIRLINES CO                  COMMON SHS      844741108     14655     908000    SHARED   A     908000         0         0
SOVEREIGN BANCORP INC                  COMMON SHS      845905108    272674   11481020    SHARED   5   11481020         0         0
SOVEREIGN BANCORP INC                  COMMON SHS      845905108         0          1    SHARED   6          1         0         0
SOVEREIGN BANCORP INC                  COMMON SHS      845905108        24       1000    SHARED   9       1000         0         0
SOVRAN SELF STORAGE INC                REAL EST INV TR 84610H108       557      15000    SHARED   9      15000         0         0
SPACEHAB INC                           COMMON SHS      846243103       209     136500    SHARED   4     136500         0         0
SPARTON CORP                           COMMON SHS      847235108      1615     160650    SHARED   4     160650         0         0
SPECTRASITE INC                        COMMON SHS      84761M104    104810    3016108    SHARED   5    3016108         0         0
SPECTRASITE INC                        COMMON SHS      84761M104     19006     546948    SHARED   A     546948         0         0
SPINNAKER EXPLORATION CO               COMMON SHS      84855W109      7124     220773    SHARED   6     220773         0         0
SPINNAKER EXPLORATION CO               COMMON SHS      84855W109     35303    1094000    SHARED   A    1094000         0         0
SPRINT CORP                            COMMON SHS      852061100         0          1    SHARED   6          1         0         0
SPRINT CORP                            COMMON SHS      852061100      1637      99675    SHARED   9      99675         0         0
SPRINT CORP                            COMMON SHS      852061100      2709     165000    SHARED   A     165000         0         0
SPRINT CORP (PCS GROUP)                COMMON SHS      852061506         2        286    SHARED   6        286         0         0
SPRINT CORP (PCS GROUP)                COMMON SHS      852061506       164      29266    SHARED   9      29266         0         0
STANCORP FINANCIAL GROUP INC           COMMON SHS      852891100     43406     690300    SHARED   4     690300         0         0
STANDARD COMMERCIAL CORP               COMMON SHS      853258101     10587     527500    SHARED   4     527500         0         0
STANDARD MICROSYSTEMS CORP             COMMON SHS      853626109     11385     450000    SHARED   4     450000         0         0
STANLEY WORKS                          COMMON SHS      854616109      3070      81064    SHARED   6      69666         0     11398
STANLEY WORKS                          COMMON SHS      854616109       206       5430    SHARED   9       5430         0         0
STANLEY WORKS                          COMMON SHS      854616109     15648     413200    SHARED   A     413200         0         0
STAPLES INC                            COMMON SHS      855030102         0          1    SHARED   6          1         0         0
STAPLES INC                            COMMON SHS      855030102     51713    1894255    SHARED   9    1894255         0         0
STARBUCKS CORP                         COMMON SHS      855244109      2252      68130    SHARED   9      68130         0         0
STARBUCKS CORP                         COMMON SHS      855244109      1009      30506    SHARED   A      30506         0         0
STARWOOD HOTELS & RESORTS WORLDWIDE IN COMMON SHS      85590A203      1755      48796    SHARED   6      48796         0         0




STARWOOD HOTELS & RESORTS WORLDWIDE IN COMMON SHS      85590A203        50       1400    SHARED   9       1400         0         0
STARWOOD HOTELS & RESORTS WORLDWIDE IN COMMON SHS      85590A203     21733     604200    SHARED   A     604200         0         0
STATE STREET CORP                      COMMON SHS      857477103     17947     344600    SHARED   4     344600         0         0
STATE STREET CORP                      COMMON SHS      857477103        73       1401    SHARED   6       1401         0         0
STATE STREET CORP                      COMMON SHS      857477103     55539    1066408    SHARED   9    1066408         0         0
STATE STREET CORP                      CONVERT PREF    857477202      7705      31710    SHARED   9      31710         0         0
STATION CASINOS INC                    COMMON SHS      857689103      8246     269200    SHARED   A     269200         0         0
STERIS CORP                            COMMON SHS      859152100      9671     427900    SHARED   4     427900         0         0
STERIS CORP                            COMMON SHS      859152100     11044     488672    SHARED   6     488672         0         0
STERIS CORP                            COMMON SHS      859152100       276      12200    SHARED   9      12200         0         0
STERIS CORP                            COMMON SHS      859152100     31563    1396600    SHARED   A    1387300         0      9300
STEWART & STEVENSON SERVICES INC       COMMON SHS      860342104      2696     191900    SHARED   4     191900         0         0
STILLWATER MINING CO                   COMMON SHS      86074Q102      2424     253246    SHARED   A     253246         0         0
STMICROELECTRONICS NV                  NEW YORK SHARES 861012102       319      11812    SHARED          11812         0         0
STMICROELECTRONICS NV                  NEW YORK SHARES 861012102      1852      68550    SHARED   9      68550         0         0
STMICROELECTRONICS NV                  NEW YORK SHARES 861012102      6561     242900    SHARED   A     242900         0         0
STORA ENSO OYJ                         AMER DEP RECPT  86210M106     14978    1104587    SHARED   3    1104587         0         0
STORAGE TECHNOLOGY CORP                COMMON SHS      862111200         8        300    SHARED   9        300         0         0
STORAGE TECHNOLOGY CORP                COMMON SHS      862111200     11209     435300    SHARED   A     435300         0         0
STRYKER CORP                           COMMON SHS      863667101         0          1    SHARED   6          1         0         0
STRYKER CORP                           COMMON SHS      863667101     17998     211713    SHARED   9     211713         0         0
STRYKER CORP                           COMMON SHS      863667101     11901     140000    SHARED   A     140000         0         0
SUBURBAN PROPANE PARTNERS L P          LTD PARTNERSHIP 864482104       512      16040    SHARED   9      16040         0         0
SUEZ SA                                AMER DEP RECPT  864686100       449      22210    SHARED   2      22210         0         0
SUEZ SA                                AMER DEP RECPT  864686100     17061     844184    SHARED   3     844184         0         0
SUEZ SA                                AMER DEP RECPT  864686100        20       1000    SHARED   9       1000         0         0
SUN COMMUNITIES INC                    REAL EST INV TR 866674104       379       9800    SHARED   9       9800         0         0
SUN COMMUNITIES INC                    REAL EST INV TR 866674104      5422     140100    SHARED   A     140100         0         0
SUN LIFE FINANCIAL INC                 ORDINARY SHS    866796105      1726      53440    SHARED   2      53440         0         0
SUN LIFE FINANCIAL INC                 ORDINARY SHS    866796105     70920    2195680    SHARED   8    1985680         0    210000
SUN LIFE FINANCIAL INC                 COMMON SHS      866796105       143       5720    SHARED   9       5720         0         0
SUN MICROSYSTEMS INC                   COMMON SHS      866810104         0          1    SHARED   6          1         0         0
SUN MICROSYSTEMS INC                   COMMON SHS      866810104      7184    1600000    SHARED   7    1600000         0         0
SUN MICROSYSTEMS INC                   COMMON SHS      866810104      3354     746960    SHARED   9     746960         0         0
SUN MICROSYSTEMS INC                   COMMON SHS      866810104      1235     275000    SHARED   A     275000         0         0
SUN HEALTHCARE GROUP INC               COMMON SHS      866933104         0      20000    SHARED   9      20000         0         0
SUNGARD DATA SYSTEMS INC               COMMON SHS      867363103     13855     500000    SHARED   7     500000         0         0
SUNGARD DATA SYSTEMS INC               COMMON SHS      867363103      1829      66000    SHARED   8      66000         0         0
SUNGARD DATA SYSTEMS INC               COMMON SHS      867363103       238       8600    SHARED   9       8600         0         0
SUNRISE SENIOR LIVING INC              CONVERTIBLE BD  86768KAE6       191     150000    SHARED   9     150000         0         0
SUNTRUST BANKS INC                     COMMON SHS      867914103      4314      60329    SHARED   9      60329         0         0
SUPERCONDUCTOR TECHNOLOGIES INC        COMMON SHS      867931107        60      10791    SHARED   9      10791         0         0
SUPERIOR ENERGY SERVICES INC           COMMON SHS      868157108     10842    1153443    SHARED   6    1153443         0         0
SUPERIOR ENERGY SERVICES INC           COMMON SHS      868157108     24104    2564297    SHARED   A    2564297         0         0
SUPERIOR INDUSTRIES INTL INC           COMMON SHS      868168105     77087    1771300    SHARED   4    1771300         0         0
SUPERIOR INDUSTRIES INTL INC           COMMON SHS      868168105       200       4601    SHARED   6       4601         0         0
SUPERIOR INDUSTRIES INTL INC           COMMON SHS      868168105       601      13800    SHARED   9      13800         0         0




SUPERIOR INDUSTRIES INTL INC           COMMON SHS      868168105     62564    1437600    SHARED   A    1326100         0    111500
SUPERIOR UNIFORM GROUP INC             COMMON SHS      868358102      7954     483500    SHARED   4     483500         0         0
SWIFT ENERGY CO                        COMMON SHS      870738101      3373     200187    SHARED   6     200187         0         0
SWIFT ENERGY CO                        COMMON SHS      870738101     10375     615700    SHARED   A     615700         0         0
SWIFT TRANSPORTATION CO                COMMON SHS      870756103      1400      66580    SHARED   A      66580         0         0
SYMANTEC CORP                          COMMON SHS      871503108         0          1    SHARED   6          1         0         0
SYMANTEC CORP                          COMMON SHS      871503108     62550    1805181    SHARED   9    1805181         0         0
SYMANTEC CORP                          COMMON SHS      871503108     37289    1076160    SHARED   A    1076160         0         0
SYMANTEC CORP                          CONVERTIBLE BD  871503AB4      4113    2000000    SHARED   A    2000000         0         0
SYMBOL TECHNOLOGIES INC                COMMON SHS      871508107       361      21350    SHARED   9      21350         0         0
SYMS CORP                              COMMON SHS      871551107      9853    1430000    SHARED   4    1430000         0         0
SYNOPSYS INC                           COMMON SHS      871607107     35242    1043891    SHARED         855237         0    188654
SYNOPSYS INC                           COMMON SHS      871607107     51311    1519864    SHARED   1    1518684         0      1180
SYNOPSYS INC                           COMMON SHS      871607107     13782     408240    SHARED   2     408240         0         0
SYNOPSYS INC                           COMMON SHS      871607107       846      25053    SHARED   3      25053         0         0
SYNOPSYS INC                           COMMON SHS      871607107         0          1    SHARED   6          1         0         0
SYNOPSYS INC                           COMMON SHS      871607107      9130     270434    SHARED   8     270434         0         0
SYNOPSYS INC                           COMMON SHS      871607107     40770    1207650    SHARED   9    1207650         0         0
SYNOPSYS INC                           COMMON SHS      871607107    142904    4232940    SHARED   A    4232940         0         0
SYSCO CORP                             COMMON SHS      871829107     15403     413732    SHARED   9     413732         0         0
SYSCO CORP                             COMMON SHS      871829107      3371      90538    SHARED   A      90538         0         0
TBC CORP                               COMMON SHS      872180104      5010     194100    SHARED   9     194100         0         0
TBC CORP                               COMMON SHS      872180104        26       1000    SHARED   A       1000         0         0
TCF FINANCIAL CORP                     COMMON SHS      872275102       452       8800    SHARED   9       8800         0         0
TDK CORP                               AMER DEP RECPT  872351408       251       3500    SHARED   9       3500         0         0
TECO ENERGY INC                        COMMON SHS      872375100       461      32000    SHARED   9      32000         0         0
TECO ENERGY INC                        COMMON SHS      872375100    157790   10950000    SHARED   A   10950000         0         0
TEPPCO PARTNERS L.P.                   LTD PARTNERSHIP 872384102       524      13000    SHARED   9      13000         0         0
TJX COMPANIES INC                      COMMON SHS      872540109       838      38000    SHARED   4      38000         0         0
TJX COMPANIES INC                      COMMON SHS      872540109      5513     250000    SHARED   8     250000         0         0
TJX COMPANIES INC                      COMMON SHS      872540109       450      20420    SHARED   9      20420         0         0
TJX COMPANIES INC                      COMMON SHS      872540109      7194     326239    SHARED   A     326239         0         0
TXU CORP                               COMMON SHS      873168108        52       2201    SHARED   6       2201         0         0
TXU CORP                               COMMON SHS      873168108      1314      55414    SHARED   9      55414         0         0
TXU CORP                               COMMON SHS      873168108    128778    5429100    SHARED   A    5429100         0         0
TAIWAN SEMICONDUCTOR MANUFACTURING CO  AMER DEP RECPT  874039100      1382     134916    SHARED         134916         0         0
TAIWAN SEMICONDUCTOR MANUFACTURING CO  AMER DEP RECPT  874039100      3052     298000    SHARED   8     298000         0         0
TAIWAN SEMICONDUCTOR MANUFACTURING CO  AMER DEP RECPT  874039100     69843    6820612    SHARED   9    6820612         0         0
TAIWAN SEMICONDUCTOR MANUFACTURING CO  AMER DEP RECPT  874039100      8800     859340    SHARED   A     859340         0         0
TALISMAN ENERGY INC                    COMMON SHS      87425E103     13018     230000    SHARED         230000         0         0
TALISMAN ENERGY INC                    ORDINARY SHS    87425E103      3125      42500    SHARED   2      42500         0         0
TALISMAN ENERGY INC                    ORDINARY SHS    87425E103     12352     168010    SHARED   8     167930         0        80
TALISMAN ENERGY INC                    COMMON SHS      87425E103       940      16600    SHARED   A      16600         0         0
TANDY BRANDS ACCESSORIES INC           COMMON SHS      875378101      1350      90000    SHARED   4      90000         0         0
TANGER FACTORY OUTLET CENTERS INC      REAL EST INV TR 875465106       539      13250    SHARED   9      13250         0         0
TANOX INC                              COMMON SHS      87588Q109     10949     737300    SHARED   A     737300         0         0
TARGET CORP                            COMMON SHS      87612E106     30215     786848    SHARED         623525         0    163323




TARGET CORP                            COMMON SHS      87612E106     14148     368444    SHARED   1     368444         0         0
TARGET CORP                            COMMON SHS      87612E106     18390     478905    SHARED   2     478905         0         0
TARGET CORP                            COMMON SHS      87612E106      1978      51504    SHARED   3      51504         0         0
TARGET CORP                            COMMON SHS      87612E106         1         30    SHARED   6         30         0         0
TARGET CORP                            COMMON SHS      87612E106      6846     178280    SHARED   8     178280         0         0
TARGET CORP                            COMMON SHS      87612E106      8150     212240    SHARED   9     212240         0         0
TARGET CORP                            COMMON SHS      87612E106     11637     303053    SHARED   A     252953         0     50100
TAUBMAN CENTERS INC                    REAL EST INV TR 876664103      8413     408400    SHARED   A     408400         0         0
TAYLOR CAP GROUP INC                   COMMON SHS      876851106      3953     148456    SHARED   5     148456         0         0
TECHNIP SA                             AMER DEP RECPT  878546209       312      11594    SHARED          11594         0         0
TECUMSEH PRODUCTS CO                   COMMON SHS      878895101     14160     300000    SHARED   4     300000         0         0
TECUMSEH PRODUCTS CO                   COMMON SHS      878895200     37722     778900    SHARED   4     778900         0         0
TECUMSEH PRODUCTS CO                   COMMON SHS      878895200       785      16210    SHARED   6      16210         0         0
TECUMSEH PRODUCTS CO                   COMMON SHS      878895200        10        200    SHARED   9        200         0         0
TEKTRONIX INC                          COMMON SHS      879131100     23495     743524    SHARED   6     743524         0         0
TEKTRONIX INC                          COMMON SHS      879131100       373      11798    SHARED   9      11798         0         0
TEKTRONIX INC                          COMMON SHS      879131100    257294    8142226    SHARED   A    8142226         0         0
TELE NORTE LESTE PARTICIPACOES SA      DEP RCPT PFD    879246106       309      20012    SHARED   1      20012         0         0
TELECOM ARGENTINA STET-FRANCE TELECOM  AMER DEP RECPT  879273209        18       2086    SHARED   9       2086         0         0
TELECOM ARGENTINA STET-FRANCE TELECOM  AMER DEP RECPT  879273209     14875    1700000    SHARED   A    1700000         0         0
TELECOM CORPORATION OF NEW ZEALAND LTD AMER DEP RECPT  879278208      3308     117090    SHARED   2     117090         0         0
TELECOM CORPORATION OF NEW ZEALAND LTD AMER DEP RECPT  879278208        20        700    SHARED   9        700         0         0
TELECOMUNICACOES BRASILEIRAS SA (TELEB DEP RCPT PFD    879287308       216       6380    SHARED   2       5880         0       500
TELEFLEX INC                           COMMON SHS      879369106     41631     861400    SHARED   4     861400         0         0
TELEFLEX INC                           COMMON SHS      879369106       145       3001    SHARED   6       3001         0         0
TELEFLEX INC                           COMMON SHS      879369106     24165     500000    SHARED   7     500000         0         0
TELEFLEX INC                           COMMON SHS      879369106       174       3600    SHARED   9       3600         0         0
TELEFONICA SA                          AMER DEP RECPT  879382208      2945      66638    SHARED          66638         0         0
TELEFONICA SA                          AMER DEP RECPT  879382208      1095      24787    SHARED   1      24787         0         0
TELEFONICA SA                          AMER DEP RECPT  879382208    167381    3787750    SHARED   2    3482453         0    305297
TELEFONICA SA                          AMER DEP RECPT  879382208     22532     509897    SHARED   3     509897         0         0
TELEFONICA SA                          AMER DEP RECPT  879382208    106512    2410326    SHARED   8    2223943         0    186383
TELEFONICA SA                          AMER DEP RECPT  879382208      1338      30279    SHARED   9      30279         0         0
TELEFONICA SA                          AMER DEP RECPT  879382208      5929     134165    SHARED   A     134165         0         0
TELEFONOS DE MEXICO SA (TELMEX)        AMER DEP RECPT  879403780    158301    4792648    SHARED        4398018         0    394630
TELEFONOS DE MEXICO SA (TELMEX)        AMER DEP RECPT  879403780    364472   11034581    SHARED   1   11027301         0      7280
TELEFONOS DE MEXICO SA (TELMEX)        AMER DEP RECPT  879403780    215216    6515779    SHARED   2    6285151         0    230628
TELEFONOS DE MEXICO SA (TELMEX)        AMER DEP RECPT  879403780     18722     566813    SHARED   3     566813         0         0
TELEFONOS DE MEXICO SA (TELMEX)        AMER DEP RECPT  879403780     80716    2443726    SHARED   8    2345726         0     98000
TELEFONOS DE MEXICO SA (TELMEX)        AMER DEP RECPT  879403780      1870      56608    SHARED   9      56608         0         0
TELEFONOS DE MEXICO SA (TELMEX)        AMER DEP RECPT  879403780      7786     235735    SHARED   A     235735         0         0
TELEPHONE & DATA SYSTEMS INC           COMMON SHS      879433100       357       5700    SHARED   9       5700         0         0
TELEMIG CELULAR PARTICIPACOES SA       DEP RCPT PFD    87944E105       390      12140    SHARED   1      12140         0         0
TELEMIG CELULAR PARTICIPACOES SA       DEP RCPT PFD    87944E105      1652      51478    SHARED   2      51478         0         0
TELIK INC                              COMMON SHS      87959M109       575      25001    SHARED   6      25001         0         0
TELIK INC                              COMMON SHS      87959M109       230      10000    SHARED   9      10000         0         0
TELIK INC                              COMMON SHS      87959M109     16254     706400    SHARED   A     706400         0         0




TEMPLE INLAND INC                      COMMON SHS      879868107        13        200    SHARED            200         0         0
TEMPLE INLAND INC                      COMMON SHS      879868107     77868    1242510    SHARED   1    1242510         0         0
TEMPLE INLAND INC                      COMMON SHS      879868107      9602     153210    SHARED   2     153210         0         0
TEMPLE INLAND INC                      COMMON SHS      879868107     10341     165000    SHARED   8     165000         0         0
TEMPLE INLAND INC                      COMMON SHS      879868107      2895      46195    SHARED   9      46195         0         0
TEMPLE INLAND INC                      COMMON SHS      879868107      1404      22400    SHARED   A      22400         0         0
TEMPLETON GLOBAL INCOME FUND INC       CLOSE END MUT F 880198106       286      30054    SHARED   9      30054         0         0
TENARIS SA                             AMER DEP RECPT  88031M109     65647    1970199    SHARED        1789355         0    180844
TENARIS SA                             AMER DEP RECPT  88031M109       350      10500    SHARED   A      10500         0         0
TENET HEALTHCARE CORP                  COMMON SHS      88033G100      3844     239474    SHARED   1     239474         0         0
TENET HEALTHCARE CORP                  COMMON SHS      88033G100       186      11600    SHARED   2      11600         0         0
TENET HEALTHCARE CORP                  COMMON SHS      88033G100         0          1    SHARED   6          1         0         0
TENET HEALTHCARE CORP                  COMMON SHS      88033G100      4422     275500    SHARED   8     275500         0         0
TENET HEALTHCARE CORP                  COMMON SHS      88033G100       155       9650    SHARED   9       9650         0         0
TERADYNE INC                           COMMON SHS      880770102        33       1300    SHARED   9       1300         0         0
TERADYNE INC                           COMMON SHS      880770102      6377     250577    SHARED   A     250577         0         0
TEVA PHARMACEUTICAL INDUSTRIES LTD     AMER DEP RECPT  881624209     21852     385332    SHARED   2     379852         0      5480
TEVA PHARMACEUTICAL INDUSTRIES LTD     AMER DEP RECPT  881624209      2098      37000    SHARED   8      37000         0         0
TEVA PHARMACEUTICAL INDUSTRIES LTD     AMER DEP RECPT  881624209       913      16100    SHARED   9      16100         0         0
TEVA PHARMACEUTICAL INDUSTRIES LTD     AMER DEP RECPT  881624209     11365     200400    SHARED   A     197700         0      2700
TESMA INTERNATIONAL INC                ORDINARY SHS    881908107     20151     688918    SHARED   8     573005         0    115913
TEXAS CAPITAL BANCSHARES INC           COMMON SHS      88224Q107      4541     314000    SHARED   5     314000         0         0
TEXAS CAPITAL BANCSHARES INC           COMMON SHS      88224Q107      5228     361500    SHARED   A     361500         0         0
TEXAS INDUSTRIES INC                   COMMON SHS      882491103     29600     800000    SHARED   4     800000         0         0
TEXAS INSTRUMENTS INC                  COMMON SHS      882508104     15131     515000    SHARED   7     515000         0         0
TEXAS INSTRUMENTS INC                  COMMON SHS      882508104     30956    1053653    SHARED   9    1053653         0         0
TEXAS INSTRUMENTS INC                  COMMON SHS      882508104        65       2227    SHARED   A       2227         0         0
TEXAS REGIONAL BANCSHARES INC          COMMON SHS      882673106      5066     136930    SHARED   9     136930         0         0
TEXAS REGIONAL BANCSHARES INC          COMMON SHS      882673106     20908     565088    SHARED   A     565088         0         0
TEXTRON INC                            COMMON SHS      883203101     29957     525000    SHARED   7     525000         0         0
TEXTRON INC                            COMMON SHS      883203101       151       2640    SHARED   9       2640         0         0
THERMO ELECTRON CORP                   COMMON SHS      883556102        27       1070    SHARED           1070         0         0
THERMO ELECTRON CORP                   COMMON SHS      883556102       779      30911    SHARED   6      30911         0         0
THERMO ELECTRON CORP                   COMMON SHS      883556102       365      14465    SHARED   9      14465         0         0
THERMO ELECTRON CORP                   COMMON SHS      883556102    150201    5960376    SHARED   A    5950076         0     10300
THERMOGENESIS CORP                     COMMON SHS      883623209      1952     376800    SHARED   A     329600         0     47200
THOMAS & BETTS CORP                    COMMON SHS      884315102     28889    1262100    SHARED        1262100         0         0
THOMAS & BETTS CORP                    COMMON SHS      884315102       112       4900    SHARED   1       4900         0         0
THOMAS & BETTS CORP                    COMMON SHS      884315102       456      19940    SHARED   2      19940         0         0
THOMAS & BETTS CORP                    COMMON SHS      884315102     11445     500000    SHARED   7     500000         0         0
THOMAS & BETTS CORP                    COMMON SHS      884315102      1141      49840    SHARED   8      49840         0         0
THOMAS INDUSTRIES INC                  COMMON SHS      884425109      5279     152300    SHARED   4     152300         0         0
THOMSON CORP                           ORDINARY SHS    884903105      6754     143461    SHARED   8     111390         0     32071
THOMSON CORP                           COMMON SHS      884903105      5152     118700    SHARED   9     118700         0         0
THOMSON CORP                           COMMON SHS      884903105      1474      40652    SHARED   A      40652         0         0
THORATEC CORP                          COMMON SHS      885175307       206      15824    SHARED   6      15824         0         0
THORATEC CORP                          COMMON SHS      885175307      5923     455300    SHARED   A     455300         0         0




3COM CORP                              COMMON SHS      885535104         4        500    SHARED   9        500         0         0
3COM CORP                              COMMON SHS      885535104      2715     332300    SHARED   A     332300         0         0
3M CO                                  COMMON SHS      88579Y101         7         86    SHARED   6         86         0         0
3M CO                                  COMMON SHS      88579Y101     68024     800000    SHARED   7     800000         0         0
3M CO                                  COMMON SHS      88579Y101      3035      35692    SHARED   8      21400         0     14292
3M CO                                  COMMON SHS      88579Y101     45513     535256    SHARED   9     535256         0         0
3M CO                                  COMMON SHS      88579Y101       153       1802    SHARED   A       1802         0         0
TIDEWATER INC                          COMMON SHS      886423102      8086     270600    SHARED   4     270600         0         0
TIER TECHNOLOGIES INC                  COMMON SHS      88650Q100      6424     786300    SHARED   9     786300         0         0
TIER TECHNOLOGIES INC                  COMMON SHS      88650Q100        35       4300    SHARED   A       4300         0         0
TIFFANY & CO                           COMMON SHS      886547108        24        520    SHARED            520         0         0
TIFFANY & CO                           COMMON SHS      886547108      6720     148678    SHARED   9     148678         0         0
TIFFANY & CO                           COMMON SHS      886547108     57616    1274696    SHARED   A    1274696         0         0
TIMBERLAND COMPANY                     COMMON SHS      887100105     11851     227600    SHARED   4     227600         0         0
TIMBERLAND COMPANY                     COMMON SHS      887100105       260       5000    SHARED   9       5000         0         0
TIMBERLAND COMPANY                     COMMON SHS      887100105     17785     341556    SHARED   A     341556         0         0
TIME WARNER INC                        COMMON SHS      887317105      4226     234884    SHARED          41090         0    193794
TIME WARNER INC                        COMMON SHS      887317105    157033    8728900    SHARED   1    8728900         0         0
TIME WARNER INC                        COMMON SHS      887317105      8514     473250    SHARED   2     473250         0         0
TIME WARNER INC                        COMMON SHS      887317105     24287    1350000    SHARED   7    1350000         0         0
TIME WARNER INC                        COMMON SHS      887317105     12996     722428    SHARED   9     722428         0         0
TIME WARNER INC                        COMMON SHS      887317105      8774     487700    SHARED   A     280000         0    207700
TIMKEN CO                              COMMON SHS      887389104     30411    1516000    SHARED   4    1516000         0         0
TOLL BROTHERS INC                      COMMON SHS      889478103      3994     100445    SHARED   9     100445         0         0
TOO INC                                COMMON SHS      890333107        95       5650    SHARED   1       5650         0         0
TOO INC                                COMMON SHS      890333107      9228     546700    SHARED   2     546700         0         0
TOO INC                                COMMON SHS      890333107      1357      80378    SHARED   A      80378         0         0
TOOTSIE ROLL INDUSTRIES INC            COMMON SHS      890516107       763      21198    SHARED   7      21198         0         0
TOOTSIE ROLL INDUSTRIES INC            COMMON SHS      890516107      2160      60000    SHARED   9      60000         0         0
TORCHMARK CORP                         COMMON SHS      891027104       774      17005    SHARED   3      17005         0         0
TORCHMARK CORP                         COMMON SHS      891027104       744      16328    SHARED   9      16328         0         0
TORO CO                                COMMON SHS      891092108     15242     328500    SHARED   A     328500         0         0
TORONTO DOMINION BANK                  ORDINARY SHS    891160509       303       6991    SHARED           6991         0         0
TORONTO DOMINION BANK                  ORDINARY SHS    891160509    144848    3346000    SHARED   1    3346000         0         0
TORONTO DOMINION BANK                  ORDINARY SHS    891160509      3445      79585    SHARED   2      79585         0         0
TORONTO DOMINION BANK                  ORDINARY SHS    891160509     17175     396746    SHARED   8     395731         0      1015
TORONTO DOMINION BANK                  COMMON SHS      891160509       223       6666    SHARED   9       6666         0         0
TOTAL SA                               AMER DEP RECPT  89151E109     20197     218318    SHARED   5     218318         0         0
TOTAL SA                               AMER DEP RECPT  89151E109      7734      83600    SHARED   8      83600         0         0
TOTAL SA                               AMER DEP RECPT  89151E109      4936      53352    SHARED   9      53352         0         0
TOUCH AMERICA HOLDINGS, INC.           COMMON SHS      891539108         0      28000    SHARED   9      28000         0         0
TOWER AUTOMOTIVE INC                   COMMON SHS      891707101      1791     262200    SHARED   4     262200         0         0
TOWN & COUNTRY TRUST                   REAL EST INV TR 892081100       900      35500    SHARED   9      35500         0         0
TOYOTA MOTOR CORP                      AMER DEP RECPT  892331307      2179      31700    SHARED   8      31700         0         0
TOYS R US INC                          COMMON SHS      892335100       239      18925    SHARED          18925         0         0
TOYS R US INC                          COMMON SHS      892335100    166859   13200851    SHARED   1   13200851         0         0
TOYS R US INC                          COMMON SHS      892335100      8665     685530    SHARED   2     685530         0         0




TOYS R US INC                          COMMON SHS      892335100      2050     162182    SHARED   3     162182         0         0
TOYS R US INC                          COMMON SHS      892335100     35582    2815000    SHARED   4    2815000         0         0
TOYS R US INC                          COMMON SHS      892335100         0          1    SHARED   6          1         0         0
TOYS R US INC                          COMMON SHS      892335100      1303     103120    SHARED   8     103120         0         0
TOYS R US INC                          COMMON SHS      892335100      1142      90321    SHARED   9      90321         0         0
TPG NV                                 AMER DEP RECPT  892339102     15211     644815    SHARED   3     644815         0         0
TRACTOR SUPPLY CO                      COMMON SHS      892356106      9808     252200    SHARED   A     252200         0         0
TRADESTATION GROUP INC                 COMMON SHS      89267P105       445      50188    SHARED          50188         0         0
TRADESTATION GROUP INC                 COMMON SHS      89267P105      9617    1085400    SHARED   9    1085400         0         0
TRADESTATION GROUP INC                 COMMON SHS      89267P105        52       5900    SHARED   A       5900         0         0
TRANS-LUX CORP                         CONVERTIBLE BD  893247AD8      7520    8000000    SHARED   A    8000000         0         0
TRANSATLANTIC HOLDINGS INC             COMMON SHS      893521104      5256      65052    SHARED   9      65052         0         0
TRANSCANADA CORP                       COMMON SHS      89353D107      1895      88100    SHARED   9      88100         0         0
TRANSGLOBE ENERGY CORP                 COMMON SHS      893662106        59      18650    SHARED   8      18650         0         0
TRANSPRO INC                           COMMON SHS      893885103      1215     290000    SHARED   4     290000         0         0
TRAVELERS PROPERTY CASUALTY CORP       COMMON SHS      89420G109    222170   13240187    SHARED   5   13240187         0         0
TRAVELERS PROPERTY CASUALTY CORP       COMMON SHS      89420G109         4        238    SHARED   6        238         0         0
TRAVELERS PROPERTY CASUALTY CORP       COMMON SHS      89420G109         0          1    SHARED   8          1         0         0
TRAVELERS PROPERTY CASUALTY CORP       COMMON SHS      89420G109       568      33865    SHARED   9      33865         0         0
TRAVELERS PROPERTY CASUALTY CORP       CONVERT PREF    89420G307       559      22800    SHARED   9      22800         0         0
TRAVELERS PROPERTY CASUALTY CORP       CONVERT PREF    89420G307     12373     505000    SHARED   A     505000         0         0
TRAVELERS PROPERTY CASUALTY CORP       COMMON SHS      89420G406       282      16599    SHARED   5      16599         0         0
TRAVELERS PROPERTY CASUALTY CORP       COMMON SHS      89420G406         8        490    SHARED   6        490         0         0
TRAVELERS PROPERTY CASUALTY CORP       COMMON SHS      89420G406       270      15890    SHARED   9      15890         0         0
TRIAD HOSPITALS INC                    COMMON SHS      89579K109      7644     229764    SHARED   2     229764         0         0
TRIAD HOSPITALS INC                    COMMON SHS      89579K109     18991     570800    SHARED   5     570800         0         0
TRIAD HOSPITALS INC                    COMMON SHS      89579K109      3644     109533    SHARED   8     109533         0         0
TRIAD HOSPITALS INC                    COMMON SHS      89579K109        40       1200    SHARED   9       1200         0         0
TRIAD HOSPITALS INC                    COMMON SHS      89579K109     15301     459900    SHARED   A     250100         0    209800
TRIBUNE CO                             COMMON SHS      896047107         1         25    SHARED   6         25         0         0
TRIBUNE CO                             COMMON SHS      896047107      7081     137231    SHARED   9     137231         0         0
TRIBUNE CO                             COMMON SHS      896047107      7905     153200    SHARED   A      94200         0     59000
TRIMBLE NAVIGATION LTD                 COMMON SHS      896239100        26        700    SHARED   9        700         0         0
TRIMBLE NAVIGATION LTD                 COMMON SHS      896239100     56813    1525600    SHARED   A    1525600         0         0
TRIMERIS INC                           COMMON SHS      896263100     24445    1165135    SHARED   A    1165135         0         0
TRINITY INDUSTRIES INC                 COMMON SHS      896522109     55725    1806900    SHARED   4    1806900         0         0
TRINITY INDUSTRIES INC                 COMMON SHS      896522109        96       3098    SHARED   9       3098         0         0
TRIZEC PROPERTIES INC                  REAL EST INV TR 89687P107       757      49156    SHARED   6      49156         0         0
TRIZEC PROPERTIES INC                  REAL EST INV TR 89687P107         8        500    SHARED   9        500         0         0
TRIZEC PROPERTIES INC                  REAL EST INV TR 89687P107     17482    1135200    SHARED   A    1135200         0         0
TRIZEC HAHN CORP                       CONVERTIBLE BD  896938AB3     15578   19750000    SHARED   A   19750000         0         0
TRIPATH IMAGING INC                    COMMON SHS      896942109       268      34310    SHARED   9      34310         0         0
TRUSTCO BANK CORP NY                   COMMON SHS      898349105     13238    1006709    SHARED   4    1006709         0         0
TRUSTCO BANK CORP NY                   COMMON SHS      898349105       171      12986    SHARED   6      12986         0         0
TUESDAY MORNING CORP                   COMMON SHS      899035505     14821     489953    SHARED   6     489953         0         0
TUESDAY MORNING CORP                   COMMON SHS      899035505        30       1000    SHARED   9       1000         0         0
TUESDAY MORNING CORP                   COMMON SHS      899035505    148167    4898095    SHARED   A    4671195         0    226900




TULARIK INC                            COMMON SHS      899165104        28       1758    SHARED   9       1758         0         0
TULARIK INC                            COMMON SHS      899165104     10853     672000    SHARED   A     672000         0         0
TUMBLEWEED SOFTWARE CORP               COMMON SHS      899690101       390      46484    SHARED          46484         0         0
TUMBLEWEED SOFTWARE CORP               COMMON SHS      899690101        45       5400    SHARED   9       5400         0         0
TUMBLEWEED SOFTWARE CORP               COMMON SHS      899690101     10855    1295400    SHARED   A    1295400         0         0
TYCO INTERNATIONAL GROUP SA            CONVERTIBLE BD  902118BE7       683     500000    SHARED   9     500000         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106        81       3075    SHARED           3075         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106     10036     378720    SHARED   1     378720         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106      1104      41655    SHARED   2      41655         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106      2314      87330    SHARED   3      87330         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106         1         55    SHARED   6         55         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106     41076    1550052    SHARED   7    1550052         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106     20444     771461    SHARED   8     771461         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106      4779     180331    SHARED   9     180331         0         0
TYCO INTERNATIONAL LTD                 ORDINARY SHS    902124106      1883      71057    SHARED   A      71057         0         0
UCBH HOLDINGS INC                      COMMON SHS      90262T308       604      15490    SHARED          15490         0         0
UCBH HOLDINGS INC                      COMMON SHS      90262T308      8281     212500    SHARED   9     212500         0         0
UCBH HOLDINGS INC                      COMMON SHS      90262T308     27778     712800    SHARED   A     712800         0         0
UMB FINANCIAL CORP                     COMMON SHS      902788108      4440      93400    SHARED   4      93400         0         0
UMB FINANCIAL CORP                     COMMON SHS      902788108       133       2797    SHARED   9       2797         0         0
US RESTAURANT PROPERTIES INC           REAL EST INV TR 902971100       661      38784    SHARED   6      38784         0         0
US RESTAURANT PROPERTIES INC           REAL EST INV TR 902971100       545      32006    SHARED   9      32006         0         0
US RESTAURANT PROPERTIES INC           REAL EST INV TR 902971100     12780     750000    SHARED   A     750000         0         0
US BANCORP                             COMMON SHS      902973304      7910     265617    SHARED         265617         0         0
US BANCORP                             COMMON SHS      902973304      9013     302652    SHARED   4     302652         0         0
US BANCORP                             COMMON SHS      902973304     17355     582764    SHARED   5     582764         0         0
US BANCORP                             COMMON SHS      902973304      4938     165812    SHARED   6     147621         0     18191
US BANCORP                             COMMON SHS      902973304      7170     240760    SHARED   8     240760         0         0
US BANCORP                             COMMON SHS      902973304     31372    1053457    SHARED   9    1053457         0         0
US BANCORP                             COMMON SHS      902973304     26679     895877    SHARED   A     895877         0         0
URS CORP                               COMMON SHS      903236107      2594     103700    SHARED         103700         0         0
URS CORP                               COMMON SHS      903236107        16        650    SHARED   9        650         0         0
UBIQUITEL INC                          COMMON SHS      903474302         0          1    SHARED   6          1         0         0
UBIQUITEL INC                          COMMON SHS      903474302        27      10000    SHARED   9      10000         0         0
ULTRAPAR PARTICIPACOES SA              AMER DEP RECPT  90400P101      1866     146490    SHARED          79290         0     67200
UMPQUA HOLDINGS CORP                   COMMON SHS      904214103     11736     564500    SHARED   A     564500         0         0
UNIBANCO UNIAO DE BANCOS BRASILEIROS S GLBL DEP RECPT  90458E107     91299    3659297    SHARED        3495717         0    163580
UNIBANCO UNIAO DE BANCOS BRASILEIROS S GLBL DEP RECPT  90458E107      2006      80406    SHARED   1      80406         0         0
UNIBANCO UNIAO DE BANCOS BRASILEIROS S GLBL DEP RECPT  90458E107      1014      40640    SHARED   2      40640         0         0
UNIBANCO UNIAO DE BANCOS BRASILEIROS S GLBL DEP RECPT  90458E107        37       1500    SHARED   9       1500         0         0
UNIFIRST CORP                          COMMON SHS      904708104       315      13280    SHARED   6      13280         0         0
UNILEVER PLC                           AMER DEP RECPT  904767704      3324      88410    SHARED   8      88410         0         0
UNILEVER PLC                           AMER DEP RECPT  904767704       986      26212    SHARED   9      26212         0         0
UNILEVER NV                            NEW YORK SHARES 904784709       165       2540    SHARED   2       2540         0         0
UNILEVER NV                            NEW YORK SHARES 904784709     10468     161302    SHARED   3     161302         0         0
UNILEVER NV                            NEW YORK SHARES 904784709       139       2143    SHARED   6       2143         0         0
UNILEVER NV                            NEW YORK SHARES 904784709       376       5799    SHARED   8       5799         0         0




UNILEVER NV                            NEW YORK SHARES 904784709       390       6014    SHARED   9       6014         0         0
UNION ACCEPTANCE CORP                  COMMON SHS      904832102       288    4794594    SHARED   5    4794594         0         0
UNION PACIFIC CORP                     COMMON SHS      907818108         1         16    SHARED   6         16         0         0
UNION PACIFIC CORP                     COMMON SHS      907818108     20844     300000    SHARED   7     300000         0         0
UNION PACIFIC CORP                     COMMON SHS      907818108     15683     225724    SHARED   9     225724         0         0
UNIONBANCAL CORP                       COMMON SHS      908906100     49646     862800    SHARED   5     862800         0         0
UNIONBANCAL CORP                       COMMON SHS      908906100        29        500    SHARED   9        500         0         0
UNISYS CORP                            COMMON SHS      909214108      2078     139911    SHARED   9     139911         0         0
UNITED DOMINION REALTY TRUST INC       REAL EST INV TR 910197102       277      14417    SHARED   9      14417         0         0
UNITED FIRE & CASUALTY CO              COMMON SHS      910331107      9803     242880    SHARED   5     242880         0         0
UNITED FIRE & CASUALTY CO              CONVERT PREF    910331305      3770     130000    SHARED   5     130000         0         0
UNITED MICROELECTRONICS CORP           AMER DEP RECPT  910873207       348      70403    SHARED   1      70403         0         0
UNITED NATIONAL BANCORP                COMMON SHS      910909100       287       8032    SHARED   9       8032         0         0
UNITED NATURAL FOODS INC               COMMON SHS      911163103       486      13528    SHARED          13528         0         0
UNITED NATURAL FOODS INC               COMMON SHS      911163103     11101     309135    SHARED   9     309135         0         0
UNITED NATURAL FOODS INC               COMMON SHS      911163103     13423     373800    SHARED   A     373800         0         0
UNITED ONLINE INC                      COMMON SHS      911268100       232      13800    SHARED   A      13800         0         0
UNITED PARCEL SERVICE INC              COMMON SHS      911312106         8        107    SHARED            107         0         0
UNITED PARCEL SERVICE INC              COMMON SHS      911312106     84742    1136719    SHARED   9    1136719         0         0
UNITED PARCEL SERVICE INC              COMMON SHS      911312106     14914     200049    SHARED   A     143949         0     56100
UNITED RETAIL GROUP INC                COMMON SHS      911380103      2457     830000    SHARED   4     830000         0         0
UNITED STATES STEEL CORP               COMMON SHS      912909108     86314    2464700    SHARED   4    2464700         0         0
UNITED STATES STEEL CORP               COMMON SHS      912909108       332       9492    SHARED   9       9492         0         0
UNITED STATES STEEL CORP               CONVERT PREF    912909207       591       5000    SHARED   9       5000         0         0
UNITED SURGICAL PARTNERS INTERNATIONAL COMMON SHS      913016309       458      13691    SHARED          13691         0         0
UNITED SURGICAL PARTNERS INTERNATIONAL COMMON SHS      913016309     14889     444722    SHARED   9     444722         0         0
UNITED SURGICAL PARTNERS INTERNATIONAL COMMON SHS      913016309        90       2700    SHARED   A       2700         0         0
UNITED TECHNOLOGIES CORP               COMMON SHS      913017109        31        330    SHARED            330         0         0
UNITED TECHNOLOGIES CORP               COMMON SHS      913017109        10        105    SHARED   6        105         0         0
UNITED TECHNOLOGIES CORP               COMMON SHS      913017109     37908     400000    SHARED   7     400000         0         0
UNITED TECHNOLOGIES CORP               COMMON SHS      913017109     13658     144115    SHARED   8     142540         0      1575
UNITED TECHNOLOGIES CORP               COMMON SHS      913017109     73595     776561    SHARED   9     776561         0         0
UNITED TECHNOLOGIES CORP               COMMON SHS      913017109     56463     595792    SHARED   A     541892         0     53900
UNITED THERAPEUTICS CORP               COMMON SHS      91307C102      7505     327006    SHARED   6     327006         0         0
UNITED THERAPEUTICS CORP               COMMON SHS      91307C102     38932    1696400    SHARED   A    1691400         0      5000
UNITEDHEALTH GROUP INC                 COMMON SHS      91324P102         1         12    SHARED   6         12         0         0
UNITEDHEALTH GROUP INC                 COMMON SHS      91324P102      8040     138192    SHARED   9     138192         0         0
UNITEDHEALTH GROUP INC                 COMMON SHS      91324P102     19781     340000    SHARED   A     340000         0         0
UNITRIN INC                            COMMON SHS      913275103     12811     309367    SHARED   9     309367         0         0
UNIVERSAL CORP                         COMMON SHS      913456109     18481     418400    SHARED   4     418400         0         0
UNIVERSAL CORP                         COMMON SHS      913456109        44       1001    SHARED   6       1001         0         0
UNIVERSAL HEALTH REALTY INCOME TRUST   REAL EST INV TR 91359E105       301      10000    SHARED   9      10000         0         0
UNIVERSAL HEALTH SERVICES INC          COMMON SHS      913903100       231       4300    SHARED   9       4300         0         0
UNIVERSAL HEALTH SERVICES INC          COMMON SHS      913903100     59527    1108089    SHARED   A     972189         0    135900
UNIVERSAL HEALTH SERVICES INC          CONVERTIBLE BD  913903AL4      6638   10000000    SHARED   A   10000000         0         0
UNIVISION COMMUNICATIONS INC           COMMON SHS      914906102        26        650    SHARED            650         0         0
UNIVISION COMMUNICATIONS INC           COMMON SHS      914906102         0          1    SHARED   6          1         0         0




UNIVISION COMMUNICATIONS INC           COMMON SHS      914906102      1191      30001    SHARED   9      30001         0         0
UNIVISION COMMUNICATIONS INC           COMMON SHS      914906102    212356    5350363    SHARED   A    5215763         0    134600
UNOCAL CORP                            COMMON SHS      915289102      1893      51404    SHARED   9      51404         0         0
UNOCAL CORP                            COMMON SHS      915289102      1256      34096    SHARED   A      34096         0         0
UNUMPROVIDENT CORP                     COMMON SHS      91529Y106      1862     118071    SHARED   9     118071         0         0
UNUMPROVIDENT CORP                     CONVERT PREF    91529Y403      5053     150000    SHARED   A     150000         0         0
UPM-KYMMENE CORP                       AMER DEP RECPT  915436109     17813     925366    SHARED   3     925366         0         0
URBAN OUTFITTERS INC                   COMMON SHS      917047102     18166     490300    SHARED   A     490300         0         0
VCA ANTECH INC                         COMMON SHS      918194101     48344    1560500    SHARED   A    1556400         0      4100
V F CORP                               COMMON SHS      918204108     21620     500000    SHARED   7     500000         0         0
V F CORP                               COMMON SHS      918204108       510      11800    SHARED   9      11800         0         0
VALEANT PHARMACEUTICALS INTERNATIONAL  COMMON SHS      91911X104        15        600    SHARED            600         0         0
VALEANT PHARMACEUTICALS INTERNATIONAL  COMMON SHS      91911X104       215       8530    SHARED   1       8530         0         0
VALEANT PHARMACEUTICALS INTERNATIONAL  COMMON SHS      91911X104       749      29800    SHARED   2      29800         0         0
VALEANT PHARMACEUTICALS INTERNATIONAL  COMMON SHS      91911X104    111911    4449753    SHARED   5    4449753         0         0
VALEANT PHARMACEUTICALS INTERNATIONAL  COMMON SHS      91911X104     12523     497930    SHARED   8     497930         0         0
VALERO ENERGY CORP                     COMMON SHS      91913Y100         1         30    SHARED   6         30         0         0
VALERO ENERGY CORP                     COMMON SHS      91913Y100       333       7193    SHARED   9       7193         0         0
VALSPAR CORP                           COMMON SHS      920355104        15        300    SHARED            300         0         0
VALSPAR CORP                           COMMON SHS      920355104     17669     357536    SHARED   6     357536         0         0
VALSPAR CORP                           COMMON SHS      920355104     72845    1474000    SHARED   A    1474000         0         0
VALUECLICK INC                         COMMON SHS      92046N102      1022     112600    SHARED   A     112600         0         0
VARCO INTERNATIONAL INC                COMMON SHS      922122106      2696     130700    SHARED         130700         0         0
VARCO INTERNATIONAL INC                COMMON SHS      922122106     26243    1272100    SHARED   1    1272100         0         0
VARCO INTERNATIONAL INC                COMMON SHS      922122106     13333     646282    SHARED   6     646282         0         0
VARCO INTERNATIONAL INC                COMMON SHS      922122106    108039    5236981    SHARED   A    5236981         0         0
VARIAN INC                             COMMON SHS      922206107     21813     522723    SHARED   6     522723         0         0
VARIAN INC                             COMMON SHS      922206107    167275    4008500    SHARED   A    4008500         0         0
VARIAN SEMICONDUCTOR EQUIPMENT ASSOCIA COMMON SHS      922207105     27090     620058    SHARED   6     620058         0         0
VARIAN SEMICONDUCTOR EQUIPMENT ASSOCIA COMMON SHS      922207105    185364    4242700    SHARED   A    4242700         0         0
VARIAN MEDICAL SYSTEMS INC             COMMON SHS      92220P105        17        250    SHARED            250         0         0
VARIAN MEDICAL SYSTEMS INC             COMMON SHS      92220P105         0          1    SHARED   6          1         0         0
VARIAN MEDICAL SYSTEMS INC             COMMON SHS      92220P105        84       1220    SHARED   9       1220         0         0
VARIAN MEDICAL SYSTEMS INC             COMMON SHS      92220P105    171708    2484916    SHARED   A    2484916         0         0
VECTREN CORP                           COMMON SHS      92240G101        39       1598    SHARED   9       1598         0         0
VECTREN CORP                           COMMON SHS      92240G101     22185     900000    SHARED   A     900000         0         0
VENTAS INC                             REAL EST INV TR 92276F100       701      31842    SHARED          31842         0         0
VENTAS INC                             REAL EST INV TR 92276F100    108542    4933730    SHARED   5    4933730         0         0
VENTAS INC                             REAL EST INV TR 92276F100      1648      74928    SHARED   6      74928         0         0
VENTAS INC                             REAL EST INV TR 92276F100     17067     775750    SHARED   9     775750         0         0
VENTAS INC                             REAL EST INV TR 92276F100     25395    1154300    SHARED   A    1154300         0         0
VENTANA MEDICAL SYSTEMS INC            COMMON SHS      92276H106         0          1    SHARED   6          1         0         0
VENTANA MEDICAL SYSTEMS INC            COMMON SHS      92276H106        39       1000    SHARED   9       1000         0         0
VENTANA MEDICAL SYSTEMS INC            COMMON SHS      92276H106      3491      88600    SHARED   A      88600         0         0
VERITAS SOFTWARE CORP                  COMMON SHS      923436109         1         27    SHARED   6         27         0         0
VERITAS SOFTWARE CORP                  COMMON SHS      923436109       353       9504    SHARED   9       9504         0         0
VERITAS SOFTWARE CORP                  COMMON SHS      923436109     17239     463900    SHARED   A     463900         0         0




VERITY INC                             COMMON SHS      92343C106       281      16853    SHARED   6      16853         0         0
VERITY INC                             COMMON SHS      92343C106     71290    4271400    SHARED   A    4271400         0         0
VERISIGN INC                           COMMON SHS      92343E102     30189    1852080    SHARED   1    1852080         0         0
VERISIGN INC                           COMMON SHS      92343E102      1946     119370    SHARED   2     119370         0         0
VERISIGN INC                           COMMON SHS      92343E102         0          1    SHARED   6          1         0         0
VERISIGN INC                           COMMON SHS      92343E102        11        700    SHARED   9        700         0         0
VERISIGN INC                           COMMON SHS      92343E102      6161     378000    SHARED   A     378000         0         0
VERIZON COMMUNICATIONS                 COMMON SHS      92343V104      1298      37000    SHARED   4      37000         0         0
VERIZON COMMUNICATIONS                 COMMON SHS      92343V104      4455     126995    SHARED   6     112388         0     14607
VERIZON COMMUNICATIONS                 COMMON SHS      92343V104     12825     365579    SHARED   8     353070         0     12509
VERIZON COMMUNICATIONS                 COMMON SHS      92343V104     61783    1761215    SHARED   9    1761215         0         0
VERIZON COMMUNICATIONS                 COMMON SHS      92343V104    230283    6564507    SHARED   A    6295907         0    268600
VERINT SYSTEMS INC                     COMMON SHS      92343X100      6685     296300    SHARED   A     296300         0         0
VIACOM INC                             COMMON SHS      925524100      8854     200000    SHARED   7     200000         0         0
VIACOM INC                             COMMON SHS      925524100      7831     176888    SHARED   9     176888         0         0
VIACOM INC                             COMMON SHS      925524100       766      17300    SHARED   A      17300         0         0
VIACOM INC                             COMMON SHS      925524308      1136      25588    SHARED          25588         0         0
VIACOM INC                             COMMON SHS      925524308         1         25    SHARED   6         25         0         0
VIACOM INC                             COMMON SHS      925524308      4438     100000    SHARED   7     100000         0         0
VIACOM INC                             COMMON SHS      925524308     85940    1936467    SHARED   9    1936467         0         0
VIACOM INC                             COMMON SHS      925524308     32545     733328    SHARED   A     733328         0         0
VIASAT INC                             COMMON SHS      92552V100     11329     591900    SHARED   A     591900         0         0
VICURON PHARMACEUTICALS INC            COMMON SHS      926471103      1119      60001    SHARED   6      60001         0         0
VICURON PHARMACEUTICALS INC            COMMON SHS      926471103     13488     723200    SHARED   A     723200         0         0
VILLAGE SUPER MARKET INC               COMMON SHS      927107409      3404     110675    SHARED   4     110675         0         0
VISHAY INTERTECHNOLOGY INC             COMMON SHS      928298108        33       1431    SHARED   9       1431         0         0
VISHAY INTERTECHNOLOGY INC             COMMON SHS      928298108      4078     178100    SHARED   A     178100         0         0
VISTEON CORP                           COMMON SHS      92839U107       110      10608    SHARED   9      10608         0         0
VITESSE SEMICONDUCTOR CORP             COMMON SHS      928497106     52633    8966500    SHARED   A    8966500         0         0
VODAFONE GROUP PLC                     AMER DEP RECPT  92857W100       476      19014    SHARED          19014         0         0
VODAFONE GROUP PLC                     AMER DEP RECPT  92857W100       140       5601    SHARED   6       5601         0         0
VODAFONE GROUP PLC                     AMER DEP RECPT  92857W100     19247     768639    SHARED   9     768639         0         0
VODAFONE GROUP PLC                     AMER DEP RECPT  92857W100     24068     961200    SHARED   A     961200         0         0
VOLVO AB                               AMER DEP RECPT  928856400      1391      45353    SHARED   2      44103         0      1250
VOLVO AB                               AMER DEP RECPT  928856400     15269     498011    SHARED   3     498011         0         0
VOLVO AB                               AMER DEP RECPT  928856400        61       2000    SHARED   9       2000         0         0
VORNADO REALTY TRUST                   REAL EST INV TR 929042109      5984     109299    SHARED   6     103034         0      6265
VORNADO REALTY TRUST                   REAL EST INV TR 929042109      2034      37150    SHARED   9      37150         0         0
VORNADO REALTY TRUST                   REAL EST INV TR 929042109     81408    1486900    SHARED   A    1486900         0         0
WFS FINANCIAL INC                      COMMON SHS      92923B106      6021     141800    SHARED   A     141800         0         0
WPP GROUP PLC                          AMER DEP RECPT  929309300       539      10972    SHARED          10972         0         0
WPP GROUP PLC                          AMER DEP RECPT  929309300        21        431    SHARED   3        431         0         0
WPP GROUP PLC                          AMER DEP RECPT  929309300      3246      66050    SHARED   8      66050         0         0
WPP GROUP PLC                          AMER DEP RECPT  929309300       152       3085    SHARED   9       3085         0         0
WACHOVIA CORP                          COMMON SHS      929903102      1398      30000    SHARED   4      30000         0         0
WACHOVIA CORP                          COMMON SHS      929903102      5549     119100    SHARED   5     119100         0         0
WACHOVIA CORP                          COMMON SHS      929903102         0          1    SHARED   6          1         0         0




WACHOVIA CORP                          COMMON SHS      929903102     42724     917030    SHARED   9     917030         0         0
WACHOVIA CORP                          COMMON SHS      929903102        16        335    SHARED   A        335         0         0
WADDELL & REED FINANCIAL INC           COMMON SHS      930059100       239      10200    SHARED   9      10200         0         0
WADDELL & REED FINANCIAL INC           COMMON SHS      930059100      7005     298600    SHARED   A     298600         0         0
WAL-MART STORES INC                    COMMON SHS      931142103        22        407    SHARED            407         0         0
WAL-MART STORES INC                    COMMON SHS      931142103       149       2803    SHARED   6       2803         0         0
WAL-MART STORES INC                    COMMON SHS      931142103     17111     322545    SHARED   8     320380         0      2165
WAL-MART STORES INC                    COMMON SHS      931142103     50274     947680    SHARED   9     947680         0         0
WAL-MART STORES INC                    COMMON SHS      931142103    132459    2496870    SHARED   A    2153070         0    343800
WALGREEN CO                            COMMON SHS      931422109      1030      28307    SHARED          28307         0         0
WALGREEN CO                            COMMON SHS      931422109         5        145    SHARED   8          0         0       145
WALGREEN CO                            COMMON SHS      931422109     55930    1537392    SHARED   9    1537392         0         0
WALGREEN CO                            COMMON SHS      931422109       655      17997    SHARED   A      17997         0         0
WALTER INDUSTRIES INC                  COMMON SHS      93317Q105      2530     189505    SHARED   A     189505         0         0
WASHINGTON MUTUAL INC                  COMMON SHS      939322103     87953    2192250    SHARED   4    2192250         0         0
WASHINGTON MUTUAL INC                  COMMON SHS      939322103      5333     132920    SHARED   6     116598         0     16322
WASHINGTON MUTUAL INC                  COMMON SHS      939322103     11481     286160    SHARED   8     275250         0     10910
WASHINGTON MUTUAL INC                  COMMON SHS      939322103     12309     306805    SHARED   9     306805         0         0
WASHINGTON MUTUAL INC                  COMMON SHS      939322103     46410    1156775    SHARED   A     990775         0    166000
WASHINGTON POST CO                     COMMON SHS      939640108    438826     554493    SHARED   5     554493         0         0
WASHINGTON POST CO                     COMMON SHS      939640108      1630       2060    SHARED   9       2060         0         0
WASHINGTON REAL ESTATE INVESTMENT TRUS REAL EST INV TR 939653101       274       9381    SHARED   9       9381         0         0
WASTE CONNECTIONS INC                  COMMON SHS      941053100     11948     316337    SHARED   6     316337         0         0
WASTE CONNECTIONS INC                  COMMON SHS      941053100     59756    1582100    SHARED   A    1571500         0     10600
WASTE CONNECTIONS INC                  CONVERTIBLE BD  941053AB6      4335    4000000    SHARED   A    4000000         0         0
WASTE MANAGEMENT INC                   COMMON SHS      94106L109     21164     715000    SHARED         715000         0         0
WASTE MANAGEMENT INC                   COMMON SHS      94106L109    119336    4031631    SHARED   1    4031631         0         0
WASTE MANAGEMENT INC                   COMMON SHS      94106L109       346      11697    SHARED   9      11697         0         0
WATERS CORP                            COMMON SHS      941848103       281       8489    SHARED   6       8489         0         0
WATERS CORP                            COMMON SHS      941848103     16580     500000    SHARED   7     500000         0         0
WATERS CORP                            COMMON SHS      941848103      1045      31500    SHARED   9      31500         0         0
WATERS CORP                            COMMON SHS      941848103    102667    3096100    SHARED   A    2926100         0    170000
WATSON PHARMACEUTICALS INC             COMMON SHS      942683103         0          1    SHARED   6          1         0         0
WATSON PHARMACEUTICALS INC             COMMON SHS      942683103       138       3000    SHARED   9       3000         0         0
WATSON PHARMACEUTICALS INC             COMMON SHS      942683103     52302    1137000    SHARED   A    1137000         0         0
WATTS WATER TECHNOLOGIES INC           COMMON SHS      942749102      6498     292700    SHARED   4     292700         0         0
WATTS WATER TECHNOLOGIES INC           COMMON SHS      942749102        36       1601    SHARED   6       1601         0         0
WAYPOINT FINANCIAL CORP                COMMON SHS      946756103      4310     198730    SHARED   5     198730         0         0
WEBEX COMMUNICATIONS INC               COMMON SHS      94767L109       302      15000    SHARED   9      15000         0         0
WEBSENSE INC                           COMMON SHS      947684106      5339     182600    SHARED   9     182600         0         0
WEBSENSE INC                           COMMON SHS      947684106        29       1000    SHARED   A       1000         0         0
WEBMETHODS INC                         COMMON SHS      94768C108     10816    1182066    SHARED   6    1182066         0         0
WEBMETHODS INC                         COMMON SHS      94768C108      2671     291900    SHARED   9     291900         0         0
WEBMETHODS INC                         COMMON SHS      94768C108     11147    1218200    SHARED   A    1218200         0         0
WEBMD CORP                             COMMON SHS      94769M105       178      19748    SHARED   9      19748         0         0
WEINGARTEN REALTY INVESTORS            REAL EST INV TR 948741103       435       9800    SHARED   9       9800         0         0
WELLPOINT HEALTH NETWORKS INC          COMMON SHS      94973H108      3630      37430    SHARED   2      37430         0         0




WELLPOINT HEALTH NETWORKS INC          COMMON SHS      94973H108     10068     103800    SHARED   5     103800         0         0
WELLPOINT HEALTH NETWORKS INC          COMMON SHS      94973H108         0          1    SHARED   6          1         0         0
WELLPOINT HEALTH NETWORKS INC          COMMON SHS      94973H108      4862      50132    SHARED   8      50132         0         0
WELLPOINT HEALTH NETWORKS INC          COMMON SHS      94973H108       631       6505    SHARED   9       6505         0         0
WELLPOINT HEALTH NETWORKS INC          COMMON SHS      94973H108      3395      35000    SHARED   A      35000         0         0
WELLS FARGO & CO                       COMMON SHS      949746101        29        500    SHARED            500         0         0
WELLS FARGO & CO                       COMMON SHS      949746101      4483      76119    SHARED   6      65516         0     10603
WELLS FARGO & CO                       COMMON SHS      949746101     14105     239519    SHARED   8     228385         0     11134
WELLS FARGO & CO                       COMMON SHS      949746101     69095    1173287    SHARED   9    1173287         0         0
WELLS FARGO & CO                       COMMON SHS      949746101    103964    1765389    SHARED   A    1662089         0    103300
WENDYS INTERNATIONAL INC               COMMON SHS      950590109      2104      53630    SHARED   9      53630         0         0
WESCAST INDUSTRIES INC                 ORDINARY SHS    950813105      8863     233244    SHARED   8     224100         0      9144
WEST MARINE INC                        COMMON SHS      954235107     11452     411800    SHARED   4     411800         0         0
WEST MARINE INC                        COMMON SHS      954235107     12661     455275    SHARED   9     455275         0         0
WEST MARINE INC                        COMMON SHS      954235107        56       2000    SHARED   A       2000         0         0
WEST PHARMACEUTICAL SERVICES INC       COMMON SHS      955306105     56420    1664300    SHARED   4    1664300         0         0
WEST PHARMACEUTICAL SERVICES INC       COMMON SHS      955306105        20        600    SHARED   9        600         0         0
WESTCORP                               COMMON SHS      957907108     10217     279545    SHARED   6     279545         0         0
WESTCORP                               COMMON SHS      957907108      4441     121500    SHARED   A     121500         0         0
WESTERN DIGITAL CORP                   COMMON SHS      958102105      2304     195400    SHARED   A     195400         0         0
WESTERN WIRELESS CORP                  COMMON SHS      95988E204      8918     485734    SHARED   6     485734         0         0
WESTERN WIRELESS CORP                  COMMON SHS      95988E204      4142     225600    SHARED   A     225600         0         0
WESTPAC BANKING CORP                   AMER DEP RECPT  961214301       446       7387    SHARED   9       7387         0         0
WESTPORT RESOURCES CORP                COMMON SHS      961418100       424      14199    SHARED          14199         0         0
WESTPORT RESOURCES CORP                COMMON SHS      961418100     12518     419227    SHARED   6     419227         0         0
WESTPORT RESOURCES CORP                COMMON SHS      961418100      9648     323100    SHARED   9     323100         0         0
WESTPORT RESOURCES CORP                COMMON SHS      961418100      1093      36600    SHARED   A      36600         0         0
WET SEAL INC                           COMMON SHS      961840105       252      25466    SHARED   6      25466         0         0
WEYERHAEUSER CO                        COMMON SHS      962166104        17        270    SHARED            270         0         0
WEYERHAEUSER CO                        COMMON SHS      962166104       807      12613    SHARED   3      12613         0         0
WEYERHAEUSER CO                        COMMON SHS      962166104         2         35    SHARED   6         35         0         0
WEYERHAEUSER CO                        COMMON SHS      962166104      1397      21827    SHARED   9      21827         0         0
WHEATON RIV MINERALS LTD               ORDINARY SHS    962902102     32195    8319014    SHARED   5    8319014         0         0
WHEATON RIV MINERALS LTD               ORDINARY SHS    962902102     20318    5250000    SHARED   A    5250000         0         0
WHEATON RIV MINERALS LTD               WTS TO EQUITY   962902177     10395    4499999    SHARED   5    4499999         0         0
WHEATON RIV MINERALS LTD               WTS TO EQUITY   962902177      3032    1312500    SHARED   A    1312500         0         0
WHITING PETROLEUM CORP                 COMMON SHS      966387102       473      25700    SHARED   A      25700         0         0
WHITNEY HOLDING CORP                   COMMON SHS      966612103       200       4887    SHARED   9       4887         0         0
WHOLE FOODS MARKET INC                 COMMON SHS      966837106       853      12709    SHARED          12709         0         0
WHOLE FOODS MARKET INC                 COMMON SHS      966837106         0          1    SHARED   6          1         0         0
WHOLE FOODS MARKET INC                 COMMON SHS      966837106     30521     454662    SHARED   9     454662         0         0
WILLIAMS COMMUNICATIONS GROUP INC      COMMON SHS      969455104         0      28835    SHARED   9      28835         0         0
WILLIAMS-SONOMA INC                    COMMON SHS      969904101         0          1    SHARED   6          1         0         0
WILLIAMS-SONOMA INC                    COMMON SHS      969904101      4358     125350    SHARED   9     125350         0         0
WILLIAMS-SONOMA INC                    COMMON SHS      969904101      3008      86500    SHARED   A      86500         0         0
WILMINGTON TRUST CORP                  COMMON SHS      971807102      9302     258400    SHARED   4     258400         0         0
WILMINGTON TRUST CORP                  COMMON SHS      971807102       137       3801    SHARED   6       3801         0         0




WILMINGTON TRUST CORP                  COMMON SHS      971807102       569      15802    SHARED   9      15802         0         0
WILSHIRE FINANCIAL SERVICES GROUP INC  COMMON SHS      971867205      4535     757100    SHARED   4     757100         0         0
WILSON GREATBATCH TECHNOLOGIES INC     COMMON SHS      972232102     11186     264631    SHARED   6     264631         0         0
WILSON GREATBATCH TECHNOLOGIES INC     COMMON SHS      972232102     36061     853100    SHARED   A     849400         0      3700
WINDROSE MEDICAL PROPERTIES            REAL EST INV TR 973491103       285      22983    SHARED   6      22983         0         0
WINDROSE MEDICAL PROPERTIES            REAL EST INV TR 973491103      6391     515000    SHARED   A     515000         0         0
WINNEBAGO INDUSTRIES INC               COMMON SHS      974637100      2069      30100    SHARED   A      30100         0         0
WIPRO LTD                              AMER DEP RECPT  97651M109       825      17125    SHARED   9      17125         0         0
WIRELESS FACILITIES INC                COMMON SHS      97653A103      9941     669000    SHARED   9     669000         0         0
WIRELESS FACILITIES INC                COMMON SHS      97653A103        53       3600    SHARED   A       3600         0         0
WISCONSIN ENERGY CORP                  COMMON SHS      976657106        27        801    SHARED   6        801         0         0
WISCONSIN ENERGY CORP                  COMMON SHS      976657106      3266      97625    SHARED   9      97625         0         0
WOLVERINE WORLD WIDE INC               COMMON SHS      978097103      1172      57500    SHARED   4      57500         0         0
WORLDCOM INC                           COMMON SHS      98157D106         0      17775    SHARED   9      17775         0         0
WM WRIGLEY JR CO                       COMMON SHS      982526105      1573      27985    SHARED   9      27985         0         0
WM WRIGLEY JR CO                       COMMON SHS      982526105      4896      87100    SHARED   A      87100         0         0
WYETH                                  COMMON SHS      983024100        48       1130    SHARED           1130         0         0
WYETH                                  COMMON SHS      983024100     43043    1013980    SHARED   5    1013980         0         0
WYETH                                  COMMON SHS      983024100      4383     103260    SHARED   6      93273         0      9987
WYETH                                  COMMON SHS      983024100     25470     600000    SHARED   7     600000         0         0
WYETH                                  COMMON SHS      983024100     15865     373735    SHARED   8     372125         0      1610
WYETH                                  COMMON SHS      983024100     20834     490796    SHARED   9     490796         0         0
WYETH                                  COMMON SHS      983024100     92988    2190535    SHARED   A    1892035         0    298500
XM SATELLITE RADIO HOLDINGS INC        COMMON SHS      983759101       266      10100    SHARED   9      10100         0         0
XCEL ENERGY INC                        COMMON SHS      98389B100     14908     878000    SHARED   4     878000         0         0
XCEL ENERGY INC                        COMMON SHS      98389B100       217      12799    SHARED   9      12799         0         0
XCEL ENERGY INC                        COMMON SHS      98389B100     98689    5812050    SHARED   A    5812050         0         0
XANSER CORP                            COMMON SHS      98389J103      6636    2800000    SHARED   4    2800000         0         0
XILINX INC                             COMMON SHS      983919101        21        550    SHARED            550         0         0
XILINX INC                             COMMON SHS      983919101         0          1    SHARED   6          1         0         0
XILINX INC                             COMMON SHS      983919101       908      23440    SHARED   9      23440         0         0
XILINX INC                             COMMON SHS      983919101     83124    2145690    SHARED   A    1920200         0    225490
XEROX CORP                             COMMON SHS      984121103       898      65064    SHARED   9      65064         0         0
YAHOO INC                              COMMON SHS      984332106         2         36    SHARED   6         36         0         0
YAHOO INC                              COMMON SHS      984332106     36136     800000    SHARED   7     800000         0         0
YAHOO INC                              COMMON SHS      984332106       307       6792    SHARED   9       6792         0         0
YAHOO INC                              COMMON SHS      984332106     52282    1157449    SHARED   A    1157449         0         0
YAMANA GOLD INC                        ORDINARY SHS    98462Y100      7130    2300000    SHARED   A    2300000         0         0
XICOR INC                              COMMON SHS      984903104      5634     496828    SHARED   6     496828         0         0
XICOR INC                              COMMON SHS      984903104     34652    3055728    SHARED   A    3055728         0         0
YORK INTERNATIONAL CORP                COMMON SHS      986670107     14131     384000    SHARED   4     384000         0         0
YUM! BRANDS INC                        COMMON SHS      988498101       970      28197    SHARED   9      28197         0         0
ZALE CORP                              COMMON SHS      988858106     40661     764300    SHARED   4     764300         0         0
ZENITH NATIONAL INSURANCE CORP         COMMON SHS      989390109       212       6525    SHARED   9       6525         0         0
ZIMMER HOLDINGS INC                    COMMON SHS      98956P102        16        228    SHARED   6        228         0         0
ZIMMER HOLDINGS INC                    COMMON SHS      98956P102      4506      64000    SHARED   7      64000         0         0
ZIMMER HOLDINGS INC                    COMMON SHS      98956P102     14386     204341    SHARED   9     204341         0         0




ZIMMER HOLDINGS INC                    COMMON SHS      98956P102      9856     140000    SHARED   A     140000         0         0
ZYGO CORP                              COMMON SHS      989855101       326      19751    SHARED   6      19751         0         0
CELANESE AG                            ORDINARY SHS    D1497A101     16276     400000    SHARED   4     400000         0         0
CELANESE AG                            ORDINARY SHS    D1497A101      1863      45773    SHARED   A      45773         0         0
DAIMLERCHRYSLER AG                     ORDINARY SHS    D1668R123      1317      28496    SHARED   9      28496         0         0
DEUTSCHE BANK AG                       ORDINARY SHS    D18190898       329       4000    SHARED   9       4000         0         0
ACE LTD                                ORDINARY SHS    G0070K103     22625     546235    SHARED         329337         0    216898
ACE LTD                                ORDINARY SHS    G0070K103    596387   14398516    SHARED   1   14392066         0      6450
ACE LTD                                ORDINARY SHS    G0070K103    216555    5228280    SHARED   2    5034736         0    193544
ACE LTD                                ORDINARY SHS    G0070K103     32796     791785    SHARED   8     746885         0     44900
ACE LTD                                ORDINARY SHS    G0070K103      1038      25070    SHARED   9      25070         0         0
ACE LTD                                ORDINARY SHS    G0070K103      1765      42617    SHARED   A      42617         0         0
AMDOCS LTD                             COMMON SHS      G02602103        45       2000    SHARED   9       2000         0         0
AMDOCS LTD                             COMMON SHS      G02602103     42292    1881300    SHARED   A    1881300         0         0
AXIS CAPITAL HOLDINGS LTD              COMMON SHS      G0692U109       386      13188    SHARED          13188         0         0
AXIS CAPITAL HOLDINGS LTD              COMMON SHS      G0692U109      4274     145980    SHARED   2     132880         0     13100
AXIS CAPITAL HOLDINGS LTD              COMMON SHS      G0692U109        15        500    SHARED   9        500         0         0
ACCENTURE LTD                          COMMON SHS      G1150G111      1193      45344    SHARED          45344         0         0
ACCENTURE LTD                          COMMON SHS      G1150G111      2044      77649    SHARED   1      77649         0         0
ACCENTURE LTD                          COMMON SHS      G1150G111     35101    1333640    SHARED   2    1333640         0         0
ACCENTURE LTD                          COMMON SHS      G1150G111      9074     344761    SHARED   8     344761         0         0
ACCENTURE LTD                          COMMON SHS      G1150G111     50745    1928000    SHARED   9    1928000         0         0
ACCENTURE LTD                          COMMON SHS      G1150G111     45115    1714089    SHARED   A    1714089         0         0
BUNGE LTD                              COMMON SHS      G16962105        25        760    SHARED            760         0         0
BUNGE LTD                              COMMON SHS      G16962105     66416    2017500    SHARED   4    2017500         0         0
BUNGE LTD                              COMMON SHS      G16962105         2         48    SHARED   6         48         0         0
BUNGE LTD                              COMMON SHS      G16962105      1992      60500    SHARED   9      60500         0         0
BUNGE LTD                              COMMON SHS      G16962105    173577    5272700    SHARED   A    5272700         0         0
CREDICORP LTD                          ORDINARY SHS    G2519Y108      2257     169100    SHARED         147500         0     21600
CREDICORP LTD                          ORDINARY SHS    G2519Y108       290      21700    SHARED   1      21700         0         0
CREDICORP LTD                          ORDINARY SHS    G2519Y108      3259     244100    SHARED   8     244100         0         0
ENDURANCE SPECIALTY HOLDINGS           ORDINARY SHS    G30397106       535      15961    SHARED          15961         0         0
ENDURANCE SPECIALTY HOLDINGS           ORDINARY SHS    G30397106      7099     211600    SHARED   9     211600         0         0
ENDURANCE SPECIALTY HOLDINGS           ORDINARY SHS    G30397106        37       1100    SHARED   A       1100         0         0
EVEREST RE GROUP LTD                   ORDINARY SHS    G3223R108      1066      12600    SHARED   9      12600         0         0
GLOBALSANTAFE CORP                     COMMON SHS      G3930E101      3340     134500    SHARED   4     134500         0         0
GLOBALSANTAFE CORP                     COMMON SHS      G3930E101       617      24860    SHARED   9      24860         0         0
GLOBALSANTAFE CORP                     COMMON SHS      G3930E101     37083    1493469    SHARED   A    1493469         0         0
INGERSOLL RAND CO                      ORDINARY SHS    G4776G101       292       4301    SHARED   6       4301         0         0
INGERSOLL RAND CO                      ORDINARY SHS    G4776G101     34008     501000    SHARED   7     501000         0         0
INGERSOLL RAND CO                      ORDINARY SHS    G4776G101      9476     139604    SHARED   8     137359         0      2245
INGERSOLL RAND CO                      ORDINARY SHS    G4776G101      4001      58940    SHARED   9      58940         0         0
IPC HOLDINGS LTD                       COMMON SHS      G4933P101     54613    1402500    SHARED   4    1402500         0         0
IPC HOLDINGS LTD                       COMMON SHS      G4933P101     20611     529300    SHARED   5     529300         0         0
IPC HOLDINGS LTD                       COMMON SHS      G4933P101     11672     299748    SHARED   6     299748         0         0
IPC HOLDINGS LTD                       COMMON SHS      G4933P101     15673     402500    SHARED   A     402500         0         0
MARVELL TECHNOLOGY GROUP LTD           ORDINARY SHS    G5876H105     13711     361480    SHARED   A     361480         0         0




MONTPELIER RE HOLDINGS LTD             COMMON SHS      G62185106     12243     333600    SHARED   4     333600         0         0
MONTPELIER RE HOLDINGS LTD             COMMON SHS      G62185106      6100     166200    SHARED   5     166200         0         0
MONTPELIER RE HOLDINGS LTD             COMMON SHS      G62185106        37       1000    SHARED   9       1000         0         0
MONTPELIER RE HOLDINGS LTD             COMMON SHS      G62185106     86028    2344100    SHARED   A    2344100         0         0
NABORS INDUSTRIES LTD                  COMMON SHS      G6359F103      1095      26375    SHARED   9      26375         0         0
NABORS INDUSTRIES LTD                  COMMON SHS      G6359F103      1170      28200    SHARED   A      28200         0         0
NOBLE CORP                             COMMON SHS      G65422100        21        576    SHARED            576         0         0
NOBLE CORP                             COMMON SHS      G65422100    290870    8129400    SHARED   1    8127700         0      1700
NOBLE CORP                             COMMON SHS      G65422100      1680      46950    SHARED   9      46950         0         0
NOBLE CORP                             COMMON SHS      G65422100      1287      35956    SHARED   A      35956         0         0
PARTNERRE LTD                          ORDINARY SHS    G6852T105       187       3220    SHARED   1       3220         0         0
PARTNERRE LTD                          ORDINARY SHS    G6852T105       621      10700    SHARED   2       6900         0      3800
PARTNERRE LTD                          ORDINARY SHS    G6852T105      2862      49300    SHARED   8      49300         0         0
PARTNERRE LTD                          ORDINARY SHS    G6852T105       347       5975    SHARED   9       5975         0         0
RENAISSANCE HOLDINGS LTD               ORDINARY SHS    G7496G103       705      14375    SHARED   9      14375         0         0
RENAISSANCE HOLDINGS LTD               ORDINARY SHS    G7496G103        20        400    SHARED   A        400         0         0
SCOTTISH RE GROUP LTD                  ORDINARY SHS    G7885T104     15548     748200    SHARED   5     748200         0         0
SCOTTISH RE GROUP LTD                  ORDINARY SHS    G7885T104      8472     407700    SHARED   9     407700         0         0
SCOTTISH RE GROUP LTD                  ORDINARY SHS    G7885T104        44       2100    SHARED   A       2100         0         0
SEAGATE TECHNOLOGY                     COMMON SHS      G7945J104     31546    1669100    SHARED   A    1242400         0    426700
TOMMY HILFIGER CORP                    COMMON SHS      G8915Z102     41468    2800000    SHARED   4    2800000         0         0
TOMMY HILFIGER CORP                    COMMON SHS      G8915Z102        30       2000    SHARED   9       2000         0         0
TRANSOCEAN INC                         COMMON SHS      G90078109      4862     202500    SHARED   4     202500         0         0
TRANSOCEAN INC                         COMMON SHS      G90078109       111       4606    SHARED   6       4606         0         0
TRANSOCEAN INC                         COMMON SHS      G90078109      1859      77440    SHARED   7      77440         0         0
TRANSOCEAN INC                         COMMON SHS      G90078109      2739     114091    SHARED   9     114091         0         0
WEATHERFORD INTERNATIONAL LTD          COMMON SHS      G95089101        19        540    SHARED            540         0         0
WEATHERFORD INTERNATIONAL LTD          COMMON SHS      G95089101       111       3090    SHARED   9       3090         0         0
WEATHERFORD INTERNATIONAL LTD          COMMON SHS      G95089101     26874     746500    SHARED   A     746500         0         0
WHITE MOUNTAINS INSURANCE GROUP INC    COMMON SHS      G9618E107     18536      40300    SHARED          40300         0         0
WHITE MOUNTAINS INSURANCE GROUP INC    COMMON SHS      G9618E107    594700    1292967    SHARED   5    1292967         0         0
WHITE MOUNTAINS INSURANCE GROUP INC    COMMON SHS      G9618E107       671       1459    SHARED   9       1459         0         0
WILLIS GROUP HOLDINGS LTD              COMMON SHS      G96655108    167657    4920948    SHARED   1    4920948         0         0
WILLIS GROUP HOLDINGS LTD              COMMON SHS      G96655108      2622      76960    SHARED   2      76960         0         0
WILLIS GROUP HOLDINGS LTD              COMMON SHS      G96655108     90633    2660200    SHARED   5    2660200         0         0
WILLIS GROUP HOLDINGS LTD              COMMON SHS      G96655108      4463     131000    SHARED   8     131000         0         0
WILLIS GROUP HOLDINGS LTD              COMMON SHS      G96655108       414      12150    SHARED   9      12150         0         0
WILLIS GROUP HOLDINGS LTD              COMMON SHS      G96655108      2623      77000    SHARED   A      77000         0         0
XL CAPITAL LTD                         ORDINARY SHS    G98255105     22339     288061    SHARED         227910         0     60151
XL CAPITAL LTD                         ORDINARY SHS    G98255105    554831    7154497    SHARED   1    7152797         0      1700
XL CAPITAL LTD                         ORDINARY SHS    G98255105    181356    2338563    SHARED   2    2232613         0    105950
XL CAPITAL LTD                         ORDINARY SHS    G98255105     17428     224733    SHARED   3     224733         0         0
XL CAPITAL LTD                         ORDINARY SHS    G98255105         1         15    SHARED   6         15         0         0
XL CAPITAL LTD                         ORDINARY SHS    G98255105     11245     145000    SHARED   8     145000         0         0
XL CAPITAL LTD                         ORDINARY SHS    G98255105      2125      27408    SHARED   9      27408         0         0
XL CAPITAL LTD                         ORDINARY SHS    G98255105      3183      41050    SHARED   A      41050         0         0
XOMA LTD                               COMMON SHS      G9825R107     10707    1622200    SHARED   9    1622200         0         0




XOMA LTD                               COMMON SHS      G9825R107        54       8200    SHARED   A       8200         0         0
ALCON INC                              ORDINARY SHS    H01301102       212       3500    SHARED   9       3500         0         0
ALCON INC                              ORDINARY SHS    H01301102      9081     150000    SHARED   A     150000         0         0
UBS AG                                 ORDINARY SHS    H8920M855       482       7085    SHARED           7085         0         0
UBS AG                                 ORDINARY SHS    H8920M855       698      10265    SHARED   2      10265         0         0
UBS AG                                 ORDINARY SHS    H8920M855     20311     298729    SHARED   3     298729         0         0
UBS AG                                 ORDINARY SHS    H8920M855      1027      15100    SHARED   9      15100         0         0
MILLICOM INTL CELLULAR S A             ORDINARY SHS    L6388F110         0          4    SHARED   6          4         0         0
MILLICOM INTL CELLULAR S A             ORDINARY SHS    L6388F110     30630     438200    SHARED   A     438200         0         0
CHECK POINT SOFTWARE TECHNOLOGIES LTD  ORDINARY SHS    M22465104     13226     786327    SHARED         620460         0    165867
CHECK POINT SOFTWARE TECHNOLOGIES LTD  ORDINARY SHS    M22465104    267186   15885011    SHARED   1   15879811         0      5200
CHECK POINT SOFTWARE TECHNOLOGIES LTD  ORDINARY SHS    M22465104    140798    8370860    SHARED   2    8023568         0    347292
CHECK POINT SOFTWARE TECHNOLOGIES LTD  ORDINARY SHS    M22465104     11547     686507    SHARED   3     686507         0         0
CHECK POINT SOFTWARE TECHNOLOGIES LTD  ORDINARY SHS    M22465104         0          1    SHARED   6          1         0         0
CHECK POINT SOFTWARE TECHNOLOGIES LTD  ORDINARY SHS    M22465104     16660     990463    SHARED   8     990463         0         0
CHECK POINT SOFTWARE TECHNOLOGIES LTD  ORDINARY SHS    M22465104       514      30575    SHARED   9      30575         0         0
CHECK POINT SOFTWARE TECHNOLOGIES LTD  ORDINARY SHS    M22465104      9425     560352    SHARED   A     560352         0         0
ORBOTECH LTD                           ORDINARY SHS    M75253100        85       3545    SHARED   1       3545         0         0
ORBOTECH LTD                           ORDINARY SHS    M75253100     20508     857355    SHARED   2     836465         0     20890
RADVIEW SOFTWARE LTD                   COMMON SHS      M81867109        86     143000    SHARED   A     143000         0         0
ASML HOLDING NV                        NEW YORK SHARES N07059111     97339    4854800    SHARED   A    4854800         0         0
CNH GLOBAL NV                          ORDINARY SHS    N20935206     18652    1123599    SHARED   2    1051599         0     72000
CNH GLOBAL NV                          ORDINARY SHS    N20935206     32262    1943500    SHARED   4    1943500         0         0
CNH GLOBAL NV                          ORDINARY SHS    N20935206     14120     850600    SHARED   A     850600         0         0
CORE LABORATORIES NV                   COMMON SHS      N22717107         0          1    SHARED   6          1         0         0
CORE LABORATORIES NV                   COMMON SHS      N22717107     31978    1916000    SHARED   A    1916000         0         0
STELMAR SHIPPING LTD                   ORDINARY SHS    V8726M103      5815     266000    SHARED   4     266000         0         0
ASE TEST LTD                           ORDINARY SHS    Y02516105      5855     391120    SHARED   1     386820         0      4300
ASE TEST LTD                           ORDINARY SHS    Y02516105     10163     678900    SHARED   A     678900         0         0
CREATIVE TECHNOLOGY LTD                ORDINARY SHS    Y1775U107      4196     409005    SHARED   2     380305         0     28700
FLEXTRONICS INTERNATIONAL LTD          ORDINARY SHS    Y2573F102         0          1    SHARED   6          1         0         0
FLEXTRONICS INTERNATIONAL LTD          ORDINARY SHS    Y2573F102      1044      70350    SHARED   9      70350         0         0
FLEXTRONICS INTERNATIONAL LTD          ORDINARY SHS    Y2573F102      1484     100000    SHARED   A     100000         0         0
OMI CORP                               COMMON SHS      Y6476W104     21061    2358500    SHARED   4    2358500         0         0
TEEKAY SHIPPING CORP                   COMMON SHS      Y8564W103     63115    1106700    SHARED   4    1106700         0         0
TEEKAY SHIPPING CORP                   COMMON SHS      Y8564W103         1         14    SHARED   6         14         0         0
                                                                 ---------

         GRAND TOTAL                                             103388059