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

                                    FORM 13F

                              Form 13F COVER PAGE

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

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:                      Legg Mason, Inc.
Address:                   100 Light Street
                           Baltimore, MD  21202

13F File Number:           28-1700

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

Person Signing this Report on Behalf of the Reporting Manager:

Name:             Timothy C. Scheve
Title:            Sr. Ex. Vice President
Phone:            410-454-3232

Signature, Date, and Place of Signing



_______________________________________________________________________________
Timothy C. Scheve            Baltimore, MD                    November 13, 2001

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934

Report Type   (Check only one.):

[      ]          13F HOLDINGS REPORT.
[      ]          13F NOTICE.
[   X  ]          13F COMBINATION REPORT.

Legg Mason, Inc. ('Legg Mason') is the parent company of a number of operating
subsidiaries that qualify as 'institutional investment managers' for purposes
of the reporting requirements under Section 13(f) of the Securities Exchange
Act of 1934 (the 'Act') and the rules promulgated thereunder.  Legg Mason
itself does not in fact exercise, and therefore disclaims, investment
discretion with respect to any Section 13(f) securities positions over which
its subsidiaries exercise investment discretion.  To the extent, however, that
Legg Mason's ownership interest in its subsidiaries gives rise to a Form 13F
filing obligation on behalf of Legg Mason, the information required by Form 13F
is reported herein on behalf of certain of Legg Mason's subsidiaries which are
themselves institutional investment managers subject to Section 13(f) of the
Act.  The Section 13(f) securities positions of Barrett Associates, Inc.,
Bartlett & Co., Batterymarch Financial Management, Inc., Berkshire Asset
Management, Inc., Bingham Legg Advisers LLC, Brandywine Asset Management, Inc.,
Gray Seifert & Co., Inc., Legg Mason Capital Management, Inc., Legg Mason Focus
Capital, Inc., Legg Mason Funds Management, Inc., Legg Mason Trust, fsb, Legg
Mason Wood Walker, Incorporated, LeggMason Investors Asset Managers, plc,
LMM, LLC, and Perigee Investment Counsel, Inc., all of which are subsidiaries
of Legg Mason, are included in this Form 13F report. This report sets forth
the total holdings of each subsidiary independently and in alphabetical order
by subsidiary.

List of other managers reporting for this Manager:
   13F File No.       Manager Name
   -----------        ------------
    28-3428           Private Capital Management, L P


                          FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:          15
Form 13F Information Table Entry Total:     7,329
Form 13F Information Table Value Total:     $37,930,298,000

List of Other Included Managers:

No.               13F File No.            Manager Name


1                 28-3658                Barrett Associates, Inc.
2                 28-1891                Bartlett & Co.
3                 28-0377                Batterymarch Financial Management, Inc.
4                 28-5034                Berkshire Asset Management, Inc.
5                 28-6393                Bingham Legg Advisers LLC
6                 28-2204                Brandywine Asset Management, Inc.
7                 28-1062                Gray, Seifert & Co., Inc.
8                 28-1701                Legg Mason Capital Management, Inc.
9                 28-6485                Legg Mason Focus Capital, Inc.
10                28-6395                Legg Mason Funds Management, Inc.
11                28-6397                Legg Mason Trust, fsb
12                28-5474                Legg Mason Wood Walker, Incorporated
13                28-6659                LeggMason Investors Asset
                                           Managers, plc
14                28-6399                LMM, LLC
15                28-7412                Perigee Investment Counsel, Inc.





                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of Barrett Associates, Inc.
                                                                           For Positions Held as of 09/30/2001)



           (1)                  (2)         (3)         (4)         (5)         (6)   (7)                  (8)
      Name of Issuer       Title of Class  CUSIP        FMV       Shares    Inv Disc Other        Voting  Authority (Shs.)
                                                      (x1000)              (a)(b)(c)  Mgr       (a)        (b)         (c)
                                                                                     
------------------------------------------------------------------------------------------------------------------------------


AOL Time Warner, Inc.           Com       00184A105     20,210      610579     x       1       140,317                470,262
Abbott Laboratories             Com       002824100      8,338      160806     x       1        34,000                126,806
American Express Co.            Com       025816109        378       13000     x       1         6,300                  6,700
American Home Products          Com       026609107      4,890       83950     x       1         1,900                 82,050
American International Group    Com       026874107     36,623      469528     x       1       107,981                361,547
Amgen, Inc.                     Com       031162100      2,519       42859     x       1        19,534                 23,325
Anadarko Petroleum              Com       032511107     17,309      360008     x       1       118,500                241,508
Armstrong World Industries, In  Com       042476101         51       18634     x       1                               18,634
Automatic Data Processing       Com       053015103     27,395      582370     x       1       117,895                464,475
BP PLC                          Com       055622104     18,349      373184     x       1       103,798                269,386
Bank of New York, Inc.          Com       064057102      1,359       38840     x       1        10,640                 28,200
BankAmerica Corp.               Com       060505104        359        6139     x       1           313                  5,826
Bellsouth Corp.                 Com       079860102      1,293       31108     x       1           600                 30,508
Berkshire Hathaway, Inc. Cl B   Com       084670207        538         231     x       1            31                    200
Biogen, Inc.                    Com       090597105        435        7835     x       1           300                  7,535
Bristol-Myers Squibb            Com       110122108       5159       92860     x       1          1046                  91814
CVS Corp.                       Com       126650100       7086      213425     x       1         77000                 136425
Carnival Corp.                  Com       143658102        727       33000     x       1          2000                  31000
Certegy Inc.                    Com       156880106       1502       57850     x       1         20400                  37450
Charles Schwab Corp.            Com       808513105       3128      271987     x       1        125700                 146287
Chevron Corp.                   Com       166751107       1783       21042     x       1           700                  20342
Chubb Corp.                     Com       171232101        650        9100     x       1                                 9100
Cisco Systems                   Com       17275R102      25341     2080507     x       1        438013                1642494
Citigroup                       Com       172967101       4384      108242     x       1         23121                  85121
Coca Cola Co.                   Com       191216100       2184       46609     x       1         17509                  29100
Colgate-Palmolive Co.           Com       194162103      23041      395550     x       1        111450                 284100
Comcast Corp. Cl A Spl          Com       200300200        574       16000     x       1         16000
Computer Associates Internatio  Com       204912109       1077       41827     x       1         16650                  25177
Computer Sciences Corp.         Com       205363104      19438      586005     x       1        167330                 418675
Corning, Inc.                   Com       219350105        127       14400     x       1                                14400
Developers Diversified Realty   Com       251591103       2247      125200     x       1         25000                 100200
Dominion Resources, Inc. VA     Com       25746U109        268        4512     x       1          2512                   2000
DuPont de Nemours               Com       263534109       1489       39692     x       1          5100                  34592
EMC Corp.                       Com       268648102       6989      594816     x       1        169976                 424840
Eli Lilly & Co.                 Com       532457108      12418      153875     x       1         41000                 112875
Emerson Electric Co.            Com       291011104        772       16400     x       1          1000                  15400
Enron Corp.                     Com       293561106        206        7566     x       1                                 7566
Equifax, Inc.                   Com       294429105       2534      115700     x       1         40800                  74900
Equity Residential Properties   Com       29476L107      19073      326600     x       1         72600                 254000
Exxon Mobil Corp.               Com       30231G102      37498      951738     x       1        110258                 841480
Fannie Mae                      Com       313586109       8371      104560     x       1         24540                  80020
First Commonwealth Financial    Com       319829107        124       10000     x       1                                10000
First Data Corp.                Com       319963104      24990      428941     x       1        145397                 283544
FleetBoston Financial Corp.     Com       338915101        264        7196     x       1                                 7196
Franklin Resources, Inc.        Com       354613101        350       10093     x       1                                10093
Freddie Mac                     Com       313400301        435        6700     x       1          4600                   2100
Gartner Inc. Cl A               Com       366651107        159       17516     x       1                                17516
Genentech, Inc.                 Com       368710406       8722      198225     x       1         34200                 164025
General Electric Co.            Com       369604103      26778      719840     x       1        160612                 559228
Gillette Co.                    Com       375766102       2109       70773     x       1         31760                  39013
Goldman Sachs Group             Com       38141G104       5269       73850     x       1         35550                  38300
Halliburton Co.                 Com       406216101       3718      164898     x       1         63000                 101898
Healthsouth Corp.               Com       421924101        268       16464     x       1                                16464
Heinz Company                   Com       423074103        316        7500     x       1                                 7500
Hewlett-Packard Co.             Com       428236103        811       50512     x       1         13800                  36712
Home Depot, Inc.                Com       437076102       2688       70047     x       1         31550                  38497
Honeywell Int'l, Inc.           Com       438516106      10011      379210     x       1        114900                 264310
Household International         Com       441815107       1285       22800     x       1                                22800
Intel Corp.                     Com       458140100      37585     1838810     x       1        379650                1459160
International Business Machine  Com       459200101       3963       43208     x       1          6666                  36542
JP Morgan Chase & Co.           Com       46625H100       1348       39464     x       1          9639                  29825
Johnson & Johnson               Com       478160104      18354      331300     x       1         85560                 245740
Kimberly-Clark Corp.            Com       494368103        450        7265     x       1          2100                   5165
Liberty Media Group             Com       530718105       8425      663348     x       1        261750                 401598
Marsh & Mclennan Co.            Com       571748102        602        6225     x       1           100                   6125
McDonalds Corp.                 Com       580135101        996       36700     x       1         11900                  24800
Medtronic, Inc.                 Com       585055106      35438      814657     x       1        193570                 621087
Mellon Financial Corp.          Com       58551A108        380       11748     x       1          8548                   3200
Merck & Co., Inc.               Com       589331107      13620      204504     x       1         28069                 176435
Microsoft Corp.                 Com       594918104      45251      884323     x       1        184207                 700116
Minnesota Mining & Manufacturi  Com       604059105        783        7962     x       1          1922                   6040
National City Corp.             Com       635405103        211        7056     x       1                                 7056
Network Appliance, Inc.         Com       64120L104       2179      320435     x       1         95085                 225350
Nokia Corp. Spons ADR           Com       654902204       4149      265130     x       1         77330                 187800
Oracle Corp.                    Com       68389X105      13692     1088406     x       1        359915                 728491
PNC Bank Corp.                  Com       693475105        338        5900     x       1          3300                   2600
PPG Industries, Inc.            Com       693506107        290        6332     x       1          1000                   5332
Paychex, Inc.                   Com       704326107       5042      160025     x       1         46900                 113125
Peapack-Gladstone Financial Co  Com       704692102       1341       33693     x       1                                33693
Peoplesoft, Inc.                Com       712713106        543       30100     x       1          8000                  22100
PepsiCo                         Com       713448108       3146       64869     x       1         30200                  34669
Pfizer, Inc.                    Com       717081103      45689     1139374     x       1        306787                 832587
Pharmacia Corp.                 Com       71713U102        282        6956     x       1           911                   6045
Philip Morris Cos.              Com       718154107       1144       23700     x       1          8000                  15700
Procter & Gamble Co.            Com       742718109       1492       20500     x       1          1100                  19400
Royal Dutch Pete Co NY Reg GLD  Com       780257804        861       17130     x       1          1875                  15255
SBC Communications, Inc.        Com       78387G103       2165       45951     x       1          3615                  42336
Sanmina Corp.                   Com       800907107       1512      111350     x       1         45650                  65700
Schering-Plough Corp.           Com       806605101      16983      457751     x       1        147760                 309991
Schlumberger Ltd.               Com       806857108        873       19100     x       1           900                  18200
Seligman Common Stock Fund      Com       816332100        413       39660     x       1         39660
Staples, Inc.                   Com       855030102        228       17083     x       1         17083
State Street Corp.              Com       857477103      39393      865790     x       1        193900                 671890
Stryker Corp.                   Com       863667101        466        8800     x       1          4800                   4000
Sun Microsystems, Inc.          Com       866810104       3227      390230     x       1        159300                 230930
Symbol Technologies             Com       871508107       3636      346600     x       1        125700                 220900
Target Corp.                    Com       87612E106       9407      296270     x       1        128720                 167550
Texaco, Inc.                    Com       881694103        272        4184     x       1                                 4184
Texas Instruments, Inc.         Com       882508104        390       15600     x       1         14800                    800
Unilever N.V.                   Com       904784709        646       11961     x       1                                11961
United Parcel Service CL B      Com       911312106       2278       43825     x       1         27275                  16550
United Technologies Corp.       Com       913017109        299        6424     x       1          2450                   3974
Verizon                         Com       92343v104       3467       64082     x       1         10091                  53991
Vodafone AirTouch PLC ADS       Com       92857W100      13518      615559     x       1        246500                 369059
Wal-Mart Stores                 Com       931142103        765       15450     x       1          2500                  12950
Walt Disney Co.                 Com       254687106       4937      265125     x       1         44478                 220647
Wells Fargo & Co.               Com       949746101        707       15895     x       1          6500                   9395
Westwood One, Inc.              Com       961815107        222       10000     x       1         10000
Weyerhaeuser Co.                Com       962166104        713       14645     x       1         14645
Weyerhaeuser Co. B              Com       962166104        407        8363     x       1          8363
Zions Bancorp                   Com       989701107      17462      325425     x       1         93950                 231475



                             FORM 13F    Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of Bartlett & Co.
                                                                           For Positons Held as of 09/30/2001)



           (1)                  (2)         (3)         (4)          (5)      (6)        (7)                 (8)
      Name of Issuer       Title of Class  CUSIP        FMV        Shares   Inv Disc    Other       Voting  Authority (Shs.)
                                                      (x1000)               (a)(b)(c)    Mgr      (a)          (b)         (c)

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

3 Cities Fm Inc. Cl B           COM      9990269A7           0         975      x         2                               975
3 Com Corp.                     COM      885535104           1         225      x         2                               225
Abbott Laboratories             COM      002824100      15,266     294,422      x         2     19,900                274,522
ACCEL International Corp.       COM      004299103           4      93,620      x         2                            93,620
Aceto Corp.                     COM      004446100          24       2,500      x         2                             2,500
ADC Telecommunications Inc.     COM      000886101           6       1,852      x         2                             1,852
Adobe Systems Inc.              COM      00724F101         230       9,605      x         2                             9,605
Advanced Micro Devices Inc.     COM      007903107         383      47,000      x         2     45,000                  2,000
Aegon NV - ORD                  ADR      007924103         212       8,128      x         2                             8,128
Aetna Inc.                      COM      00817Y108           6         200      x         2                               200
Affymetrix Inc.                 COM      00826T108         125       7,810      x         2                             7,810
AFLAC INCORPORATED              COM      001055102         113       4,200      x         2                             4,200
Agilent Technologies Inc        COM      00846U101       1,733      88,669      x         2                            88,669
AKZO Nobel NV Spons ADR         ADR      010199305         234       5,766      x         2                             5,766
Alabama National BanCorporation COM      010317105         284       8,603      x         2                             8,603
Alberta Energy Co Ltd           COM      012873105         132       3,900      x         2                             3,900
Albertson's, Inc.               COM      013104104          95       2,975      x         2                             2,975
Alcatel Alsthom Sponsored ADR   ADR      013904305         864      74,481      x         2     12,000                 62,481
Alcoa Inc                       PFD      013817200          35         500      x         2                               500
Alcoa Inc.                      COM      013817101         143       4,615      x         2                             4,615
Allegheny Energy Inc.           COM      017361106         274       7,475      x         2                             7,475
Allen Telecom Inc.              COM      018091108           9       1,000      x         2                             1,000
Allergan Inc.                   COM      018490102         252       3,800      x         2                             3,800
Allete, Inc.                    COM      018522102          41       1,600      x         2                             1,600
Alliance Financial Corp Ny      COM      019205103          22       1,100      x         2                             1,100
Alliant Techsystem              COM      018804104           2          22      x         2                                22
Allied Irish Banks Plc          ADR      019228402         672      37,100      x         2                            37,100
Allstate Financing I 7.95% Cum  PFD      020013207          25       1,000      x         2                             1,000
Alltel Corp.                    COM      020039103         484       8,344      x         2                             8,344
Amazon.com, Inc.                COM      023135106           6         945      x         2                               945
Ambac Financial Group, Inc.     COM      023139108          12         225      x         2                               225
Amcor Limited ADR               ADR      02341R302         325      25,800      x         2                            25,800
Ameren Corp.                    COM      023608102          12         300      x         2                               300
America Movil S. A. de C. V.    ADR      02364W105          85       5,724      x         2                             5,724
American Electric Power Co      COM      025537101         632      14,614      x         2                            14,614
American Express Company        COM      025816109       1,004      34,551      x         2                            34,551
American Greetings Corp. Class ACOM      026375105           4         300      x         2                               300
American Home Products Corp.    COM      026609107       8,465     145,329      x         2                           145,329
American International Group, InCOM      026874107       5,116      65,593      x         2                            65,593
American Power Conversion       COM      029066107           2         200      x         2                               200
American Tower System Corp Cl A COM      029912201           3         200      x         2                               200
Ames Department Stores Inc.     COM      030789507           0       3,050      x         2                             3,050
Amgen Inc.                      COM      031162100       1,874      31,885      x         2                            31,885
Ampal Amern Israel Corp.        PFD      032015307          26       2,228      x         2                             2,228
AMR Corp.                       COM      001765106          19       1,000      x         2                             1,000
AMREP Corp.                     COM      032159105           0          54      x         2                                54
Amylin Pharmaceuticals Inc.     COM      032346108           7       1,200      x         2                             1,200
Anadarko Pete Corp.             COM      032511107       1,618      33,649      x         2                            33,649
Analog Devices Inc.             COM      032654105         229       6,998      x         2                             6,998
Angelica Corp.                  COM      034663104          17       1,750      x         2                             1,750
Anglogold Ltd (New)             ADR      035128206          22       1,400      x         2                             1,400
Anheuser-Busch Companies Inc.   COM      035229103      23,654     564,809      x         2     16,400                548,409
Anixter International Inc.      COM      035290105          55       2,200      x         2                             2,200
Antex Corp.                     COM      036730109           -       2,000      x         2                             2,000
AOL Time Warner Inc.            COM      00184A105      21,283     642,985      x         2     21,850                621,135
Apache Corp.                    COM      037411105       1,702      39,600      x         2                            39,600
Apartment Investment & Mgt Co ClCOM A    03748R101          45       1,000      x         2                             1,000
Apple Computer                  COM      037833100         231      14,904      x         2                            14,904
Applera Corp-Celera Genomics    COM      038020202          43       1,802      x         2                             1,802
Applera Corporation-Applied BiosCOMems   038020103          96       3,917      x         2                             3,917
Applied Innovation Inc.         COM      037916103           3         400      x         2                               400
Applied Materials Inc.          COM      038222105       4,131     145,260      x         2                           145,260
APT Satellite Holdings Ltd ADR  ADR      00203R105          66      27,400      x         2                            27,400
APW Ltd.                        COM      G04397108         640     153,050      x         2    109,300                 43,750
Archer-Daniels-Midland Co.      COM      039483102          47       3,704      x         2                             3,704
Ariba Inc                       COM      04033V104           1         800      x         2                               800
Ashworth, Inc.                  COM      04516H101          16       2,800      x         2                             2,800
Astoria Financial Corp.         COM      046265104          30         500      x         2                               500
Astrazena PLC -Spons ADR        ADR      046353108          56       1,200      x         2                             1,200
AT & T Corp.                    COM      001957109       4,283     221,910      x         2     51,650                170,260
At Home Corp. Cl A              COM      045919107           0         100      x         2                               100
AT&T Wireless Services, Inc.    COM      00209A106       1,130      75,636      x         2     16,620                 59,016
Atmos Energy Corporation        COM      049560105          66       3,064      x         2                             3,064
Autolliv, Inc.                  COM      052800109          10         613      x         2                               613
Automatic Data Processing       COM      053015103       8,087     171,920      x         2                           171,920
Autozone Inc.                   COM      053332102         477       9,200      x         2                             9,200
Avaya Inc                       COM      053499109          44       4,469      x         2                             4,469
Aventis                         ADR      053561106         379       5,050      x         2                             5,050
Avery Dennison Corp.            COM      053611109          38         800      x         2                               800
Avici Sys Inc                   COM      05367L109           0         200      x         2                               200
AXA-UAP - Sponsored ADR         ADR      054536107         332      16,946      x         2                            16,946
Axcelis Technologies Inc        COM      054540109          27       2,827      x         2                             2,827
Bae Systems Plc                 ADR      05523R107           6         316      x         2                               316
Banco Comercial Portugues SA ADSADR      059479303         508      26,494      x         2                            26,494
Bancwest Corporation            COM      059790105         789      22,600      x         2                            22,600
Bank of America Corporation     COM      060505104       1,077      18,450      x         2                            18,450
Bank Of Kentucky Financial      COM      062896105          10         564      x         2                               564
Bank of New York Co. Inc.       COM      064057102         216       6,164      x         2                             6,164
Bank One Corporation            COM      06423A103         275       8,738      x         2                             8,738
Barrick Gold Corp.              FOR      067901108          17       1,000      x         2                             1,000
Baxter Intl Inc                 COM      071813109       1,237      22,462      x         2     13,000                  9,462
Bayer A G Ord                   FOR      D07112119          18         650      x         2                               650
Bayer AG Spons ADR              ADR      072730302         237       8,370      x         2                             8,370
Bayerische Motoren Werke A G    FOR      D12096109          33       1,300      x         2                             1,300
BB&T Corp.                      COM      054937107       2,541      69,702      x         2                            69,702
BCE Inc.                        COM      05534B109         340      15,400      x         2                            15,400
BEA Systems Inc.                COM      073325102           6         600      x         2                               600
Becton Dickinson & Co           COM      075887109          19         500      x         2                               500
BellSouth Corp.                 COM      079860102       1,287      30,972      x         2                            30,972
Belo A H Com Ser A              COM      080555105       2,689     167,620      x         2     88,200                 79,420
Berkshire Hathaway Inc. Class A COM      084670108      28,420         406      x         2                               406
Berkshire Hathaway Inc. Class B COM      084670207       1,079         463      x         2                               463
Best Buy Inc.                   COM      086516101           7         150      x         2                               150
Big Lots, Inc.                  COM      089302103           1         100      x         2                               100
Biogen Inc.                     COM      090597105          22         400      x         2                               400
Biomet Inc.                     COM      090613100       1,053      36,000      x         2                            36,000
Biotech HOLDRS Tr               COM      09067D201         501       4,500      x         2                             4,500
Black & Decker Corp.            COM      091797100         293       9,404      x         2                             9,404
Block H & R Inc.                COM      093671105       2,387      61,900      x         2     49,200                 12,700
Blue Fish Clothing Inc.         COM      095480109           -         100      x         2                               100
BMC Software, Inc.              COM      055921100          73       5,765      x         2                             5,765
Bob Evans Farms Inc.            COM      096761101           7         400      x         2                               400
Boeing Co.                      COM      097023105         713      21,283      x         2                            21,283
Bombardier Inc. Cl B            COM      097751200          51       7,000      x         2                             7,000
Boots Company PLC - ORD         FOR      G12488113         294      32,000      x         2                            32,000
Borders Group Inc.              COM      099709107         113       5,900      x         2                             5,900
Boston Properties Inc.          COM      101121101       1,085      28,466      x         2                            28,466
Boston Scientific Corp.         COM      101137107       1,292      63,000      x         2     45,500                 17,500
BP P.L.C Sponsored ADR          ADR      055622104      18,650     379,298      x         2     10,506                368,792
BP Prudhoe Bay Rty Tr Unit Ben ICOM      055630107          15       1,000      x         2                             1,000
Brambles Industries LTD         FOR      Q17481104         362      71,374      x         2                            71,374
Bristol-Myers Squibb Co.        COM      110122108      13,299     239,356      x         2                           239,356
British Energy PLC              ADR      110793304           3         210      x         2                               210
British Telecommunications      ADR      111021408         322       6,300      x         2                             6,300
Broadwing Inc                   COM      111620100      23,809   1,480,688      x         2     80,800              1,399,888
Brocade Communications Sys Inc  COM      111621108           7         500      x         2                               500
Brown Forman Corp. CL B         COM      115637209          46         729      x         2                               729
Brown Forman Corp. Class A      COM      115637100          49         771      x         2                               771
Brown Shoe Company Inc          COM      115736100           0           2      x         2                                 2
Buckeye Partners L P Unit       COM      118230101          21         600      x         2                               600
Buderus AG                      FOR      D14224105         221       9,276      x         2                             9,276
Burlington Northern Santa Fe CorCOM      12189T104         739      27,627      x         2                            27,627
Burlington Resources            COM      122014103         172       5,041      x         2                             5,041
C S X Corp.                     COM      126408103         948      30,106      x         2                            30,106
Cable & Wireless Pub Ltd Plc    ADR      126830207           1         100      x         2                               100
Cable Design Technologies Corp. COM      126924109           9         750      x         2                               750
Cabot Oil & Gas Corp            COM      127097103         180       9,000      x         2                             9,000
Cadbury Schweppes P L C         ADR      127209302       1,175      46,250      x         2                            46,250
Calpine Corp.                   COM      131347106         294      12,900      x         2                            12,900
Camco Finl Corp                 COM      132618109           2         122      x         2                               122
Canadian Intl Power Ltd         COM      136159100           -       1,000      x         2                             1,000
Canadian National Railroad      COM      136375102          38       1,000      x         2                             1,000
Canadian Pacific Limited        COM      135923100         202       6,300      x         2                             6,300
Cancer Diagnostics              COM      137385100           -       3,000      x         2                             3,000
Canon Inc. - Spon ADR           ADR      138006309         877      32,375      x         2                            32,375
Capital One Financial Corp.     COM      14040H105          55       1,200      x         2                             1,200
Cardinal Health Inc.            COM      14149Y108       2,442      33,018      x         2                            33,018
Cardo AB                        FOR      W1991F100         347      26,400      x         2                            26,400
Caremark Rx, Inc.               COM      141705103           8         476      x         2                               476
Carnival Corp.                  COM      143658102          75       3,400      x         2                             3,400
Carrier Access Corp.            COM      144460102           1         425      x         2                               425
Catalina Marketing Corp.        COM      148867104          45       1,600      x         2                             1,600
Caterpillar Inc.                COM      149123101          81       1,800      x         2                             1,800
CBRL Group Inc.                 COM      12489V106           4         200      x         2                               200
Cedar Fair, L.P. Dep Rec        COM      150185106          31       1,600      x         2                             1,600
Cendant Corp.                   COM      151313103          66       5,186      x         2                             5,186
CenterBank                      COM       8S01605          375      25,000      x         2                            25,000
Centerpoint Properties Corp.    COM      151895109          48       1,000      x         2                             1,000
Central Vermont Pub Svc Corp.   COM      155771108          21       1,200      x         2                             1,200
Ceridian Corporation            COM      156779100           7         500      x         2                               500
Cerner Corp.                    COM      156782104         198       4,000      x         2                             4,000
Cerus Corporation               COM      157085101          12         250      x         2                               250
Charter Communications Inc Del  COM      16117M107          25       2,000      x         2                             2,000
Charter One Financial Inc.      COM      160903100      11,929     422,708      x         2     85,248                337,460
Chateau Communities Inc.        COM      161726104      17,735     602,201      x         2     80,600                521,601
Chemed Corp.                    COM      163596109          16         540      x         2                               540
Cheung Kong Hong Kong ADR       ADR      166744201         545      70,032      x         2                            70,032
Chevron Corp.                   COM      166751107       7,581      89,453      x         2                            89,453
Chiquita Brands $3.75 Ser B     PFD      170032502          10       1,700      x         2                             1,700
Chiron Corp.Del                 COM      170040109           1          16      x         2                                16
Choice Hotels Intl Inc.         COM      169905106          22       1,350      x         2                             1,350
Choicecare Inc.                 COM      170383103           2         208      x         2                               208
Chubb Corp.                     COM      171232101       2,842      39,801      x         2          -                 39,801
Cigna Corp.                     COM      125509109         373       4,500      x         2                             4,500
Cincinnati Financial Corp.      COM      172062101      19,092     458,723      x         2                           458,723
Cincinnati Inter Term RR Co     PFD      172124109           3         100      x         2                               100
Cincinnati Microwave Inc.       COM      172167108           0         204      x         2                               204
Cinergy Corp.                   COM      172474108         830      26,886      x         2                            26,886
Cintas Corp.                    COM      172908105      24,453     606,783      x         2          -                606,783
Circor Intl Inc                 COM      17273K109           2         150      x         2                               150
Cisco Systems Inc.              COM      17275R102       5,617     461,181      x         2          -                461,181
Citigroup Inc.                  COM      172967101      18,979     468,607      x         2     29,032                439,575
Citizens Bkg Corp.              COM      174420109          40       1,236      x         2                             1,236
Citizens Communications Co      COM      17453B101         231      24,595      x         2                            24,595
Citrix Systems Inc.             COM      177376100          32       1,600      x         2                             1,600
City Investing Co Liq Tr Unit BeCOMnt    177900107           1         500      x         2                               500
Claire's Stores, Inc.           COM      179584107           8         600      x         2                               600
Clarcor Inc.                    COM      179895107          30       1,248      x         2                             1,248
Clarus Corp.                    COM      182707109           9       2,200      x         2                             2,200
Clayton Homes Inc.              COM      184190106         167      13,700      x         2                            13,700
Clear Channel Communications    COM      184502102         148       3,732      x         2                             3,732
Clorox Co.                      COM      189054109          65       1,750      x         2                             1,750
CMGI Inc.                       COM      125750109           2       1,600      x         2                             1,600
CMS Energy Corp.                COM      125896100         105       5,250      x         2                             5,250
CNET Networks, Inc.             COM      12613R104           1         200      x         2                               200
Coca Cola Co.                   COM      191216100       9,755     208,217      x         2          -                208,217
Colgate-Palmolive Co.           COM      194162103       7,390     126,869      x         2                           126,869
Comcast Corp. Class A           COM      200300101          82       2,300      x         2                             2,300
Comcast Corp. Class A Special   COM      200300200         164       4,566      x         2                             4,566
Comerica Inc.                   COM      200340107         108       1,958      x         2                             1,958
Community Trust Bancorp Inc.    COM      204149108          22         931      x         2                               931
Companhia Paranaense De Energia ADR      20441B407           5         800      x         2                               800
Compania Anonima Nacional TelefoADR      204421101           4         170      x         2                               170
Compaq Computer Corp.           COM      204493100          44       5,272      x         2          -                  5,272
Computer Associates InternationaCOMnc.   204912109          41       1,600      x         2                             1,600
Conagra Inc.                    COM      205887102         348      15,493      x         2                            15,493
Conectiv Inc.                   COM      206829103          41       1,750      x         2                             1,750
Conectiv Inc.- Cl A             COM      206829202           5         275      x         2                               275
Conexant Systems Inc.           COM      207142100          10       1,224      x         2                             1,224
Conoco Inc.                     COM      208251306          62       2,450      x         2                             2,450
Conoco Inc.                     COM      208251405          18         730      x         2                               730
Conseco Inc.                    COM      208464107           0          64      x         2                                64
Consolidated Edison Co N Y Inc. PFD      209111301          15         200      x         2                               200
Consolidated Edison Inc.        COM      209115104          24         600      x         2                               600
Constellation Energy Group      COM      210371100          18         750      x         2                               750
Convergys Corp                  COM      212485106      28,649   1,032,405      x         2     25,000              1,007,405
Cooper Industries               COM      216669101         184       4,434      x         2                             4,434
Cooper Tire & Rubber Co         COM      216831107          91       6,400      x         2                             6,400
Corn Products International Inc.COM      219023108          65       2,276      x         2                             2,276
Corning Incorporated            COM      219350105         862      97,708      x         2                            97,708
Costco Whsl Corp New            COM      22160K105          56       1,570      x         2                             1,570
Covanta Energy Corporation      COM      22281N103           0          10      x         2                                10
Cox Communications Inc. Cl A    COM      224044107           8         200      x         2                               200
Credit Suisse Group - Spon ADR  ADR      225401108          42       1,200      x         2                             1,200
CRH-PLC                         FOR      X01827041         245      16,500      x         2                            16,500
Crown Cork & Seal Co Inc.       COM      228255105           0         200      x         2                               200
CryoLife, Inc.                  COM      228903100         120       3,200      x         2                             3,200
CTS Corporation                 COM      126501105           1         100      x         2                               100
CVS Corp.                       COM      126650100       2,965      89,305      x         2                            89,305
Cybercare Inc                   COM      23243T105           0          50      x         2                                50
D R Horton Inc.                 COM      23331A109          21       1,000      x         2                             1,000
DaimlerChrysler A.G.            ADR      D1668R123         180       5,999      x         2                             5,999
Danone                          FOR      399449107         414      16,000      x         2                            16,000
Darden Restaurants Inc.         COM      237194105          70       2,668      x         2                             2,668
Dave & Busters Inc.             COM      23833N104          13       2,151      x         2                             2,151
Dayton & Michigan RR            PFD      239649205          13         357      x         2                               357
Dayton & Michigan RR Co         COM      239649106          16         608      x         2                               608
DBS Group Hldgs Ltd             ADR      23304Y100           4         173      x         2                               173
Decora Industries, Inc.         COM      243593308           0         400      x         2                               400
Deere & Co                      COM      244199105         345       9,175      x         2                             9,175
Dell Computer Corporation       COM      247025109      12,149     655,625      x         2          -                655,625
Delphi Automotive Sys Corp      COM      247126105          15       1,273      x         2                             1,273
Delta Air Lines Inc.            COM      247361108         171       6,500      x         2          -                  6,500
Den Danske Bank SA              ADR      236363107           6         400      x         2                               400
Detroit Mtg & Rlty Co           COM      251273108           -      11,046      x         2                            11,046
Deutsche Bank Sponsored ADR     ADR      251525309          55       1,000      x         2                             1,000
Deutsche Lufthansa A G          ADR      251561304         123      12,850      x         2                            12,850
Deutsche Lufthansa New          FOR      D1908N106         212      22,000      x         2                            22,000
Devry Inc.                      COM      251893103          57       1,600      x         2                             1,600
Diageo PLC-Sponsored ADR New    ADR      25243Q205         384       9,264      x         2                             9,264
Dice Inc.                       COM      25301P107           0         200      x         2                               200
Diebold Inc.                    COM      253651103         303       7,955      x         2                             7,955
Direct Insite Corp.             COM      25457C207           0         240      x         2                               240
Div Reinvest Plan SBC Commun IncCOM      SSBC9ZZZZ          30         632      x         2                               632
Dole Food Company               COM      256605106          39       1,800      x         2                             1,800
Dollar General Corp.            COM      256669102          23       1,929      x         2                             1,929
Dominion Res Inc Va New         COM      25746U109          80       1,355      x         2                             1,355
Donaldson Inc.                  COM      257651109       1,672      58,020      x         2                            58,020
Donnelley (R R) & Sons Co       COM      257867101          87       3,200      x         2                             3,200
Dover Corp.                     COM      260003108      16,891     560,991      x         2     41,200                519,791
Dow Chemical Co                 COM      260543103       1,602      48,901      x         2                            48,901
Dow Jones & Co                  COM      260561105         578      12,730      x         2      8,000                  4,730
DPL Inc.                        COM      233293109         915      37,624      x         2                            37,624
Dresdner Bank AG New ADR        ADR      261561302          36       1,000      x         2                             1,000
DTE Energy Company              COM      233331107         173       4,015      x         2                             4,015
Du Pont (EI) de Nemours and Co. COM      263534109       1,427      38,028      x         2                            38,028
Du Pont E I De Nemours & Co     PFD      263534307          31         420      x         2                               420
Duke Energy Corp.               COM      264399106         490      12,944      x         2                            12,944
Duke Realty Corporation         COM      264411505       1,453      61,350      x         2     31,300                 30,050
Duke Weeks Realty Corp          PFD      264411810         102       4,000      x         2                             4,000
Dun & Bradstreet Corp.          COM      26483E100         164       5,863      x         2                             5,863
Dusa Pharmaceuticals Inc.       COM      266898105           4         400      x         2                               400
Dycap Inc.                      COM      267850998           0         100      x         2                               100
Earthlink Inc                   COM      270321102          12         800      x         2                               800
Eastgroup Properties Inc.       COM      277276101           7         300      x         2                               300
Eastman Kodak Company           COM      277461109         207       6,376      x         2                             6,376
Eaton Corp.                     COM      278058102         142       2,400      x         2                             2,400
Ecolab                          COM      278865100          44       1,200      x         2                             1,200
Edison International            COM      281020107          11         800      x         2                               800
El Paso Corporation             COM      28336L109       5,004     120,437      x         2     30,000                 90,437
Elan Corp. ADR                  ADR      284131208         150       3,100      x         2                             3,100
Elder Beerman Stores Corp New   COM      284470101           1         400      x         2                               400
Electrolux AB ADR               ADR      010198208         210      10,400      x         2                            10,400
Electronic Data Systems         COM      285661104          26         460      x         2                               460
EMC Corp.                       COM      268648102         234      19,905      x         2                            19,905
Emerson Electric Co.            COM      291011104      18,197     386,677      x         2     19,900                366,777
Endesa S.A. ADR                 ADR      29258N107         574      37,400      x         2                            37,400
Energizer Hldgs Inc             COM      29266R108           7         403      x         2                               403
Ennis Business Forms Inc.       COM      293389102         173      20,250      x         2                            20,250
Enron Corp                      COM      293561106         323      11,864      x         2                            11,864
Ensco International Inc.        COM      26874Q100         553      37,825      x         2                            37,825
Enstar Group Inc                COM      29358R107           1          40      x         2                                40
Equitable Resources Inc.        COM      294549100          30       1,000      x         2                             1,000
Equity Office Properties Trust  COM      294741103         648      20,250      x         2                            20,250
Equity Residential Interest TrusPFD      29476L883         100       3,100      x         2                             3,100
Equity Residential Properties TrCOM      29476L107       1,259      21,563      x         2                            21,563
Ericsson L M Tel Co ADR Cl B    ADR      294821400         181      51,788      x         2          -                 51,788
Eshare Technologies Inc Ga      COM      296428105           2       1,000      x         2                             1,000
Estee Lauder Companies          COM      518439104          33       1,000      x         2                             1,000
Exodus Communications, Inc.     COM      302088109           1       5,600      x         2                             5,600
Exxon Mobil Corp.               COM      30231G102      41,820   1,061,411      x         2                         1,061,411
Family Dollar Stores Inc.       COM      307000109         440      16,000      x         2     10,000                  6,000
Fannie Mae                      COM      313586109      25,357     316,723      x         2      7,000                309,723
Farmer Brothers Co              COM      307675108          94         425      x         2                               425
Federal Realty Investment Trust COM      313747206          71       3,225      x         2                             3,225
Federal Signal Corp.            COM      313855108          65       3,666      x         2                             3,666
Federated Department Stores     COM      31410H101         193       6,850      x         2                             6,850
Ferro Corp.                     COM      315405100       2,343     101,075      x         2     67,450                 33,625
Fifth Third Bancorp             COM      316773100      71,568   1,164,084      x         2                         1,164,084
Finger Lakes Bancorp Inc        COM      31787C107          17       1,735      x         2                             1,735
Finova Group Inc.               COM      317928109          11       9,375      x         2                             9,375
Fired Up Inc.                   COM       8S00969            5       2,000      x         2                             2,000
First Bell Bancorp Inc.         COM      319301107         184      12,600      x         2                            12,600
First Data Corp.                COM      319963104       1,430      24,547      x         2                            24,547
First Franklin Corp.            COM      320272107           9         900      x         2                               900
First Health Group Corp.        COM      320960107          35       1,200      x         2                             1,200
First Oak Brook Bancshares, Inc.COM      335847208          35       1,700      x         2                             1,700
First Tennessee                 COM      337162101       7,610     205,676      x         2     56,300                149,376
First Un Real Estate Equity &   COM      337400105           2         750      x         2                               750
First VA Banks Inc.             COM      337477103          50       1,100      x         2                             1,100
Firstenergy Corp.               COM      337932107          67       1,850      x         2                             1,850
Fiserv Inc.                     COM      337738108          14         412      x         2                               412
FleetBoston Financial CorporatioCOM      339030108         530      14,419      x         2                            14,419
Fleetwood Enterprises Inc.      COM      339099103       1,048      93,780      x         2     76,000                 17,780
Flextronics International Ltd   COM      Y2573F102          99       5,986      x         2                             5,986
Florida Banks, Inc.             COM      340560101           7       1,100      x         2                             1,100
FMC Corp.                       COM      302491303         127       2,600      x         2                             2,600
Ford Motor Co.                  COM      345370860       3,445     198,583      x         2     62,117                136,466
Fortune Brands Inc.             COM      349631101         152       4,552      x         2                             4,552
FPL Group Inc.                  COM      302571104         178       3,318      x         2                             3,318
Freddie Mac                     COM      313400301      14,375     221,150      x         2                           221,150
Freeport McMoran Copper And GoldCOM      35671D857          17       1,563      x         2                             1,563
Fremont General Corp.           COM      357288109           5         990      x         2                               990
Friedman Billings Ramsey Grp IncCOML A   358433100           8       1,500      x         2                             1,500
Fujitsu Ltd                     ADR      359590304         147       3,500      x         2                             3,500
Fujitsu Ltd Ord                 FOR      J15708159         144      17,200      x         2                            17,200
Gallaher Group PLC-Spon ADR     ADR      363595109          43       1,617      x         2                             1,617
Gannett Co                      COM      364730101         824      13,710      x         2                            13,710
Gap Inc.                        COM      364760108           2         168      x         2                               168
Gartner, Inc.                   COM      366651206          17       1,985      x         2                             1,985
Gateway, Inc.                   COM      367626108         103      18,950      x         2                            18,950
Gatx Corp.                      COM      361448103       3,117      92,658      x         2     40,800                 51,858
Genentech Inc                   COM      368710406           9         200      x         2                               200
General Electric Co.            COM      369604103      42,009   1,129,275      x         2          -              1,129,275
General Magic Inc               COM      370253106           0         400      x         2                               400
General Mills Inc.              COM      370334104         377       8,281      x         2                             8,281
General Motors Corporation      COM      370442105       2,430      56,644      x         2                            56,644
General Motors Corporation - ClaCOMH     370442832          72       5,367      x         2                             5,367
Genome Therapeutics Corp.       COM      372430108          14       2,400      x         2                             2,400
Genuine Parts Co.               COM      372460105         193       6,055      x         2                             6,055
Genzyme Corp.-General Division  COM      372917104          48       1,048      x         2                             1,048
Genzyme Corporation-Biosurgery DCOMsio   372917708           0          30      x         2                                30
Genzyme-Molecular Oncology      COM      372917500           0          30      x         2                                30
Georgia Pacific Corp. (Timber GrCOM)     373298702          61       1,674      x         2                             1,674
Georgia-Pacific Corp.           COM      373298108         118       4,086      x         2                             4,086
Gerber Scientific Inc.          COM      373730100          13       1,200      x         2                             1,200
Gillette Co.                    COM      375766102         325      10,919      x         2                            10,919
Glacier Bancorp Inc             COM      37637Q105         165       8,677      x         2                             8,677
Glaxo Smithkline Sponsored PLC AADR      37733W105         535       9,528      x         2                             9,528
Golden West Finl Corp. Del      COM      381317106         105       1,800      x         2                             1,800
Goldman Sachs Group, Inc.       COM      38141G104          36         500      x         2                               500
GPU Inc.                        COM      36225X100          43       1,060      x         2                             1,060
Grainger WW Inc.                COM      384802104          78       2,000      x         2                             2,000
Guidant Corp.                   COM      401698105       8,912     231,487      x         2     18,500                212,987
H J Heinz Co                    COM      423074103       2,601      61,700      x         2                            61,700
Halliburton Co.                 COM      406216101         403      17,883      x         2                            17,883
Hancock John Finl Services Inc. COM      41014S106          59       1,481      x         2                             1,481
Harley Davidson, Inc.           COM      412822108         514      12,700      x         2                            12,700
Harris Corp.                    COM      413875105          41       1,300      x         2                             1,300
Hartford Financial Services GrouCOMnc.   416515104       1,189      20,250      x         2                            20,250
Hasbro Inc.                     COM      418056107          38       2,687      x         2                             2,687
Hawaiian Elec Inds Inc.         COM      419870100          78       2,000      x         2                             2,000
HCA Inc                         COM      404119109         102       2,300      x         2                             2,300
Health Management Associates, InCOMCl    421933102         251      12,100      x         2                            12,100
Hearst-Argyle Television Inc.   COM      422317107         219      12,502      x         2                            12,502
Helix Technology Inc.           COM      423319102         408      25,100      x         2                            25,100
Helmerich & Payne               COM      423452101         305      11,700      x         2                            11,700
Henry Schein Inc.               COM      806407102           5         140      x         2                               140
Hershey Foods Corp.             COM      427866108         523       7,999      x         2                             7,999
Hewlett-Packard Co.             COM      428236103       9,159     568,854      x         2                           568,854
Highwoods Properties Inc.       COM      431284108          77       3,100      x         2                             3,100
Hillenbrand Industries Inc.     COM      431573104       1,055      19,553      x         2                            19,553
Hilton Hotels Corp.             COM      432848109          63       8,000      x         2                             8,000
Holly Corp. Com Par $0.01       COM      435758305           0          16      x         2                                16
Homefed Corp                    COM      43739D208           0         357      x         2                               357
HON Industries Inc.             COM      438092108       1,097      49,950      x         2     46,300                  3,650
Honeywell International Inc.    COM      438516106         319      12,065      x         2                            12,065
Hospitality Properties Trust    COM      44106M102           2         100      x         2                               100
Host Marriott Corp New          COM      44107P104          21       3,000      x         2                             3,000
Household International Inc.    COM      441815107         202       3,580      x         2                             3,580
HRPT Proprties Trust            COM      40426W101          18       2,200      x         2                             2,200
HSBC Holdings (Hong Kong Reg)   FOR       H008111          379      36,125      x         2                            36,125
HSBC Holdings PLC -Spons ADR    ADR      404280406           3          65      x         2                                65
Hubbell Inc.  CL B              COM      443510201         260       8,922      x         2                             8,922
Huffy Corp.                     COM      444356109           8       1,200      x         2                             1,200
Human Genome Sciences Inc.      COM      444903108         102       3,300      x         2                             3,300
Hunkar Laboratories Inc.        COM       8S02052            0           3      x         2                                 3
Huntington Bancshares Inc.      COM      446150104       4,614     266,557      x         2                           266,557
Hutchinson Whampoa - Unsp ADR   ADR      448415208          41       1,100      x         2                             1,100
Hyseq Inc                       COM      449163302          10       1,630      x         2                             1,630
I.D. Systems, Inc.              COM      449489103           0         100      x         2                               100
iBasis, Inc.                    COM      450732102           1       2,000      x         2                             2,000
IDEC Pharmaceutical Corp.       COM      449370105          17         350      x         2                               350
Identix Inc.                    COM      451906101           3         400      x         2                               400
IFCO Systems N.V.               FOR      N43961106           0         393      x         2                               393
Illinois Tool Works             COM      452308109       9,640     178,162      x         2                           178,162
Image Systems Inc.              COM      452445109           0          10      x         2                                10
Imation Corp.                   COM      45245A107           2          80      x         2                                80
Imclone Systems Inc             COM      45245W109         164       2,900      x         2                             2,900
Immunex Corporation             COM      452528102          63       3,400      x         2                             3,400
Imperial Pkg Corp               COM      453077109           1          37      x         2                                37
IMS Health Inc.                 COM      449934108         557      22,254      x         2                            22,254
Imx Pharmaceuticals Inc         COM      449730209           -      84,010      x         2                            84,010
Incyte Pharmaceuticals Inc.     COM      45337C102          23       1,700      x         2                             1,700
Information Architects Corp     COM      45669R107           1       1,500      x         2                             1,500
Infospace Com Inc.              COM      45678T102           0           1      x         2                                 1
Ing Groep NV Spons ADR          ADR      456837103          55       2,066      x         2                             2,066
Inhale Therapeutic Sys Inc      COM      457191104           9         650      x         2                               650
Integral Technologies Inc       COM      45810J103           1         700      x         2                               700
Intel Corp.                     COM      458140100      28,946   1,419,622      x         2     25,100              1,394,522
Interactive Intelligence, Inc.  COM      45839M103           1         100      x         2                               100
International Business Machines COMp.    459200101      22,095     239,387      x         2      6,700                232,687
International Flavors & FragrancCOM      459506101          42       1,500      x         2                             1,500
International Paper Cap Tr      PFD      460137300       2,389      54,600      x         2                            54,600
International Paper Co.         COM      460146103       1,835      52,717      x         2     31,100                 21,617
International Rectifier CorporatCOM      460254105           5         200      x         2                               200
Internet Architecture Holdr Tr  COM      46060A107           6         200      x         2                               200
Internet Cap Group Inc          COM      46059C106           0         280      x         2                               280
Internet Sec Sys Inc            COM      46060X107           2         211      x         2                               211
Interpublic Group Companies Inc.COM      460690100       2,952     144,710      x         2     20,000                124,710
Invacare Corp.                  COM      461203101         324       8,000      x         2                             8,000
Ionics Inc.                     COM      462218108          11         500      x         2                               500
IRT Property Co                 COM      450058102          26       2,400      x         2                             2,400
Ito Yokado Ltd ADR - New        ADR      465714301         354       8,125      x         2                             8,125
ITT Industries, Inc.            COM      450911102         202       4,500      x         2                             4,500
J P Morgan Chase & Co           PFD      46625H209       1,053      12,950      x         2                            12,950
J.P. Morgan Chase & Co.         COM      46625H100      14,221     416,438      x         2     16,600                399,838
Jakks Pacific, Inc.             COM      47012E106          30       2,250      x         2                             2,250
Jardine Strategic Holdings Ltd  FOR      G50764102         233      97,828      x         2                            97,828
JDS Uniphase Corp               COM      46612J101          30       4,670      x         2                             4,670
Jefferson-Pilot Corp.           COM      475070108       5,157     115,945      x         2                           115,945
Johnson & Johnson               COM      478160104      30,240     545,840      x         2     15,200                530,640
Johnson Controls Inc.           COM      478366107       1,474      22,600      x         2      8,200                 14,400
JPM Chase Capital IX            PFD      46623C202          26       1,000      x         2                             1,000
Juniper Networks                COM      48203R104          15       1,500      x         2                             1,500
K Mart Corp.                    COM      482584109           1         150      x         2                               150
Kadant Inc.                     COM      48282T104           2         150      x         2                               150
Kansas City Power & Light Co    COM      485134100       1,270      48,675      x         2     35,800                 12,875
Kansas City Southn Inds Inc     COM      485170302       6,850     570,842      x         2     84,200                486,642
Kaydon Corp.                    COM      486587108       1,499      71,600      x         2     39,300                 32,300
KEMET Corp.                     COM      488360108           8         500      x         2                               500
Kendle International Inc        COM      48880L107          30       1,541      x         2                             1,541
Kerr-McGee Corp.                COM      492386107         467       9,000      x         2                             9,000
Keycorp New                     COM      493267108         877      36,318      x         2                            36,318
Keyspan Corporation             COM      49337W100         139       4,193      x         2                             4,193
Kimberly-Clark Corp.            COM      494368103       1,652      26,640      x         2                            26,640
KIMCO Realty Corp.              COM      49446R109          49       1,000      x         2                             1,000
Kinder Morgan Energy Partners LPCOM      494550106       1,458      42,120      x         2                            42,120
KMart Financing I 7.75% Conv    PFD      498778208           7         200      x         2                               200
Kohls Corp.                     COM      500255104         124       2,580      x         2                             2,580
KOMATSU LTD. S.A.               ADR      500458401           4         260      x         2                               260
Koninklijke Philips Electronics ADR.     500472303         276      14,307      x         2                            14,307
Korea Electric Power Corp. ADR  ADR      500631106         319      36,050      x         2                            36,050
Kroll, Inc.                     COM      501049100           6         500      x         2                               500
LaClede Gas Co                  COM      505588103          70       2,900      x         2                             2,900
Laidlaw Inc. New                COM      50730K503           0         800      x         2                               800
LAM Research Corp.              COM      512807108           5         300      x         2                               300
Lancaster Colony Corp.          COM      513847103       1,146      40,900      x         2     33,000                  7,900
Lawson Products Inc.            COM      520776105          18         750      x         2                               750
LCA-Vision Inc.                 COM      501803209           2       2,000      x         2                             2,000
Legg Mason, Inc.                COM      524901105          73       1,832      x         2                             1,832
Leggett & Platt Inc.            COM      524660107       1,256      64,390      x         2                            64,390
Lehman Brothers Holdings Inc    COM      524908100          52         910      x         2                               910
Lesco Inc. - Ohio               COM      526872106           1         100      x         2                               100
Leucadia National               COM      527288104          10         335      x         2                               335
Lexmark International, Inc.     COM      529771107          47       1,050      x         2                             1,050
Liberty Media Corp - Series A   COM      530718105          43       3,400      x         2                             3,400
Lilly (Eli) & Co.               COM      532457108       1,541      19,093      x         2                            19,093
Limited Inc                     COM      532716107         247      26,000      x         2     25,000                  1,000
Lincoln National Corp. Ind.     COM      534187109       4,747     101,800      x         2     21,000                 80,800
Linens 'N Things, Inc           COM      535679104          35       1,900      x         2                             1,900
Littlefuse Inc.                 COM      537008104          31       1,400      x         2                             1,400
Liz Claiborne, Inc.             COM      539320101          15         400      x         2                               400
Lockheed Martin Corp.           COM      539830109       3,245      74,166      x         2                            74,166
Loews Corp.                     COM      540424108       2,187      47,250      x         2     32,100                 15,150
Losantiville Cnty Club Land     COM       8S02062            4          15      x         2                                15
Louisiana Pacific Corp.         COM      546347105          21       3,170      x         2                             3,170
Lowe's Companies, Inc.          COM      548661107       2,642      83,480      x         2                            83,480
LSI Industries Inc              COM      50216C108          60       2,400      x         2                             2,400
LSI Logic Corp.                 COM      502161102         143      12,166      x         2                            12,166
Lubys Cafeterias Inc.           COM      549282101          18       2,535      x         2                             2,535
Lucent Technologies Inc.        COM      549463107       1,128     196,918      x         2     28,600                168,318
Luxottica Group SPA Sponsored ADADR      55068R202          14       1,000      x         2                             1,000
LVMH Moet Hennessy Louis VuittonADR      502441207           6       1,000      x         2                             1,000
M D U Resources Group, Inc.     COM      552690109          42       1,800      x         2                             1,800
Madison Oil Co Del              COM      558131108           0           1      x         2                                 1
MAF Bancorp                     COM      55261R108          66       2,299      x         2                             2,299
Magna International Inc.        FOR      559222401         222       4,200      x         2                             4,200
Main Street Banks, Inc.         COM      56034R102          11         586      x         2                               586
Mandalay Resort Group           COM      562567107           2         150      x         2                               150
Manitowoc Co Inc.               COM      563571108          17         700      x         2                               700
Manor Care Inc                  COM      564055101         372      13,250      x         2                            13,250
Manulife Finl Corp              COM      56501R106          42       1,600      x         2                             1,600
Mapics Inc.                     COM      564910107           3         500      x         2                               500
Markel Corp.                    COM      570535104          39         200      x         2                               200
Marriott International Cl A     COM      571903202          46       1,383      x         2                             1,383
Marsh & McLennan Cos Inc        COM      571748102         237       2,448      x         2                             2,448
Marshall & Ilsley Corp.         COM      571834100         833      14,700      x         2                            14,700
Martin Lawrence Ltd Editions IncCOM      573269107           -         200      x         2                               200
Martin Marietta Materials       COM      573284106       5,085     130,017      x         2     31,500                 98,517
Masco Corp.                     COM      574599106         286      14,002      x         2                            14,002
MascoTech, Inc.                 COM      574670998           -       3,000      x         2                             3,000
Matsushita Elec Ind             ADR      576879209         248      20,550      x         2                            20,550
Matsushita Electric Indl Co     FOR      J41121104         194      15,800      x         2                            15,800
Mattel Inc.                     COM      577081102          41       2,596      x         2                             2,596
Maxim Integrated Products, Inc. COM      57772K101           3         100      x         2                               100
May Department Stores           COM      577778103         820      28,267      x         2                            28,267
Maytag Corp.                    COM      578592107          29       1,180      x         2                             1,180
MBIA, Inc.                      COM      55262C100         412       8,235      x         2                             8,235
MBNA Corporation                COM      55262L100          96       3,185      x         2                             3,185
McCormick & Co.                 COM      579780206       3,141      68,578      x         2                            68,578
McDATA Corporation Cl A         COM      580031201           2         223      x         2                               223
McDonald's Corporation          COM      580135101      19,673     724,878      x         2     33,400                691,478
McGraw-Hill Companies Inc.      COM      580645109           2          40      x         2                                40
McKesson Corporation            COM      58155Q103          57       1,500      x         2                             1,500
McMoran Exploration Co          COM      582411104           0           5      x         2                                 5
MCSI Inc                        COM      55270M108           6         400      x         2                               400
Mead Corp.                      COM      582834107         142       5,121      x         2                             5,121
Measurement Specialties, Inc.   COM      583421102          10       1,000      x         2                             1,000
Media General Inc. Class A      COM      584404107          35         800      x         2                               800
Medimmune Inc.                  COM      584699102       1,260      35,355      x         2                            35,355
Medtronic Inc.                  COM      585055106       9,474     217,787      x         2          -                217,787
Mellon Finl Corp                COM      58551A108      14,965     462,890      x         2      2,800                460,090
Mercantile Bankshares Corp.     COM      587405101         143       3,600      x         2                             3,600
MerchantOnline.com, Inc.        COM      588200105           0       2,500      x         2                             2,500
Merck & Co., Inc.               COM      589331107      38,993     585,477      x         2     11,400                574,077
Mercury Interactive Corporation COM      589405109           2          95      x         2                                95
Meridian Bioscience, Inc        COM      589584101          11       2,339      x         2                             2,339
Meritor Svgs Bk PA in ReceivershCOM      590007100           3       1,750      x         2                             1,750
MERL Holdings Inc.Com           COM      590086104           0       1,000      x         2                             1,000
Merrill Lynch & Co 9% Cum Pfd   PFD      590188819          28       1,000      x         2                             1,000
Merrill Lynch & Co., Inc.       COM      590188108         634      15,616      x         2                            15,616
Metlife Inc                     COM      59156R108          15         510      x         2                               510
Metricom Inc.                   COM      591596101           0          50      x         2                                50
MFN Finl Corp.                  COM      55272N104           0           3      x         2                                 3
MGIC Investment Corporation     COM      552848103          59         900      x         2                               900
Michelin S A, Cie Generale Des  FOR      F61824144         320      12,110      x         2                            12,110
Micron Technology Inc.          COM      595112103           1          70      x         2                                70
Microsoft Corp.                 COM      594918104      30,897     603,804      x         2          -                603,804
Midas Inc.                      COM      595626102           1          95      x         2                                95
Milacron Inc                    COM      598709103         296      24,753      x         2                            24,753
Milacron Inc 4% PFD             PFD      598709202           4         108      x         2                               108
Millennium Pharmaceuticals Inc  COM      599902103          64       3,600      x         2                             3,600
Miller Herman Inc.              COM      600544100          86       4,400      x         2                             4,400
Mineral Mountain Mining         COM      602873101           0         333      x         2                               333
Minnesota Mining & ManufacturingCOM.     604059105       2,416      24,549      x         2                            24,549
Mirant Corporation              COM      604675108          88       4,014      x         2                             4,014
Mitsubishi Heavy Industries, LtdFOR      J44002129           3       1,000      x         2                             1,000
Mitsubishi Tokyo Financial GroupADRnc.   606816106          45       5,860      x         2                             5,860
Molex Inc.                      COM      608554101         848      30,160      x         2                            30,160
Molex Inc. Cl A                 COM      608554200       8,594     353,675      x         2                           353,675
Momentum Business Applications, COM.     60877P108           0          10      x         2                                10
Montana Power Co $6 Pfd         PFD      612085308           2          20      x         2                                20
Moodys Corp                     COM      615369105         434      11,727      x         2                            11,727
Morgan St Dean Witter Discover &COM.     617446448         622      13,416      x         2                            13,416
Motorola Inc.                   COM      620076109         899      57,606      x         2                            57,606
Murray Global Retu Ord          FOR       M004265           77      99,624      x         2                            99,624
Murray Global Retu Zero Div Pfd PFD       M004280          144      99,624      x         2                            99,624
Myers Inds Inc.                 COM      628464109          16       1,331      x         2                             1,331
Myriad Genetics Inc             COM      62855J104          46       1,500      x         2                             1,500
Nabors Industries Inc.          COM      629568106       1,123      53,540      x         2     12,000                 41,540
Nasdaq 100 Shares               COM      631100104         205       7,060      x         2                             7,060
National Australia Bank LTD SponADRR     632525408         687      10,770      x         2                            10,770
National City Corp.             COM      635405103       4,993     166,724      x         2                           166,724
National Service Industries Inc.COM      637657107          29       1,400      x         2                             1,400
Navistar International Corp.    COM      63934E108           1          20      x         2                                20
NCR Corp.                       COM      62886E108          22         727      x         2                               727
Neiman Marcus Group Inc         COM      640204301           4         156      x         2                               156
Nestle SA Sponsored ADR         ADR      641069406       2,573      48,230      x         2                            48,230
Net2000 Communications Inc      COM      64122G103           0          75      x         2                                75
Network Appliance Inc           COM      64120L104           2         300      x         2                               300
New England Business Service    COM      643872104          35       2,000      x         2                             2,000
New York Times Co.              COM      650111107          53       1,350      x         2                             1,350
Newell Rubbermaid Inc.          COM      651229106         387      17,053      x         2                            17,053
Newmont Mining Corp.            COM      651639106         104       4,393      x         2                             4,393
Newpark Resources Inc. Com Par $COM1     651718504         236      34,932      x         2                            34,932
Nextel Communications, Inc.     COM      65332V103          15       1,750      x         2                             1,750
Nicor Inc.                      COM      654086107          19         500      x         2                               500
Nike Inc.                       COM      654106103         323       6,900      x         2                             6,900
Niku Corp                       COM      654113109           0         100      x         2                               100
Nisource Inc.                   COM      65473P105         184       7,890      x         2                             7,890
Nokia Oyj Sponsored ADR         ADR      654902204       1,130      72,185      x         2                            72,185
Nordstrom Inc.                  COM      655664100          14       1,000      x         2                             1,000
Norfolk Southern Corp.          COM      655844108       2,905     180,187      x         2     21,000                159,187
Norfolk Southern Railway Co.    PFD      655855203           5         118      x         2                               118
Norsk Hydro As Adr              ADR      656531605         631      17,325      x         2                            17,325
Nortel Networks Corp.           COM      656568102         874     155,707      x         2          -                155,707
North European Oil Royalty TrustCOM      659310106           5         315      x         2                               315
North Fork Bancorp, Inc.-DEL    COM      659424105          85       2,850      x         2                             2,850
North Star Inc.                 COM      990186918          27       2,000      x         2                             2,000
Northern Mineral Co             COM      665415105           0          38      x         2                                38
Northern Trust Corp.            COM      665859104         148       2,825      x         2                             2,825
Northrop Grumman Corp.          COM      666807102          40         400      x         2                               400
Novartis AG                     FOR      H5820Q150         372       9,500      x         2                             9,500
Novartis AG-ADR                 ADR      66987V109         697      17,920      x         2                            17,920
Novell, Inc.                    COM      670006105           4       1,200      x         2                             1,200
Novo-Nordisk A/S ADR            ADR      670100205         378       9,000      x         2                             9,000
Nucor Corp.                     COM      670346105          33         822      x         2                               822
Nvidia Corp                     COM      67066G104           8         300      x         2                               300
Ocwen Financial Corp.           COM      675746101          30       4,188      x         2                             4,188
Ohio Casualty Corp.             COM      677240103         232      17,896      x         2                            17,896
On Command Corp.                COM      682160106           1         580      x         2          -
Oneida Ltd                      COM      682505102         180      12,546      x         2                            12,546
Oneida Valley Secs Corp         COM      682607106           -          20      x         2                                20
Openwave Systems Inc.           COM      683718100           1         100      x         2                               100
Oracle Corp                     COM      68389X105       1,148      91,245      x         2                            91,245
Oshkosh Truck Corp. Class B     COM      688239201         101       2,800      x         2                             2,800
Paccar Inc.                     COM      693718108         113       2,300      x         2                             2,300
Pacific Century Financial Corp. COM      694058108          14         600      x         2                               600
Pall Corp.                      COM      696429307          47       2,400      x         2                             2,400
Palm, Inc.                      COM      696642107          10       6,795      x         2                             6,795
Panda Project Inc.              COM      69833F104           0           5      x         2                                 5
Park Ohio Inds Inc Ohio         COM      700677107           1         370      x         2                               370
Parker Hannifin Corp.           COM      701094104          40       1,162      x         2                             1,162
Payless Shoesource Inc.         COM      704379106           9         160      x         2                               160
Peet's Coffee & Tea Inc.        COM      705560100          32       4,200      x         2                             4,200
Penney (J C) Co Inc.            COM      708160106          53       2,400      x         2                             2,400
Penton Media Inc.               COM      709668107           1         300      x         2                               300
Peoples Energy Corp.            COM      711030106          24         600      x         2                               600
PepsiAmericas, Inc.             COM      71343P200          26       1,767      x         2                             1,767
PepsiCo, Inc.                   COM      713448108       9,302     191,784      x         2                           191,784
Peregrine Systems, Inc.         COM      71366Q101           0          10      x         2                                10
PerkinElmer, Inc.               COM      714046109           5         176      x         2                               176
Perlis Plantations-Unsp ADR     ADR      713900207          12      11,000      x         2                            11,000
Perrigo Company                 COM      714290103           8         500      x         2                               500
Petroleo Brasileiro S.A.- PetrobADR AD   71654V101           5         250      x         2                               250
Pfizer Inc.                     COM      717081103      38,966     971,712      x         2                           971,712
Pharmacia Corp                  COM      71713U102       3,941      97,154      x         2     13,481                 83,673
Phelps Dodge                    COM      717265102           7         240      x         2                               240
Philip Morris Companies Inc.    COM      718154107       3,613      74,825      x         2                            74,825
Phillips Petroleum Company      COM      718507106       4,144      76,821      x         2     38,240                 38,581
Piedmont Natural Gas Co         COM      720186105          25         800      x         2                               800
Pier 1 Imports Inc.             COM      720279108           8       1,000      x         2                             1,000
Pioneer Standard                COM      723877106         481      53,300      x         2     51,800                  1,500
Pitney-Bowes, Inc.              COM      724479100         612      15,987      x         2                            15,987
Placer Dome Inc.                COM      725906101          26       2,042      x         2                             2,042
Plains Resources Inc. New       COM      726540503          52       2,000      x         2                             2,000
Plum Creek Timber Co L P        COM      729251108          64       2,400      x         2                             2,400
PMC Capital Inc.                COM      693430100          29       3,600      x         2                             3,600
PMI Group Inc.                  COM      69344M101       1,408      22,575      x         2                            22,575
PNC Financial Services Group    COM      693475105       4,659      81,375      x         2                            81,375
Pohang Iron & Steel Co, Ltd ADS ADR      730450103         148       9,400      x         2                             9,400
Polyone Corp                    COM      73179P106           3         375      x         2                               375
Pomeroy Computer Resources Inc. COM      731822102          33       2,750      x         2                             2,750
Portal Software Inc             COM      736126103           0         300      x         2                               300
Possis Medical Inc.             COM      737407106           4         300      x         2                               300
Post Properties Inc.            COM      737464107         904      24,375      x         2     13,000                 11,375
Potash Corp. of Saskatchewan    FOR      73755L107       1,935      34,750      x         2     21,800                 12,950
Potomac Electric Power Co       COM      737679100          38       1,710      x         2                             1,710
Powergen PLC-Sponsored ADR FinalADR      738905405          64       1,500      x         2                             1,500
PPG Industries, Inc.            COM      693506107         650      14,200      x         2                            14,200
PPL Corporation                 COM      69351T106           7         210      x         2                               210
Praxair Inc.                    COM      74005P104          42       1,000      x         2                             1,000
Pride International Inc.        COM      741932107          52       5,000      x         2                             5,000
Procter & Gamble Co.            COM      742718109      42,478     583,575      x         2                           583,575
Prodigy Communications Corp. CL COM      74283P206           2         400      x         2                               400
Progress Energy Inc.            COM      743263105         607      14,130      x         2                            14,130
Progress Energy, Inc            COM      743263AA3           -         937      x         2                               937
Prologis Trust                  COM      743410102          42       2,000      x         2                             2,000
Provident Financial GRP         COM      743866105         134       5,321      x         2                             5,321
Providian Financial Corp.       COM      74406A102         136       6,737      x         2                             6,737
Public Service Enterprise Group COM      744573106          26         615      x         2                               615
Pulitzer Inc                    COM      745769109          41         917      x         2                               917
QLogic Corp.                    COM      747277101           8         400      x         2                               400
Quaker Chemical Corp.           COM      747316107           6         342      x         2                               342
Qualcomm Inc.                   COM      747525103         869      18,285      x         2                            18,285
Qualstar Corporation            COM      74758R109          11       2,000      x         2                             2,000
Questar Corp.                   COM      748356102          32       1,600      x         2                             1,600
Qwest Communications InternationCOM In   749121109         916      54,865      x         2                            54,865
R.H. Donnelly Corp.             COM      74955W307          58       2,224      x         2                             2,224
RadioShack Corporation          COM      750438103         116       4,800      x         2                             4,800
Ralston-Ralston Purina Group    COM      751277302         114       3,462      x         2                             3,462
Rambus Inc.                     COM      750917106          38       5,100      x         2                             5,100
Ramtron International CorporatioCOM      751907304           1         400      x         2          -
Rand McNally & Company (Escrow) COM      752210971           0          50      x         2                                50
Raymond James Financial Inc.    COM      754730109          31       1,125      x         2                             1,125
Rayonier Inc.                   COM      754907103          19         475      x         2                               475
Raytheon Company                COM      755111507         412      11,860      x         2                            11,860
Reebok International Ltd        COM      758110100           8         400      x         2                               400
Regions Financial Corp.         COM      758940100         229       7,920      x         2                             7,920
Reliant Energy Inc              COM      75952J108         352      13,364      x         2                            13,364
Repsol S.A. ADR                 ADR      76026T205         815      56,000      x         2                            56,000
Reuters Holdings PLC Spon ADR   ADR      76132M102          36         693      x         2                               693
Rex Stores Corp.                COM      761624105         103       7,500      x         2                             7,500
Reynolds & Reynolds Co CL A     COM      761695105          13         575      x         2                               575
Reynolds R J Tob Hldgs Inc      COM      76182K105           9         160      x         2                               160
Rigel Pharmaceuticals, Inc.     COM      766559108          60      12,000      x         2                            12,000
Rio Tinto PLC - Sponsored ADR   ADR      767204100         505       8,015      x         2                             8,015
Rite Aid Corp.                  COM      767754104          31       4,000      x         2                             4,000
Roche Holding AG                ADR      771195104          79       1,100      x         2                             1,100
Rochester Gas & Electric Corp.  PFD      771367208           1          20      x         2                                20
Rockwell Collins, Inc.          COM      774341101          17       1,224      x         2                             1,224
Rockwell International Corp.    COM      773903109          18       1,224      x         2                             1,224
Rohm & Haas                     COM      775371107         207       6,325      x         2                             6,325
Rohm Co Ltd                     FOR      J65328122         298       3,000      x         2                             3,000
Royal Dutch Petroleum Co ADR    ADR      780257804       4,205      83,690      x         2          -                 83,690
Royal KPN Nederland NV Spon ADR ADR      780641205           6       2,063      x         2                             2,063
Royal Precision Inc             COM      780921102           5       2,000      x         2                             2,000
Ruby Tuesday Inc.               COM      781182100          58       3,680      x         2                             3,680
S C I Systems Inc.              COM      783890106          70       3,900      x         2                             3,900
S&P Mid-Cap 400 Depositary ReceiCOM      595635103          79       1,000      x         2                             1,000
Safeguard Scientifics Inc.      COM      786449108          11       6,000      x         2                             6,000
Safeway Inc.                    COM      786514208       3,004      75,634      x         2                            75,634
Saipem SPA- Ord IL 1000 Par     FOR      T82000117         256      56,700      x         2                            56,700
Salton Inc.                     COM      795757103           4         500      x         2                               500
San Paolo-imi S P A             ADR      799175104         604      29,115      x         2                            29,115
Sandisk Corp.                   COM      80004C101           2         165      x         2                               165
SAP AG Sponsored ADR            ADR      803054204          52       2,000      x         2                             2,000
Sara Lee Corp.                  COM      803111103         312      14,640      x         2                            14,640
SBC Communications Inc.         COM      78387G103      17,009     360,966      x         2      5,000                355,966
Schering-Plough Corp.           COM      806605101      19,347     521,477      x         2                           521,477
Schlumberger Limited            COM      806857108       8,686     190,066      x         2                           190,066
Schwab Charles Corp.            COM      808513105       3,443     299,429      x         2                           299,429
Schweitzer-Mauduit Intl         COM      808541106           2          84      x         2                                84
Scientific-Atlanta Inc.         COM      808655104         235      13,400      x         2                            13,400
Scripps Co E W Cl A             COM      811054204         152       2,500      x         2                             2,500
Scriptel Holdings Inc.          COM      811075100           -      18,000      x         2                            18,000
Sealed Air Corp.                COM      81211K100          62       1,700      x         2                             1,700
Sears Roebuck & Co              COM      812387108         137       3,964      x         2                             3,964
Secom Co Ltd - Ord              FOR      J69972107         330       6,400      x         2                             6,400
Secom Co Ltd Adr                ADR      813113206          21         200      x         2                               200
Sensient Technologies Corp      COM      81725T100          26       1,400      x         2                             1,400
Service Corp. International     COM      817565104          45       7,500      x         2                             7,500
Servicemaster Co                COM      81760N109         327      29,478      x         2                            29,478
Shell Transport & Trading PLC   ADR      822703609         693      15,612      x         2                            15,612
Sherwin Williams Corp.          COM      824348106          18         800      x         2                               800
Shopsmith Inc                   COM      825098106           0         750      x         2                               750
Siemens AG Sponsored ADR        ADR      826197501         104       2,700      x         2                             2,700
Sigma-Aldrich Corp.             COM      826552101         118       2,600      x         2                             2,600
Singapore Telecommunications LtdADR      82929R106          14       1,400      x         2                             1,400
Singapore Telecommunications LTDFORD     Y79985126         190     185,100      x         2                           185,100
Sinopec Shanghai - Spons ADR    ADR      82935M109           4         400      x         2                               400
SK Telecom Co., Ltd. Sponsored AADR      78440P108           2         116      x         2                               116
Sky Financial Group Inc         COM      83080P103          54       2,696      x         2                             2,696
Smucker J M Co                  COM      832696306         115       4,500      x         2                             4,500
Softbank Corp                   FOR      J75963108           4         200      x         2                               200
Solectron Corp.                 COM      834182107          79       6,800      x         2                             6,800
Solutia Inc.                    COM      834376105          24       1,924      x         2                             1,924
Sony Corp. - Sponsored ADR      ADR      835699307         948      28,540      x         2                            28,540
Southern Pacific Petroleum NL ADADR      843581307           1       1,375      x         2                             1,375
Southtrust Corp.                COM      844730101          31       1,200      x         2                             1,200
Southwest Airlines Co.          COM      844741108          64       4,300      x         2                             4,300
Sprint Corp. (PCS Group)        COM      852061506         277      10,522      x         2                            10,522
Sprint Corporation (FON Group)  COM      852061100       1,244      51,813      x         2                            51,813
St Gobain                       FOR      F80343100         339       2,460      x         2                             2,460
St Jude Medical Inc.            COM      790849103         726      10,600      x         2     10,000                    600
St. Mary Land & Exploration     COM      792228108         213      13,400      x         2                            13,400
St. Paul Companies Inc.         COM      792860108         136       3,300      x         2                             3,300
Standard & Poors DEP Receipts   COM      78462F103         197       1,882      x         2                             1,882
Staples Inc.                    COM      855030102          76       5,672      x         2                             5,672
Starbucks Corp.                 COM      855244109          36       2,400      x         2                             2,400
Starwood Hotels & Resorts WorldwCOM In   85590A203          32       1,468      x         2                             1,468
State Street Corp.              COM      857477103         275       6,040      x         2                             6,040
Station Casinos, Inc.           COM      857689103          86      10,200      x         2                            10,200
Steris Corp.                    COM      859152100          12         600      x         2                               600
Stilwell Financial Inc          COM      860831106      15,386     789,017      x         2     31,900                757,117
Stmicroelectronics NV - NY ShareFOR      861012102          39       1,800      x         2                             1,800
Stone Energy Corp.              COM      861642106       1,211      37,606      x         2                            37,606
Strattec Security Corp.         COM      863111100          14         500      x         2                               500
Stride Rite Corp.               COM      863314100           0          59      x         2                                59
Stryker Corp.                   COM      863667101         127       2,400      x         2                             2,400
Student Loan Mkting             PFD      863871208          44         900      x         2                               900
Sun Microsystems Inc.           COM      866810104       3,296     398,563      x         2                           398,563
Sunoco Inc.                     COM      86764P109           8         228      x         2                               228
Suntrust Banks Inc.             COM      867914103         698      10,480      x         2                            10,480
Superior Energy Services Inc.   COM      868157108          12       2,000      x         2                             2,000
Supervalu Inc.                  COM      868536103          42       2,100      x         2                             2,100
Swire Pacific Ltd Ord Cl A      FOR      Y83310105          87      23,000      x         2                            23,000
Swire Pacific Ltd Sponsored ADR ADR      870794302           6       1,700      x         2                             1,700
Switchboard Inc                 COM      871045100           0         100      x         2                               100
Symantec Corporation            COM      871503108          28         800      x         2                               800
Symbol Technologies Inc.        COM      871508107          13       1,282      x         2                             1,282
Symons Intl Group Inc           COM      87154P105           0       8,310      x         2                             8,310
Syngenta AG - Sponsored ADR     ADR      87160A100         302      30,280      x         2                            30,280
Synovus Financial Corp.         COM      87161C105          28       1,012      x         2                             1,012
Sysco Corp.                     COM      871829107      16,499     646,023      x         2                           646,023
Systems & Computer Technology CoCOM      871873105          13       1,437      x         2                             1,437
T R W Inc.                      COM      872649108         151       5,060      x         2                             5,060
Taiwan Semiconductor Co. LTD SpoADRADR   874039100          77       8,101      x         2                             8,101
Target Corp                     COM      87612E106       8,282     260,769      x         2                           260,769
Taubman Centers, Inc.           COM      876664103          50       4,000      x         2                             4,000
Teco Energy Inc.                COM      872375100          11         400      x         2                               400
Telecominicaoes Brasileiras SA AADR      879287308           1          50      x         2                                50
Teleflex Inc.                   COM      879369106          37       1,000      x         2                             1,000
Telefonica SA Spons ADR         ADR      879382208       1,349      39,741      x         2                            39,741
Telefonos de Mexico SA Spons ADRADR      879403780         213       6,604      x         2                             6,604
Telephone & Data Systems, Inc.  COM      879433100         478       5,065      x         2                             5,065
Tellabs, Inc.                   COM      879664100           2         200      x         2                               200
Temple Inland Inc.              COM      879868107         114       2,400      x         2                             2,400
Tenet Healthcare Corp.          COM      88033G100          60       1,000      x         2                             1,000
Tennant Co                      COM      880345103          32         900      x         2                               900
Teraforce Technology CorporationCOM      88077T109           0       1,000      x         2                             1,000
Terra Networks, S. A.           ADR      88100W103           0           8      x         2                                 8
Terumo Corp.                    COM      J83173104         307      18,900      x         2                            18,900
Teva Pharmaceutical-SP ADR      ADR      881624209          50         832      x         2                               832
Texaco Inc.                     COM      881694103      10,521     161,859      x         2     12,100                149,759
Texas Instruments Inc.          COM      882508104       6,697     268,110      x         2          -                268,110
Textron Capital I Trust Pfd     PFD      883198202          24       1,000      x         2                             1,000
Textron Inc.                    COM      883203101         166       4,950      x         2                             4,950
The AES Corporation             COM      00130H105          36       2,800      x         2                             2,800
The Allstate Corp.              COM      020002101         411      11,004      x         2                            11,004
The Bear Stearns Companies Inc. COM      073902108         299       5,975      x         2                             5,975
The Cincinnati Gas & Elec Co    PFD      172070831           5         200      x         2                               200
The Home Depot, Inc.            COM      437076102      20,340     530,114      x         2                           530,114
The Kroger Co.                  COM      501044101       6,256     253,902      x         2     61,800                192,102
The Phoenix Companies, Inc.     COM      71902E109          26       1,800      x         2                             1,800
The Royal Bank of Scotland Grp PPFDPfd   780097507          13         500      x         2                               500
The Scotts Co Class A           COM      810186106         188       5,500      x         2                             5,500
The Southern Company            COM      842587107         242      10,100      x         2                            10,100
The Town and Country Trust      COM      892081100         287      14,500      x         2                            14,500
The Valspar Corp.               COM      920355104       6,574     196,585      x         2                           196,585
The Walt Disney Co.             COM      254687106       5,686     305,395      x         2          -                305,395
Thermo Electron Corp.           COM      883556102          45       2,490      x         2                             2,490
Three Five Systems Inc.         COM      88554L108           6         350      x         2                               350
Timken Co                       COM      887389104          27       2,000      x         2                             2,000
Tokio Marine & Fire Insurance CoADRLtd   889090403           6         130      x         2                               130
Tomkins PLC Sponsored ADR       ADR      890030208           4         500      x         2                               500
Tootsie Roll Industries Inc.    COM      890516107       2,454      64,128      x         2                            64,128
Topps Inc.                      COM      890786106           0           1      x         2                                 1
Total Fina Elf S.A. ADR         ADR      89151E109      11,023     163,186      x         2      7,000                156,186
Trans World Airlines            COM      893349837           0           1      x         2                                 1
Transocean Sedco Forex Inc      COM      G90078109         148       5,596      x         2                             5,596
Tri City Bank Shares Corp - WiscCOM      895364107           1          15      x         2                                15
Tribune Co                      COM      896047107         108       3,450      x         2                             3,450
Tricon Global Restaurants Inc.  COM      895953107         151       3,840      x         2                             3,840
Tupperware Corp.                COM      899896104           8         420      x         2                               420
TXU Corp                        COM      873168108         432       9,332      x         2                             9,332
TXU Electric Capital III 8.00%  PFD PF   87316Q207          25       1,000      x         2                             1,000
Tyco International LTD          FOR      902124106      20,802     457,183      x         2     13,532                443,651
U.S. Bancorp                    COM      902973304      24,194   1,090,821      x         2                         1,090,821
UBS AG                          FOR      H8920M855         154       3,342      x         2                             3,342
Ucar International Inc.         COM      90262K109       1,213     136,250      x         2    101,400                 34,850
Uni Charm Corp                  FOR      J94104114         330      11,500      x         2                            11,500
Unilever PLC                    ADR      904767704          39       1,310      x         2                             1,310
Union Pacific Capital Trust TermPFD      907824403          27         600      x         2                               600
Union Pacific Corp.             COM      907818108       5,227     111,443      x         2     35,300                 76,143
United Dominion Realty Trust    COM      910197102         253      17,700      x         2                            17,700
United Overseas Bank Ltd        FOR      V96194127         189      34,800      x         2                            34,800
United Overseas Bank LTD Spons AADR      911271302           3         316      x         2                               316
United Parcel Service Inc.      COM      911312106         461       8,869      x         2                             8,869
United Technologies Corp.       COM      913017109       1,839      39,546      x         2                            39,546
UnitedHealth Group Incorporated COM      91324P102         153       2,300      x         2                             2,300
Universal Display Corp          COM      91347P105           4         500      x         2                               500
Universal Hlth Rlty Income Tr   COM      91359E105          15         613      x         2                               613
Unocal Capital Trust            PFD      91528T207          19         400      x         2                               400
Unocal Corp.                    COM      915289102       3,102      95,435      x         2     46,200                 49,235
UnumProvident Corporation       COM      91529Y106           3         115      x         2                               115
US Air Group                    COM      911905107           2         500      x         2                               500
USA Education, Inc.             COM      90390U102         278       3,350      x         2                             3,350
USX - Marathon Group            COM      902905827          11         425      x         2                               425
USX-U.S. Steel Group            COM      90337T101           0          19      x         2                                19
Utilicorp United Inc.           COM      918005109          13         450      x         2                               450
V F Corp.                       COM      918204108          47       1,600      x         2                             1,600
Valmont Ind Inc                 COM      920253101          14       1,000      x         2                             1,000
Valuevision International Inc. CCOM      92047K107          40       3,100      x         2                             3,100
Varian Inc                      COM      922206107          15         600      x         2                               600
Varian Medical Systems Inc      COM      92220P105          38         600      x         2                               600
Varian Semiconductor Equip      COM      922207105          16         600      x         2                               600
Vectren Corp                    COM      92240G101         156       6,982      x         2                             6,982
Verisign Inc.                   COM      92343E102          21         500      x         2                               500
Veritas Software Corp           COM      923436109           4         200      x         2                               200
Verizon Communications          COM      92343V104      15,833     292,610      x         2                           292,610
Vertex Pharmaceuticals Inc.     COM      92532F100          20       1,100      x         2                             1,100
Viacom Inc Class A              COM      925524100          35       1,000      x         2                             1,000
Viacom Inc Class B              COM      925524308         116       3,361      x         2                             3,361
Vina Concha Y Toro SA Spons ADR ADR      927191106           4         100      x         2                               100
Vion Pharmaceuticals Inc.       COM      927624106           2         500      x         2                               500
Vishay Intertechnology Inc.     COM      928298108          37       2,032      x         2                             2,032
Visteon Corp                    COM      92839U107         203      15,921      x         2     12,029                  3,892
Vitesse Semiconductor Corp.     COM      928497106          23       3,000      x         2                             3,000
Vodafone Group Plc New          ADR      92857W100         238      10,834      x         2                            10,834
Vornado Realty Trust Common SharCOM      929042109       1,178      29,666      x         2                            29,666
Wachovia Corporation            COM      929903102         793      25,590      x         2                            25,590
Walgreen Co                     COM      931422109       4,359     126,592      x         2                           126,592
Wal-Mart de Mexico SA de CV     FOR      P98180105           1         304      x         2                               304
Wal-Mart de Mexico SA de CV     FOR      P98180113           2       1,200      x         2                             1,200
Wal-Mart Stores, Inc.           COM      931142103       2,724      55,032      x         2                            55,032
Washington Federal Inc.         COM      938824109       3,544     141,462      x         2     58,070                 83,392
Washington Mutual, Inc.         COM      939322103         735      19,101      x         2                            19,101
Washington Real Estate InvestorsCOMust   939653101         230       9,700      x         2                             9,700
Waterford Wedgewood - Unit      FOR      G94697102         215     375,000      x         2                           375,000
Watts Industries Inc  Class A   COM      942749102           4         300      x         2                               300
WD-40 Co.                       COM      929236107           4         200      x         2                               200
Webmd Corporation               COM      94769M105           0          52      x         2                                52
Weingarten Realty Investors     COM      948741103          64       1,318      x         2                             1,318
Weis Markets Inc                COM      948849104          40       1,441      x         2                             1,441
Wells Fargo Company             COM      949746101       1,428      32,119      x         2                            32,119
Wendy's International Inc       COM      950590109           3         108      x         2                               108
Western Resources Inc           COM      959425109         106       6,400      x         2                             6,400
Westvaco Corp.                  COM      961548104         158       6,154      x         2                             6,154
Weyerhaeuser Co.                COM      962166104         477       9,800      x         2                             9,800
White Mountains Inc Group Ltd CoCOM      G9618E107         508       1,525      x         2                             1,525
Whole Foods Market, Inc.        COM      966837106          63       2,000      x         2                             2,000
Wild Oats Markets Inc.          COM      96808B107          17       2,100      x         2                             2,100
Willamette Inds                 COM      969133107         293       6,510      x         2                             6,510
Williams Communications Group, ICOM      969455104           3       2,601      x         2                             2,601
Williams Companies Inc.         COM      969457100         152       5,575      x         2                             5,575
Williams Sonoma Inc.            COM      969904101         155       6,508      x         2                             6,508
Winstar Communications, Inc.    COM      975515107           0       5,500      x         2                             5,500
Winton Finl Corp                COM      976446104          13       1,400      x         2                             1,400
Wolters Kluwer NV Spons ADR     ADR      977874205         420      18,955      x         2                            18,955
World Television Inc            COM      98151F305           -          23      x         2                                23
WorldCom, Inc. - MCI Group      COM      98157D304         120       7,910      x         2      1,440                  6,470
WorldCom, Inc. - WorldCom Group COM      98157D106       8,858     588,994      x         2     46,600                542,394
Worthington Industries, Inc.    COM      981811102          27       2,400      x         2                             2,400
WPP Group plc Sponsored ADR     ADR      929309300          46       1,252      x         2                             1,252
Wrigley (WM) Jr. Company        COM      982526105          74       1,440      x         2                             1,440
WSFS Financial Corp.            COM      929328102         700      42,500      x         2                            42,500
Xcel Energy Inc                 COM      98389B100          86       3,052      x         2                             3,052
Xerox Corp.                     COM      984121103         192      24,800      x         2     22,800                  2,000
Xilinx Inc.                     COM      983919101          12         500      x         2                               500
XL Capital Ltd - Class A        COM      G98255105         166       2,100      x         2                             2,100
XO Communications Inc.          COM      983764101           2       5,200      x         2                             5,200
Yahoo Inc                       COM      984332106          82       9,348      x         2                             9,348
York International Inc          COM      986670107          30       1,050      x         2                             1,050
Zimmer Holdings, Inc.           COM      98956P102         623      22,465      x         2                            22,465
Zonic Corporation               COM      989906102           0         100      x         2                               100




                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of Batterymarch Financial Management, Inc.
                                                                           For Positions Held as of 09/30/2001)



           (1)                  (2)         (3)        (4)           (5)       (6)    (7)                 (8)
      Name of Issuer       Title of Class  CUSIP       FMV         Shares  Inv.Disc.  Other.        Voting  Authority (Shs.)
                                                     (x1000)              (a) (b)(c)  Mgr         (a)       (b)       (c)

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

AAON INC                   Com           000360206         829       28300     X       3         23900          0        4400
AFC ENTERPRISES INC        Com           00104Q107         526       25800     X       3         23500          0        2300
AMC ENTMT INC  COM         Com           001669100         368       35000     X       3         33300          0        1700
AOL TIME WARNER INC        Com           00184A105      15,479      467650     X       3        447200          0       20450
AT&T                       Com           001957109      15,575      807005     X       3        772640          0       34365
AT&T WIRELESS SERVICES INC Com           00209A106       2,555      171000     X       3        164500          0        6500
ABBOTT LABS  COM           Com           002824100      26,314      507500     X       3        484200          0       23300
ACTION PERFORMANCE COS INC Com           004933107         534       29300     X       3         29300          0           0
ACTRADE FINANCIAL TECHNOLOGCom LTD       00507P102       1,710       93100     X       3         93100          0           0
ADAPTEC INC  COM  NASD INDLCom           00651F108           1         100     X       3             0          0         100
ADVANCE PARADIGM INC COM   Com           00790K109           7         100     X       3             0          0         100
AFFILIATED COMPUTER SERVICEComL A        008190100      12,912      158600     X       3        153400          0        5200
AFFILIATED MANAGERS GRP INCCom           008252108       1,113       19600     X       3         19600          0           0
AIRGAS INC  COM            Com           009363102       1,830      137900     X       3        130100          0        7800
ALBANY INTL CORP  CL A     Com           012348108       1,309       87500     X       3         74300          0       13200
ALBEMARLE CORP             Com           012653101       1,448       76600     X       3         71600          0        5000
ALBERTA ENERGY CO. LTD     Com           012873105         479       14100     X       3         14100          0           0
ALBERTO CULVER CO  CL B CONCom           013068101      13,258      340900     X       3        312900          0       28000
ALBERTSONS INC  COM        Com           013104104       3,759      117900     X       3        114200          0        3700
ALCOA INC                  Com           013817101       7,628      246000     X       3        233600          0       12400
ALEXANDER & BALDWIN INC  COComNASD INDL  014482103       1,751       74800     X       3         70000          0        4800
ALLEGHENY ENERGY INC COM   Com           017361106       2,290       62400     X       3         50500          0       11900
ALLERGAN INC COM           Com           018490102       2,201       33200     X       3         33200          0           0
ALLIANCE GAMING CORP  COM  Com           01859P609       3,513      247400     X       3        245800          0        1600
ALLOY INC                  Com           019855105         769       62300     X       3         57000          0        5300
ALLSTATE CORP              Com           020002101       6,988      187100     X       3        179900          0        7200
ALLTEL CORP  COM           Com           020039103       5,946      102600     X       3         98600          0        4000
AMERADA HESS CORP  COM     Com           023551104       8,344      131400     X       3        131000          0         400
AMERICAN AXLE & MFG HLDGS  Com           024061103       2,558      200600     X       3        183700          0       16900
AMERICAN ELEC PWR INC  COM Com           025537101      49,421     1143200     X       3       1117100          0       26100
AMERN EAGLE OUTFITTERS INC Com           02553E106       6,153      309200     X       3        297100          0       12100
AMERICAN EXPRESS CO  COM   Com           025816109       3,731      128400     X       3        122200          0        6200
AMERICAN FINANCIAL HLDGS INCom           026075101       1,996       81300     X       3         76300          0        5000
AMERICAN HOME PRODS CORP  CCom           026609107       9,774      167800     X       3        161600          0        6200
AMERICAN INTL GROUP INC  COCom           026874107      22,272    285537.7     X       3      272617.7          0       12920
AMERICAN PHYSICIANS CAP INCCom           028884104         636       30600     X       3         23400          0        7200
AMERICAN STAND COS INC COM Com           029712106      41,256      750100     X       3        723600          0       26500
AMERICAN WOODMARK CORP COM ComD INDL     030506109       1,004       34200     X       3         31800          0        2400
AMERICREDIT CORP COM       Com           03060R101       8,831      279300     X       3        260100          0       19200
AMERON INTL INC COM        Com           030710107         522        8100     X       3          7900          0         200
AMERISOURCEBERGEN CORP     Com           03073E105      29,043      409343     X       3        394946          0       14397
AMGEN INC  COM  NASD INDL  Com           031162100       7,752      131900     X       3        127000          0        4900
AMPHENOL CORP NEW CL A     Com           032095101         309        8900     X       3          5200          0        3700
AMSURG CORP                Com           03232P405         562       20400     X       3         20400          0           0
ANCHOR BANCORP WIS I       Com           032839102         141        8500     X       3          8400          0         100
ANCHOR GAMING              Com           033037102       1,814       43700     X       3         43200          0         500
ANDREW CORP  COM  NASD INDLCom           034425108       2,636      145000     X       3        129000          0       16000
ANHEUSER BUSCH COS INC  COMCom           035229103      10,830      258600     X       3        246300          0       12300
ANSYS INC                  Com           03662Q105       1,574       88200     X       3         85500          0        2700
APOGEE ENTERPRISES INC  COMComASD INDL   037598109       2,068      160300     X       3        141600          0       18700
APOLLO GROUP INC  -CL A    Com           037604105      14,435      343450     X       3        333750          0        9700
APPLEBEES INTL INC         Com           037899101       8,645      293050     X       3        274700          0       18350
APPLIED MATERIALS          Com           038222105       2,335       82100     X       3         78200          0        3900
APTARGROUP INC COM         Com           038336103         954       30000     X       3         24200          0        5800
AQUILA INC                 Com           03840J106       1,500       68800     X       3         59900          0        8900
ARDEN RLTY GROUP INC COM   Com           039793104          31        1200     X       3          1200          0           0
AREMISSOFT CORP/DE         Com           040026106          12       17800     X       3         17800          0           0
ARGOSY GAMING CORP         Com           040228108       1,910       72900     X       3         58700          0       14200
ARVINMERITOR INC           Com           043353101         302       21100     X       3         20700          0         400
ASHLAND INC  COM           Com           044204105         154        4000     X       3          4000          0           0
ASIAINFO HOLDINGS INC      Com           04518A104      12,274     1032300     X       3        992300          0       40000
ASSOCIATED BANC CORP.      Com           045487105       2,254       66500     X       3         66500          0           0
ASTORIA FINL CORP          Com           046265104      37,126      626500     X       3        604400          0       22100
AUTODESK INC  COM  NASD INDCom           052769106      26,528      827440     X       3        782446          0       44994
AUTOMATIC DATA PROCESSING ICom COM       053015103       5,080      108000     X       3        104900          0        3100
AUTOZONE INC               Com           053332102      18,514      357000     X       3        340800          0       16200
AVANT CORP COM             Com           053487104          53       17900     X       3         17900          0           0
AVIALL INC                 Com           05366B102          10        1600     X       3          1600          0           0
AVID TECHNOLOGY INC        Com           05367P100          62        8500     X       3          8500          0           0
AZTAR CORP COM             Com           054802103       4,913      375600     X       3        363500          0       12100
BCE INC  COM               Com           05534B109       5,852      265400     X       3        252800          0       12600
BEI TECHNOLOGIES INC       Com           05538P104         130        8100     X       3          8100          0           0
BJ SVCS CO COM             Com           055482103       3,690      207400     X       3        181900          0       25500
BJS WHOLESALE CLUB INC CO  Com           05548J106          43         900     X       3             0          0         900
BOK FINANCIAL CORPORATION  Com           05561Q201       2,684       88900     X       3         81300          0        7600
BALL CORP  COM             Com           058498106      17,910      299000     X       3        286300          0       12700
BANCORPSOUTH IND COM NASD BComNS         059692103          39        2500     X       3          2500          0           0
BANK OF AMERICA CORP       Com           060505104      30,795      527317     X       3        503165          0       24152
BANK NEW YORK INC  COM     Com           064057102       2,639       75400     X       3         71700          0        3700
BANK ONE CORP              Com           06423A103       7,009      222728     X       3        205270          0       17458
BANKATLANTIC BANCORP CL A  Com           065908501       5,123      507200     X       3        460700          0       46500
BANKNORTH GROUP INC        Com           06646R107         522       23400     X       3          3200          0       20200
BANKUNITED FINANCIAL CORP  Com           06652B103          23        1600     X       3          1600          0           0
BANTA CORP  COM  NASD INDL Com           066821109         203        7300     X       3          7300          0           0
BARR LABORATORIES INC      Com           068306109      32,403      409850     X       3        397150          0       12700
BAXTER INTL INC  COM       Com           071813109       9,661      175500     X       3        169300          0        6200
BE AEROSPACE INC COM       Com           073302101          87       11400     X       3         11400          0           0
BECKMAN COULTER INC        Com           075811109       7,443      168200     X       3        168200          0           0
BECTON DICKINSON & CO  COM Com           075887109       1,672       45200     X       3         45200          0           0
BEDFORD PPTY INVS INC      Com           076446301       7,003      346000     X       3        322100          0       23900
BELLSOUTH CORP  COM        Com           079860102      25,549      614900     X       3        589200          0       25700
BEMIS INC  COM             Com           081437105       5,065      127100     X       3        122800          0        4300
BENCHMARK ELECTRONICS INC  Com           08160H101          48        2900     X       3          2900          0           0
BEVERLY ENTERPRISES INC COMComW          087851309       1,230      120600     X       3        120500          0         100
BIO TECHNOLOGY GENER       Com           090578105         249       33300     X       3         30800          0        2500
BLACK HILLS CORP  COM      Com           092113109         192        6300     X       3          6300          0           0
BLACKROCK INC              Com           09247X101       5,461      123500     X       3        111500          0       12000
BLOCK (H&R)                Com           093671105       7,226      187400     X       3        179000          0        8400
BLOCKBUSTER INC CL A       Com           093679108      17,089      780300     X       3        749200          0       31100
BOB EVANS FARMS INC  COM  NCom INDL      096761101         721       39900     X       3         25400          0       14500
BOEING CO  COM             Com           097023105       7,789      232500     X       3        219700          0       12800
BOISE CASCADE CORP  COM    Com           097383103       2,159       73200     X       3         69700          0        3500
BORDERS GROUP INC COM      Com           099709107         123        6400     X       3             0          0        6400
BORG WARNER AUTO           Com           099724106           8         200     X       3           200          0           0
BORLAND SOFTWARE CORPORATIOCom           099849101       1,364      168400     X       3        135700          0       32700
BOSTON COMMUNICATIONS GROUPCom           100582105         833       74400     X       3         65200          0        9200
BRINKER INTL INC COM       Com           109641100       7,877      333500     X       3        321350          0       12150
BRISTOL MYERS SQUIBB CO  COCom           110122108      32,430      583700     X       3        555900          0       27800
BROWN SHOE COMPANY INC     Com           115736100          50        4400     X       3          4400          0           0
CRACKER BARREL OLD CTR     Com           12489V106         580       26400     X       3          5000          0       21400
CSG SYSTEMS INTL INC COM   Com           126349109       8,590      209500     X       3        202500          0        7000
RAINBOW MEDIA GROUP        Com           12686C844         225       11100     X       3         11100          0           0
CABOT CORP  COM            Com           127055101      24,914      624400     X       3        597500          0       26900
CACI INTL INC  -CL A       Com           127190304       5,548      101500     X       3         89500          0       12000
CADENCE DESIGN SYSTEM INC  Com  NASD IND 127387108       1,054       63300     X       3         60600          0        2700
CALPINE CORP COM           Com           131347106         415       18200     X       3         17100          0        1100
CANADIAN PACIFIC LTD       Com           135923100      17,595      548300     X       3        514500          0       33800
CARDINAL HEALTH INC  COM NAComINDL       14149Y108       5,106       69050     X       3         66250          0        2800
CARPENTER TECHNOLOGY CORP  Com           144285103          13         600     X       3           600          0           0
CATAPULT COMMUNICATIONS CORCom           149016107         361       26200     X       3         25300          0         900
CATELLUS DEVELOPMENT CORP CCom           149111106       1,743       99700     X       3         99700          0           0
CATERPILLAR INC DEL  COM   Com           149123101         865       19300     X       3         19300          0           0
CENTILLIUM COMMUNICATIONS  Com           152319109         307       50600     X       3         39900          0       10700
CENTEX CONSTRN PRODS INC   Com           15231R109         263        8900     X       3          8300          0         600
CENTURYTEL INC             Com           156700106       1,387       41400     X       3         41400          0           0
CERIDIAN CORPORATION       Com           156779100         481       33200     X       3         32400          0         800
CHARLES RIVER LABORATORIES Com           159864107       5,981      169100     X       3        153600          0       15500
CHECKPOINT SYS INC  COM  NAComINDL       162825103       1,403      128400     X       3        111600          0       16800
CHELSEA PROPERTY GROUP INC Com           163421100       7,104      156300     X       3        145800          0       10500
CHEMED CORP  COM           Com           163596109          55        1900     X       3          1900          0           0
CHESAPEAKE CORP  COM       Com           165159104          18         700     X       3           700          0           0
CHEVRON CORPORATION  COM   Com           166751107      15,992      188700     X       3        181300          0        7400
CHINA MOBILE HK LTD - SP ADADR           16941M109       4,715      293800     X       3        273800          0       20000
CHIRON CORP  COM  NASD INDLCom           170040109          89        2000     X       3             0          0        2000
CHRISTOPHER & BANKS CORPORAComN          171046105       2,649       87975     X       3         82950          0        5025
CINERGY CORP               Com           172474108      38,730     1254600     X       3       1211400          0       43200
CIRCUIT CITY STORES - CARMACom           172737306       1,545      137300     X       3        124600          0       12700
CIRRUS LOGIC CORP COM NASD ComL          172755100       1,030      138800     X       3        132600          0        6200
CISCO SYSTEMS              Com           17275R102       9,664      793400     X       3        768100          0       25300
CITIGROUP  INC             Com           172967101      34,505      851967     X       3        812068          0       39899
COCA COLA CO  COM          Com           191216100      13,591      290100     X       3        277100          0       13000
COGNIZANT TECH SOLUTIONS   Com           192446102         217        9700     X       3          9700          0           0
COLGATE PALMOLIVE CO  COM  Com           194162103       9,868      169400     X       3        163000          0        6400
COMCAST CORP  CL A SPL  NASComNDL        200300200       7,647      213200     X       3        208700          0        4500
COMMERCE BANCSHARES INC  COComNASD BK IN 200525103       2,438       64800     X       3         50400          0       14400
COMMERCIAL FEDERAL CORPORATCom COM NASD  201647104       2,628      108300     X       3         99200          0        9100
COMMUNITY FIRST BANK       Com           203902101       1,946       81000     X       3         80500          0         500
COMP PARANAENSE ENERG (COPEADRADR PFD    20441B407       3,508      599600     X       3        599600          0           0
COMPUTER ASSOC INTL INC  COCom           204912109       3,858      149900     X       3        141900          0        8000
COMPUWARE CORP             Com           205638109      21,803     2617400     X       3       2517500          0       99900
COMSTOCK RESOURCES INC(CMRECom           205768203       1,562      263000     X       3        261200          0        1800
COMVERSE TECHNOLOGY INC PARCom.10 NASD I 205862402       5,454      266300     X       3        256200          0       10100
CONMED CORP                Com           207410101       1,264       71400     X       3         69300          0        2100
CONSECO INC  COM           Com           208464107       3,773      519700     X       3        506000          0       13700
CONSOLIDATED GRAPHICS INC CCom           209341106       1,139       66700     X       3         63900          0        2800
CONSTELLATION BRANDS INC   Com           21036P108         104        2500     X       3          2500          0           0
COOPER COS INC  COM NEW    Com           216648402       1,402       29900     X       3         27500          0        2400
COOPER TIRE & RUBR CO  COM Com           216831107          71        5000     X       3          5000          0           0
CORN PRODUCTS INTL INC     Com           219023108         557       19400     X       3         18200          0        1200
CORUS BANKSHARES INC       Com           220873103          54        1200     X       3          1200          0           0
COUNTRYWIDE CREDIT IND     Com           222372104      32,561      741200     X       3        708100          0       33100
COVANCE INC                Com           222816100         442       24700     X       3         16700          0        8000
COVENTRY HEALTH CARE       Com           222862104       9,350      396200     X       3        373700          0       22500
COX COMMUNICATIONS INC NEW ComA          224044107       4,810      115200     X       3        110200          0        5000
CRESCENT R E EQUITIES INC  Com           225756105      17,979      838200     X       3        814000          0       24200
CROSSMAN COMMUNITIES INC   Com           22764E109          55        2100     X       3          2100          0           0
CROWN AMER REALTY TRUST    Com           228186102       1,339      188600     X       3        175000          0       13600
CULLEN FROST BANKERS INC  CCom NASD INDL 229899109          19         700     X       3           700          0           0
D&K HEALTHCARE RESOURCES   Com           232861104         417        8700     X       3          8700          0           0
DRS TECHNOLOGIES INC       Com           23330X100       1,831       52700     X       3         42300          0       10400
D R HORTON INC             Com           23331A109       3,182      152557     X       3        139257          0       13300
DAISYTEK INTL CORP  COM    Com           234053106       1,303      114900     X       3         93700          0       21200
DAL-TILE INTL INC COM      Com           23426R108       2,336      151800     X       3        141300          0       10500
DARDEN RESTAURANTS INC  COMCom           237194105      16,627      633400     X       3        606400          0       27000
DATASCOPE CORP  COM  NASD ICom           238113104         737       19000     X       3         19000          0           0
DAVITA INC                 Com           23918K108       5,031      247200     X       3        228000          0       19200
DEAN FOODS CO  COM         Com           242361103         194        4200     X       3          4200          0           0
DELL COMPUTER CORP COM NASDComDL         247025109       6,486      350000     X       3        336700          0       13300
DELUXE CORP  COM           Com           248019101       9,644      279200     X       3        254600          0       24600
DENTSPLY INTL INC NEW COM NCom INDL      249030107       1,622       35300     X       3         35300          0           0
DEVELOPERS DIVERSIFI       Com           251591103         221       12300     X       3         12200          0         100
DIAGNOSTIC PRODS CORP  COM Com           252450101       6,105      144600     X       3        137000          0        7600
DIAL CORP NEW COM          Com           25247D101         497       30000     X       3         30000          0           0
DIEBOLD INC  COM           Com           253651103       4,221      110800     X       3        109600          0        1200
DIME CMNTY BANCORP INC COM Com           253922108       1,836       72500     X       3         68150          0        4350
DISCOUNT AUTO PARTS        Com           254642101         702       50900     X       3         46000          0        4900
DISNEY WALT CO DEL  COM    Com           254687106      10,090      541900     X       3        521800          0       20100
DIRECT FOCUS INC           Com           254931108      13,831      695021     X       3        644409          0       50612
DOLE FOOD INC COM          Com           256605106       3,516      164300     X       3        160600          0        3700
DONALDSON INC  COM         Com           257651109          52        1800     X       3          1800          0           0
DONNELLEY R R & SONS CO  COCom           257867101       5,891      217800     X       3        216400          0        1400
DORAL FINL CORP COM        Com           25811P100       5,304      136700     X       3        119200          0       17500
DOW CHEM CO  COM           Com           260543103       1,582       48300     X       3         44100          0        4200
DOWNEY SVGS & LN ASSN  GTEEComK          261018105       8,632      195600     X       3        183100          0       12500
DU PONT E I DE NEMOURS & COComOM         263534109       3,398       90575     X       3         85675          0        4900
DUKE ENERGY CORP COM       Com           264399106       4,171      110200     X       3        105000          0        5200
DUN & BRADSTREET CORP      Com           26483E100      15,621      557900     X       3        537900          0       20000
DURA AUTOMOTIVE SYS CL B   Com           265903104         215       29800     X       3         27600          0        2200
DUPONT PHOTOMASKS INC COM  Com           26613X101          36        1300     X       3          1300          0           0
E M C CORP MASS  COM       Com           268648102       2,520      214500     X       3        204200          0       10300
ESS TECHNOLOGY INC         Com           269151106         510       49900     X       3         45100          0        4800
EAGLE GEOPHYSICAL INC      Com           269524104           0           1     X       3             1          0           0
MINDSPRING ENTERPRISES INC Com           270321102         133        8700     X       3          7300          0        1400
EAST WEST BANCORP INC      Com           27579R104          26        1100     X       3          1100          0           0
EDWARDS LIFESCIENCES CP    Com           28176E108       8,942      399200     X       3        365300          0       33900
EFUNDS CORP                Com           28224R101       1,207       72500     X       3         68700          0        3800
EL PASO CORPORATION        Com           28336L109       2,057       49500     X       3         47000          0        2500
EL PASO ELECTRIC CO COM NEWCom           283677854         327       24900     X       3         23700          0        1200
ELANTEC SEMICONDUCTOR INC CCom           284155108         142        6200     X       3          6200          0           0
ELECTRO SCIENTIFIC INDS  COComNASD INDL  285229100       2,445      111400     X       3        100300          0       11100
ELECTRONIC DATA SYS NW  COMCom           285661104       8,815      153100     X       3        146100          0        7000
ELECTRONICS FOR IMAG       Com           286082102       1,875      115200     X       3        101000          0       14200
EMBARCADERO TECHNOLOGIES INCom           290787100           7         900     X       3           900          0           0
EMCOR GROUP INC            Com           29084Q100       5,809      182100     X       3        172500          0        9600
EMERSON ELEC CO  COM       Com           291011104       1,101       23400     X       3         23400          0           0
ENCOMPASS SERVICES CORP    Com           29255U104          14        3800     X       3          3800          0           0
ENERGEN CORP  COM          Com           29265N108         212        9400     X       3          9400          0           0
ENERGY EAST CORP           Com           29266M109          62        3100     X       3             0          0        3100
ENGELHARD CORP  COM        Com           292845104       1,005       43500     X       3         41300          0        2200
ENGINEERED SUPPORT SYSTEMS Com           292866100         900       19100     X       3         16400          0        2700
ENRON CORP  COM            Com           293561106       2,053       75400     X       3         71700          0        3700
ENTEGRIS INC               Com           29362U104         476       60300     X       3         53900          0        6400
ENTERGY CORP NEW  COM      Com           29364G103      20,351      572300     X       3        542900          0       29400
ENTERTAINMENT PROPERTIES TRCom           29380T105          19        1100     X       3          1100          0           0
EQUIFAX INC  COM           Com           294429105       1,314       60000     X       3         60000          0           0
EQUITY INNS INC COM        Com           294703103          19        2600     X       3          2600          0           0
ESCO ELECTRONICS CORP      Com           296315104         299       12000     X       3          7400          0        4600
ESTERLINE TECHNOLOGIES COM Com           297425100       1,400       88300     X       3         84900          0        3400
EXELON CORP                Com           30161N101       1,124       25200     X       3         21700          0        3500
EXXON MOBIL CORPORATION    Com           30231G102      55,659     1412658     X       3       1359356          0       53302
FEI COMPANY                Com           30241L109       7,619      350300     X       3        323200          0       27100
F M C CORP  COM NEW        Com           302491303      11,669      238200     X       3        229600          0        8600
FNB CORP/PA                Com           302520101         262       10000     X       3          7000          0        3000
FREDDIE MAC COM            Com           313400301      11,733      180500     X       3        172500          0        8000
FANNIE MAE                 Com           313586109      25,795      322200     X       3        307600          0       14600
FEDERAL REALTY INVT TR  SH Com INT NEW   313747206          59        2700     X       3          2700          0           0
FEDERATED INVESTORS INC    Com           314211103      11,175      377550     X       3        370150          0        7400
FIDELITY NATIONAL FINL INC Com           316326107      16,833      626010     X       3        580910          0       45100
FIFTH THIRD BANCORP  COM  NCom BK INS    316773100       4,777       77700     X       3         74800          0        2900
FINISH LINE INC  -CL       Com           317923100         174       16000     X       3         16000          0           0
FIRST AMERN FINL CORP COM NCom BK INS    318522307         231       11400     X       3         11400          0           0
FIRST BANCORP P R COM      Com           318672102       3,858      149200     X       3        136600          0       12600
FIRST CITIZENS BANCSH      Com           31946M103         108        1300     X       3          1300          0           0
FIRST DATA CORP            Com           319963104       8,634      148200     X       3        142600          0        5600
FIRST ESSEX BANCORP INC    Com           320103104       3,399      129500     X       3        121700          0        7800
FIRST INDL REALTY TRUST INCCom           32054K103       1,656       55200     X       3         53400          0        1800
FIRST REPUBLIC BANK COM    Com           336158100         197        8600     X       3          6200          0        2400
FIRST TENN NATL CORP  COM  ComD BK INS   337162101      26,455      715000     X       3        673000          0       42000
FISERV INC  COM  NASD INDL Com           337738108       9,624      281400     X       3        259350          0       22050
FLAGSTAR BANCORP INC       Com           337930101       2,456      106300     X       3         98600          0        7700
FIRSTENERGY CORP COM       Com           337932107         633       17600     X       3          6300          0       11300
FLEET BOSTON FINANCIAL CORPCom           339030108       9,290      252800     X       3        241900          0       10900
FLEMING COS INC  COM       Com           339130106      11,694      396390     X       3        375590          0       20800
FLORIDA ROCK INDS INC  COM Com           341140101       1,590       50400     X       3         47400          0        3000
FLOWERS FOODS INC          Com           343498101         120        3300     X       3          3300          0           0
FLUSHING FINANCIAL CORP    Com           343873105         171       10650     X       3         10650          0           0
FOMENTO ECONOMICO MEX-SP ADADR           344419106       7,564      265700     X       3        265700          0           0
FORD MTR CO DEL  COM       Com           345370860       3,027      174465     X       3        166195          0        8270
FOREST CITY ENTERPRISES INCCom A         345550107         163        3400     X       3          3400          0           0
FREEPORT-MCMORAN COPPER-B  Com           35671D857         104        9500     X       3          6200          0        3300
FRONTIER OIL CORP          Com           35914P105           2         100     X       3             0          0         100
GABLES RESIDENTIAL T       Com           362418105       7,821      255100     X       3        255100          0           0
GALILEO INTERNATIONAL INC CCom           363547100       7,171      345400     X       3        325800          0       19600
GENCORP INC  COM           Com           368682100       1,614      142300     X       3        139600          0        2700
GENERAL CABLE CORP         Com           369300108         887       90000     X       3         90000          0           0
GENERAL COMMUNICATION INC  Com           369385109         776       64100     X       3         53600          0       10500
GENERAL DYNAMICS CORP  COM Com           369550108       7,207       81600     X       3         81600          0           0
GENERAL ELEC CO  COM       Com           369604103      50,160     1348400     X       3       1283100          0       65300
GENERAL MTRS CORP  COM     Com           370442105       1,622       37800     X       3         35100          0        2700
GENERAL SEMICONDUCTOR INC CCom           370787103          36        3700     X       3          3700          0           0
GENLYTE GROUP INC  COM  NASComNDL        372302109         682       23500     X       3         22700          0         800
GENUINE PARTS CO  COM      Com           372460105         436       13700     X       3          7700          0        6000
GENZYME CORP  COM GENL DIV Com           372917104         768       16900     X       3          6900          0       10000
GILLETTE CO  COM           Com           375766102       9,265      310900     X       3        305900          0        5000
GLATFELTER P H CO  COM     Com           377316104         732       47800     X       3         43500          0        4300
GLIMCHER REALTY TRUST      Com           379302102         820       50700     X       3         49200          0        1500
GLOBAL IMAGING SYSTEMS     Com           37934A100       2,277      131900     X       3        115700          0       16200
GLOBAL PAYMENTS INC        Com           37940X102          35        1200     X       3          1200          0           0
GOODRICH B F CO  COM       Com           382388106         314       16100     X       3         16100          0           0
GRACO INC  COM             Com           384109104       1,259       41700     X       3         35950          0        5750
GREENPOINT FINANCIAL CORP  Com           395384100      41,281     1176100     X       3       1140800          0       35300
GRIFFON CORP  COM          Com           398433102         349       28630     X       3         28630          0           0
GROUP 1 AUTOMOTIVE INC     Com           398905109         419       15800     X       3         14500          0        1300
GRUPO TELEVISA SA DE CV SPNADRR REPORD   40049J206         123        4270     X       3          4270          0           0
GTECH HOLDINGS CORP        Com           400518106       7,112      205900     X       3        186600          0       19300
HCA INC                    Com           404119109       5,822      131400     X       3        131400          0           0
HNC SOFTWARE INC           Com           40425P107       4,385      234500     X       3        226000          0        8500
HRPT PPTYS TRUST           Com           40426W101         487       59800     X       3         46000          0       13800
HAEMONETICS CORPORATION    Com           405024100       1,772       51200     X       3         50700          0         500
HANCOCK FABRICS INC  COM   Com           409900107       2,021      246500     X       3        245000          0        1500
HANDLEMAN CO DEL  COM      Com           410252100       2,510      179300     X       3        168400          0       10900
HARLAND JOHN H CO  COM     Com           412693103       5,127      234100     X       3        223300          0       10800
HARRIS CORP DEL  COM       Com           413875105      15,803      496650     X       3        471350          0       25300
HARSCO CORP  COM           Com           415864107         247        8900     X       3          8900          0           0
HAWAIIAN ELEC INDUSTRIES  CCom           419870100       1,092       28000     X       3         28000          0           0
HEALTHSOUTH CORP COM       Com           421924101       9,306      572300     X       3        532500          0       39800
HEADWATERS INC             Com           42210P102       1,279      116300     X       3        106300          0       10000
HEALTH NET INC             Com           42222G108      22,737     1183000     X       3       1138800          0       44200
HELLER FINANCIAL INC       Com           423328103       9,968      188900     X       3        172100          0       16800
HELMERICH & PAYNE INC  COM Com           423452101       7,673      294000     X       3        285200          0        8800
HEWLETT PACKARD CO  COM    Com           428236103       3,107      193600     X       3        184400          0        9200
HIBERNIA CORP  CL A        Com           428656102       8,837      540500     X       3        501600          0       38900
HILLENBRAND INDS INC  COM  Com           431573104      15,662      290200     X       3        268100          0       22100
HOLLY CORP  COM PAR $0.01  Com           435758305         741       41000     X       3         39100          0        1900
HOLLYWOOD ENTMT CORP       Com           436141105          74        6300     X       3          6300          0           0
HOME DEPOT INC  COM        Com           437076102      13,491      351600     X       3        335700          0       15900
HONEYWELL INTERNATIONAL INCCom           438516106       3,039      115100     X       3        108500          0        6600
HORMEL FOODS CORP  COM     Com           440452100       2,345       99300     X       3         99300          0           0
HOUSEHOLD INTL INC  COM    Com           441815107       6,969      123600     X       3        118100          0        5500
HOUSTON EXPL CO COM        Com           442120101       5,183      209000     X       3        194000          0       15000
HUDSON RIVER BANCORP INC   Com           444128102          22        1100     X       3          1000          0         100
HUDSON UNITED BANCORP      Com           444165104         644       23200     X       3         17800          0        5400
HUGHES SUPPLY INC  COM     Com           444482103         716       32100     X       3         30100          0        2000
HUMANA INC  COM            Com           444859102       8,061      668400     X       3        628800          0       39600
HUNT J B TRANS SVCS INC  COComNASD INDL  445658107          31        2400     X       3          2400          0           0
HUTCHINSON TECHNOLOGY INC  Com  NASD IND 448407106       3,407      191400     X       3        176700          0       14700
ICN PHARMACEUTICAL INC NEW Com           448924100         385       14600     X       3         14100          0         500
HYPERION SOLUTIONS CORP    Com           44914M104          16        1200     X       3          1200          0           0
ICOS CORPORATION           Com           449295104          79        1600     X       3          1600          0           0
ICU MEDICAL INC            Com           44930G107          76        1900     X       3          1500          0         400
IRT PPTY CO  COM           Com           450058102         178       16500     X       3         14200          0        2300
ITT EDUCATIONAL SVCS INC   Com           45068B109       2,538       79300     X       3         70000          0        9300
ITT INDUSTRIES INC IND  COMCom           450911102       3,060       68300     X       3         67500          0         800
IDACORP INC                Com           451107106          79        2200     X       3          2200          0           0
IDEXX LABS INC             Com           45168D104      15,936      681900     X       3        638000          0       43900
IKON OFFICE SOLUTIONS      Com           451713101       3,168      410400     X       3        372100          0       38300
ILLUMNET                   Com           452334105         460       12000     X       3         11200          0         800
IMMUNOMEDICS INC  COM  NASDComDL         452907108       5,831      487100     X       3        463900          0       23200
INDEPENDENCE CMNTY BK CORP Com           453414104         204        9400     X       3          7400          0        2000
INDYMAC BANCORP INC        Com           456607100       7,317      269900     X       3        248200          0       21700
INFORMATION RES INC  COM  NCom INDL      456905108         656      103300     X       3        103300          0           0
INTEGRATED ELECTRICAL SERVICom           45811E103          54       10000     X       3         10000          0           0
INTEL CORP  COM  NASD INDL Com           458140100      25,372     1241300     X       3       1177300          0       64000
INTER TEL INC  COM  NASD INCom           458372109       1,610      140500     X       3        131900          0        8600
INTERNATIONAL BUSINESS MACHComS COM      459200101      53,376      581950     X       3        555750          0       26200
INTERNATIONAL RECTIFIER CORComCOM        460254105      19,715      724000     X       3        697400          0       26600
INTERSTATE BAKERIES CP     Com           46072H108      10,567      414400     X       3        377600          0       36800
INTERVOICE-BRITE INC COM NAComINDL       461142101         976       94000     X       3         91900          0        2100
INVACARE CORP  COM  NASD INCom           461203101       5,832      144000     X       3        127300          0       16700
INVITROGEN CORP            Com           46185R100       3,413       51900     X       3         51900          0           0
IRWIN FINANCIAL CORP       Com           464119106         142        6800     X       3          3400          0        3400
ITRON INC                  Com           465741106       1,945       84500     X       3         84500          0           0
IVAX CORP  COM             Com           465823102         262       11825     X       3             0          0       11825
IVEX PACKAGING CORP DEL COMCom           465855104       3,650      214100     X       3        182800          0       31300
JP REALTY INC              Com           46624A106       3,189      142700     X       3        136400          0        6300
JP MORGAN CHASE & CO       Com           46625H100      12,696      371780     X       3        357360          0       14420
JACOBS ENGR GROUP INC DEL  Com           469814107         125        2000     X       3          2000          0           0
JAKKS PACIFIC INC          Com           47012E106       3,636      269300     X       3        263200          0        6100
JOHN NUVEEN CO  -CL        Com           478035108         372        8400     X       3          8400          0           0
JOHNSON & JOHNSON  COM     Com           478160104      43,845      791424     X       3        760196          0       31228
JOHNSON CTLS INC  COM      Com           478366107       1,683       25800     X       3         21900          0        3900
KLA-TENCORP CORP COM       Com           482480100       5,081      160900     X       3        160500          0         400
K-SWISS INC -CL A          Com           482686102       5,364      218500     X       3        209900          0        8600
KB HOME COM                Com           48666K109       3,709      130555     X       3        117355          0       13200
KEITHLEY INSTRS INC  COM   Com           487584104       1,269       88400     X       3         85900          0        2500
KELLOGG CO  COM            Com           487836108       2,376       79200     X       3         79200          0           0
KENDLE INTERNATIONAL INC   Com           48880L107         253       12800     X       3          9100          0        3700
KENNAMETAL INC  COM        Com           489170100         696       21800     X       3         19600          0        2200
KEY ENERGY GROUP INC COM   Com           492914106         582       91500     X       3         74200          0       17300
KEY PRODUCTION COMPANY INC Com           493138101       1,081       93600     X       3         93600          0           0
KIMBERLY CLARK CORP  COM   Com           494368103       9,839      158700     X       3        151100          0        7600
KOREA ELECTRIC POWER (KEPCOADRDR         500631106       6,797      768000     X       3        768000          0           0
KROGER CO  COM             Com           501044101      16,738      679300     X       3        649700          0       29600
KRONOS INC                 Com           501052104         242        5900     X       3          5900          0           0
LAM RESH CORP  COM  NASD INCom           512807108       1,103       65100     X       3         47400          0       17700
LANCE INC  COM  NASD INDL  Com           514606102          49        3700     X       3          3700          0           0
LANDAMERICA FINL GROUP INC Com           514936103         535       16100     X       3         14400          0        1700
LANDRYS RESTAURANTS INC    Com           51508L103       1,365       92200     X       3         86600          0        5600
LEAR CORP  COM             Com           521865105         230        8500     X       3          4400          0        4100
LENNAR CORP  COM           Com           526057104      16,067      445800     X       3        427600          0       18200
LENNOX INTERNATIONAL INC   Com           526107107          94       10100     X       3         10100          0           0
LEXINGTON CORPORATE PPTYS TCom           529043101           6         400     X       3           400          0           0
LIBERTY FINANCIAL COS INC  Com           530512102         946       29800     X       3         29800          0           0
LIBERTY MEDIA CORP A SHS   Com           530718105       1,334      105000     X       3        105000          0           0
LIGHTBRIDGE INC            Com           532226107         438       42700     X       3         42700          0           0
LILLY ELI & CO  COM        Com           532457108      19,570      242500     X       3        230100          0       12400
LINCOLN ELECTRIC HLDGS INC Com           533900106       1,000       45400     X       3         45000          0         400
LIZ CLAIBORNE INC  COM  NASComNDL        539320101      18,277      484800     X       3        467900          0       16900
LOEWS CORP  COM            Com           540424108       4,420       95500     X       3         88700          0        6800
LONGS DRUG STORES CORP  COMCom           543162101         258        9500     X       3          8200          0        1300
LOUIS DREYFUS NAT GAS CORP Com           546011107         163        4200     X       3          3900          0         300
LUBRIZOL CORP  COM         Com           549271104      10,738      339800     X       3        321100          0       18700
MAF BANCORP INC            Com           55261R108         310       10800     X       3          8100          0        2700
MBNA CORP                  Com           55262L100       7,021      231800     X       3        219300          0       12500
M D C HLDGS INC  COM       Com           552676108       3,726      134410     X       3        120610          0       13800
MDU RES GROUP INC  COM     Com           552690109       1,082       46300     X       3         45400          0         900
MGIC INVT CORP WIS COM     Com           552848103      20,504      313800     X       3        311500          0        2300
M/I SCHOTTENSTEIN HOMES INCCom           55305B101          54        1600     X       3          1600          0           0
MSC.SOFTWARE CORPORATION   Com           553531104         575       35700     X       3         32500          0        3200
MTR GAMING GROUP INC       Com           553769100         448       48300     X       3         38200          0       10100
MACK CALI RLTY CORP COM    Com           554489104       1,612       52000     X       3         43400          0        8600
MAGELLAN HEALTH SVCS       Com           559079108         428       37300     X       3         32400          0        4900
MAGNA INTL INC CL A NASD INCom           559222401         390        7400     X       3          6900          0         500
MANOR CARE INC             Com           564055101       6,182      220000     X       3        203200          0       16800
MANUFACTURED HOME CM       Com           564682102          64        2100     X       3          2100          0           0
MARSH & MCLENNAN COS INC  CCom           571748102       2,640       27300     X       3         25900          0        1400
MASSEY ENERGY COMPANY      Com           576206106         183       12500     X       3         12400          0         100
MATTHEWS INTL CORP - CL A  Com           577128101          24        1100     X       3          1100          0           0
MCCLATCHY NEWSPAPERS INC  CCom           579489105          25         600     X       3           600          0           0
MCCORMICK & CO INC  COM NONCom           579780206          64        1400     X       3          1400          0           0
MCDERMOTT INTL INC  COM    Com           580037109       1,053      127600     X       3        104300          0       23300
MCDONALDS CORP  COM        Com           580135101       4,750      175000     X       3        168800          0        6200
MED-DESIGN CORP            Com           583926100          12         800     X       3           800          0           0
MEDQUIST INC               Com           584949101         189        7500     X       3          2600          0        4900
MEDTRONIC INC  COM         Com           585055106       6,590      151500     X       3        145900          0        5600
MENTOR CORP MINN  COM  NASDComDL         587188103       2,626      103800     X       3        100400          0        3400
MENTOR GRAPHICS CORP  COM  ComD INDL     587200106       4,962      360100     X       3        324400          0       35700
MERCK & CO INC  COM        Com           589331107      39,321      590400     X       3        566100          0       24300
MERCURY COMPUTER SYSTEMS INCom           589378108         428       11400     X       3         10800          0         600
MERRILL LYNCH & CO INC  COMCom           590188108       3,297       81200     X       3         77200          0        4000
METHODE ELECTRONICS  INC CLComNASD INDL  591520200         352       46600     X       3         46600          0           0
METLIFE INC                Com           59156R108       6,739      226900     X       3        208200          0       18700
MICROS SYSTEMS INC         Com           594901100           9         500     X       3           500          0           0
MICROSOFT CORP  COM  NASD ICom           594918104      60,634     1184950     X       3       1132450          0       52500
MICROCHIP TECHNOLOGY       Com           595017104          38        1400     X       3          1300          0         100
MICROSEMI CORP  COM  NASD ICom           595137100       7,231      277600     X       3        253100          0       24500
MID-AMER APT CMNTYS        Com           59522J103          13         500     X       3             0          0         500
MID ATLANTIC MEDICAL SVCS  Com           59523C107       6,955      331200     X       3        293600          0       37600
MILLENNIUM PHARMACEUTICALS Com COM       599902103         215       12100     X       3          5000          0        7100
MINERALS TECHNOLOGIES      Com           603158106          23         600     X       3           600          0           0
MINNESOTA MNG & MFG CO  COMCom           604059105       5,884       59800     X       3         57400          0        2400
MIRANT CORP                Com           604675108       2,015       92000     X       3         92000          0           0
MOHAWK INDUSTRIES IN       Com           608190104       2,561       69700     X       3         65900          0        3800
MONTANA POWER CO  COM      Com           612085100         154       29300     X       3         29300          0           0
MORGAN ST DEAN WITTER & CO Com           617446448      12,324      265890     X       3        255490          0       10400
MOTOROLA INC  COM          Com           620076109       3,427      219700     X       3        209300          0       10400
MOVIE GALLERY INC          Com           624581104       2,960      142800     X       3        133500          0        9300
MUELLER INDUSTRIES         Com           624756102          23         800     X       3           800          0           0
MYLAN LABS INC  COM        Com           628530107      10,314      316200     X       3        282900          0       33300
NBTY INC  COM              Com           628782104       3,868      293900     X       3        276800          0       17100
NUI CORP  COM              Com           629431107         398       19500     X       3         13900          0        5600
NVR INC                    Com           62944T105      12,944       92120     X       3         85020          0        7100
NAMIBIAN MINERALS CORP COM Com           629913104         373     1775000     X       3       1775000          0           0
NASH FINCH CO  COM  NASD INCom           631158102       1,446       42400     X       3         32400          0       10000
NATIONAL DATA CORP  COM    Com           635621105       2,660       73900     X       3         69000          0        4900
NATIONAL PROCESSING INC    Com           637229105       3,147      112400     X       3         98700          0       13700
NATIONAL SEMICONDUCTOR CORPComOM         637640103         310       14100     X       3             0          0       14100
NETIQ CORP                 Com           64115P102         184        8100     X       3          4100          0        4000
NEUBERGER BERMAN INC       Com           641234109       1,318       37800     X       3         34500          0        3300
NEW PLAN EXCEL REALTY TRUSTCom           648053106       1,595       93300     X       3         88800          0        4500
QUEENS COUNTY BANCOR       Com           649445103         610       26300     X       3         26300          0           0
NEWPORT NEWS SHIPBUILDING IComCOM        652228107      13,978      208000     X       3        183200          0       24800
NORTH FORK BANCORPORATION, Com.          659424105      21,163      711600     X       3        678900          0       32700
NORTHWEST NAT GAS CO  COM  ComD INDL     667655104         334       14300     X       3         14300          0           0
NOVELLUS SYSTEMS INC       Com           670008101          74        2600     X       3          2600          0           0
NVIDIA CORP                Com           67066G104      16,721      608700     X       3        588500          0       20200
OCCIDENTAL PETE CORP DEL  CCom           674599105         786       32300     X       3         32300          0           0
OCULAR SCIENCES INC COM    Com           675744106       1,616       79800     X       3         72700          0        7100
OFFICE DEPOT INC COM NASD ICom           676220106       7,785      572400     X       3        564500          0        7900
OFFSHORE LOGISTICS INC  COMComASD INDL   676255102       6,175      321800     X       3        304400          0       17400
OHIO CASUALTY CORP.        Com           677240103         108        8300     X       3          8300          0           0
LUKOIL OIL CO SPONSORED ADRADRUSSIA      677862104       5,704      151700     X       3        151700          0           0
OLD REPUBLIC INTL CORP     Com           680223104      16,801      641000     X       3        602700          0       38300
OMNICARE INC  COM          Com           681904108       3,709      169900     X       3        144600          0       25300
OPTICNET INC               Com           683868103           -        2400     X       3
ORACLE CORP  COM           Com           68389X105      12,969     1030900     X       3        990000          0       40900
OVERSEAS SHIPHOLDING GROUP Com  COM      690368105         706       32100     X       3         28000          0        4100
OWENS & MINOR INC NEW COM  Com           690732102       5,652      278400     X       3        269100          0        9300
OXFORD HEALTH PLANS        Com           691471106       5,328      187600     X       3        180800          0        6800
PG&E CORP COM              Com           69331C108         477       31400     X       3         31400          0           0
PMI GROUP INC              Com           69344M101      33,291      533600     X       3        515400          0       18200
PS BUSINESS PARKS INC      Com           69360J107       1,222       44100     X       3         36500          0        7600
PACIFIC CENTY FINL CORP COMCom           694058108       3,248      139000     X       3        128100          0       10900
INTERWEST BANCORP INC      Com           69466M103           2         100     X       3             0          0         100
PACTIV CORPORATION         Com           695257105       3,880      267800     X       3        260100          0        7700
PAPA JOHNS INTERNATIONAL INCom           698813102          23         900     X       3           900          0           0
PARK ELECTROCHEMICAL CORP  Com           700416209          15         700     X       3           700          0           0
PATINA OIL & GAS CORP      Com           703224105           5         200     X       3           200          0           0
PAXAR CORP                 Com           704227107       1,888      148100     X       3        137400          0       10700
PEABODY ENERGY CORP        Com           704549104         202        8400     X       3          8400          0           0
PEC SOLUTIONS INC          Com           705107100       1,511       88700     X       3         82200          0        6500
PEDIATRIX MED GROUP COM    Com           705324101       2,011       49300     X       3         46000          0        3300
PEGASUS SYSTEMS INC        Com           705906105          11        1300     X       3          1300          0           0
PENN NATIONAL GAMING INC   Com           707569109         162        9900     X       3          8200          0        1700
PENNEY J C INC  COM        Com           708160106      14,947      682500     X       3        664900          0       17600
PEOPLES ENERGY CORP  COM   Com           711030106       1,706       42900     X       3         38400          0        4500
PEP BOYS MANNY MOE & JACK  Com           713278109         190       17200     X       3         12700          0        4500
PEPSI BOTTLING GROUP       Com           713409100      15,618      339000     X       3        328800          0       10200
PEPSICO INC  COM           Com           713448108      26,083      537800     X       3        515600          0       22200
PEROT SYSTEMS CORP CL A    Com           714265105          50        3100     X       3             0          0        3100
PERRIGO CO COM NASD INDL   Com           714290103      15,670     1034300     X       3        977500          0       56800
PETSMART INC               Com           716768106       1,231      174900     X       3        172900          0        2000
PFIZER INC  COM            Com           717081103      68,450     1706975     X       3       1620075          0       86900
PHARMACEUTICAL RES INC COM Com           717125108          89        2500     X       3          2500          0           0
PHARMACIA CORPORATION      Com           71713U102       7,711      190104     X       3        184015          0        6089
PHILIP MORRIS COS INC  COM Com           718154107      32,310      669080     X       3        642580          0       26500
PHILLIPS VAN HEUSEN CORP  CCom           718592108         792       80000     X       3         78200          0        1800
PHOENIX TECHNOLOGIES LTD   Com           719153108          40        4000     X       3          4000          0           0
PILGRIM PRIDE CORP COM     Com           721467108       1,151       83400     X       3         78600          0        4800
PITTSTON CO  COM BRINKS GRPCom           725701106         474       26200     X       3         15100          0       11100
PLANAR SYSTEMS INC         Com           726900103       1,719       85500     X       3         75300          0       10200
PLANTRONICS INC            Com           727493108         365       21400     X       3         12400          0        9000
POHANG IRON & STEEL ADR    ADR           730450103       2,591      165000     X       3        165000          0           0
POLARIS INDS INC COM       Com           731068102       6,647      173200     X       3        164900          0        8300
POLO RALPH LAUREN CL A     Com           731572103       1,001       53400     X       3         38700          0       14700
POLYMEDICA CORP COM        Com           731738100         562       36800     X       3         36800          0           0
POPULAR INC COM            Com           733174106       9,697      310800     X       3        293400          0       17400
PRECISION CASTPARTS CORP  CCom           740189105       7,026      316500     X       3        307200          0        9300
PRENTISS PPTYS TRUST       Com           740706106          33        1200     X       3          1200          0           0
PRICE COMMUNICATIONS CORP  Com           741437305       1,420       83800     X       3         79700          0        4100
PROCTER & GAMBLE CO  COM   Com           742718109      31,074      426900     X       3        408200          0       18700
PROGRESS SOFTWARE CO       Com           743312100          99        7100     X       3          7100          0           0
PROVIDENT BANKSHARES       Com           743859100         106        5100     X       3          5100          0           0
PUBLIC SVC CO N MEX  COM   Com           744499104      19,016      754300     X       3        693600          0       60700
PUBLIC STORAGE INC  COM    Com           74460D109      20,975      628000     X       3        601500          0       26500
PULITZER INC               Com           745769109          27         600     X       3           600          0           0
PULTE HOMES INC            Com           745867101       9,309      303731     X       3        278531          0       25200
QUALCOMM                   Com           747525103       3,604       75800     X       3         72100          0        3700
QUANEX CORP  COM           Com           747620102         231       10000     X       3         10000          0           0
QUINTILES TRANSNATIONAL CORCom           748767100          92        6300     X       3          6300          0           0
R&G FINANCIAL CORP CL B    Com           749136107       7,012      407700     X       3        377200          0       30500
RFS HOTEL INVESTORS INC    Com           74955J108           9         900     X       3           900          0           0
RH DONNELLEY CORP          Com           74955W307       7,828      299700     X       3        287700          0       12000
RADIAN GROUP INC           Com           750236101      43,695     1134946     X       3       1085546          0       49400
RALCORP HLDGS INC COM      Com           751028101         457       23500     X       3         22100          0        1400
RAYONIER INC  COM          Com           754907103         745       18400     X       3         15800          0        2600
REALTY INCOME CORP COM     Com           756109104       5,571      192100     X       3        174100          0       18000
REEBOK INTL LTD  COM       Com           758110100          31        1500     X       3          1500          0           0
REGENERATION TECHNOLOGIES  Com           75886N100          51        4400     X       3          4400          0           0
REGIS CORP MINN COM NASD INCom           758932107         660       31500     X       3         31500          0           0
REINSURANCE GROUP AMER INC Com           759351109       2,528       74100     X       3         70200          0        3900
RELIANT RESOURCES INC      Com           75952B105         154        9500     X       3          9500          0           0
RENT-A-CENTER INC          Com           76009N100       4,222      181600     X       3        169800          0       11800
REPUBLIC BANCORP INC       Com           760282103       1,573      109900     X       3         88700          0       21200
REPUBLIC SERVICES INC CL A Com           760759100         151        9300     X       3          9300          0           0
RESPIRONICS INC            Com           761230101       5,953      167400     X       3        156100          0       11300
RETEK INC                  Com           76128Q109       1,232       97600     X       3         87400          0       10200
REYNOLDS & REYNOLDS CO  CL Com           761695105       4,707      202000     X       3        189600          0       12400
RJ REYNOLDS TOBACCO HLDGS  Com           76182K105      18,136      317400     X       3        288800          0       28600
RIGHT MANAGEMENT CONSULTANTCom           766573109         531       17100     X       3         15600          0        1500
RIVERSTONE NETWORKS INC    Com           769320102         759      144590     X       3        134226          0       10364
ROADWAY EXPRESS IN         Com           769742107       1,547       64200     X       3         58700          0        5500
ROSLYN BANCORP INC COM     Com           778162107      12,528      676800     X       3        600150          0       76650
ROSS STORES INC  COM  NASD ComL          778296103         234        8000     X       3          7900          0         100
ROUSE CO  COM  NASD INDL   Com           779273101       6,951      287600     X       3        274800          0       12800
ROXIO INC                  Com           780008108         143        9400     X       3          9400          0           0
ROYAL DUTCH PETE CO NY REG Com1.25       780257804       4,487       89300     X       3         60700          0       28600
RUBY TUESDAY INC           Com           781182100       1,050       66900     X       3         66700          0         200
RUDDICK CORP  COM          Com           781258108         162       10600     X       3          3400          0        7200
RYANS FAMILY STEAK HOUSE INComCOM  NASD  783519101       1,580       92300     X       3         83900          0        8400
RYLAND GROUP INC  COM      Com           783764103       4,263       89400     X       3         84900          0        4500
SBC COMMUNICATIONS INC     Com           78387G103      53,198     1128998     X       3       1079102          0       49896
SCP POOL CORP COM          Com           784028102       1,646       77100     X       3         75450          0        1650
SK TELECOM ADR             ADR           78440P108       4,241      230000     X       3        230000          0           0
S L GREEN REALTY           Com           78440X101          35        1100     X       3          1100          0           0
SPS TECHNOLOGIES INC  COM  Com           784626103         100        3300     X       3          2000          0        1300
SRI/SURGICAL EXPRESS INC   Com           78464W104         271        9100     X       3          4900          0        4200
SAFEWAY INC                Com           786514208       5,990      150800     X       3        144300          0        6500
ST JUDE MED INC  COM  NASD ComL          790849103      22,547      329400     X       3        321200          0        8200
SARA LEE CORP  COM         Com           803111103       5,855      274900     X       3        255900          0       19000
HENRY SCHEIN INC           Com           806407102      13,668      354100     X       3        332600          0       21500
SCHERING PLOUGH CORP  COM  Com           806605101      16,964      457240     X       3        435940          0       21300
SCHLUMBERGER LTD  COM      Com           806857108         324        7100     X       3          4200          0        2900
SCHOLASTIC CORP            Com           807066105       6,569      151000     X       3        144600          0        6400
SCHWEITZER-MAUDUIT INTL INCComM          808541106         477       20100     X       3         17700          0        2400
SCIOS INC COM              Com           808905103       2,608      156000     X       3        156000          0           0
SCOTTS CO  CL A            Com           810186106         945       27700     X       3         25700          0        2000
SEACOR SMIT INC COM        Com           811904101         207        5800     X       3          5800          0           0
SEARS ROEBUCK & CO  COM    Com           812387108          35        1000     X       3           300          0         700
SEMPRA ENERGY              Com           816851109      18,825      760600     X       3        722100          0       38500
SENIOR HOUSING PROP TRUST  Com           81721M109       1,983      147400     X       3        109100          0       38300
SEROLOGICALS CORP          Com           817523103       2,776      153300     X       3        140200          0       13100
SERVICEMASTER CO COM       Com           81760N109           1         100     X       3             0          0         100
SHERWIN WILLIAMS CO  COM   Com           824348106       1,622       73000     X       3         73000          0           0
SICOR INC                  Com           825846108      30,264     1602100     X       3       1548100          0       54000
SIERRA HEALTH SVCS INC  COMCom           826322109         354       42600     X       3         20700          0       21900
SIERRA PACIFIC RESOURCES   Com           826428104       3,893      257800     X       3        251400          0        6400
SMITHFIELD FOODS INC  COM  ComD INDL     832248108      20,574      977400     X       3        939000          0       38400
SMUCKER J M CO             Com           832696306         162        6300     X       3          6200          0         100
SOLA INTL INC COM          Com           834092108         123        8100     X       3          6100          0        2000
SONIC AUTOMOTIVE INC       Com           83545G102       1,282       94300     X       3         94300          0           0
SOUTH FINANCIAL GROUP INC  Com           837841105         192       12100     X       3          4100          0        8000
SOUTH JERSEY INDS INC  COM Com           838518108          25         800     X       3           400          0         400
SOUTHTRUST CORP  COM  NASD ComINS        844730101       8,675      340600     X       3        290900          0       49700
SOVRAN SELF STORAGE INC COMCom           84610H108       1,860       67400     X       3         63700          0        3700
SPARTAN STORES INC         Com           846822104         331       27100     X       3         27100          0           0
SPARTECH CORP COM NEW      Com           847220209         161        7800     X       3          7800          0           0
SPECTRALINK INC            Com           847580107       1,449       92600     X       3         81400          0       11200
SPECTRIAN CORP             Com           847608106          87        8700     X       3          8700          0           0
SPRINT CORP COM            Com           852061100       6,123      255000     X       3        249400          0        5600
STANCORP FINL GROUP INC    Com           852891100      14,965      309200     X       3        294600          0       14600
STANDARD COML CORP  COM    Com           853258101         141        8600     X       3          8600          0           0
STANDARD PAC CORP NEW COM  Com           85375C101       5,512      282500     X       3        250700          0       31800
STATEN ISLAND BANCORP INC  Com           857550107       5,253      213100     X       3        204500          0        8600
STERIS CORP                Com           859152100       2,245      114200     X       3        109200          0        5000
STEWART & STEVENSON SVCS INComCOM  NASD  860342104          22         900     X       3           900          0           0
STEWART ENTERPRISES        Com           860370105          90       15600     X       3          8500          0        7100
STEWART INFORMATION SVCS COComCOM NASD   860372101         117        6000     X       3          4600          0        1400
STORAGE USA INC            Com           861907103         570       14400     X       3         14400          0           0
STORAGE TECHNOLOGY CORP  COComAR 0.10    862111200       3,104      247300     X       3        219800          0       27500
STRIDE RITE CORP  COM      Com           863314100         213       34000     X       3         33000          0        1000
SUN CMNTYS INC             Com           866674104          29         800     X       3           800          0           0
SUN MICROSYSTEMS INC  COM  ComD INDL     866810104       2,614      316100     X       3        301000          0       15100
SUNOCO INC                 Com           86764P109       7,789      218800     X       3        207500          0       11300
SUNRISE ASSISTED LIVING COMCom           86768K106         127        4900     X       3          4900          0           0
SUNTRUST BKS INC  COM      Com           867914103       5,441       81700     X       3         80000          0        1700
SUPERIOR ENERGY SERVICES INCom           868157108          14        2300     X       3          2300          0           0
SUPERVALU INC COM          Com           868536103         372       18400     X       3         18400          0           0
SYBASE INC                 Com           871130100       5,518      593300     X       3        540200          0       53100
SYBRON DENTAL SPECIALTIES ICom           871142105       3,106      167000     X       3        147300          0       19700
SYMANTEC CORP COM NASD INDLCom           871503108         177        5100     X       3             0          0        5100
SYMMETRICOM INC COM NASD INCom           871543104         671      123300     X       3        122100          0        1200
SYNOPSYS INC               Com           871607107       7,785      194100     X       3        183200          0       10900
SYSCO CORP  COM            Com           871829107       4,212      164900     X       3        164900          0           0
SYSTEMS & COMPUTER TECHNOLOCom COM  NASD 871873105         244       27100     X       3         14900          0       12200
TBC CORP  COM  NASD INDL   Com           872180104       2,909      294400     X       3        291700          0        2700
TJX COS INC NEW  COM       Com           872540109       3,260       99100     X       3         96500          0        2600
TXU CORPORATION            Com           873168108      11,010      237700     X       3        227900          0        9800
TARGET CORP                Com           87612E106       5,058      159300     X       3        148900          0       10400
TAUBMAN CTRS INC           Com           876664103          26        2100     X       3          2100          0           0
TECHNE CORP                Com           878377100         559       19000     X       3         14800          0        4200
TECUMSEH PRODUCTS CO  -CL ACom           878895200          18         400     X       3           400          0           0
TELEFONOS DE MEXICO S A ADRADRP ORD L    879403780       2,002       62000     X       3         62000          0           0
TELEPHONE & DATA SYS INC  CCom           879433100         453        4800     X       3          1600          0        3200
TENET HEALTHCARE CORP      Com           88033G100      10,606      177800     X       3        171900          0        5900
TESORO PETE CORP  COM      Com           881609101       1,169       98200     X       3         91000          0        7200
TETRA TECHNOLOGIES INC DEL Com           88162F105       3,317      190400     X       3        172100          0       18300
TEXACO INC  COM            Com           881694103       8,476      130400     X       3        124400          0        6000
TEXAS INSTRS INC  COM      Com           882508104       6,500      260200     X       3        252100          0        8100
THERAGENICS CORP COM       Com           883375107       1,780      192600     X       3        157200          0       35400
THORNBURG MTG ASSET CORP   Com           885218107       4,940      298100     X       3        277400          0       20700
TIDEWATER INC  COM         Com           886423102       4,158      155800     X       3        154200          0        1600
TORCHMARK CORP  COM        Com           891027104         222        5700     X       3          5700          0           0
TORO CO  COM               Com           891092108         644       15300     X       3         14700          0         600
TOWER AUTOMOTIVE INC       Com           891707101         121       16900     X       3         14800          0        2100
TREDEGAR INDUSTRIES INC    Com           894650100         507       29800     X       3         26500          0        3300
TRIAD GTY INC COM          Com           895925105         126        3600     X       3          3500          0         100
TRIGON HEALTHCARE INC      Com           89618L100      40,715      621600     X       3        589200          0       32400
TRIUMPH GROUP INC          Com           896818101         172        7400     X       3          6000          0        1400
TRUSTMARK CORP  COM  NASD ICom           898402102         414       18500     X       3         18500          0           0
TV AZTECA S.A. DE C.V. ADS ADRICO        901145102         372       96600     X       3         96600          0           0
TYCO INTL LTD NEW COM      Com           902124106       2,302       50600     X       3         31200          0       19400
TYSON FOODS INC  CL A  NASDComDL         902494103       1,851      184700     X       3        157300          0       27400
UGI CORP NEW COM           Com           902681105       1,561       57600     X       3         51900          0        5700
UICI COM                   Com           902737105           1         100     X       3             0          0         100
UNITED ILLUM CO  COM       Com           902748102          72        1500     X       3           900          0         600
USX MARATHON GROUP COM NEW Com           902905827       9,520      355900     X       3        351400          0        4500
US BANCORP                 Com           902973304       6,108      275405     X       3        260505          0       14900
USA NETWORKS INC COM       Com           902984103       8,075      449100     X       3        434300          0       14800
URS CORP                   Com           903236107          53        2300     X       3          2300          0           0
US PHYSICAL THERAPY INC    Com           90337L108          73        4500     X       3          4500          0           0
ULTRAMAR DIAMOND SHAMROCK CComOM         904000106      13,327      278000     X       3        262300          0       15700
ULTRATECH STEPPER INC      Com           904034105         460       38400     X       3         37200          0        1200
UNIFIED ENERGY SYSTEMS SPONADRDR         904688108         602       70000     X       3         70000          0           0
UNILEVER N.V. NEW YORK SHARCom           904784709         799       14800     X       3          9200          0        5600
UNION PLANTERS CORP  COM   Com           908068109       7,829      182500     X       3        167600          0       14900
UNIONBANCAL CORP COM       Com           908906100       3,665      108300     X       3         96300          0       12000
UNISOURCE ENERGY CORP COM  Com           909205106         687       49100     X       3         39800          0        9300
UNIT CORP  COM             Com           909218109         453       51000     X       3         44100          0        6900
UNITED BANKSHARES INC      Com           909907107       1,909       70700     X       3         68600          0        2100
UNITED DOMINION REALTY TR ICom COM       910197102       9,198      644100     X       3        592600          0       51500
UNITED RENTALS INC         Com           911363109          19        1100     X       3          1100          0           0
US CELLULAR CORP           Com           911684108       8,341      168500     X       3        165300          0        3200
UNITED STATIONERS INC  COM ComSD INDL    913004107       1,013       33900     X       3         21600          0       12300
UNITED TECHNOLOGIES CORP  CCom           913017109       6,333      136200     X       3        129700          0        6500
UNITEDHEALTH GROUP INC     Com           91324P102      24,758      372300     X       3        364900          0        7400
UNIVERSAL CORP  COM        Com           913456109       6,911      207100     X       3        186500          0       20600
UNIVERSAL HEALTH SVCS INC  ComB  NASD IN 913903100      18,915      387600     X       3        377400          0       10200
UTILICORP UTD INC DEL  COM Com           918005109          87        3100     X       3          3000          0         100
UTSTARCOM INC              Com           918076100       8,712      536100     X       3        516100          0       20000
V F CORP  COM              Com           918204108         460       15700     X       3         15700          0           0
VALERO ENERGY CORP COM NEW Com           91913Y100       1,839       52400     X       3         51100          0        1300
VARIAN MEDICAL SYSTEMS INC Com           92220P105      25,686      400400     X       3        374100          0       26300
VEECO INSTRS INC DEL COM   Com           922417100         331       12500     X       3         10800          0        1700
VENATOR GROUP INC          Com           922944103       2,635      172800     X       3        160300          0       12500
VERIZON COMMUNICATIONS INC Com           92343V104      48,165      890122     X       3        857650          0       32472
VESTA INSURANCE GROUP INC  Com           925391104         676       51600     X       3         44600          0        7000
VIACOM INC CL B            Com           925524308       5,609      162581     X       3        154911          0        7670
VIASAT INC                 Com           92552V100           9         500     X       3           500          0           0
VORNADO RLTY TR SH BEN INT Com           929042109       1,469       37000     X       3         37000          0           0
W HOLDING COMPANY INC      Com           929251106       2,584      184600     X       3        169300          0       15300
WPS RESOURCES CORP COM     Com           92931B106         162        4700     X       3          4700          0           0
WACHOVIA CORP              Com           929903102      13,696      441800     X       3        428900          0       12900
WAL MART STORES INC  COM   Com           931142103      38,085      769400     X       3        740500          0       28900
WALGREEN CO  COM           Com           931422109       3,512      102000     X       3         97100          0        4900
WALLACE COMPUTER SERVICES ICom COM       932270101       1,665      104700     X       3         82500          0       22200
WASHINGTON FED INC  COM    Com           938824109      13,685      546300     X       3        511500          0       34800
WASHINGTON MUTUAL INC      Com           939322103       5,703      148200     X       3        144000          0        4200
WATSON WYATT &CO HOLDINGS  Com           942712100         100        6300     X       3          6300          0           0
WAUSAU-MOSINEE PAPER CORP CCom           943315101         168       14400     X       3          7400          0        7000
WEBSTER FINL CORP WA       Com           947890109       5,026      152500     X       3        142900          0        9600
WELLPOINT HLTH NETWORKS  NEComL A        94973H108      15,532      142300     X       3        137800          0        4500
WELLS FARGO & CO COM       Com           949746101      10,646      239500     X       3        231400          0        8100
WERNER ENTERPRISES INC  COMComASD INDL   950755108         709       42400     X       3         40000          0        2400
WEST CORPORATION           Com           952355105       3,511      177300     X       3        168800          0        8500
WESTPORT RESOURCES CORP    Com           961418100           3         200     X       3           200          0           0
WET SEAL INC  -CL A        Com           961840105       7,619      413850     X       3        394000          0       19850
WHIRLPOOL CORP  COM        Com           963320106      17,928      323900     X       3        312000          0       11900
WHOLE FOODS MARKET I       Com           966837106          38        1200     X       3          1200          0           0
WINN DIXIE STORES INC  COM Com           974280109       1,429      124800     X       3        116100          0        8700
WINNEBAGO INDS INC  COM    Com           974637100         403       18800     X       3         18800          0           0
WOODWARD GOVERNOR CO       Com           980745103       1,487       30700     X       3         29000          0        1700
WORLDCOM INC - WORLDCOM GROCom           98157D106       9,801      651680     X       3        630388          0       21292
WORLDCOM INC - MCI GROUP   Com           98157D304           2         100     X       3      6.77E-15          0         100
WORTHINGTON INDS INC  COM  ComD INDL     981811102         623       55400     X       3         53100          0        2300
XTO ENERGY INC             Com           98385X106      14,601     1046650     X       3        996600          0       50050
XCEL ENERGY INC            Com           98389B100       2,770       98400     X       3         98400          0           0
YANG MING MARINE 144A GDR TADRAN         984749101           1         431     X       3           431          0           0
XICOR INC  COM  NASD INDL  Com           984903104         207       26000     X       3         26000          0           0
YELLOW CORP COM            Com           985509108          51        2500     X       3             0          0        2500
YORK INTL                  Com           986670107         619       21600     X       3         17700          0        3900
ZEBRA TECHNOLOGIES C       Com           989207105         135        3600     X       3          3600          0           0
FRESH DEL MONTE PRODUCE INCCom           G36738105          61        4700     X       3          4700          0           0
RENAISSANCERE HOLDINGS LTD Com           G7496G103      11,025      124000     X       3        115800          0        8200
CHECK POINT SOFTWARE TECHN Com           M22465104       4,999      227000     X       3        227000          0           0





                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of Berkshire Asset Management, Inc.
                                                                           For Positions Held as of 09/30/2001)



           (1)              (2)             (3)          (4)        (5)       (6)     (7)                 (8)
      Name of Issuer       Title of Class  CUSIP         FMV       Shares   Inv.Disc. Other      Voting  Authority (Shs.)
                                                       (x1000)             (a)(b)(c)  Mgr.      (a)        (b)        (c)

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

AT&T                       Com            001957109        420       21800     X       4         21800
Abbott Laboratories        Com            002824100      8,836      170418     X       4        170418
Adelphia Comm.             Com            006848105       3551      159962     X       4        159962
Advent Software            Com            007974108        376       10000     X       4         10000
Alltel                     Com            020039103     13,339      230184     X       4        230184
American Express           Com            025816109       3205      110300     X       4        110300
AIG                        Com            026874107       4102       52590     X       4         52590
BSB Bancorp                Com            055652101        282       12125     X       4         12125
Baxter International       Com            071813109        209        3800     X       4          3800
Berkshire Hathaway Cl A    Com            084670108        560           8     X       4             8
Berkshire Hathaway Cl B    Com            084670207       2171         932     X       4           932
Charter One                Com            160903100     11,647      412756     X       4        412756
Cisco Systems              Com            17275R102       7507      616366     X       4        616366
Coca Cola                  Com            191216100        234        5000     X       4          5000
Commonwealth Telephone     Com            203349105    129,849      349642     X       4        349642
Computer Associates        Com            204912109     13,050      507024     X       4        507024
Dell Computer              Com            247025109       5211      281240     X       4        281240
DuPont                     Com            263534109       3972      105885     X       4        105885
EMC Corp                   Com            268648102        154       13158     X       4         13158
Exxon Mobil                Com            30231g102        432       10986     X       4         10986
Freddie Mac                Com            313400301     10,358      159369     X       4        159369
Fannie Mae                 Com            313586109      9,251      115562     X       4        115562
First Bell Bancorp         Com            319301107        297       20400     X       4         20400
First Union                Com            337358105        206        6000     X       4          6000
Ford Motor                 Com            345370860        442       25524     X       4         25524
Gap Stores                 Com            364760108        525       43937     X       4         43937
Gateway                    Com            367626108        876      160890     X       4        160890
General Electric           Com            369604103       5010      134683     X       4        134683
Gillette                   Com            375766102       5160      173178     X       4        173178
Honeywell                  Com            438516106       6539      247695     X       4        247695
Intel                      Com            458140100        739       36166     X       4         36166
IBM                        Com            459200101     11,199      122109     X       4        122109
Interpublic Group          Com            460690100        629       30866     X       4         30866
JDS Uniphase               Com            46612J101         69       11000     X       4         11000
Johnson & Johnson          Com            478160104     14,446      260766     X       4        260766
KB Home                    Com            48666K109       1193       42000     X       4         42000
Leggett & Platt            Com            524660107       6750      346200     X       4        346200
M&T Bank                   Com            55261F104     21,585      291693     X       4        291693
MAF Bancorp                Com            55261R108     10,281      358750     X       4        358750
Mellon Financial           Com            58551A108     11,863      366948     X       4        366948
Merck                      Com            589331107     19,819      297592     X       4        297592
Microsoft                  Com            594918104      8,522      166546     X       4        166546
Morgan Stanley             Com            617446448        665       14350     X       4         14350
Nokia                      Com            654902204        161       10320     X       4         10320
Office Depot Inc.          Com            676220106        544       40000     X       4         40000
Omnicon                    Com            681919106        564        8700     X       4          8700
PNC Bank                   Com            693475105        471        8236     X       4          8236
Pfizer                     Com            707081103        489       12215     X       4         12215
Hewlett Packard            Com            728236103        481       30000     X       4         30000
Portal Software            Com            736126103         74       50000     X       4         50000
Proctor & Gamble           Com            742718109        334        4600     X       4          4600
Provident Financial Group  Com            743866105        508       20129     X       4         20129
Royal Dutch                Com            780257804       1759       35010     X       4         35010
SBC Communications         Com            78387g103        306        6512     X       4          6512
Schering-Plough            Com            806605101       5869      158210     X       4        158210
Southern Union             Com            844030106        541       25856     X       4         25856
Southwest Airlines         Com            844741108        263       17775     X       4         17775
Sovereign Bancorp          Com            845905108       6221      654863     X       4        654863
Steelcase Inc. Cl A        Com            858155203        252       20100     X       4         20100
Technitrol                 Com            878555101       5458      244795     X       4        244795
Texas Instruments          Com            882508104      9,638      385843     X       4        385843
Tribune                    Com            896047107       5973      190241     X       4        190241
Unisys                     Com            909214108       4282      494550     X       4        494550
Wachovia                   Com            929903102     13,635      439846     X       4        439846
Washington Federal         Com            938824109        885       35332     X       4         35332
Washington Mutual          Com            939322103       2215       57564     X       4         57564
Waste Management           Com            941061109       4805      179720     X       4        179720
Wells Fargo                Com            949746101       4048       91083     X       4         91083


                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of Bingham Legg Advisors LLC
                                                                           For Positions Held as of 09/30/2001)


           (1)                (2)           (3)          (4)         (5)      (6)      (7)                 (8)
      Name of Issuer     Title of Class    CUSIP         FMV       Shares  Inv. Disc.  Other       Voting  Authority (Shs.)
                                                       (x1000)            (a) (b)(c)   Mgr       (a)        (b)         (c)

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


AES CORP                   COM           00130H105         550       41580     x       5         41480                    100
AOL TIME WARNER            COM           00184A105        4468      138125     x       5        108764                  29361
AT&T CORP                  COM           001957109        1387       74183     x       5         61848                  12335
AT&T Wireless Services     COM           00209A106         277       19074     x       5         15549                   3525
ABBOTT LABORATORIES COM    COM           002824100        3716       72883     x       5         56883                  16000
ACCESS PHARMACEUTICALS INC COM           00431M209         243       93333     x       5         15000                  78333
AETNA INC-NEW              COM           00817Y108         569       20325     x       5         15575                   4750
AGILENT TECHNOLOGIES INC   COM           00846U101         454       23597     x       5         23521                     76
ALBERTSONS INC COM         COM           013104104         514       16150     x       5         16150                      0
ALCATEL                    COM           013904305         405       34360     x       5         28085                   6275
AMERADA HESS CORP COM      COM           023551104         636       10375     x       5          7975                   2400
AMERICAN ELECTRIC PWR CO INCOM           025537101        1437       32777     x       5         26260                   6517
AMERICAN EXPRESS CO COM    COM           025816109         241        8775     x       5          8475                    300
AMERICAN HOME PRODS CORP COCOM           026609107        3940       67348     x       5         58448                   8900
AMERICAN INTL GROUP INC COMCOM           026874107        5413       71220     x       5         68967                   2253
AMER PWR CONVERSION CORP   COM           029066107         323       28050     x       5         27250                    800
AMERICAN WATER WORKS COMPANCOM           030411102         408       10368     x       5             0                  10368
AMGEN INC                  COM           031162100         944       15881     x       5         14181                   1700
ANADARKO PETROLEUM CORP COMCOM           032511107         347        7544     x       5          7544                      0
ANALOG DEVICES INC         COM           032654105         252        7866     x       5          6066                   1800
ANHEUSER BUSCH COS INC COM COM           035229103        5709      137791     x       5        122291                  15500
APPLIED MATERIALS INC      COM           038222105        1298       46570     x       5         35175                  11395
ARCH COAL INC              COM           039380100         320       21500     x       5         21500                      0
ARROW ELECTRONICS INC      COM           042735100         323       15775     x       5         13275                   2500
AUTOMATIC DATA PROCESSING ICOM           053015103         971       21932     x       5         19157                   2775
AVALONBAY COMMUNITIES INC  COM           053484101        1147       24490     x       5         24490                      0
AVNET INC COM              COM           053807103         208       11800     x       5          8100                   3700
BJS WHOLESALE CLUB INC COM COM           05548J106        3141       69113     x       5         68213                    900
BP AMOCO PLC               COM           055622104       20950      438932     x       5        417628                  21304
BANK OF AMERICA CORPORATIONCOM           060505104        2485       43691     x       5         30897                  12794
BANK NEW YORK INC COM      COM           064057102         731       21950     x       5         13300                   8650
BANK ONE CORPORATION       COM           06423A103         815       26720     x       5         18325                   8395
BELLSOUTH CORP COM         COM           079860102         762       18166     x       5         10506                   7660
BEMIS COMPANY INC          COM           081437105         294        7613     x       5          7613                      0
BERKSHIRE HATHAWAY INC DEL COM           084670108        2302          33     x       5            33                      0
BERKSHIRE HATHAWAY INC DEL COM           084670207        3486        1506     x       5          1399                    107
BIOMET INC                 COM           090613100        2602       89571     x       5         75966                  13605
BOEING CO COM              COM           097023105         208        6050     x       5          3850                   2200
BOSTON PROPERTIES INC      COM           101121101         350        9400     x       5          9400                      0
BOSTON SCIENTIFIC CORP     COM           101137107         839       41188     x       5         41188                      0
BRISTOL MYERS SQUIBB CO    COM           110122108        2171       38915     x       5         31795                   7120
BROADWING INC              COM           111620100        1887      124770     x       5         97420                  27350
BURLINGTON NORTHERN SANTA FCOM           12189T104        1300       51774     x       5         38674                  13100
CSX CORP COM               COM           126408103         449       15364     x       5         12914                   2450
CVS CORP COM               COM           126650100        6220      191973     x       5        173083                  18890
CABOT CORP                 COM           127055101         469       12300     x       5         10300                   2000
CAPACTIVE DEIONIZATION TECHCOM           139161103           7       20000     x       5         20000                      0
CAPITAL ONE FINANCIAL INC  COM           14040H105         201        4600     x       5          4600                      0
CARNIVAL CORPORATION       COM           143658102        1442       65550     x       5         65550                      0
CHARTER ONE FINL INC       COM           160903100        2584       94668     x       5         80173                  14495
CHEVRON CORP COM           COM           166751107        5315       63655     x       5         61155                   2500
CHUBB CORP COM             COM           171232101         724       10345     x       5          8195                   2150
CISCO SYSTEMS INC          COM           17275R102         656       58398     x       5         48358                  10040
CITIGROUP INC              COM           172967101        7053      176894     x       5        151046                  25848
CLOROX CO COM              COM           189054109         232        6300     x       5          6100                    200
COCA COLA CO COM           COM           191216100        1309       27883     x       5         25318                   2565
COLGATE PALMOLIVE CO COM   COM           194162103         571        9855     x       5          9855                      0
COMCAST CORP CL A SPL      COM           200300200         335        9500     x       5          9500                      0
COMPAQ COMPUTER CORP COM   COM           204493100        1041      121575     x       5        121575                      0
COMPUTER SCIENCES CORP     COM           205363104         217        6450     x       5          6100                    350
CONAGRA FOODS INC          COM           205887102        1233       56025     x       5         44525                  11500
CONEXANT SYS INC COM       COM           207142100         109       14000     x       5         14000                      0
CONOCO INC                 COM           208251306         496       20100     x       5         11400                   8700
CONOCO INC CL B            COM           208251405          78       10800     x       5         10800                      0
CONSOLILDATED EDISON INC COCOM           209115104         997       24750     x       5         17350                   7400
COOPER CAMERON CORP COM    COM           216640102         232        7500     x       5          7500                      0
CORNING INC                COM           219350105         199       23860     x       5         20210                   3650
COSTCO WHOLESALE CORPORATIOCOM           22160K105        1319       39184     x       5         39184                      0
CROWN CORK & SEAL INC      COM           228255105          28       14065     x       5         11465                   2600
DANA CORP                  COM           235811106         350       23200     x       5         16000                   7200
DELL COMPUTER CORP         COM           247025109        3059      169555     x       5        144785                  24770
DELPHI FINANCIAL GROUP INC.COM           247131105         599       17992     x       5         17992                      0
DEVRY INC DEL              COM           251893103         611       17400     x       5         17400                      0
DISNEY WALT PRODTNS COM    COM           254687106         504       28695     x       5         27195                   1500
DOMINION RESOURCES INC/VA  COM           25746U109         405        7113     x       5          6663                    450
DOVER CORP COM             COM           260003108        3660      124925     x       5        112335                  12590
DOW CHEMICAL CO COM        COM           260543103        2680       84635     x       5         67978                  16657
DU PONT E I DE NEMOURS & COCOM           263534109         714       19758     x       5         12028                   7730
DUKE ENERGY CORP           COM           264399106        3431       94538     x       5         72498                  22040
EMC CORPORATION            COM           268648102        2093      176050     x       5        143542                  32508
ENSCO INTERNATIONAL INC    COM           26874Q100        1257       92075     x       5         69880                  22195
E INK CORPORATION          CONV PFD      269990206          68       21504     x       5         21504                      0
E INK CORPORATION          CONV PFD      269990305         159       13250     x       5         12250                   1000
EL PASO CORPORATION        COM           28336L109        1989       51059     x       5         38214                  12845
ELAN CORP PLC ADR          COM           284131208        1060       21847     x       5         21847                      0
ELECTRONIC DATA SYSTEMS CORCOM           285661104         201        3640     x       5          3540                    100
EMERSON ELEC CO COM        COM           291011104        2486       54278     x       5         41098                  13180
ENTERASYS NETWORKS INC     COM           293637104         125       20000     x       5         20000                      0
EQUITY OFFICE PROPERTY TR  COM           294741103         344       11009     x       5         11009                      0
EXPLORE HOLDINGS LLC SHARESCOM           30214H929          46       19234     x       5         19234                      0
EXXON MOBIL CORPORATION    COM           30231G102       45657     1188375     x       5       1161521                  26854
FPL GROUP INC COM          COM           302571104         792       15258     x       5         14750                    508
FAMILY DOLLAR STORES INC   COM           307000109        1694       64920     x       5         52610                  12310
FREDDIE MAC                COM           313400301        5184       80295     x       5         73720                   6575
FANNIE MAE                 COM           313586109        5830       72985     x       5         63495                   9490
FIRST INTERNATIONAL BANCORPCOMC          32054Q100        4504      573000     x       5             0                 573000
FIRST TENNESSEE NATIONAL COCOM           337162101         218        5885     x       5          2260                   3625
FLEETBOSTON FINANCIAL CORPOCOM           339030108        3746      107416     x       5         71146                  36270
GPU INC                    COM           36225X100         354        9000     x       5          5725                   3275
GANNETT INC COM            COM           364730101         378        6475     x       5          6475                      0
GENERAL ELECTRIC CO COM    COM           369604103       20193      561702     x       5        451062                 110640
GENERAL GROWTH PPTYS INC   COM           370021107         402       11650     x       5         11650                      0
GENERAL MILLS INC COM      COM           370334104         349        7725     x       5          7725                      0
GENERAL MOTORS CORP CLASS HCOM           370442832         643       50446     x       5         47533                   2913
GENUINE PARTS CO           COM           372460105         421       13600     x       5         11700                   1900
GENZYME CORPORATION-BIOSURGCOM           372917708          68       17174     x       5          8439                   8735
GEORGIA PACIFIC CORP COM   COM           373298108         567       20244     x       5         13246                   6998
GILLETTE CO COM            COM           375766102         229        7900     x       5          7700                    200
GLAXO SMITHKLINE PLC ADR   COM           37733W105         424        7595     x       5          7595                      0
GOODYEAR TIRE & RUBBER CO CCOM           382550101         455       25275     x       5         18375                   6900
GUIDANT CORP               COM           401698105         246        6316     x       5          6316                      0
HARTFORD FINL SVCS GROUP INCOM           416515104        1097       19003     x       5         13198                   5805
HEARTLAND EXPRESS INC      COM           422347104         223        9625     x       5          9625                      0
HEINZ H J CO               COM           423074103         255        6050     x       5          6050                      0
HEWLETT PACKARD CO COM     COM           428236103        1364       84196     x       5         82696                   1500
HOME DEPOT INC COM         COM           437076102         791       21444     x       5         15374                   6070
HONEYWELL INTERNATIONAL INCCOM           438516106         829       33095     x       5         30295                   2800
iBELONG.COM INC SER A PFD  PREFERRED     450999917          48       15298     x       5         15298                      0
ILLINOIS TOOL WORKS INC COMCOM           452308109        1980       38855     x       5         29350                   9505
INCO LTD COM               COM           453258402         222       18500     x       5         18500                      0
INDYMAC BANCORP INC        COM           456607100         387       15000     x       5         15000                      0
INGRAM MICRO INC           COM           457153104         160       12850     x       5          9350                   3500
INTEL CORP COM             COM           458140100        3407      165798     x       5        141112                  24686
INTL BUSINESS MACHINES CORPCOM           459200101        6205       68948     x       5         59336                   9612
INTERNATIONAL PAPER CO COM COM           460146103        3749      110768     x       5         88768                  22000
JDS UNIPHASE CORP          COM           46612J101          97       16005     x       5         15000                   1005
J.P. MORGAN CHASE & CO     COM           46625H100        4338      130978     x       5        107570                  23408
JEFFERSON-PILOT CORP       COM           475070108         359        8350     x       5          7500                    850
JOHNSON & JOHNSON COM      COM           478160104        9570      175666     x       5        134892                  40774
KEYCORP NEW                COM           493267108         456       18996     x       5         11126                   7870
KIMBERLY CLARK CORP COM    COM           494368103        2060       33710     x       5         25150                   8560
KROGER CO COM              COM           501044101         272       11140     x       5         11140                      0
THE LATIN AMERN DISCOVERY FCOM           51828C106         116       15000     x       5         15000                      0
LEGGETT & PLATT INC        COM           524660107        1296       70425     x       5         65825                   4600
LIFEF/X INC                COM           53218N106         102      406000     x       5             0                 406000
LILLY ELI & CO COM         COM           532457108        1454       18148     x       5         16348                   1800
LINCOLN NATL CORP IND COM  COM           534187109        2646       58665     x       5         49565                   9100
LOWES COS INC              COM           548661107         296        9747     x       5          9747                      0
LUBRIZOL CORP COM          COM           549271104         228        7450     x       5          6675                    775
LUCENT TECHNOLOGIES INC COMCOM           549463107         317       57798     x       5         56798                   1000
MBIA INC                   COM           55262C100         717       14686     x       5         13686                   1000
MANULIFE FINANCIAL CORP    COM           56501R106         512       20000     x       5         20000                      0
MARSH & MCCLENNAN COS INC CCOM           571748102         986       10520     x       5         10500                     20
MAY DEPT STORES CO COM     COM           577778103         611       21185     x       5         16185                   5000
MCDONALDS CORP COM         COM           580135101        3853      142715     x       5        116500                  26215
MEAD CORP COM              COM           582834107         306       11450     x       5          8250                   3200
MEDTRONIC INC COM          COM           585055106        5009      117676     x       5         95441                  22235
MELLON FINANCIAL CORP.     COM           58551A108        1070       33745     x       5         26630                   7115
MERCK & CO INC COM         COM           589331107        9938      150102     x       5        126405                  23697
METLIFE INC                COM           59156R108         332       11825     x       5          3224                   8601
MICROSOFT CORP             COM           594918104        7107      142244     x       5        125819                  16425
MINNESOTA MNG & MFG CO COM COM           604059105        1865       19361     x       5         17621                   1740
MONADNOCK PAPER MILLS INC  COM           608990107         246        3171     x       5          3171                      0
MORGAN STANLEY DEAN WITTER COM           616988101         177       16100     x       5         16100                      0
MORGAN STANLEY             COM           617446448        1483       33475     x       5         33475                      0
MORGAN STANLEY DEAN WITTER COM           61744G107        3222      484540     x       5        483700                    840
MORGAN STANLEY DEAN WITTER COM           61745C105         155       21800     x       5         21800                      0
NCR CORP NEW               COM           62886E108         291        9940     x       5          9840                    100
NABORS INDUSTRIES INC      COM           629568106        1453       74470     x       5         58040                  16430
NATIONAL CITY CORP COM     COM           635405103         960       32603     x       5         23175                   9428
NATURAL CHEMISTRY INC      CONV PFD      63884L201           9       16600     x       5         16600                      0
NATURAL CHEMISTRY INC      COM           63884L904           9       16589     x       5         16589                      0
NEW ENGLAND BUSINESS SVC INCOM           643872104        3260      200017     x       5        200017                      0
NEW YORK TIMES CO CL A     COM           650111107       21836      567905     x       5        417303                 150602
NEWELL RUBBERMAID INC      COM           651229106         650       28775     x       5         21475                   7300
NORFOLK SOUTHN CORP COM    COM           655844108        2046      135145     x       5        105845                  29300
NORTEL NETWORKS CORP       COM           656568102         111       21232     x       5         18232                   3000
NOVELL INC                 COM           670006105         188       51168     x       5             0                  51168
NUCOR CORP                 COM           670346105         270        7075     x       5          6475                    600
OAO TECHNOLOGY SOLUTIONS INCOM           67082B105         192      220810     x       5             0                 220810
OCCIDENTAL PETE CORP COM   COM           674599105        1672       71500     x       5         53200                  18300
OMNICOM GROUP INC COM      COM           681919106        2046       31840     x       5         31840                      0
OPEN MARKET INC COM        COM           68370M100          14       31625     x       5         31625                      0
OPENWAVE SYSTEMS INC       COM           683718100       59818     4538532     x       5           966                4537566
ORACLE SYSTEMS CORP        COM           68389X105         266       22132     x       5         15730                   6402
OWENS ILLINOIS INC COM     COM           690768403          74       18300     x       5         10350                   7950
THE PMI GROUP              COM           69344M101        5372       88425     x       5         71075                  17350
PARKER HANNIFIN CORP COM   COM           701094104         220        6600     x       5          6600                      0
PEPSICO INC COM            COM           713448108        3625       74145     x       5         59520                  14625
PFIZER INC COM             COM           717081103        9545      240127     x       5        210716                  29411
PHARMACIA CORPORATION      COM           71713U102        3578       89306     x       5         66602                  22704
PHILIP MORRIS COS INC COM  COM           718154107        1276       26050     x       5         22000                   4050
PHILLIPS PETROLEUM CO COM  COM           718507106        1928       36823     x       5         26383                  10440
PHYCOGEN INC COM           COM           7194099A4         200       10288     x       5         10288                      0
PLUM CREEK TIMBER COMPANY, COM           729251108         348       13700     x       5         13700                      0
PRAXAIR INC                COM           74005P104        1393       33750     x       5         31750                   2000
PROCTER & GAMBLE CO COM    COM           742718109       12484      172430     x       5        167045                   5385
QUESTAR CORP               COM           748356102         224       11500     x       5          6500                   5000
QWEST COMMUNICATIONS INTERNCOM           749121109         272       16466     x       5         12645                   3821
R H INVESTMENT COMPANY INC COM           749550992        3020       14908     x       5          7454                   7454
RATIONAL SOFTWARE CORP COM COM           75409P202         217       26313     x       5         26313                      0
REGIONS FINANCIAL CORP     COM           758940100         315       11189     x       5          8289                   2900
REYNOLDS & REYNOLDS CO CL ACOM           761695105         500       21900     x       5         21900                      0
RIVERSTONE NETWORKS INC    COM           769320102          58       10262     x       5             0                  10262
ROCKWELL INTL CORP NEW     COM           773903109         256       18000     x       5         18000                      0
ROCKWELL COLLINS           COM           774341101         243       18000     x       5         18000                      0
ROYAL DUTCH PETROLEUM CO   COM           780257804        1171       24025     x       5         23225                    800
SBC COMMUNICATIONS INC     COM           78387G103        5193      112282     x       5        101732                  10550
SCI SYSTEMS INC            COM           783890106        1026       57020     x       5         57020                      0
STANDARD & POOR'S DEPOSITARCOM           78462F103         256        2500     x       5          2500                      0
SAFEWAY INC NEW            COM           786514208         750       19475     x       5         15285                   4190
ST PAUL COS INC COM        COM           792860108         750       18500     x       5         15300                   3200
SANCHEZ COMPUTER ASSOCIATESCOM           799702105         151       20110     x       5             0                  20110
SARA LEE CORP COM          COM           803111103         697       33044     x       5         33044                      0
SCHERING PLOUGH CORP COM   COM           806605101        3703      100700     x       5         96340                   4360
SCHLUMBERGER LTD COM       COM           806857108        3150       72581     x       5         57616                  14965
SEARS ROEBUCK & CO COM     COM           812387108         664       19150     x       5         17450                   1700
SENSIENT TECHNOLOGIES CORP COM           81725T100         349       18200     x       5         18200                      0
SHERWIN-WILLIAMS CO        COM           824348106         973       45275     x       5         39275                   6000
SIGMA ALDRICH CORP         COM           826552101         210        4700     x       5          4700                      0
SMURFIT-STONE CONTAINER CORCOM           832727101         298       23200     x       5         17100                   6100
SOLECTRON                  COM           834182107         308       26811     x       5         21211                   5600
SONOCO PRODS CO COM        COM           835495102         367       15773     x       5         12673                   3100
STATE STREET CORP          COM           857477103         331        7700     x       5          5700                   2000
SUN MICROSYSTEMS INC COM   COM           866810104        2780      351485     x       5        307405                  44080
SUNTRUST BANKS INC         COM           867914103        1315       20000     x       5         18800                   1200
SUPERVALU INC              COM           868536103         272       13450     x       5          9950                   3500
SUREFIRE COMMERCE INC      COM           86866Q104          45       53349     x       5             0                  53349
SYSCO CORP                 COM           871829107         420       16600     x       5         16600                      0
TJX COMPANIES (NEW)        COM           872540109         539       17550     x       5         11550                   6000
TARGET CORP                COM           87612E106        3646      116247     x       5         98307                  17940
TELLTABS                   COM           879664100         304       30750     x       5         21250                   9500
TEMPLE INLAND INC COM      COM           879868107         273        5925     x       5          4550                   1375
TEXACO INC COM             COM           881694103        1587       25203     x       5         17938                   7265
TEXAS INSTRUMENTS INC COM  COM           882508104        3659      154058     x       5        128195                  25863
TYCO INTERNATIONAL LTD     COM           902124106        5918      132245     x       5        115410                  16835
US BANCORP                 COM           902973304         853       38963     x       5         38763                    200
UNILEVER NV NY SHARES NEW FCOM           904784709         283        5296     x       5          5296                      0
UNION PACIFIC CORP COM     COM           907818108        1608       35260     x       5         27060                   8200
UNITED TECHNOLOGIES CORP COCOM           913017109        1012       22355     x       5         19771                   2584
UNOCAL CORP COM            COM           915289102         242        7700     x       5          7250                    450
UNUMPROVIDENT CORP         COM           91529Y106         213        8636     x       5          8636                      0
V F CORP COM               COM           918204108         405       14075     x       5         11875                   2200
VERIZON COMMUNICATIONS     COM           92343V104        3163       59015     x       5         43775                  15240
VIRAGEN INC                COM           927638106          35       30300     x       5         30300                      0
VODAFONE GROUP PLC-SP ADR  COM           92857W100         667       31410     x       5         29910                   1500
WACHOVIA CORP              COM           929903102         692       22350     x       5         19650                   2700
WAL MART STORES INC        COM           931142103        2758       55849     x       5         44579                  11270
WALGREEN CO COM            COM           931422109        1817       53445     x       5         53445                      0
WASHINGTON MUTUAL INC COM  COM           939322103        4549      119228     x       5        104202                  15026
WATSON PHARMACEUTICALS     COM           942683103        1616       30200     x       5         30200                      0
WEATHERFORD INTERNATIONAL ICOM           947074100         344       14100     x       5         14100                      0
WELLS FARGO & COMPANY NEW  COM           949746101        4620      105715     x       5         99555                   6160
WESTVACO CORP COM          COM           961548104         454       18400     x       5         14350                   4050
WHIRLPOOL CORP             COM           963320106         577       11000     x       5          7950                   3050
WISCONSIN ENERGY CORP COM  COM           976657106         272       12350     x       5         11000                   1350
WORLDCOM INC               COM           98157D106        7533      520260     x       5        457070                  63190
XCEL ENERGY INC            COM           98389B100         615       22890     x       5         20190                   2700
ZING NETWORKS INC          PREFERRED     9896119A8          42      100000     x       5        100000                      0
ZING NETWORKS INC          PREFERRED     9896119B6          11       26661     x       5         26661                      0



                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of Brandywine Asset Management, Inc.
                                                                           For Positions Held as of 09/30/2001)


                                (2)         (3)         (4)         (5)       (6)      (7)                 (8)
      Name of Issuer       Title of Class  CUSIP        FMV       Shares   Inv.Disc.  Other       Voting Authority Shares
                                                      (x1000)              (a)(b)(c)   Mgr         (a)        (b)         (c)

                                                                                         

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

AAON INC                   Common        000360206           9         300      x       6          300          -           -
A A R CORPORATION          Common        000361105       3,447     426,791      x       6      417,202      1,730       9,615
ABC BANCORP                Common        000400101         162      12,000      x       6       12,000          -           -
A C MOORE ARTS & CRAFTS    Common        00086T103         560      35,100      x       6       34,700          -         400
***ABN AMRO HOLDING NV     Common        000937102       4,750     293,907      x       6      250,415          -      44,324
ACT MFG INC                Common        000973107       1,316     296,500      x       6      286,600          -       9,900
AG SVCS AMER INC           Common        001250109         380      32,800      x       6       32,800          -           -
AHL SVCS INC               Common        001296102          29      17,600      x       6       17,600          -           -
AK STL HLDG CORP           Common        001547108      14,134   1,672,656      x       6    1,625,256          -      47,400
AMR CORP                   Common        001765106       3,209     167,650      x       6      167,650          -           -
AOL TIME WARNER            Common        00184A105         432      13,053      x       6       13,053          -           -
AT&T CORP                  Common        001957109          50       2,600      x       6        2,600          -           -
AT&T WIRELESS SVCS INC     Common        00209A106          12         836      x       6          836          -           -
AZZ INC                    Common        002474104       1,076      71,700      x       6       69,500          -       2,200
ABBOTT LABORATORIES        Common        002824100      14,393     276,569      x       6      264,999          -      12,305
ABBEY NATL PLC ADR SP      Common        002920106         260       9,105      x       6          335          -       8,875
ABIGAIL ADAMS NATL BANCO   Common        003390101          68       4,900      x       6        4,900          -           -
ABINGTON BANCORP INC NEW   Common        00350P100         253      18,800      x       6       18,800          -           -
ABITIBI-CONSOLIDATED       Common        003924107         168      26,615      x       6        1,395          -      25,835
ACCLAIM ENTMT INC          Common        004325205         750     280,000      x       6      280,000          -           -
ACETO CORP                 Common        004446100         974     100,335      x       6       97,835          -       2,500
ACTRADE FINL TECHNOLOGIE   Common        00507P102         790      43,000      x       6       43,000          -           -
ACTUANT CORP               Common        00508X203       1,231      67,800      x       6       65,820          -       1,980
ACXIOM CORP                Common        005125109       1,195     127,180      x       6      127,180          -           -
ADAMS RES & ENERGY INC     Common        006351308         521      74,900      x       6       72,400          -       2,500
ADVANTA CORP               Common        007942105       2,860     304,279      x       6      295,079          -       9,200
ADVANTA CORP               Common        007942204          44       4,907      x       6        4,907          -           -
AETNA INC NEW              Common        00817Y108           4         150      x       6          150          -           -
AGERE SYS INC              Common        00845V100      13,048   3,151,700      x       6    2,970,600          -     181,100
AGILENT TECHNOLOGIES INC   Common        00846U101      14,774     755,700      x       6      735,300          -      20,400
AIR METHODS CORP           Common        009128307         476     111,500      x       6      109,700          -       1,800
AIR PRODS & CHEMS INC      Common        009158106       1,399      36,300      x       6       29,300          -       7,100
AIRNET SYS INC             Common        009417106       1,372     236,100      x       6      228,800          -       7,300
AIRTRAN HLDGS INC          Common        00949P108       1,084     255,700      x       6      249,200          -       6,500
ALBANY INTL CORP           Common        012348108       3,197     213,716      x       6      206,816          -       6,900
ALBEMARLE CORP             Common        012653101       1,359      71,900      x       6       71,900          -           -
ALBERTSONS INC             Common        013104104      12,334     388,545      x       6      341,405          -      47,265
ALCAN ALUMINIUM LTD        Common        013716105      25,301     843,192      x       6      802,477          -      41,655
ALCOA INC                  Common        013817101       5,270     169,954      x       6      169,954          -           -
ALEXANDER & BALDWIN INC    Common        014482103       1,739      74,300      x       6       64,000          -      10,300
ALFA CORP                  Common        015385107         154       6,974      x       6        6,974          -           -
ALL AMERICAN SEMICONDUCT   Common        016557407         181      78,200      x       6       75,800          -       2,400
ALLEGHENY ENERGY INC       Common        017361106       1,132      30,850      x       6       30,850          -           -
ALLEGHENY TECHNOLOGIES I   Common        01741R102       1,305      97,900      x       6       97,900          -           -
ALLEGIANT BANCORP INC      Common        017476102         549      45,900      x       6       42,900          -       3,000
CENTRICA PLC               Common        0183901            20      11,000      x       6            -          -      11,000
ALLIANCE BANCORP NEW ENG   Common        01852Q109          84       7,100      x       6        7,100          -           -
ALLIED HLDGS INC           Common        019223106           5       4,100      x       6        4,100          -           -
ALLIED IRISH BKS PLC       Common        019228402       5,785     322,665      x       6      283,675          -      39,495
ALLIED RESH CORP           Common        019483106       1,455      93,600      x       6       90,700          -       2,900
ALLOU HEALTH & BEAUTY CA   Common        019782101         344     108,100      x       6      104,700          -       3,400
ALLSTATE CORP              Common        020002101         645      17,276      x       6       17,276          -           -
ALLTRISTA CORP             Common        020040101         169      14,700      x       6       14,700          -           -
ALPHA TECHNOLOGIES GROUP   Common        020781100         564     140,900      x       6      137,600          -       3,300
ALPHARMA INC CL A          Common        020813101       8,533     296,448      x       6      284,403      1,340      12,355
AMBAC INC                  Common        023139108       6,154     113,771      x       6       93,836          -      20,108
AMBASSADORS INTL INC       Common        023178106       1,510      90,400      x       6       86,000          -       4,400
AMERADA HESS CORP          Common        023551104           6         100      x       6          100          -           -
AMERCO                     Common        023586100       3,352     184,400      x       6      178,600          -       5,800
AMEREN CORP                Common        023608102           6         150      x       6          150          -           -
AMERICAN BK CONN WATERBU   Common        024327108         310      10,100      x       6       10,100          -           -
AMERICAN BILTRITE INC      Common        024591109         229      20,800      x       6       19,200          -       1,600
AMERICAN BUSINESS FINL S   Common        02476B106         414      23,900      x       6       22,700          -       1,200
AMERICAN ELECTRIC POW      Common        025537101      18,389     424,690      x       6      413,960          -      11,640
AMERICAN EXPRESS CO        Common        025816109      12,133     417,500      x       6      417,500          -           -
AMERICAN FINL GROUP INC    Common        025932104          49       2,200      x       6        2,200          -           -
AMERICAN GREETINGS CORP    Common        026375105      18,400   1,389,700      x       6    1,357,800          -      31,900
AMERICAN HOME PRODS C      Common        026609107       5,888     100,099      x       6       90,464          -      10,460
AMERICAN INTL GROUP INC    Common        026874107         780       9,995      x       6        9,995          -           -
AMERICAN PAC CORP          Common        028740108         325      45,800      x       6       43,400          -       2,400
AMERICAN PHYSICIANS SVC    Common        028882108          43      18,900      x       6       18,900          -           -
AMERICAN PHYSICIANS C      Common        028884104       4,688     226,870      x       6      213,080      2,300      13,430
AMERICAN SHARED HOSPITAL   Common        029595105          47      14,600      x       6       14,600          -           -
AMERICAN TECHNICNAL CERA   Common        030137103       1,131     133,100      x       6      129,800          -       3,300
AMERICAN VANGUARD CORP     Common        030371108         387      26,622      x       6       25,291          -       1,331
AMERICANWEST BANCORPORAT   Common        03058P109         665      58,330      x       6       57,450          -         880
AMERON INTL INC            Common        030710107       4,730      73,400      x       6       72,400          -       1,000
AMERUS GROUP CO            Common        03072M108      18,494     525,394      x       6      516,532          -       8,862
AMERISERV FINL INC         Common        03074A102         911     198,000      x       6      192,400          -       5,600
AMETEK INC NEW             Common        031100100         189       7,200      x       6        7,200          -           -
AMGEN INC                  Common        031162100           5          87      x       6           87
AMPCO-PITTSBURGH CORP      Common        032037103       1,622     169,000      x       6      164,600          -       4,400
AMSOUTH BANCORPORATION     Common        032165102           7         412      x       6          412          -           -
AMTRAN INC                 Common        03234G106         518      60,200      x       6       57,200          -       3,000
ANADARKO PETE CORP         Common        032511107      13,718     285,315      x       6      260,275          -      25,040
ANDERSONS INC              Common        034164103       1,178     134,600      x       6      132,100          -       2,500
ANDOVER BANCORP INC DEL    Common        034258103         587      11,500      x       6       11,500          -           -
ANNTAYLOR STORES CORP      Common        036115103           4         200      x       6          200          -           -
ANSWERTHINK INC            Common        036916104         795     169,100      x       6      169,100          -           -
AON CORP                   Common        037389103          13         300      x       6          300          -           -
APACHE CORP                Common        037411105         669      15,550      x       6       15,550          -           -
APPLE COMPUTER INC         Common        037833100           1          50      x       6           50          -           -
APPLERA CORP               Common        038020103       5,234     214,500      x       6      188,800          -      25,700
APPLICA INC                Common        03815A106         229      27,100      x       6       27,100          -           -
APPLIED INDL TECHNOLOGIE   Common        03820C105         522      30,900      x       6       30,900          -           -
APPLIED MATERIALS INC      Common        038222105           1          20      x       6           20
APPLIED SIGNAL TECHNOLOG   Common        038237103          34       3,800      x       6        3,800          -           -
ARBITRON INC               Common        03875Q108          18         682      x       6          682          -           -
ARCADIS N V N Y REGIS      Common        03923E107         207      25,599      x       6          599          -      25,599
ARCH CHEMICALS INC         Common        03937R102       4,486     197,615      x       6      197,615          -           -
ARCHER DANIELS MIDLAND C   Common        039483102          10         809      x       6          809          -           -
ARCTIC CAT INC             Common        039670104         689      51,100      x       6       51,100          -           -
AREA BANCSHARES CORP NEW   Common        039872106         102       6,000      x       6        6,000          -           -
ARK RESTAURANTS CORP       Common        040712101          65       9,100      x       6        6,600          -       2,500
ARKANSAS BEST CORP DEL     Common        040790107       8,514     411,100      x       6      402,400          -       8,700
ARNOLD INDS INC            Common        042595108       7,976     385,330      x       6      373,030          -      12,300
ARROW FINL CORP            Common        042744102         727      26,000      x       6       26,000          -           -
ARVINMERITOR, INC.         Common        043353101      24,234   1,693,201      x       6    1,650,762      1,950      42,310
ASIA SATELLITE TELECO      Common        04516X106         327      25,035      x       6       24,205          -       1,385
ASSOCIATED MATLS INC       Common        045709102       1,780      85,800      x       6       82,500          -       3,300
ASTEC INDS INC             Common        046224101       2,393     183,900      x       6      178,200          -       5,700
ASTRA AB ESCROW            Common        046298972           0       2,400      x       6        2,400          -           -
ASYST TECHNOLOGIES IN      Common        04648X107       8,215     916,983      x       6      887,293      1,580      29,060
ATLANTIS PLASTICS INC      Common        049156102          19       6,600      x       6        6,600          -           -
ATLAS AIR WORLDWIDE HLDG   Common        049164106       4,643     471,400      x       6      454,400          -      17,000
AUDIOVOX CORP              Common        050757103       3,986     436,100      x       6      424,100          -      12,000
AULT INC                   Common        051503100         155      39,700      x       6       39,700          -           -
AUTODESK INC               Common        052769106         914      28,500      x       6       28,500          -           -
AUTOZONE INC               Common        053332102           8         150      x       6          150          -           -
AVANT CORP COM             Common        053487104       1,839     591,125      x       6      555,255      5,780      33,780
AVISTA CORP                Common        05379B107      14,607   1,074,070      x       6    1,049,570          -      24,500
AVNET INC                  Common        053807103       1,326      72,900      x       6       72,900          -           -
AXA-UAP SPONSORED ADR      Common        054536107       5,694     296,892      x       6      272,847          -      24,720
AXCELIS TECHNOLOGIES INC   Common        054540109           1          58      x       6           58          -           -
AXYS PHARMACEUTICALS INC   Common        054635107           1         200      x       6          200          -           -
AZTAR CORP                 Common        054802103       5,638     433,890      x       6      422,815      1,600      10,390
BAA PLC SPONSORED ADR      Common        05518L206         329      43,272      x       6        1,112          -      42,432
BCE INC                    Common        05534B109       1,396      63,461      x       6       56,162          -       7,500
BCT INTL INC               Common        055355101          12      19,800      x       6       17,300          -       2,500
BG PLC ADR FNL INSTLL      Common        055434203         251      13,590      x       6        1,680          -      12,500
BMC INDS INC MINN          Common        055607105         887     434,600      x       6      418,600          -      16,000
BOC GROUP PLC ADR          Common        055617609       4,930     183,834      x       6      161,737          -      22,240
BP AMOCO ADS               Common        055622104      22,271     459,203      x       6      397,503          -      62,624
BSB BANCORP                Common        055652101         130       5,600      x       6        5,600          -           -
BTU INTL INC               Common        056032105         208      67,000      x       6       67,000          -           -
BYL BANCORP                Common        056064108         271      14,900      x       6       14,900          -           -
BAIRNCO CORP               Common        057097107         918     157,000      x       6      152,200          -       4,800
BALL CORP                  Common        058498106      34,426     575,935      x       6      563,306        888      12,521
BALLY TOTAL FITNESS HLDG   Common        05873K108      10,888     536,100      x       6      524,200          -      11,900
BALTEK CORP                Common        058822107         129      16,700      x       6       16,500          -         200
BANCFIRST CORP ZANESVILL   Common        059450106       1,680      76,885      x       6       74,050          -       2,835
BANCINSURANCE CORP         Common        05945K102          45       9,040      x       6        9,040          -           -
BANCO BILBAO VIZCAYA       Common        05946K101         410      40,040      x       6          690          -      39,390
BANCORP CONN INC           Common        059684100          61       3,300      x       6        3,300          -           -
BANDAG INC                 Common        059815100       1,441      52,700      x       6       52,700          -           -
BANDAG INC                 Common        059815308       1,702      73,047      x       6       73,047          -           -
BANGOR HYDRO ELEC CO       Common        060077104         732      27,494      x       6       25,529        380       2,280
BANK OF AMERICA CORP       Common        060505104      51,137     875,641      x       6      855,341          -      20,300
BANK OF THE OZARKS INC     Common        063904106       1,483      68,200      x       6       66,600          -       1,600
BANK ONE CORP              Common        06423A103          38       1,200      x       6        1,200          -           -
BANNER CORP                Common        06652V109       2,957     153,050      x       6      150,740          -       2,310
BARNES GROUP INC           Common        067806109       2,166     101,700      x       6      101,500          -         200
BASSETT FURNITURE INDS I   Common        070203104       3,051     218,400      x       6      211,400          -       7,000
BE SEMICONDUCTOR INDS      Common        073320103       2,050     344,745      x       6      299,218          -      46,065
BEAR STEARNS COS INC       Common        073902108      26,113     522,185      x       6      517,305          -       5,695
BEAZER HOMES USA INC       Common        07556Q105       6,917     142,321      x       6      138,521          -       3,800
BEL FUSE INC               Common        077347300       1,563      80,400      x       6       80,300          -         100
BELDEN INC                 Common        077459105       6,862     365,000      x       6      353,900          -      11,100
BELLSOUTH CORP             Common        079860102      12,928     311,150      x       6      311,150          -           -
BENIHANA INC               Common        082047200          46       4,200      x       6        3,200          -       1,000
BERKSHIRE HATHAWAY INC D   Common        084670207      10,508       4,510      x       6        4,510          -           -
BERRY PETE CO              Common        085789105       8,202     530,900      x       6      518,300          -      12,600
BHP LTD SPONSORED ADR      Common        088606108         860     100,505      x       6       98,550          -       2,060
BIG LOTS INC               Common        089302103         614      74,100      x       6       74,100          -           -
BIO RAD LABS INC           Common        090572207       1,981      42,150      x       6       42,150          -           -
BLACK & DECKER CORP        Common        091797100           3         100      x       6          100          -           -
BLACK HAWK GAMING & DEV    Common        092067107         464      51,300      x       6       50,300          -       1,000
BLACK HILLS CORP           Common        092113109       3,726     122,100      x       6      112,400          -       9,700
BLAIR CORP                 Common        092828102       2,332     160,300      x       6      155,500          -       4,800
BLONDER TONGUE LABS INC    Common        093698108         289      92,200      x       6       88,800          -       3,400
BOEING CO                  Common        097023105      27,952     836,302      x       6      801,492          -      35,590
BON-TON STORES INC         Common        09776J101         579     265,500      x       6      258,200          -       7,300
BOMBAY CO INC              Common        097924104         268     128,800      x       6      124,900          -       3,900
BOOKS-A-MILLION INC        Common        098570104          77      23,300      x       6       23,300          -           -
BOOTS PLC ADR              Common        099491201       7,123     385,418      x       6      335,642          -      49,885
BORG WARNER INC            Common        099724106      25,052     621,650      x       6      610,650          -      11,000
BOSTON ACOUSTICS INC       Common        100534106       1,032      93,850      x       6       90,900          -       2,950
BOSTON SCIENTIFIC CORP     Common        101137107       1,125      54,880      x       6       54,880          -           -
BOSTONFED BANCORP INC      Common        101178101         545      23,900      x       6       23,900          -           -
BOYD GAMING CORP           Common        103304101       2,672     600,557      x       6      588,957          -      11,600
BRASCAN CORP LTD VTG       Common        10549P606         409      24,720      x       6        2,315          -      23,125
BRASS EAGLE INC            Common        10553F106         783     140,600      x       6      136,500          -       4,100
BRIGGS & STRATTON COR      Common        109043109      14,449     463,253      x       6      450,143        830      13,630
BRIGHTPOINT INC            Common        109473108       3,718   1,199,400      x       6    1,166,900          -      32,500
BRISTOL MYERS SQUIBB CO    Common        110122108      22,507     405,100      x       6      405,100          -           -
BRITISH AWYS (110419306)   Common        110419306          24         900      x       6          900          -           -
BROOKSTONE INC             Common        114537103       1,805     168,700      x       6      164,600          -       4,100
BROOKTROUT INC             Common        114580103          10       3,100      x       6        3,100          -           -
BROWN SHOE INC NEW         Common        115736100       4,268     376,000      x       6      365,800          -      10,200
BRUNSWICK CORP             Common        117043109       6,786     412,000      x       6      412,000          -           -
BUCKEYE TECHNOLOGIES INC   Common        118255108       8,655     874,200      x       6      853,700          -      20,500
BUCKLE INC                 Common        118440106       3,797     230,100      x       6      225,600          -       4,500
BUILDING MATLS HLDG CORP   Common        120113105       3,777     269,000      x       6      261,400          -       7,600
BURLINGTON COAT FACTORY    Common        121579106      11,494     815,200      x       6      795,400          -      19,800
BURLINGTON NORTHN SANTA    Common        12189T104      21,678     810,400      x       6      810,400          -           -
BURLINGTON RES INC         Common        122014103      15,060     440,230      x       6      408,230          -      32,000
BUSH INDS INC              Common        123164105       2,026     229,400      x       6      224,000          -       5,400
BUTLER INTL INC NEW        Common        123649105         142      79,100      x       6       75,600          -       3,500
BUTLER MFG CO DEL          Common        123655102       2,832     130,500      x       6      127,000          -       3,500
C&D TECHNOLOGIES INC       Common        124661109       7,389     401,600      x       6      390,000          -      11,600
CBL MED INC                Common        124831108           0         900      x       6          900          -           -
CBRL GROUP INC COM         Common        12489V106       7,231     329,907      x       6      325,485        800       4,395
CCBT FINL COS INC          Common        12500Q102       1,784      71,300      x       6       68,800          -       2,500
C D I CORP                 Common        125071100       5,316     331,200      x       6      327,600          -       3,600
CIGNA CORP                 Common        125509109          21         250      x       6          250          -           -
CMS ENERGY CORP            Common        125896100           2         100      x       6          100          -           -
CPI CORP                   Common        125902106       1,299      90,400      x       6       90,400          -           -
CTB INTL CORP              Common        125960104       1,120     112,600      x       6      111,600          -       1,000
CSK AUTO CORP              Common        125965103       3,722     595,500      x       6      579,300          -      16,200
CNF TRANSN INC COM         Common        12612W104      13,243     579,965      x       6      563,760          -      16,660
CNOOC LTD                  Common        126132109         360      18,000      x       6       18,000          -           -
CPAC INC                   Common        126145101         622     103,600      x       6      100,400          -       3,200
CSX CORP                   Common        126408103       9,760     309,850      x       6      309,850          -           -
CTS CORP                   Common        126501105       3,425     231,900      x       6      220,100          -      11,800
CVS CORP                   Common        126650100          27         800      x       6          800          -           -
CABLE DESIGN TECHNOLOGIE   Common        126924109       2,033     171,600      x       6      171,600          -           -
CACHE INC                  Common        127150308          17       5,300      x       6        5,300          -           -
CADBURY SCHWEPPES P L      Common        127209302       5,845     236,965      x       6      206,798          -      31,120
CADMUS COMMUNICATIONS CO   Common        127587103       1,523     177,100      x       6      172,700          -       4,400
CAL MAINE FOODS INC        Common        128030202           4         900      x       6          900          -           -
CALIFORNIA FIRST NTNL BA   Common        130222102         627      55,700      x       6       50,200          -       5,500
CALLON PETE CO DEL         Common        13123X102       3,919     573,837      x       6      550,299      3,050      22,150
CAMCO FINL CORP            Common        132618109         801      65,100      x       6       65,100          -           -
CAMDEN NATL CORP           Common        133034108         330      19,900      x       6       19,900          -           -
CAMPBELL SOUP CO           Common        134429109           3         100      x       6          100          -           -
CANADIAN PAC LTD NEW       Common        135923100          39       1,200      x       6        1,200          -           -
CANDELA CORP               Common        136907102         977     193,400      x       6      187,800          -       5,600
CANON INC   (138006309)    Common        138006309          49       1,800      x       6        1,800          -           -
CANTEL MEDICAL CORP        Common        138098108          15         664      x       6          664          -           -
CAPITAL CORP OF THE WEST   Common        140065103         348      22,175      x       6       22,175          -           -
CAPITAL CROSSING BK        Common        140071101       1,495      83,500      x       6       81,800          -       1,700
CARAUSTAR INDS INC         Common        140909102         219      23,700      x       6       19,400          -       4,300
RESTRICTED CARECENTRIC     Common        14166Y106          16       9,300      x       6        8,687          -         613
CARNIVAL CRUISE LINE       Common        143658102      11,156     507,852      x       6      458,637          -      49,745
CASCADE CORP COM           Common        147195101       4,000     430,734      x       6      416,121      2,524      14,198
CATERPILLAR INC DEL        Common        149123101      12,088     269,830      x       6      269,330          -         500
CATO CORP NEW              Common        149205106       5,784     386,600      x       6      376,400          -      10,200
CENDANT CORP               Common        151313103       3,282     256,400      x       6      256,400          -           -
CENTENNIAL BANCORP         Common        15133T104         364      48,336      x       6       48,336          -           -
CENTEX CONSTRUCTION PROD   Common        15231R109      11,675     395,093      x       6      383,393          -      11,700
CENTRAL GARDEN & PET CO    Common        153527106       2,038     245,600      x       6      237,700          -       7,900
CENTURY ALUM CO COM        Common        156431108       1,367     164,465      x       6      155,417      1,590       8,600
CENTURYTEL INC             Common        156700106       4,610     137,610      x       6      137,610          -           -
CERES GROUP INC            Common        156772105         482     130,400      x       6      128,900          -       1,500
CERIDIAN CORP NEW          Common        156779100          49       3,410      x       6        3,410          -           -
CHANNELL COML CORP         Common        159186105         527     170,000      x       6      165,500          -       4,500
CHARLES RIVER ASSOCIATES   Common        159852102       1,615      95,300      x       6       92,300          -       3,000
CHARTER ONE FINL INC       Common        160903100       3,394     120,253      x       6      120,253          -           -
CHARMING SHOPPES INC       Common        161133103         189      38,500      x       6       38,500          -           -
CHASE INDS INC             Common        161568100       2,018     227,200      x       6      220,500          -       6,700
CHATTEM INC                Common        162456107         907      65,900      x       6       65,200          -         700
CHEROKEE INC DEL NEW       Common        16444H102       1,047     121,800      x       6      118,400          -       3,400
CHESAPEAKE ENERGY CORP     Common        165167107       5,399     955,600      x       6      923,500          -      32,100
CHEVRON CORP               Common        166751107      25,277     298,252      x       6      275,852          -      22,400
CHICAGO RIVET & MACH CO    Common        168088102         113       5,300      x       6        5,300          -           -
CHILDRENS COMPREHENSIVE    Common        16875K202         615     128,900      x       6      126,100          -       2,800
CHROMCRAFT REVINGTON INC   Common        171117104       1,418     171,900      x       6      168,100          -       3,800
CHUBB CORP                 Common        171232101         782      10,998      x       6        7,998          -       3,548
CINCINNATI FINL CORP       Common        172062101           8         200      x       6          200          -           -
CINERGY CORP               Common        172474108          28         900      x       6          900          -           -
CITIGROUP INC              Common        172967101      11,498     283,908      x       6      283,908          -           -
CITIZENS BKG CORP MICH     Common        174420109       4,446     138,600      x       6      138,600          -           -
CLARK / BARDES INC         Common        180668105          75       3,500      x       6        3,500          -           -
CLAYTON HOMES INC          Common        184190106       5,854     474,581      x       6      460,914      2,370      13,355
COACH INC                  Common        189754104       1,581      59,627      x       6       59,627          -           -
COACHMEN INDS INC          Common        189873102         150      16,700      x       6       11,900          -       4,800
COASTAL BANCORP INC        Common        19041P105       2,107      59,700      x       6       57,700          -       2,000
COBRA ELECTRS CORP         Common        191042100         630     114,500      x       6      111,600          -       2,900
-COLA CO                   Common        191216100           5         100      x       6            -          -         100
COFLEXIP SPONSORED AD      Common        192384105         617       7,210      x       6          315          -       7,105
COGNITRONICS CORP          Common        192432102         366      84,100      x       6       84,100          -           -
COHU INC                   Common        192576106       3,586     239,700      x       6      233,500          -       6,200
COLE KENNETH PRODTNS INC   Common        193294105       2,211     174,800      x       6      170,100          -       4,700
COLLINS INDS INC           Common        194858106         219      65,700      x       6       63,700          -       2,000
COLONIAL BANCGROUP INC     Common        195493309       2,615     204,300      x       6      204,000          -         300
COLONIAL PROPERTIES T      Common        195872106       5,722     194,140      x       6      184,653        790       9,360
COLUMBIA BANCORP           Common        197227101         313      21,700      x       6       21,700          -           -
COLUMBUS MCKINNON CORP N   Common        199333105       3,034     291,700      x       6      282,800          -       8,900
COMFORT SYS USA INC        Common        199908104         789     261,200      x       6      248,800          -      12,400
COMMERCE GROUP INC MASS    Common        200641108      25,622     674,253      x       6      659,853          -      14,400
COMMERCIAL FEDERAL CO      Common        201647104       9,933     410,401      x       6      401,484      1,350       8,265
COMMERCIAL METALS CO       Common        201723103       8,592     309,054      x       6      301,354          -       7,700
COMMERZBANK A G ADR S      Common        202597308       2,293     162,220      x       6      144,175          -      18,715
COMMONWEALTH BANCORP INC   Common        20268X102         322      15,600      x       6       15,600          -           -
COMMONWEALTH INDS INC DE   Common        203004106         161      37,900      x       6       33,000          -       4,900
COMMUNITY BK SYS INC       Common        203607106       3,770     137,100      x       6      134,100          -       3,000
COMMUNITY FIRST BANKSHAR   Common        203902101         110       4,600      x       6        4,600          -           -
COMMUNITY TR BANCORP INC   Common        204149108       1,252      52,400      x       6       52,000          -         400
COMPUCOM SYS INC           Common        204780100       1,610     619,100      x       6      597,400          -      21,700
COMPUTER ASSOC INTL INC    Common        204912109      16,566     643,588      x       6      601,147          -      42,441
COMPX INTERNATIONAL INC    Common        20563P101       1,341     128,300      x       6      125,900          -       2,400
COMSTOCK RES INC           Common        205768203       2,948     496,300      x       6      481,300          -      15,000
CONAGRA FOODS INC          Common        205887102       3,437     153,111      x       6      153,111          -           -
CONOCO INC  CL A           Common        208251306          20         770      x       6          770          -           -
CONOCO INC CL B            Common        208251405      23,159     914,841      x       6      882,686          -      33,000
CONSECO INC                Common        208464107       6,688     921,200      x       6      831,500          -      89,700
CONSOLIDATED EDISON INC    Common        209115104          12         300      x       6          300          -           -
CONSOLIDATED GRAPHICS IN   Common        209341106       4,588     268,600      x       6      260,400          -       8,200
CONSTELLATION ENERGY       Common        210371100       2,313      95,225      x       6       80,655          -      14,870
CONTINENTAL AIRLS INC      Common        210795308          24       1,600      x       6        1,600          -           -
COOPER INDS INC COM        Common        216669101      18,010     436,083      x       6      413,163          -      23,455
COOPER TIRE & RUBR CO      Common        216831107      24,658   1,731,600      x       6    1,701,000          -      30,600
CORNELL COMPANIES INC      Common        219141108         612      34,500      x       6       34,300          -         200
CORNING INC                Common        219350105      22,869   2,598,001      x       6    2,464,841          -     133,760
CORRECTIONAL SVCS CORP     Common        219921103         448     205,300      x       6      200,600          -       4,700
CORUS BANKSHARES INC       Common        220873103      13,462     299,326      x       6      287,946        940      11,035
COTTON STS LIFE INS CO     Common        221774102         461      51,237      x       6       48,637          -       2,600
COUNTRYWIDE CREDIT IN      Common        222372104      17,641     401,465      x       6      364,645          -      37,285
COURIER CORP               Common        222660102         951      43,925      x       6       42,800          -       1,125
COVANTA ENERGY CORPOR      Common        22281N103       8,528     732,441      x       6      719,752      2,070      11,832
COVENANT TRANS INC         Common        22284P105          86       9,100      x       6        9,100          -           -
CRAFTMADE INTL INC         Common        22413E104          98       7,500      x       6        7,500          -           -
CREDIT ACCEP CORP MICH     Common        225310101         172      19,700      x       6       19,700          -           -
CROMPTON CORP              Common        227116100         109      15,800      x       6       15,800          -           -
CROSSMANN CMNTYS INC       Common        22764E109       3,680     140,100      x       6      136,200          -       3,900
CROWN CORK & SEAL INC      Common        228255105         261     115,800      x       6       95,800          -      20,900
CUMMINS INC                Common        231021106          17         500      x       6          500          -           -
CURATIVE HEALTH SVCS INC   Common        231264102         106      11,700      x       6       11,700          -           -
CUTTER & BUCK INC          Common        232217109         710     192,300      x       6      186,100          -       6,200
CYBEX INTL INC             Common        23252E106           4       2,500      x       6        2,500          -           -
CYMER INC COM              Common        232572107       2,938     177,280      x       6      169,540      1,070       7,445
CYTEC INDS INC             Common        232820100       8,602     371,941      x       6      349,491        790      22,651
D & K HEALTHCARE RES INC   Common        232861104         527      11,000      x       6       11,000          -           -
D R HORTON INC             Common        23331A109       4,167     199,749      x       6      199,749          -           -
DTE ENERGY CO              Common        233331107      16,551     384,450      x       6      384,450          -           -
DVI INC                    Common        233343102       3,638     214,100      x       6      207,100          -       7,000
DAISYTEK INTL CORP         Common        234053106         497      43,800      x       6       41,600          -       2,200
DAL-TILE INTL INC          Common        23426R108      10,028     651,600      x       6      628,900          -      22,700
DAN RIV INC GA             Common        235774106          22      20,800      x       6       20,800          -           -
DANA CORP                  Common        235811106           3         200      x       6          200          -           -
DAVE & BUSTERS INC         Common        23833N104       1,596     269,600      x       6      262,100          -       7,500
DEB SHOPS INC              Common        242728103       4,844     236,770      x       6      223,240      1,470      12,990
DECKERS OUTDOOR CORP       Common        243537107         493     123,600      x       6      120,900          -       2,700
DECORATOR INDS INC         Common        243631207          38      12,500      x       6       12,500          -           -
DEERE & CO.                Common        244199105       1,461      38,950      x       6       31,950          -       7,200
DELL COMPUTER CORP         Common        247025109       2,305     124,415      x       6      124,415          -           -
DELPHI AUTOMOTIVE SYS CO   Common        247126105           6         489      x       6          489          -           -
DELPHI FINL GROUP INC      Common        247131105      14,001     414,216      x       6      405,535          -       8,681
DELTA AIR LINES INC DEL    Common        247361108       3,164     120,150      x       6      107,450          -      12,700
DELTEK SYS INC             Common        24785A108       1,375     325,100      x       6      316,100          -       9,000
DELUXE CORP                Common        248019101      21,871     633,200      x       6      633,200          -           -
DEPARTMENT 56 INC          Common        249509100       1,934     304,499      x       6      296,499          -       8,000
DESERT CMNTY BK VICTORVI   Common        25037Y109          26         900      x       6          900          -           -
DEVON ENERGY CORP NEW      Common        25179M103       8,781     255,262      x       6      255,262          -           -
DEWOLFE COS INC            Common        252115100         238      26,700      x       6       25,300          -       1,400
DIAGEO PLC ADR SPONSO      Common        25243Q205       3,156      76,260      x       6       74,955          -       1,870
DIME CMNTY BANCSHARES      Common        253922108       1,498      59,150      x       6       57,000          -       2,150
DIMON INC                  Common        254394109         401      69,800      x       6       69,800          -           -
DIODES INC                 Common        254543101         816     175,500      x       6      171,600          -       3,900
DISCOUNT AUTO PTS INC      Common        254642101       4,433     321,200      x       6      311,300          -       9,900
THE WALT DISNEY CO         Common        254687106      13,124     708,980      x       6      636,600          -      73,280
DOLLAR THRIFTY AUTOMOTIV   Common        256743105       5,869     589,882      x       6      575,782          -      14,100
DOMINION HOMES INC         Common        257386102         621      69,000      x       6       66,200          -       2,800
DOMINION RES INC VA NEW    Common        25746U109          19         321      x       6          321          -           -
DONEGAL GROUP CL A         Common        257701201       1,149      94,444      x       6       91,956          -       2,488
DONEGAL GROUP CL B         Common        257701300         537      48,771      x       6       47,527          -       1,244
DONNA KARAN INTL INC       Common        257826107         119      11,800      x       6       11,800          -           -
DONNELLEY R R & SONS CO    Common        257867101       4,747     175,485      x       6      175,485          -           -
DONNELLY CORP              Common        257870105       1,215      86,200      x       6       85,600          -         600
DOVER CORP                 Common        260003108           2          50      x       6           50          -           -
DOW CHEMICAL CORP          Common        260543103       3,415     104,538      x       6       92,578          -      12,360
DRESS BARN INC             Common        261570105       1,637      73,400      x       6       73,400          -           -
DU PONT EI DE NEMOURS & CO Common        263534109      16,556     441,250      x       6      441,250          -           -
DUCKWALL-ALCO STORES INC   Common        264142100         657      90,000      x       6       87,900          -       2,100
DUCOMMUN INC DEL           Common        264147109       1,521     172,800      x       6      168,800          -       4,000
DUKE ENERGY CORP           Common        264399106          30         800      x       6          800          -           -
DURA AUTOMOTIVE SYSTEMS    Common        265903104       2,308     320,526      x       6      312,026          -       8,500
DYCOM INDS INC             Common        267475101       8,593     740,800      x       6      721,500          -      19,300
DYNEGY INC NEW             Common        26816Q101         104       3,000      x       6        3,000          -           -
ECI TELECOM (268258100)    Common        268258100          39      15,730      x       6       15,730          -           -
ELXSI CORP                 Common        268613205         180      30,000      x       6       27,600          -       2,400
E M C CORP MASS            Common        268648102          28       2,398      x       6        2,398          -           -
ENI S P A SPONSORED A      Common        26874R108       6,216     103,531      x       6       99,891          -       3,665
ESS TECHNOLOGY INC         Common        269151106         592      57,900      x       6       57,900          -           -
EAGLE BANCSHARES INC       Common        26942C109          91       6,900      x       6        6,900          -           -
EASTERN CO                 Common        276317104         841      67,300      x       6       65,650          -       1,650
EASTGROUP PPTYS INC C      Common        277276101       3,001     137,692      x       6      129,567      1,400       7,730
EASTMAN KODAK CO           Common        277461109      17,394     534,700      x       6      525,000          -       9,700
EATON CORP                 Common        278058102           3          50      x       6           50          -           -
EDELBROCK CORP             Common        279434104         334      38,800      x       6       37,700          -       1,100
EDISON INTL                Common        281020107           5         400      x       6          400          -           -
EDWARDS LIFESCIENCES       Common        28176E108       3,865     168,215      x       6      159,540      1,780       8,740
EIDOS PLC SPONSORED A      Common        282485101       1,278     600,054      x       6      562,206          -      38,515
EL PASO CORP               Common        28336L109       4,662     112,200      x       6      112,200          -           -
EL PASO ELEC CO COM N      Common        283677854       6,375     485,998      x       6      471,316      1,450      14,170
ELECTRO RENT CORP          Common        285218103           8         600      x       6          600          -           -
ELECTROGLAS INC            Common        285324109       3,037     243,900      x       6      243,900          -           -
ELECTRONICS FOR IMAGI      Common        286082102      11,373     701,995      x       6      667,610        700      34,070
ELIZABETH ARDEN INC        Common        28660G106         112       8,800      x       6        8,800          -           -
ELLIS PERRY INTL INC       Common        288853104       1,016     141,241      x       6      137,241          -       4,000
EMCOR GROUP INC            Common        29084Q100         364      11,400      x       6       11,400          -           -
EMERSON ELEC CO            Common        291011104      16,238     345,050      x       6      345,050          -           -
ENCOMPASS SVCS CORP        Common        29255U104       5,803   1,535,294      x       6    1,497,694          -      37,600
ENDESA SA ADR SPONSOR      Common        29258N107       2,587     169,050      x       6      164,895          -       4,655
ENERGEN CORP               Common        29265N108       1,448      64,340      x       6       64,340          -           -
ENERGYSOUTH INC            Common        292970100         420      19,300      x       6       19,300          -           -
ENESCO GROUP INC           Common        292973104         463     111,500      x       6      109,600          -       1,900
ENNIS BUSINESS FORMS INC   Common        293389102       3,142     367,100      x       6      358,400          -       8,700
ENTERASYS NETWORKS INC     Common        293637104       7,825   1,213,230      x       6    1,134,630          -      78,600
ENTERGY CORP NEW           Common        29364G103          11         300      x       6          300          -           -
EPLUS INC                  Common        294268107         333      46,600      x       6       46,600          -           -
EQUITABLE RES INC          Common        294549100      10,191     339,600      x       6      339,600          -           -
EQUITY MARKETING INC       Common        294724109       1,388     109,300      x       6      105,600          -       3,700
EQUITY OIL CO              Common        294749106         230     102,100      x       6       99,200          -       2,900
ESCALADE INC               Common        296056104         160       6,400      x       6        6,400          -           -
ESTERLINE TECHNOLOGIES C   Common        297425100       2,582     162,900      x       6      155,900          -       7,000
ETABLISSEMENTS DELHAIZE    Common        29759W101           4          80      x       6           80          -           -
ETHYL CORP                 Common        297659104         715     821,700      x       6      811,700          -      10,000
EXELON CORP                Common        30161N101       5,700     127,988      x       6      120,858          -       7,867
EXPONENT INC               Common        30214U102       1,456     133,600      x       6      129,800          -       3,800
EXXON CORPORATION          Common        30231G102       1,514      38,557      x       6       38,557          -           -
FBL FINL GROUP INC         Common        30239F106       1,482      88,637      x       6       86,337          -       2,300
FPIC INS GROUP INC         Common        302563101         514      43,600      x       6       43,600          -           -
FPL GROUP INC              Common        302571104          11         200      x       6          200          -           -
FAIRCHILD SEMICONDUCTOR    Common        303726103       4,417     275,200      x       6      275,200          -           -
FALCON PRODS INC           Common        306075102         397      81,100      x       6       81,100          -           -
FANSTEEL INC DEL           Common        307260109         421     150,200      x       6      146,600          -       3,600
FEATHERLITE INC            Common        313054108          46      41,100      x       6       41,100          -           -
FEDDERS CORP               Common        313135105       1,037     265,900      x       6      254,500          -      11,400
FREDDIE MAC                Common        313400301           4          57      x       6           57
FEDERAL NATL MTG ASSN      Common        313586109      19,551     244,200      x       6      244,200          -           -
FEDERAL SIGNAL CORP        Common        313855108       2,122     118,334      x       6      111,419      1,060       7,020
FEDERATED DEPARTMENT       Common        31410H101      30,745   1,088,381      x       6    1,046,061          -      42,745
FEDEX CORP                 Common        31428X106       4,000     110,090      x       6       99,885          -      10,960
FIBERMARK INC              Common        315646109         852     139,750      x       6      136,200          -       3,550
FIDELITY BANCORP INC DEL   Common        31583B105         120       5,200      x       6        5,200          -           -
FIDELITY NATL FINL INC     Common        316326107       7,407     275,440      x       6      275,440          -           -
FINANCIAL INDS CORP        Common        317574101          74       5,700      x       6        5,700          -           -
FINLAY ENTERPRISES INC     Common        317884203       1,649     229,000      x       6      223,000          -       6,000
FINISH LINE INC            Common        317923100         123      11,300      x       6       11,300          -           -
FIRST AMERN FINL CORP      Common        318522307       2,345     116,135      x       6      109,610      1,100       6,720
FIRST BELL BANCORP INC     Common        319301107       1,407      96,400      x       6       94,400          -       2,000
FIRST CASH FINL SVCS INC   Common        31942D107       1,185     153,900      x       6      150,300          -       3,600
FIRST CHARTER CORP         Common        319439105         168      10,300      x       6       10,300          -           -
FIRST CTZNS BANCSHARES I   Common        31946M103       7,327      88,080      x       6       82,780          -       5,300
FIRST FED CAP CORP         Common        319960100         583      39,100      x       6       35,600          -       3,500
FIRST DEFIANCE FINL CORP   Common        32006W106       1,379     101,400      x       6       97,300          -       4,100
FIRST ESSEX BANCORP INC    Common        320103104       1,575      60,000      x       6       56,800          -       3,200
FIRST FED BANCSHARES ARK   Common        32020F105          65       3,200      x       6        3,200          -           -
FIRST FED BANKSHARES INC   Common        32020V100          94       8,600      x       6        8,600          -           -
FIRST FINL CORP IND        Common        320218100          24         600      x       6          600          -           -
T INDL REALTY TRUST INC    Common        32054K103          14         500      x       6            -          -         500
ESCROW FIRST INT'L BANC    Common        32054Q894           3       3,600      x       6        3,600          -           -
FIRST MERCHANTS ACCEP CO   Common        320816101           0       2,300      x       6          700          -       1,600
FIRST NATL CORP ORANGEBU   Common        320942105         110       5,800      x       6        5,800          -           -
FIRST MUTUAL BANCSHARES    Common        32190E102         596      42,900      x       6       42,900          -           -
FIRST OAK BROOK BANCSHAR   Common        335847208         508      24,700      x       6       23,500          -       1,200
FIRST REP BK SAN FRANCIS   Common        336158100         744      32,400      x       6       32,400          -           -
1ST SOURCE CORP            Common        336901103       1,553      72,230      x       6       71,285          -         945
FIRST TENN NATL CORP       Common        337162101           4         100      x       6          100          -           -
FIRST UTD CORP             Common        33741H107         238      14,400      x       6       14,400          -           -
FIRST VA BANKS INC         Common        337477103          39         850      x       6          850          -           -
FIRST YRS INC              Common        337610109         886      85,600      x       6       83,500          -       2,100
FIRSTFED FINL CORP         Common        337907109         273      10,500      x       6       10,500          -           -
FIRSTFED AMER BANCORP IN   Common        337929103         358      20,600      x       6       20,600          -           -
FLAGSTAR BANCORP INC       Common        337930101       7,017     303,750      x       6      297,000          -       6,750
FIRSTENERGY CORP           Common        337932107          11         300      x       6          300          -           -
FLEETBOSTON FINANCIAL      Common        339030108      43,251   1,177,030      x       6    1,133,171          -      44,453
FLEXSTEEL INDS INC         Common        339382103       1,202     111,300      x       6      108,900          -       2,400
FLOUR CITY INTERNATIONAL   Common        343858205           2       5,100      x       6        5,100          -           -
FOAMEX INTL INC            Common        344123104       2,140     348,000      x       6      337,600          -      10,400
FOOTHILL INDPT BANCORP     Common        344905104          85       6,800      x       6        6,800          -           -
FORD MTR CO DEL            Common        345370860       8,895     512,705      x       6      512,705          -           -
FOREST OIL CORP            Common        346091705       8,077     325,700      x       6      325,700          -           -
FORTUNE BRANDS INC CO      Common        349631101      12,807     382,245      x       6      369,325          -      13,030
FOSTER L B CO              Common        350060109          48      11,800      x       6       11,800          -           -
FRANCE TELECOM SA SPONS    Common        35177Q105           2          75      x       6           75          -           -
FRANKLIN BK NA SOUTHFIEL   Common        352456107         124       8,700      x       6        8,700          -           -
FRANKLIN RES INC           Common        354613101          10         300      x       6          300          -           -
FRESH CHOICE INC           Common        358032100          17       7,900      x       6        7,900          -           -
FRESH BRANDS INC           Common        35803U108         212      13,900      x       6       13,900          -           -
FRIEDMAN INDS INC          Common        358435105         244     101,637      x       6       98,959          -       2,678
FRIEDMANS INC              Common        358438109       2,090     296,100      x       6      288,400          -       7,700
FRISCHS RESTAURANTS INC    Common        358748101         929      67,100      x       6       65,600          -       1,500
FRONTIER AIRLINES INC NE   Common        359065109       4,983     601,800      x       6      585,300          -      16,500
FULLER H B CO COM          Common        359694106       9,050     199,291      x       6      190,436        760       9,140
FURNITURE BRANDS INTL IN   Common        360921100       9,900     508,200      x       6      491,900          -      16,300
GA FINL INC                Common        361437106         201      12,900      x       6       12,900          -           -
GBC BANCORP CALIF          Common        361475106       6,347     203,300      x       6      196,500          -       6,800
GPU INC                    Common        36225X100           6         150      x       6          150          -           -
GTSI CORP                  Common        36238K103         722     101,700      x       6      100,700          -       1,000
GADZOOKS INC               Common        362553109         605      44,000      x       6       44,000          -           -
GALILEO INTERNATIONAL IN   Common        363547100       1,457      70,200      x       6       70,200          -           -
GALLAHER GROUP PLC         Common        363595109      20,292     760,000      x       6      760,000          -           -
GAMETECH INTERNATIONAL I   Common        36466D102         568     206,700      x       6      200,000          -       6,700
GANNETT INC                Common        364730101           6         100      x       6          100          -           -
GARAN INC                  Common        364802108       2,241      64,300      x       6       62,100          -       2,200
GARDEN FRESH RESTAURANT    Common        365235100         760     111,900      x       6      108,600          -       3,300
GART SPORTS CO             Common        366630101         713      58,900      x       6       56,400          -       2,500
GATEWAY INC                Common        367626108         130      23,800      x       6       23,800          -           -
GEHL CO                    Common        368483103         709      52,700      x       6       50,600          -       2,100
GENCORP INC                Common        368682100      10,065     887,600      x       6      870,300          -      17,300
GENERAL CABLE CORP DEL N   Common        369300108       6,967     707,300      x       6      690,800          -      16,500
GENERAL DYNAMICS CORP      Common        369550108       1,012      11,460      x       6       11,460          -           -
GENERAL MTRS CORP          Common        370442105       2,954      68,863      x       6       68,863          -           -
GENERAL SEMICONDUCTOR IN   Common        370787103       6,705     698,400      x       6      676,000          -      22,400
GENESEE & WYO INC          Common        371559105       2,772     123,200      x       6      119,750          -       3,450
GENLYTE GROUP INC          Common        372302109         795      27,400      x       6       25,000          -       2,400
GENTEK INC                 Common        37245X104       1,388     427,100      x       6      415,000          -      12,100
GENUINE PARTS CO           Common        372460105       1,211      38,025      x       6       38,025          -           -
GEORGIA GULF CORP          Common        373200203       1,835     114,200      x       6      110,200          -       4,000
GEORGIA PAC CORP           Common        373298108         284       9,852      x       6        9,852          -           -
GERBER CHILDRENSWEAR INC   Common        373701101       1,436     239,300      x       6      232,100          -       7,200
GIANT INDS INC             Common        374508109       1,247     151,100      x       6      145,900          -       5,200
GIBRALTAR STL CORP         Common        37476F103       1,324      87,700      x       6       84,800          -       2,900
GLACIER BANCORP INC N      Common        37637Q105       2,201     117,895      x       6      110,985      1,160       6,390
GLATFELTER P H CO          Common        377316104          70       4,600      x       6        4,600          -           -
GLAXOSMITHKLINE PLC        Common        37733W105          84       1,500      x       6        1,500          -           -
GLOBAL IMAGING SYSTEMS     Common        37934A100       3,968     229,900      x       6      220,900          -       9,000
GLOBAL MARINE INC          Common        379352404         726      52,360      x       6       39,650          -      13,220
GOLDEN WEST FINL CORP DE   Common        381317106           9         150      x       6          150          -           -
GOLDMAN SACHS GROUP I      Common        38141G104      22,212     310,055      x       6      287,975          -      22,760
GOODMAN FIELDER LTD S      Common        382382208       4,774   1,818,059      x       6    1,589,487          -     228,760
GOODYEAR TIRE & RUBR CO    Common        382550101           4         200      x       6          200          -           -
GORMAN RUPP CO             Common        383082104         202      10,400      x       6        8,500          -       1,900
GOTTSCHALKS INC            Common        383485109         671     279,600      x       6      272,100          -       7,500
GRACO INC                  Common        384109104         418      13,850      x       6       13,850          -           -
GRAINGER W W INC           Common        384802104           4         100      x       6          100          -           -
GRANITE ST BANKSHARES IN   Common        387472103         212       9,600      x       6        9,600          -           -
GREAT AMERN FINL RES INC   Common        389915109          42       2,300      x       6        2,300          -           -
GREENBRIER COS INC         Common        393657101       3,528     436,570      x       6      416,490      1,210      20,305
GREIF BROS CORP            Common        397624107         298      13,000      x       6       11,000          -       2,000
GRIFFON CORP               Common        398433102       8,489     695,814      x       6      679,644          -      16,170
GROSSMANS INC              Common        399215102           0         200      x       6          200
GROUP 1 SOFTWARE INC NEW   Common        39943Y103       1,557     156,200      x       6      152,000          -       4,200
GRUBB & ELLIS CO           Common        400095204         516     154,167      x       6      150,267          -       3,900
HMN FINL INC               Common        40424G108         237      15,700      x       6       14,200          -       1,500
HSBC HOLDINGS PLC          Common        404280406       5,564     104,157      x       6       96,086          -       8,720
HAGGAR CORP                Common        405173105       1,461     129,300      x       6      125,400          -       3,900
HALL KINION ASSOCIATES I   Common        406069104         385      79,300      x       6       79,300          -           -
HAMILTON BANCORP INC FLA   Common        407013101          36      12,900      x       6       12,900          -           -
HAMPSHIRE GROUP LTD        Common        408859106         108      13,100      x       6       12,100          -       1,000
HANCOCK FABRICS INC        Common        409900107       1,508     183,900      x       6      176,500          -       7,400
HANCOCK JOHN FINL SVCS I   Common        41014S106       8,513     213,100      x       6      213,100          -           -
HANDLEMAN CO DEL           Common        410252100       9,247     660,500      x       6      644,500          -      16,000
HARLAND JOHN H CO          Common        412693103       7,135     325,800      x       6      317,800          -       8,000
HARMAN INTL INDS INC       Common        413086109         298       8,900      x       6        8,900          -           -
HARSCO CORP                Common        415864107       2,873     103,510      x       6      103,510          -           -
HARTFORD FINL SVCS GR      Common        416515104      13,505     230,562      x       6      200,967          -      30,090
HARTMARX CORP              Common        417119104         385     180,100      x       6      171,000          -       9,100
HASBRO INC                 Common        418056107       5,025     358,925      x       6      358,925          -           -
HAVERTY FURNITURE INC      Common        419596101       3,088     313,500      x       6      305,900          -       7,600
HAWK CORP                  Common        420089104          21       5,300      x       6        5,300          -           -
HAWKINS INC                Common        420261109         242      31,300      x       6       31,300          -           -
HAWTHORNE FINL CORP        Common        420542102         852      44,400      x       6       44,400          -           -
HEALTHCARE SVCS GRP INC    Common        421906108         511      63,146      x       6       63,146          -           -
HEALTHSOUTH CORP           Common        421924101       1,516      93,220      x       6       93,220          -           -
HEALTH MGMT SYS INC        Common        42219M100          55      32,900      x       6       32,900          -           -
HEALTHCARE RECOVERIES IN   Common        42220K101         904     224,200      x       6      218,500          -       5,700
HEINZ H J CO               Common        423074103           6         150      x       6          150          -           -
HELLER FINANCIAL INC       Common        423328103          53       1,000      x       6        1,000          -           -
HELMERICH & PAYNE INC      Common        423452101       3,497     134,000      x       6      134,000          -           -
HERBALIFE INTL INC         Common        426908208       3,847     380,926      x       6      366,826          -      14,100
HERBALIFE INTL INC         Common        426908307         336      35,230      x       6       31,430          -       3,800
HERCULES INC               Common        427056106      10,356   1,255,300      x       6    1,255,300          -           -
HERLEY INDS INC DEL        Common        427398102       1,744     119,800      x       6      115,450          -       4,350
HEWLETT PACKARD CO         Common        428236103       6,142     382,700      x       6      382,700          -           -
HI-TECH PHARMACAL INC      Common        42840B101         177      21,200      x       6       19,900          -       1,300
HINES HORTICULTURE INC     Common        433245107           1         300      x       6          300          -           -
HOLLY CORP                 Common        435758305       4,757     263,100      x       6      256,700          -       6,400
HOME FED BANCORP           Common        436926109          44       2,600      x       6        2,600          -           -
HOME DEPOT INC             Common        437076102           2          48      x       6           48
HONDA MTR LTD              Common        438128308       5,048      76,282      x       6       67,854          -       9,195
HONEYWELL INTL INC         Common        438516106         227       8,600      x       6        8,600          -           -
HORIZON FINL CORP WASH     Common        44041F105         278      22,655      x       6       20,470          -       2,185
HORIZON HEALTH CORP        Common        44041Y104       1,288      97,500      x       6       94,900          -       2,600
HORIZON OFFSHORE INC       Common        44043J105         734     120,300      x       6      117,400          -       2,900
HOVNANIAN ENTERPRISES IN   Common        442487203       5,455     473,144      x       6      458,538          -      14,606
HUFFY CORP                 Common        444356109       1,298     207,600      x       6      201,600          -       6,000
HUGHES SUPPLY INC          Common        444482103      12,045     540,150      x       6      527,250          -      12,900
HUMANA INC COM             Common        444859102      15,190   1,260,485      x       6    1,158,290          -     102,995
HUNTER DOUGLAS N V AD      Common        445681208       3,517     664,700      x       6      622,905          -      41,855
HUNTINGTON BANCSHARES IN   Common        446150104           5         302      x       6          302          -           -
HURCO COMPANIES INC        Common        447324104         104      43,600      x       6       43,600          -           -
HUTCHINSON TECHNOLOGY      Common        448407106       2,147     119,461      x       6      111,461      1,140       7,770
ICN PHARMACEUTICALS INC    Common        448924100       9,319     353,650      x       6      323,750          -      29,900
IBP INC                    Common        449223106         921      38,941      x       6       38,941          -           -
I C H CORP NEW             Common        44926L300          23       5,600      x       6        5,600          -           -
IHOP CORP                  Common        449623107         498      19,000      x       6       19,000          -           -
IMC GLOBAL INC             Common        449669100       8,289     923,943      x       6      902,578      2,910      20,020
IMCO RECYCLING INC         Common        449681105          17       2,200      x       6        2,200          -           -
ITLA CAP CORP              Common        450565106       2,620     129,400      x       6      125,600          -       3,800
IBERIABANK CORP            Common        450828108       2,531      88,500      x       6       86,300          -       2,200
ITT INDS INC IND           Common        450911102           4         100      x       6          100          -           -
IDACORP INC                Common        451107106       5,437     152,050      x       6      152,050          -           -
IKON OFFICE SOLUTIONS IN   Common        451713101          11       1,400      x       6        1,400          -           -
IKOS SYS INC               Common        451716203          70      21,900      x       6       21,900          -           -
ILLINOIS TOOL WKS INC      Common        452308109           3          50      x       6           50          -           -
IMPERIAL CHEM INDS PLC     Common        452704505      16,191     944,100      x       6      944,100          -           -
INDEPENDENCE HLDG CO NEW   Common        453440307         261      17,385      x       6       15,460          -       1,925
INDEPENDENT BANK CORP MA   Common        453836108         204      12,500      x       6       10,300          -       2,200
INDEPENDENT BANK CORP MI   Common        453838104         285      10,935      x       6       10,935          -           -
INDIANA UTD BANCORP        Common        455149104          40       2,500      x       6        2,500          -           -
INDUSTRIE NATUZZI S P      Common        456478106       4,938     451,470      x       6      373,165          -       4,155
INFOUSA INC NEW COM        Common        456818301       1,655     411,690      x       6      386,560      4,210      23,890
ING GROEP N V ADR SPO      Common        456837103       4,982     191,006      x       6      175,916          -      15,315
INGERSOLL-RAND CO          Common        456866102           7         200      x       6          200          -           -
INNODATA CORP              Common        457642205          88      43,900      x       6       43,900          -           -
INSTINET GROUP INC         Common        457750107           9         900      x       6          900          -           -
INSURANCE AUTO AUCTIO      Common        457875102       3,059     225,752      x       6      213,027      1,730      12,005
INTEGRAMED AMER INC        Common        45810N302          74      22,400      x       6       21,200          -       1,200
INTEGRATED ELECTRICAL SV   Common        45811E103       3,525     652,800      x       6      636,800          -      16,000
INTEL CORP                 Common        458140100          29       1,399      x       6        1,399          -           -
INTERCHANGE FINL SVCS S    Common        458447109          40       2,200      x       6        2,200          -           -
INTERFACE INC              Common        458665106         856     199,000      x       6      199,000          -           -
INTERLOTT TECHNOLOGIES I   Common        458764107         374      83,100      x       6       81,100          -       2,000
INTERMET CORP              Common        45881K104       1,117     398,800      x       6      390,300          -       8,500
INTERNATIONAL AIRCRAFT I   Common        458860103          81      23,200      x       6       21,600          -       1,600
INTERNATIONAL BANCSHARES   Common        459044103         289       7,500      x       6        7,500          -           -
INTL BUSINESS MACHINES CORPCommon        459200101      20,062     218,730      x       6      218,730          -           -
INTERNATIONAL PAPER CO     Common        460146103       4,201     120,579      x       6      120,579          -           -
INTL REMOTE IMAG SYS INC   Common        460259500          14       5,900      x       6        5,900          -           -
INTL SPECIALTY PRODS INC   Common        460337108       5,237     593,100      x       6      569,000          -      24,100
INTERPOOL INC              Common        46062R108       8,142     557,679      x       6      544,929          -      12,750
INTERPUBLIC GROUP COS IN   Common        460690100          43       2,100      x       6        2,100          -           -
INTERSTATE BAKERIES CORP   Common        46072H108         979      38,400      x       6       38,400          -           -
INTERSTATE NATL DEALER S   Common        46102P104         152      32,400      x       6       32,400          -           -
INTEST CORP                Common        461147100         469     151,300      x       6      147,000          -       4,300
INTIMATE BRANDS INC        Common        461156101           1         100      x       6          100          -           -
INVIVO CORP                Common        461858102         268      23,400      x       6       23,400          -           -
IOMEGA CORP                Common        462030107       4,364   3,577,200      x       6    3,504,600          -      72,600
ISLE OF CAPRI CASINOS IN   Common        464592104       4,556     641,800      x       6      624,000          -      17,800
IT GROUP INC               Common        465266104       2,050     466,000      x       6      453,000          -      13,000
ITOCHU CORP ADR            Common        465717106       1,479      56,621      x       6       55,829          -       1,340
I2 TECHNOLOGIES INC        Common        465754109       1,165     338,650      x       6      319,550          -      19,100
IVEX PACKAGING CORP DEL    Common        465855104         332      19,500      x       6       19,500          -           -
JDS UNIPHASE CORP          Common        46612J101           0          21      x       6           21
JLG INDS INC               Common        466210101       9,874   1,077,900      x       6    1,052,000          -      25,900
JPS INDUSTRIES INC         Common        46624E405          10       1,900      x       6        1,900          -           -
J.P. MORGAN CHASE & C      Common        46625H100      45,402   1,329,932      x       6    1,265,708          -      64,969
JACKSONVILLE BANCORP INC   Common        469248108         572      30,100      x       6       29,000          -       1,100
JACO ELECTRS INC           Common        469783104         330      83,000      x       6       80,600          -       2,400
JAKKS PAC INC              Common        47012E106       4,755     352,200      x       6      342,600          -       9,600
JEFFERIES GROUP INC NEW    Common        472319102         238       7,200      x       6        7,200          -           -
JEFFERSON PILOT CORP       Common        475070108           7         150      x       6          150          -           -
JEFFERSON SMURFIT GRO      Common        47508W107       3,574     199,725      x       6      190,075          -       9,805
JO-ANN STORES INC          Common        47758P109         684     126,600      x       6      120,100          -       6,500
JOHNSON & JOHNSON          Common        478160104      10,232     184,700      x       6      184,700          -           -
JOHNSON CTLS INC           Common        478366107           7         100      x       6          100          -           -
JOHNSON OUTDOORS INC       Common        479167108         905     139,800      x       6      135,800          -       4,000
JOS A BANK CLOTHIERS INC   Common        480838101         566     119,200      x       6      116,600          -       2,600
JOURNAL REGISTER CO C      Common        481138105       3,306     209,384      x       6      196,711      2,030      12,265
K MART CORP                Common        482584109           4         600      x       6          600          -           -
KPMG CONSULTING INC        Common        48265R109      10,446     966,360      x       6      933,760          -      32,600
K TRON INTL INC            Common        482730108         396      37,200      x       6       36,200          -       1,000
K2 INC                     Common        482732104       2,249     376,100      x       6      368,100          -       8,000
KADANT INC                 Common        48282T104           5         359      x       6          359          -           -
KAMAN CORP                 Common        483548103       6,296     475,500      x       6      462,700          -      12,800
KANSAS CITY LIFE INS CO    Common        484836101         108       3,078      x       6        3,078          -           -
KANSAS CITY PWR & LT CO    Common        485134100       2,053      78,700      x       6       78,700          -           -
KEANE INC                  Common        486665102      11,723     859,025      x       6      839,135          -      20,055
KB HOME                    Common        48666K109      17,978     632,800      x       6      620,300          -      12,500
KELLSTROM INDS INC         Common        488035106          52     129,600      x       6      129,600          -           -
KELLWOOD CO                Common        488044108      10,522     568,781      x       6      555,281          -      13,500
KELLY SVCS INC             Common        488152208       1,305      64,600      x       6       63,700          -         900
KEMET CORP                 Common        488360108       5,244     318,600      x       6      318,600          -           -
KENNEDY-WILSON INC         Common        489399204         270      67,400      x       6       67,400          -           -
KERR MCGEE CORP            Common        492386107       2,420      46,627      x       6       46,627          -           -
KEYCORP                    Common        493267108      16,993     705,085      x       6      690,815          -      15,040
KEYSPAN CORP               Common        49337W100           7         200      x       6          200          -           -
KIDDE PLC SPONSORED A      Common        493793103       2,414     279,860      x       6      274,415          -       6,415
KIMBERLY CLARK CORP        Common        494368103          16         250      x       6          250          -           -
KINDER MORGAN ENERGY PAR   Common        494550106         208       6,000      x       6        6,000          -           -
KINDER MORGAN INC KANS     Common        49455P101       7,152     145,330      x       6      133,530          -      11,800
KNIGHT RIDDER INC          Common        499040103           6         100      x       6          100          -           -
KOALA CORP                 Common        499866101          48      46,900      x       6       46,900          -           -
KONINKLIJKE PHILIPS E      Common        500472303      22,836   1,185,388      x       6    1,126,037          -      60,029
KOREA TELECOM ADR SPO      Common        50063P103       9,050     492,593      x       6      380,103          -      30,885
KOSS CORP                  Common        500692108         637      17,700      x       6       16,200          -       1,500
KULICKE & SOFFA INDS INC   Common        501242101       6,602     605,700      x       6      589,400          -      16,300
LTV CORP NEW               Common        501921100           0       1,000      x       6        1,000          -           -
LA QUINTA PROPERTIES       Common        50419Q409       7,712   1,759,281      x       6    1,709,002      8,620      46,190
LA Z BOY INC               Common        505336107         519      32,854      x       6       32,854          -           -
LADISH INC                 Common        505754200       1,565     196,900      x       6      194,500          -       2,400
LAFARGE NORTH AMERICA IN   Common        505862102      10,360     310,180      x       6      310,180          -           -
LAKELAND INDS INC          Common        511795106         156      18,400      x       6       17,200          -       1,200
LAKES GAMING INC           Common        51206P109         570     102,762      x       6       97,862          -       4,900
LAMSON & SESSIONS CO       Common        513696104       1,124     281,100      x       6      273,200          -       7,900
LANCASTER COLONY CORP      Common        513847103       8,988     321,808      x       6      313,763      1,510       8,270
LANDAMERICA FINL GROUP I   Common        514936103      12,692     381,700      x       6      372,400          -       9,300
LANDSTAR SYS INC           Common        515098101       3,786      59,163      x       6       57,163          -       2,000
LAWSON PRODS INC           Common        520776105       1,527      62,600      x       6       59,000          -       3,600
LEAR CORP COM              Common        521865105       6,151     228,255      x       6      225,445        510       2,825
LEGGETT & PLATT INC        Common        524660107           5         250      x       6          250          -           -
LEHMAN BROS HLDGS INC      Common        524908100          45         800      x       6          800          -           -
LENNAR CORP                Common        526057104       1,741      48,300      x       6       48,300          -           -
LENNOX INTL INC            Common        526107107         463      49,762      x       6       45,762          -       4,000
LESCO INC OHIO             Common        526872106          94       9,600      x       6        9,600          -           -
LIBBEY INC                 Common        529898108       2,264      70,200      x       6       70,200          -           -
AT&T CORP LIBERTY MEDIA    Common        530718105       4,714     371,200      x       6      371,200          -           -
LIFETIME HOAN CORP         Common        531926103          63      10,100      x       6       10,100          -           -
LIGHTBRIDGE INC            Common        532226107           7         717      x       6          717          -           -
LILLY, ELI AND COMPAN      Common        532457108       4,395      54,035      x       6       45,080          -       9,175
LINCOLN ELEC HLDGS INC     Common        533900106      12,752     579,090      x       6      557,790          -      21,300
LINCOLN NATL CORP IND      Common        534187109           9         200      x       6          200          -           -
LITHIA MTRS INC            Common        536797103       2,492     179,300      x       6      174,300          -       5,000
LIZ CLAIBORNE INC          Common        539320101       2,692      71,400      x       6       71,400          -           -
LO-JACK CORP               Common        539451104         123      24,500      x       6       22,000          -       2,500
LOCAL FINL CORP            Common        539553107       4,070     304,400      x       6      296,400          -       8,000
LOCKHEED MARTIN CORP       Common        539830109          20         450      x       6          450          -           -
LOEWS CORP                 Common        540424108      10,765     232,600      x       6      232,600          -           -
LONE STAR STEAKHOUSE       Common        542307103       4,066     387,210      x       6      371,530      2,090      14,730
LOUIS DREYFUS NAT GAS      Common        546011107       4,288     110,205      x       6      107,895        440       2,730
LOUISIANA PAC CORP         Common        546347105         190      29,300      x       6       29,300          -           -
LOWRANCE ELECTRS INC       Common        548900109          61      23,500      x       6       23,500          -           -
LUCENT TECHNOLOGIES I      Common        549463107         417      72,850      x       6       57,110          -      16,190
LYON WILLIAM HOMES         Common        552074106         147      13,500      x       6       13,500          -           -
LYONDELL CHEMICAL CO       Common        552078107       5,584     487,700      x       6      437,200          -      50,500
MAF BANCORP INC            Common        55261R108       6,648     231,966      x       6      227,266          -       4,700
MBIA INC                   Common        55262C100           8         150      x       6          150          -           -
MBIA INC SR PINES 8.000 12-Common        55262C308           3         111      x       6          111
M D C HLDGS INC            Common        552676108       4,835     174,430      x       6      167,500          -       6,930
MGIC INVT CORP WIS         Common        552848103           7         100      x       6          100          -           -
M/I SCHOTTENSTEIN HOMES    Common        55305B101       4,833     143,000      x       6      138,900          -       4,100
ML DIRECT INC              Common        55306M106           0         300      x       6          300
ML DIRECT INC WTS A        Common        55306M114           -         800      x       6          800
MKS INSTRUMENT INC         Common        55306N104          92       5,200      x       6        5,200          -           -
M-WAVE INC                 Common        554034108          33       8,300      x       6        8,300          -           -
MADDEN STEVEN LTD          Common        556269108       1,943     191,400      x       6      186,000          -       5,400
MAIL-WELL INC              Common        560321200       4,365   1,179,800      x       6    1,151,500          -      28,300
MAINE PUB SVC CO           Common        560483109         317      11,400      x       6       11,400          -           -
MANCHESTER TECHNOLOGIES    Common        562398107         347     154,050      x       6      149,250          -       4,800
MANITOWOC INC              Common        563571108       7,694     317,400      x       6      306,800          -      10,600
MARINEMAX INC              Common        567908108       2,181     323,100      x       6      314,000          -       9,100
MARKWEST HYDROCARBON INC   Common        570762104          95      14,000      x       6       14,000          -           -
MARSH SUPERMARKETS INC     Common        571783307         396      27,700      x       6       24,400          -       3,300
MARSHALL & ILSLEY CORP     Common        571834100          97       1,716      x       6        1,716          -           -
MARRIOTT INTL INC NEW      Common        571903202           8         250      x       6          250          -           -
MARTIN MARIETTA MATLS IN   Common        573284106       3,748      95,830      x       6       95,830          -           -
MASCO CORP                 Common        574599106           2         100      x       6          100          -           -
MASCOTECH ESCROW           Common        574670998           -     927,200      x       6      904,900          -      22,300
MASTEC INC                 Common        576323109       5,294   1,038,000      x       6    1,012,200          -      25,800
MATEC CORP MD              Common        576668107          49      13,900      x       6       13,900          -           -
MATRIX BANCORP INC         Common        576819106         812      81,500      x       6       78,800          -       2,700
MATRIX SVC CO              Common        576853105          12       2,100      x       6        2,100          -           -
MATTEL INC                 Common        577081102         403      25,750      x       6       25,750          -           -
MAXWELL SHOE INC           Common        577766108         531      37,900      x       6       34,000          -       3,900
MAY DEPT STORES CO         Common        577778103          11         375      x       6          375          -           -
MAVERICK TUBE CORP         Common        577914104       2,771     305,900      x       6      290,800          -      15,100
MCDATA CORP                Common        580031201           1          87      x       6           87          -           -
MCDONALDS CORP             Common        580135101          14         500      x       6          500          -           -
MCGRATH RENTCORP           Common        580589109       4,820     224,100      x       6      217,100          -       7,000
MEAD CORP                  Common        582834107       1,070      38,669      x       6       38,669          -           -
MEADE INSTRUMENTS CORP     Common        583062104         229      60,700      x       6       59,200          -       1,500
MEADOW VY CORP             Common        583185103           8       3,800      x       6        3,800          -           -
MEDFORD BANCORP INC        Common        584131106         152       7,900      x       6        7,900          -           -
MEDIA ARTS GROUP INC       Common        58439C102         509     253,400      x       6      248,400          -       5,000
MEDIALINK WORLDWIDE INC    Common        58445P105          14       3,400      x       6        3,400          -           -
MEDICAL ACTION INDS INC    Common        58449L100         340      20,100      x       6       20,100          -           -
MEDSTONE INTL INC NEW      Common        58505C101          32       8,100      x       6        8,100          -           -
MERCHANTS BANCSHARES       Common        588448100       1,687      51,500      x       6       49,800          -       1,700
MERCHANTS GROUP INC        Common        588539106         148       7,200      x       6        6,800          -         400
MERCK & CO INC             Common        589331107      14,689     220,550      x       6      220,400          -         150
MERCURY AIR GROUP INC      Common        589354109         692     135,691      x       6      132,666          -       3,025
MERIDIAN RESOURCE CORP     Common        58977Q109       2,743     844,000      x       6      829,900          -      14,100
MERISTAR HOTELS & RESORT   Common        589988104          63      63,200      x       6       63,200          -           -
MERITAGE CORP              Common        59001A102       1,402      37,900      x       6       36,000          -       1,900
MERIX CORP                 Common        590049102       2,491     177,300      x       6      169,500          -       7,800
MERRILL LYNCH & CO INC     Common        590188108       2,769      68,200      x       6       68,200          -           -
MESA LABS INC              Common        59064R109         195      40,700      x       6       39,200          -       1,500
MESABA HLDGS INC COM       Common        59066B102       4,959     857,310      x       6      820,335      5,290      35,215
MESTEK INC                 Common        590829107         981      42,200      x       6       38,600          -       3,600
MET PRO CORP               Common        590876306       1,191     116,800      x       6      114,600          -       2,200
METALS USA INC             Common        591324108         764     527,000      x       6      509,800          -      17,200
METHODE ELECTRS INC        Common        591520200         927     122,800      x       6      115,300          -       7,500
METLIFE INC                Common        59156R108      16,335     550,000      x       6      550,000          -           -
METRIS COS INC             Common        591598107       1,049      42,400      x       6       42,400          -           -
METROPOLITAN FINL CORP     Common        59189N108          15       5,200      x       6        5,200          -           -
METROWEST BK MASS          Common        592668107       1,104      97,300      x       6       93,500          -       3,800
MICROFINANCIAL INC         Common        595072109       2,542     184,900      x       6      179,200          -       5,700
MICRON TECHNOLOGY INC      Common        595112103       3,633     192,925      x       6      170,425          -      22,500
MIDAS GROUP INC            Common        595626102       3,518     355,400      x       6      346,200          -       9,200
MID AMER BANCORP           Common        595915109         111       4,429      x       6        4,429          -           -
MIDLAND CO                 Common        597486109       3,224      79,400      x       6       78,100          -       1,300
MIIX GROUP INC             Common        59862V104         886      81,300      x       6       78,700          -       2,600
MILACRON INC               Common        598709103      11,753     982,715      x       6      964,315          -      18,400
ESCROW MILLER BLDG SYS     Common        600ECS992           -      51,300      x       6       50,600          -         700
MINNESOTA MNG & MFG CO     Common        604059105          15         150      x       6          150          -           -
MIRANT CORP                Common        604675108           7         318      x       6          318          -           -
MISSION RESOURCES CORP     Common        605109107       1,363     345,000      x       6      334,300          -      10,700
MITSUBISHI TOKYO FINA      Common        606816106       1,574     196,560      x       6      191,845          -       4,910
MODIS PROFESSIONAL SVCS    Common        607830106       3,615     903,660      x       6      880,160          -      23,500
MOHAWK INDS INC            Common        608190104       5,737     156,100      x       6      156,100          -           -
MONACO COACH CORP          Common        60886R103         245      17,212      x       6       17,212          -           -
MONRO MUFFLER BRAKE INC    Common        610236101         251      21,250      x       6       21,250          -           -
MOOG INC                   Common        615394202       2,498     110,700      x       6      106,950          -       3,750
MORGAN STANLEY DEAN WITT   Common        617446448      16,714     360,600      x       6      360,600          -           -
MORTONS RESTAURANT GROUP   Common        619429103         357      40,800      x       6       39,000          -       1,800
MOTOR CARGO INDS           Common        619907108         261      26,900      x       6       26,900          -           -
MOTOROLA INC               Common        620076109           6         400      x       6          400          -           -
MOVADO GROUP INC           Common        624580106       2,319     149,600      x       6      145,300          -       4,300
MUELLER INDS INC           Common        624756102      10,461     364,500      x       6      355,100          -       9,400
MULTI COLOR CORP           Common        625383104          85       5,300      x       6        5,300          -           -
MURPHY OIL CORP            Common        626717102       4,800      66,370      x       6       64,070          -       3,200
MYERS INDS INC             Common        628464109       3,288     277,475      x       6      268,763          -       8,712
NCH CORP                   Common        628850109       4,772     121,758      x       6      118,458          -       3,300
NCI BUILDING SYS INC       Common        628852105       4,999     434,700      x       6      424,200          -      10,500
NEC CORP ADR -USD-         Common        629050204           1         105      x       6          105          -           -
NL INDS INC                Common        629156407      16,147   1,077,200      x       6    1,048,500          -      28,700
NACCO INDS INC             Common        629579103      16,287     294,813      x       6      292,143        630       3,195
NAPCO SEC SYS INC          Common        630402105          32       6,700      x       6        6,700          -           -
NASH FINCH CO              Common        631158102         269       7,900      x       6        7,900          -           -
NATIONAL AUSTRALIA BANK    PFD CV        632525309         100       3,700      x       6        3,700          -           -
NATIONAL CITY CORP         Common        635405103          27         900      x       6          900          -           -
NATIONAL EQUIP SVCS INC    Common        635847106         183      96,500      x       6       92,700          -       3,800
NATIONAL FUEL GAS CO N J   Common        636180101       3,993     173,400      x       6      173,400          -           -
NATIONAL R V HLDGS INC     Common        637277104         242      24,200      x       6       22,600          -       1,600
NATIONAL SEMICONDUCTOR C   Common        637640103          11         500      x       6          500          -           -
NATIONAL SVC INDS INC      Common        637657107      13,569     657,100      x       6      640,200          -      16,900
NATIONAL TECHNICAL SYS I   Common        638104109          33      23,400      x       6       23,400          -           -
NATIONAL WESTN LIFE INS    Common        638522102       5,985      59,200      x       6       58,100          -       1,100
NATIONWIDE FINL SVCS       Common        638612101      11,696     315,265      x       6      293,810          -      21,680
NATURES SUNSHINE PRODUCT   Common        639027101       3,896     340,300      x       6      330,500          -       9,800
NAUTICA ENTERPRISES INC    Common        639089101       7,303     616,800      x       6      601,800          -      15,000
NAVIGANT CONSULTING INC    Common        63935N107          43      11,600      x       6            -          -      11,600
NAVIGANT INTL INC          Common        63935R108       1,735     215,800      x       6      211,600          -       4,200
NEW CENTURY FINANCIAL CO   Common        64352D101       3,028     309,000      x       6      300,200          -       8,800
NEW ENGLAND BUSINESS SVC   Common        643872104       4,816     277,600      x       6      270,400          -       7,200
NEW FOCUS INC              Common        644383101         323     100,000      x       6      100,000          -           -
NEW HAMPSHIRE THRIFT BAN   Common        644722100          85       5,700      x       6        5,700          -           -
NEWELL RUBBERMAID INC      Common        651229106      21,509     946,265      x       6      878,705          -      68,140
NEWMARK HOMES CORP         Common        651578106          38       3,500      x       6        3,500          -           -
NIAGARA MOHAWK HLDGS INC   Common        653520106       2,082     122,715      x       6      122,715          -           -
NIKE INC                   Common        654106103           5         100      x       6          100          -           -
NIKKO SECS LTD JAPAN       Common        654107200       3,133      56,835      x       6       50,452          -       7,080
NIPPON TELEG & TEL CO      Common        654624105       5,419     232,218      x       6      207,293          -      25,320
NISOURCE INC               Common        65473P105          21         888      x       6          888          -           -
NISOURCE INC               PFD           65473P600           2         908      x       6          908          -           -
NOKIA CP ADR               Common        654902204           2          99      x       6           99
NOBLE INTL LTD             Common        655053106         469      93,700      x       6       91,900          -       1,800
NORFOLK SOUTHERN CORP      Common        655844108          48       2,950      x       6        2,950          -           -
NORTEK INC                 Common        656559101       5,422     251,600      x       6      246,000          -       5,600
NORTH CENT BANCSHARES IN   Common        658418108         343      15,400      x       6       14,400          -       1,000
NORTHEAST BANCORP          Common        663904100          61       5,100      x       6        5,100          -           -
NORTHERN TECH INTL CORP    Common        665809109          94      20,800      x       6       19,400          -       1,400
NORTHRIM BK ALASKA         Common        666764105         825      59,345      x       6       57,245          -       2,100
NORTHRUP GRUMMAN CORP      Common        666807102      48,048     475,542      x       6      445,077          -      30,645
NORTHWEST AIRLS CORP       Common        667280101         428      37,500      x       6       37,500          -           -
NORTHWEST PIPE CO          Common        667746101       1,821     121,400      x       6      118,200          -       3,200
NORTHWESTERN CORP          Common        668074107       7,372     335,100      x       6      329,000          -       6,100
NOVARTIS AG SPONSORED      Common        66987V109      33,634     864,341      x       6      785,022          -      80,140
NU HORIZONS ELECTRS CORP   Common        669908105       2,297     304,200      x       6      294,700          -       9,500
NOVO-NORDISK (670100205)   Common        670100205          74       1,750      x       6        1,750          -           -
NU SKIN ENTERPRISES INC    Common        67018T105       5,409     693,400      x       6      679,700          -      13,700
NSTAR                      Common        67019E107       2,682      64,005      x       6       64,005          -           -
NUCOR CORP                 Common        670346105           4         100      x       6          100          -           -
OGE ENERGY CORP COM        Common        670837103       4,187     191,450      x       6      181,050          -      10,700
O I CORP                   Common        670841105          19       3,700      x       6        3,700          -           -
OCCIDENTAL PETE CORP DEL   Common        674599105          10         400      x       6          400          -           -
OCTEL CORP                 Common        675727101         104       5,712      x       6        5,712          -           -
OCULAR SCIENCES INC        Common        675744106         561      27,700      x       6       27,700          -           -
OGLEBAY NORTON CO          Common        677007106       1,413      96,100      x       6       94,500          -       1,600
OLD DOMINION FGHT LINES    Common        679580100       1,040      86,800      x       6       85,300          -       1,500
ONEIDA LTD                 Common        682505102       1,586     110,500      x       6      105,900          -       4,600
ONYX ACCEP CORP            Common        682914106         533     104,600      x       6      101,500          -       3,100
OPINION RESH CORP          Common        683755102         293      55,300      x       6       52,900          -       2,400
ORACLE CORP                Common        68389X105          10         800      x       6          800          -           -
ORION PWR HLDGS INC        Common        686286105      11,869     465,450      x       6      428,350          -      37,100
ORIX CORP ADR SPONSOR      Common        686330101         826      19,550      x       6       20,315          -         215
ORTHALLIANCE INC           Common        687913103         652     255,900      x       6      248,500          -       7,400
OSHKOSH B GOSH INC         Common        688222207       4,719     181,500      x       6      175,600          -       5,900
OUTLOOK GROUP CORP         Common        690113105         298      60,200      x       6       57,900          -       2,300
OWENS ILL INC              Common        690768403           3         800      x       6          800          -           -
OXFORD INDS INC            Common        691497309       3,708     169,300      x       6      165,500          -       3,800
P & F INDS INC             Common        692830508          36       5,500      x       6        5,500          -           -
P A M TRANSN SVCS INC      Common        693149106         939     103,200      x       6      101,500          -       1,700
P C CONNECTION             Common        69318J100       2,913     376,400      x       6      362,100          -      14,300
PC-TEL INC COM             Common        69325Q105       1,513     208,818      x       6      194,398      1,880      13,695
PG&E CORP                  Common        69331C108      44,680   2,939,450      x       6    2,814,950          -     124,500
PFF BANCORP INC            Common        69331W104       7,235     263,100      x       6      256,500          -       6,600
PMI GROUP INC COM          Common        69344M101      13,913     223,856      x       6      197,638          -      26,839
PNC BANK CORP              Common        693475105         899      15,700      x       6       12,700          -       3,850
PPG INDS INC               Common        693506107      13,231     289,200      x       6      289,200          -           -
PPL CORP                   Common        69351T106           7         200      x       6          200          -           -
PACCAR INC                 Common        693718108       1,128      23,000      x       6       19,000          -       4,100
PACIFIC CENTY FINL CO      Common        694058108       5,059     218,743      x       6      216,303        710       2,675
PACIFIC CREST CAP INC      Common        694166109         475      25,400      x       6       24,100          -       1,300
PACIFICARE HLTH SYS I      Common        695112102      19,493   1,548,310      x       6    1,469,135      1,960      78,315
PALM INC                   Common        696642107           2       1,482      x       6        1,482          -           -
PARK ELECTROCHEMICAL COR   Common        700416209       2,393     110,000      x       6      110,000          -           -
PARK OHIO HLDGS CORP       Common        700666100         368     120,800      x       6      116,900          -       3,900
PARKER HANNIFIN CORP       Common        701094104           3         100      x       6          100          -           -
PARKVALE FINL CORP         Common        701492100       2,192      99,849      x       6       97,449          -       2,400
PAYLESS SHOESOURCE INC     Common        704379106      18,166     331,500      x       6      324,900          -       6,600
PEABODY ENERGY CORP C      Common        704549104      17,445     726,475      x       6      642,005          -      85,370
PECHINEY SPONSORED AD      Common        705151207       2,639     137,126      x       6      134,583          -       3,350
PENFORD CORP               Common        707051108          56       5,300      x       6        5,300          -           -
PENN ENGR & MFG CORP       Common        707389102         432      29,800      x       6       29,800          -           -
PENN ENGR & MFG CORP       Common        707389300       1,225      86,300      x       6       83,800          -       2,500
PENN VA CORP               Common        707882106       2,632      93,490      x       6       91,990          -       1,500
PENNEY J C INC             Common        708160106         238      10,850      x       6       10,850          -           -
PENNFED FINL SVCS INC      Common        708167101       1,684      74,900      x       6       71,400          -       3,500
PEOPLES BANCSHARES INC M   Common        709795108         831      60,500      x       6       59,200          -       1,300
PEPSICO INC                Common        713448108         895      18,450      x       6       18,450          -           -
PERINI CORP                Common        713839108         585      90,000      x       6       87,900          -       2,100
PERSONNEL GROUP AMER INC   Common        715338109         386     454,306      x       6      443,106          -      11,200
PETROLEUM DEV CORP         Common        716578109         415      85,300      x       6       85,300          -           -
PHARMACIA CORP             Common        71713U102         445      10,982      x       6       10,982          -           -
PHELPS DODGE CORP          Common        717265102       3,296     119,846      x       6      119,846          -           -
PHILADELPHIA CONS HLDG C   Common        717528103       1,160      33,400      x       6       33,400          -           -
PHILIP MORRIS COS INC      Common        718154107       6,534     135,300      x       6      135,300          -           -
PHILLIPS PETROLEUM CO      Common        718507106      36,270     673,309      x       6      631,872          -      41,924
PHILLIPS VAN HEUSEN CORP   Common        718592108       4,717     476,500      x       6      464,100          -      12,400
PHOENIX COS INC NEW        Common        71902E109      10,098     698,800      x       6      627,500          -      71,300
PIER 1 IMPORTS INC         Common        720279108       4,083     491,900      x       6      479,800          -      12,100
PILGRIMS PRIDE CORP        Common        721467108       6,094     445,430      x       6      434,775      2,090      10,045
PILGRIMS PRIDE CORP        Common        721467207       1,185     122,200      x       6      117,750          -       4,450
PIONEER CORP JAPAN AD      Common        723646105       2,498     129,175      x       6      116,540          -      13,525
PIONEER NAT RES CO         Common        723787107         434      30,500      x       6       30,500          -           -
PIONEER STD ELECTRS INC    Common        723877106       7,328     812,392      x       6      793,692          -      18,700
PITNEY BOWES INC           Common        724479100       1,035      27,180      x       6       20,180          -       7,180
PITT DESMOINES INC         Common        724508106       2,248      73,700      x       6       71,100          -       2,600
POGO PRODUCING CO          Common        730448107       1,911      81,300      x       6       81,300          -           -
POHANG IRON & STL LTD      Common        730450103      10,389     658,366      x       6      496,972          -      29,785
POINT 360                  Common        730698107          29      42,600      x       6       42,600          -           -
POLARIS INDS INC           Common        731068102         748      19,500      x       6       19,500          -           -
POLYONE CORP               Common        73179P106       1,007     129,450      x       6      103,450          -      26,900
POMEROY COMPUTER RES       Common        731822102       3,209     266,300      x       6      258,900          -       7,400
POPE & TALBOT INC          Common        732827100       2,408     188,100      x       6      180,500          -       7,600
PORTUGAL TEL.(737273102)   Common        737273102         189      26,380      x       6       26,380          -           -
POTASH CORP SASK INC       Common        73755L107          95       1,700      x       6        1,700          -           -
POTOMAC ELEC PWR CO        Common        737679100       1,392      63,400      x       6       63,400          -           -
POWERGEN PLC SPONS AD      Common        738905405         332       7,705      x       6        1,590          -       6,820
PRAXAIR INC                Common        74005P104       1,297      30,890      x       6       24,010          -       7,770
PRECISION CASTPARTS C      Common        740189105       2,102      97,520      x       6       92,750        890       4,660
PREMIER FINL BANCORP INC   Common        74050M105          17       2,000      x       6        2,000          -           -
PRESIDENTIAL LIFE CORP     Common        740884101         625      34,372      x       6       32,372          -       2,000
PRIDE INTL INC DEL         Common        74153Q102       2,896     278,500      x       6      271,400          -       7,100
PRIME MED SVCS INC NEW     Common        74156D108       1,485     330,100      x       6      320,800          -       9,300
PRIMESOURCE CORP           Common        741593107       1,058     106,300      x       6      102,600          -       3,700
PRIME HOSPITALITY CORP     Common        741917108       9,852   1,119,527      x       6    1,093,627          -      25,900
PRINTRONIX INC             Common        742578107         109      17,200      x       6       17,200          -           -
PRIORITY HEALTHCARE CORP   Common        74264T201         125       6,228      x       6        6,228          -           -
PRIZE ENERGY CORP          Common        74267L106       5,998     343,700      x       6      338,100          -       5,600
PROCTER & GAMBLE CO        Common        742718109       6,609      90,800      x       6       90,800          -           -
PROGRAMMING & SYS INC      Common        743209108          36       7,600      x       6        7,600          -           -
PROGRESS ENERGY INC        Common        743263105          14         327      x       6          327          -           -
PROGRESS ENERGY INC CVO    Common        743263AA3           -         100      x       6          100          -           -
PROGRESS FINL CORP         Common        743266108         698     109,100      x       6      105,900          -       3,200
PROVIDENT FINL GROUP INC   Common        743866105         311      12,300      x       6       12,300          -           -
PROVIDENT FINL HLDGS INC   Common        743868101         178       7,500      x       6        7,500          -           -
PUBLIC SVC CO N MEX        Common        744499104       1,261      50,000      x       6       50,000          -           -
PUBLIC SVC ENTERPRISE GR   Common        744573106          11         250      x       6          250          -           -
PUBLIC STORAGE INC         Common        74460D109       3,382     101,250      x       6      101,250          -           -
PUB STOR DEP SH 1/1000TH PFCommon        74460D711           4         163      x       6          163
PUGET ENERGY INC NEW       Common        745310102       1,657      77,100      x       6       77,100          -           -
PULTE HOMES INC            Common        745867101       9,421     307,382      x       6      301,130          -       6,252
QLOGIC CORP                Common        747277101           1          48      x       6           48
Q E P INC                  Common        74727K102         134      36,750      x       6       35,375          -       1,375
QUAKER CHEM CORP           Common        747316107       3,392     186,900      x       6      181,700          -       5,200
QUAKER CITY BANCORP INC    Common        74731K106         933      31,100      x       6       31,100          -           -
QUAKER FABRIC CORP NEW     Common        747399103         131      17,900      x       6       17,900          -           -
QUANEX CORP                Common        747620102       7,321     316,913      x       6      309,313          -       7,600
QUANTA SVCS INC            Common        74762E102         998      70,000      x       6       70,000          -           -
QUANTUM CORP DSS           Common        747906204       4,829     591,730      x       6      591,730          -           -
QUESTAR CORP               Common        748356102       3,645     180,600      x       6      180,600          -           -
QUESTRON TECHNOLOGY INC    Common        748372208         297     154,800      x       6      151,000          -       3,800
QUIKSILVER INC             Common        74838C106       2,831     229,200      x       6      220,400          -       8,800
QUINTILES TRANSNATION      Common        748767100      13,144     900,080      x       6      839,715          -      61,025
QUIPP INC                  Common        748802105         224      14,216      x       6       14,216          -           -
QWEST COMMUNICATIONS INT   Common        749121109       1,394      83,457      x       6       83,457          -           -
R & B INC                  Common        749124103         370     123,600      x       6      120,300          -       3,300
RCM TECHNOLOGIES INC       Common        749360400         807     209,700      x       6      204,600          -       5,100
R G S ENERGY GROUP INC     Common        74956K104       6,932     179,110      x       6      179,110          -           -
RADIOLOGIX INC             Common        75040K109       1,740     297,500      x       6      289,400          -       8,100
RADYNE COMSTREAM INC       Common        750611402         194      50,600      x       6       50,600          -           -
RAINBOW TECHNOLOGIES INC   Common        750862104         104      29,800      x       6       29,800          -           -
RAVEN INDS INC             Common        754212108       1,119      65,250      x       6       62,850          -       2,400
RAYMOND JAMES FINANCIAL    Common        754730109       1,615      59,500      x       6       59,500          -           -
RAYTHEON CO NEW COM        Common        755111507      52,824   1,522,807      x       6    1,430,732          -      92,515
REEBOK INTL LTD            Common        758110100         349      16,850      x       6       16,850          -           -
REFAC                      Common        758653109         165      54,100      x       6       52,900          -       1,200
REGAL BELOIT CORP          Common        758750103       2,343     128,400      x       6      128,400          -           -
REGIONS FINL CORP          Common        758940100           7         250      x       6          250          -           -
REHABILICARE INC           Common        758944102         120      43,100      x       6       40,800          -       2,300
REINSURANCE GROUP AMER I   Common        759351109         988      28,960      x       6       28,960          -           -
RELIANCE STEEL & ALUMINU   Common        759509102       1,706      71,800      x       6       71,800          -           -
RELIANT RES INC            Common        75952B105       8,661     534,650      x       6      496,250          -      38,400
RELIANT ENERGY INC         Common        75952J108           8         300      x       6          300          -           -
REMEDYTEMP INC             Common        759549108       1,724     143,700      x       6      141,200          -       2,500
REPUBLIC BANCORP INC       Common        760282103         271      18,930      x       6       18,930          -           -
REPUBLIC FIRST BANCORP I   Common        760416107         429      88,000      x       6       86,300          -       1,700
RES-CARE INC               Common        760943100       1,115     123,900      x       6      119,200          -       4,700
RESORTQUEST INTL INC       Common        761183102         982     327,300      x       6      317,900          -       9,400
REUTERS GROUP PLC ADR      Common        76132M102         687      13,375      x       6       13,695          -         355
REX STORES CORP            Common        761624105       2,368     172,200      x       6      167,400          -       4,800
REXHALL INDS INC           Common        761684109         118      25,545      x       6       24,285          -       1,260
RICHARDSON ELECTRS LTD     Common        763165107       1,788     216,500      x       6      210,700          -       5,800
RICHTON INTL CORP          Common        765516109         113       3,100      x       6        3,100          -           -
RIGHT MGMT CONSULTANTS I   Common        766573109          67       2,150      x       6        2,150          -           -
RIMAGE CORP                Common        766721104          63       9,800      x       6        9,700          -         100
RIO TINTO LTD ADR SPO      Common        767204100       2,728      43,893      x       6       43,269          -       1,190
RIVERSTONE NETWORKS INC    Common        769320102       3,115     593,392      x       6      553,063          -      40,329
ROADWAY CORP               Common        769742107      11,387     472,665      x       6      461,565          -      11,100
ROANOKE ELEC STL CORP      Common        769841107         696      58,500      x       6       55,650          -       2,850
ROCK-TENN CO               Common        772739207       5,696     517,831      x       6      502,531          -      15,300
ROFIN SINAR TECHNOLOGIES   Common        775043102         703      94,100      x       6       89,000          -       5,100
ROHM & HAAS CO             Common        775371107       9,869     301,260      x       6      278,360          -      22,900
ROHN INDS INC              Common        775381106           0          64      x       6           64          -           -
ROLLS-ROYCE PLC ADR S      Common        775781206       3,247     354,070      x       6      347,210          -       7,735
ROWE COS                   Common        779528108         291     205,100      x       6      198,770          -       6,330
ROYAL APPLIANCE MFG CO     Common        780076105         828     182,000      x       6      175,000          -       7,000
ROYAL DUTCH PETROLEUM CO   Common        780257804           7         150      x       6            -          -         150
RUSH ENTERPISES INC        Common        781846100         724     131,800      x       6      129,200          -       2,600
RUSS BERRIE & CO           Common        782233100       3,156     118,653      x       6      118,653          -           -
RYANS FAMILY STEAK HOUSE   Common        783519101      13,812     806,767      x       6      784,767          -      22,000
RYLAND GROUP INC           Common        783764103      12,504     262,200      x       6      254,800          -       7,400
S&K FAMOUS BRANDS INC      Common        783774102         585      64,600      x       6       62,400          -       2,200
SBC COMMUNICATIONS, I      Common        78387G103       4,974     106,425      x       6       86,260          -      21,127
SCPIE HLDGS INC            Common        78402P104       1,415      87,900      x       6       84,100          -       3,800
SK TELECOM LTD ADR SP      Common        78440P108         971      52,725      x       6       37,645          -      15,700
SLI INC                    Common        78442T108       1,099     424,400      x       6      420,300          -       4,100
SPS TECHNOLOGIES INC       Common        784626103         142       4,700      x       6        4,700          -           -
SABRE HLDGS CORP           Common        785905100       4,449     166,378      x       6      152,978          -      13,400
SAFECO CORP                Common        786429100      20,599     679,150      x       6      622,350          -      56,800
ST FRANCIS CAP CORP        Common        789374105       3,365     157,600      x       6      152,700          -       4,900
ST PAUL COS INC            Common        792860108         375       9,100      x       6        9,100          -           -
SAKS INC                   Common        79377W108       1,567     313,400      x       6      313,400          -           -
SALTON INC                 Common        795757103       1,395     163,000      x       6      159,000          -       4,000
SANFILIPPO JOHN B & SON    Common        800422107         298      57,900      x       6       55,700          -       2,200
SAPPI LTD ADR SPON NE      Common        803069202      35,649   4,054,566      x       6    3,674,185          -     266,200
SARA LEE CORP              Common        803111103      18,194     854,823      x       6      798,883          -      56,170
SAUCONY INC                Common        804120103         353      64,200      x       6       63,000          -       1,200
SCHERING A G SPONS ADR     Common        806585204          79       1,575      x       6        1,450          -         125
SCHLOTZSKYS INC            Common        806832101         144      29,600      x       6       26,800          -       2,800
SCHUFF INTERNATIONAL INC   Common        808156103         299      92,000      x       6       89,700          -       2,300
SCHULER HOMES INC          Common        808188106         667      54,900      x       6       54,900          -           -
SCHULMAN A INC             Common        808194104       1,190     116,100      x       6      116,100          -           -
SCHWEITZER-MAUDUIT INTL    Common        808541106       6,634     279,700      x       6      272,200          -       7,500
SCOTTISH PWR PLC           Common        81013T705           3         145      x       6          145          -           -
ESC SEAGATE TECHNOLOGY     Common        811804988           -         410      x       6          410          -           -
SEARS ROEBUCK & CO         Common        812387108         750      21,650      x       6       21,650          -           -
SELAS CORP AMER            Common        816119101         360      96,000      x       6       93,400          -       2,600
SEMPRA ENERGY COM          Common        816851109       5,945     239,476      x       6      211,571          -      28,290
SEMX CORP                  Common        816854103           8       5,200      x       6        5,200          -           -
SEMITOOL INC               Common        816909105       3,406     356,300      x       6      353,100          -       3,200
SENIOR HSG PPTYS TR S      Common        81721M109       8,601     645,322      x       6      626,664      3,250      17,060
SERVICE CORP INTL COM      Common        817565104      10,847   1,801,980      x       6    1,677,180          -     125,600
7-ELEVEN INC               Common        817826209         577      59,800      x       6       54,700          -       5,100
SHARPER IMAGE CORP         Common        820013100       1,426     155,900      x       6      155,900          -           -
SHERWIN WILLIAMS CO        Common        824348106           4         200      x       6          200          -           -
SHILOH INDS INC            Common        824543102         110      36,100      x       6       32,900          -       3,200
SHOE CARNIVAL INC          Common        824889109       1,861     192,100      x       6      186,700          -       5,400
SHOPKO STORES INC          Common        824911101       5,525     666,500      x       6      650,000          -      16,500
SIFCO INDS INC             Common        826546103          42       9,100      x       6        9,100          -           -
SILGAN HOLDINGS INC        Common        827048109       6,019     328,900      x       6      320,100          -       8,800
SILICON STORAGE TECHNOLO   Common        827057100       3,501     756,100      x       6      750,300          -       5,800
SILICON VY BANCSHARES      Common        827064106       4,137     204,800      x       6      190,300          -      14,500
SIMMONS 1ST NATL CORP      Common        828730200       2,450      68,600      x       6       65,900          -       2,700
SMEDVIG ASA ADR            Common        83169H105       3,616     465,618      x       6      388,509          -      77,885
SMITH & NEPHEW P L C       Common        83175M205       4,365      83,154      x       6       72,833          -      10,475
SMITH A O                  Common        831865209       3,812     217,346      x       6      210,646          -       6,700
SMURFIT-STONE CONTAINER    Common        832727101      10,099     763,350      x       6      717,250          -      46,100
SOCIETE GENERALE FRAN      Common        83364L109         770      78,610      x       6        4,585          -      74,635
SOFTWARE SPECTRUM INC      Common        833960107         693      63,500      x       6       62,100          -       1,400
SOLA INTL INC              Common        834092108       3,422     225,700      x       6      225,700          -           -
SOLUTIA INC COM            Common        834376105      12,074     975,172      x       6      907,649      1,110      67,640
SONOCO PRODS CO            Common        835495102         167       7,100      x       6        7,100          -           -
SONY CORP                  Common        835699307       2,760      82,322      x       6       81,622          -       1,565
SOURCE INFORMATION MGMT    Common        836151209         827     236,300      x       6      228,000          -       8,300
SOUTHERN CO                Common        842587107          19         800      x       6          800          -           -
SOUTHTRUST CORP            Common        844730101          10         400      x       6          400          -           -
SOUTHWEST AIRLS CO         Common        844741108          13         900      x       6          900          -           -
SOUTHWEST BANCORP INC OK   Common        844767103       1,037      67,800      x       6       65,550          -       2,250
SOUTHWEST SECS GROUP INC   Common        845224104       2,821     164,219      x       6      156,879          -       7,340
SOUTHWESTERN ENERGY CO     Common        845467109       1,171      98,800      x       6       96,200          -       2,600
SOVEREIGN BANCORP INC      Common        845905108       2,957     311,250      x       6      311,250          -           -
SPARTECH CORP              Common        847220209       8,506     411,300      x       6      400,700          -      10,600
SPECTRUM CTL INC           Common        847615101       1,265     268,600      x       6      261,300          -       7,300
SPHERION CORP              Common        848420105      10,408   1,445,600      x       6    1,413,900          -      31,700
SPIEGEL INC                Common        848457107       1,331     188,800      x       6      186,400          -       2,400
SPINNAKER EXPL CO          Common        84855W109         867      24,500      x       6       24,500          -           -
SPORT-HALEY INC            Common        848925103          22       8,500      x       6        8,500          -           -
SPORT CHALET INC           Common        849163100          58       7,500      x       6        7,500          -           -
SPRINT CORP                Common        852061100      41,017   1,708,368      x       6    1,623,513          -      85,773
STAFF LEASING INC          Common        852381102           9       6,300      x       6          900          -       5,400
STANDARD COML CORP         Common        853258101       3,382     205,600      x       6      200,200          -       5,400
STANDARD MANAGEMENT CORP   Common        853612109         648     149,000      x       6      145,900          -       3,100
STANDARD MTR PRODS INC     Common        853666105         151      12,900      x       6       12,900          -           -
STANDARD PAC CORP NEW      Common        85375C101      10,351     530,523      x       6      518,023          -      12,500
STANDARD REGISTER CO       Common        853887107       2,387     164,600      x       6      154,300          -      10,300
STANDEX INTL CORP          Common        854231107       5,127     272,000      x       6      266,000          -       6,000
STANLEY FURNITURE INC      Common        854305208         569      23,600      x       6       20,600          -       3,000
STARRETT L S CO            Common        855668109       1,002      48,900      x       6       45,500          -       3,400
STARTEK INC                Common        85569C107         170       9,700      x       6        9,700          -           -
STATE AUTO FINL CORP       Common        855707105       1,506     113,000      x       6      113,000          -           -
STARWOOD HOTELS&RESORTS    Common        85590A203           1          50      x       6           50          -           -
STEEL DYNAMICS INC         Common        858119100       5,270     532,900      x       6      520,400          -      12,500
STEEL TECHNOLOGIES INC     Common        858147101       1,769     227,500      x       6      221,400          -       6,100
STEELCASE INC              Common        858155203         900      71,600      x       6       71,600          -           -
STEIN MART INC             Common        858375108       4,240     517,100      x       6      498,800          -      18,300
STEINWAY MUSICAL INSTRS    Common        858495104       2,363     163,100      x       6      158,800          -       4,300
STEPAN CO                  Common        858586100       2,845     157,600      x       6      153,700          -       3,900
STERLING BANCORP           Common        859158107       2,049      71,283      x       6       67,983          -       3,300
STERLING FINL CORP WASH    Common        859319105       2,746     188,730      x       6      183,440          -       5,290
STEWART ENTERPRISES INC    Common        860370105       9,160   1,579,300      x       6    1,532,200          -      47,100
STIFEL FINL CORP           Common        860630102         863      81,747      x       6       78,492          -       3,255
STILLWATER MNG CO          Common        86074Q102       2,070     102,860      x       6      102,860          -           -
STONERIDGE INC COM         Common        86183P102       1,528     217,276      x       6      202,096      1,770      14,330
STORA ENSO AB ADR SPO      Common        86210M106      13,995   1,233,755      x       6    1,201,335          -      32,520
STORAGE TECHNOLOGY CORP    Common        862111200         249      19,850      x       6       19,850          -           -
STRATASYS INC              Common        862685104           1         400      x       6          400          -           -
STRATTEC SEC CORP          Common        863111100       1,121      38,800      x       6       36,500          -       2,300
STRIDE RITE CORP           Common        863314100         439      70,300      x       6       70,300          -           -
STURM RUGER & CO INC       Common        864159108         797      76,800      x       6       73,400          -       3,400
SUBURBAN LODGES AMER INC   Common        864444104          29       4,900      x       6        1,200          -       3,700
SUMITOMO MITSUI BK CO      Common        865622104       1,311     179,985      x       6      175,815          -       4,365
SUMMA INDS                 Common        86562T105         761      83,400      x       6       81,600          -       1,800
SUMMIT BK CORP GA          Common        866013105         152      10,100      x       6       10,100          -           -
SUNTRUST BANKS INC         Common        867914103         469       7,100      x       6        7,750          -           -
SUPERIOR UNIFORM GROUP I   Common        868358102       1,081     122,200      x       6      118,400          -       3,800
SUPERVALU INC COM          Common        868536103      27,775   1,364,240      x       6    1,289,795          -      75,435
SUPREMA SPECIALTIES INC    Common        86859F107       1,052     107,700      x       6      104,400          -       3,300
SUPREME INDS INC           Common        868607102         655     195,384      x       6      190,218          -       5,166
SYLVAN INC                 Common        871371100         757      65,800      x       6       63,000          -       2,800
SYMANTEC CORP              Common        871503108       3,202      92,370      x       6       92,370          -           -
SYNALLOY CP DEL            Common        871565107         127      26,700      x       6       25,300          -       1,400
SYNOPSYS INC               Common        871607107         551      13,730      x       6       13,730          -           -
TBC CORP                   Common        872180104       4,454     450,800      x       6      439,900          -      10,900
TB WOODS CORP              Common        872226105         582      64,700      x       6       63,000          -       1,700
TCF FINL CORP              Common        872275102       2,303      50,000      x       6       50,000          -           -
TESSCO TECHNOLOGIES INC    Common        872386107         444      34,300      x       6       32,400          -       1,900
TF FINL CORP               Common        872391107         235      11,300      x       6       10,300          -       1,000
TJX COS INC NEW            Common        872540109       5,585     169,750      x       6      169,750          -           -
TLC LASER EYE CTRS IN      Common        87255E108          54      21,280      x       6        2,780          -      18,780
TRW INC                    Common        872649108       3,081     103,330      x       6      103,330          -           -
TSR INC                    Common        872885108          17       3,400      x       6        3,400          -           -
TXU CORP COM               Common        873168108      29,802     640,952      x       6      623,397          -      18,190
TAIWAN SEMICONDUCTOR       Common        874039100      11,147   1,190,747      x       6      930,478          -      58,673
TANDY BRANDS ACCESSORIES   Common        875378101         634     109,300      x       6      105,900          -       3,400
TARGET CORP                Common        87612E106       3,262     102,750      x       6      102,750          -           -
TARRANT APPAREL GROUP      Common        876289109         152      33,800      x       6       27,200          -       6,600
TECH DATA CORP             Common        878237106       5,230     138,000      x       6      138,000          -           -
TECH OPS SEVCON INC        Common        878293109          90      10,700      x       6       10,700          -           -
TECHNITROL INC             Common        878555101      15,854     710,925      x       6      693,525          -      17,400
TECUMSEH PRODS CO          Common        878895200       7,950     174,600      x       6      169,800          -       4,800
TELEFONICA DE ESPANA       Common        879382208       4,736     143,387      x       6      125,315          -      19,017
TELEPHONE & DATA SYS INC   Common        879433100       1,667      17,680      x       6       17,680          -           -
TELLABS INC                Common        879664100       1,703     172,400      x       6      154,300          -      18,100
TEMPLE INLAND INC          Common        879868107         449       9,450      x       6        9,450          -           -
TENET HEALTHCARE CORP      Common        88033G100         644      10,800      x       6       10,800          -           -
TERADYNE INC               Common        880770102          59       3,000      x       6        3,000          -           -
TEREX CORP NEW             Common        880779103       9,085     510,100      x       6      498,000          -      12,100
TESCO PLC-ADR              Common        881575302         925      81,380      x       6        5,145          -      76,615
TESORO PETROLEUM           Common        881609101      10,351     871,912      x       6      843,960      1,300      28,045
TEXACO INC                 Common        881694103      27,830     428,733      x       6      420,548          -       8,375
TEXAS INDS INC             Common        882491103       6,878     222,583      x       6      215,983          -       6,600
THERAGENICS CORP           Common        883375107         269      29,100      x       6       25,500          -       3,600
THERMO ELECTRON CORP       Common        883556102         126       7,000      x       6        7,000          -           -
THOMAS GROUP INC           Common        884402108         219      67,400      x       6       65,800          -       1,600
THOMAS INDS INC            Common        884425109         196       9,100      x       6        9,100          -           -
THOR INDS INC              Common        885160101       4,879     178,700      x       6      172,800          -       5,900
3COM CORP                  Common        885535104       4,398   1,172,930      x       6    1,097,530          -      75,400
THREE RIVS BANCORP INC     Common        88562Q107         919      86,300      x       6       83,500          -       2,800
3TEC ENERGY CORP           Common        88575R308       1,700     119,300      x       6      119,300          -           -
TIDEWATER INC              Common        886423102      22,646     849,745      x       6      778,280          -      72,225
TIMBERLAND BANCORP INC     Common        887098101         921      62,200      x       6       60,500          -       1,700
TODD SHIPYARDS CORP DEL    Common        889039103         542      69,900      x       6       67,800          -       2,100
TODDLERWATCH.COM           Common        889043923           -      10,000      x       6       10,000
TODHUNTER INTL INC DEL     Common        889050100         269      31,600      x       6       29,300          -       2,300
TOPPS INC                  Common        890786106       9,681   1,008,400      x       6      983,400          -      25,000
TORCHMARK CORP             Common        891027104       5,383     138,025      x       6      138,025          -           -
TORO CO                    Common        891092108       7,979     191,210      x       6      180,575        970      10,350
TOWER AUTOMOTIVE INC       Common        891707101       8,137   1,134,900      x       6    1,108,300          -      26,600
TOYOTA MTR LTD             Common        892331307       4,588      85,576      x       6       77,006          -       8,895
TOYS R US INC              Common        892335100         385      22,350      x       6       22,350          -           -
TPG N V SPONS ADR          Common        892339102           6         300      x       6            -          -         300
TRACTOR SUPPLY CO          Common        892356106       3,602     189,700      x       6      185,400          -       4,300
TRAFFIX INC                Common        892721101       1,147     290,500      x       6      281,200          -       9,300
TRAMMELL CROW CO           Common        89288R106       8,613     861,300      x       6      844,100          -      17,200
TRANS WORLD ENTMT COR      Common        89336Q100       3,054     397,755      x       6      381,195      2,590      16,250
TRANSPORT CORP OF AMER I   Common        89385P102         388      70,400      x       6       69,400          -       1,000
TRANSTECHNOLOGY CORP DEL   Common        893889105          63       4,600      x       6        2,900          -       1,700
TRAVIS BOATS & MTRS INC    Common        894363100          92      43,000      x       6       43,000          -           -
TREDEGAR CORP              Common        894650100          17       1,000      x       6            -          -       1,000
TRENDWEST RESORTS INC      Common        894917103       4,384     177,150      x       6      177,150          -           -
TRIARC COS INC             Common        895927101       3,905     169,424      x       6      159,714      1,750       9,580
TRICON GLOBAL RESTAURANT   Common        895953107       3,173      80,890      x       6       80,890          -           -
TRICO BANCSHARES           Common        896095106         492      25,500      x       6       25,500          -           -
TRIGON HEALTHCARE INC      Common        89618L100       5,242      80,030      x       6       80,030          -           -
TRINITY INDS INC           Common        896522109       3,936     181,800      x       6      181,800          -           -
TRIUMPH GROUP INC NEW      Common        896818101       1,517      65,100      x       6       65,100          -           -
TROPICAL SPORTSWEAR INTL   Common        89708P102       2,092     123,400      x       6      119,000          -       4,400
TRUST CO NJ JERSEY CITY    Common        898304100       4,124     164,300      x       6      164,300          -           -
TUBOS DE ACERO(898592506   Common        898592506       3,763     418,080      x       6      264,080          -           -
TUCKER ANTHONY SUTRO       Common        898647102          45       1,900      x       6        1,900          -           -
TYCO INTL LTD NEW COM      Common        902124106       9,705     213,470      x       6      202,534          -      11,440
TYSON FOODS INC            Common        902494103           3         250      x       6          250          -           -
UAL CORP                   Common        902549500       2,472     135,400      x       6      121,000          -      14,400
USX MARATHON GROUP         Common        902905827      31,348   1,173,161      x       6    1,106,501          -      66,825
UST INC                    Common        902911106           7         200      x       6          200          -           -
USA TRUCK INC              Common        902925106          75      10,200      x       6       10,200          -           -
US BANCORP DEL             Common        902973304       7,313     329,696      x       6      329,696          -           -
URS CORP NEW               Common        903236107       6,026     262,000      x       6      256,200          -       5,800
USANA HEALTH SCIENCES IN   Common        90328M107         173      96,100      x       6       92,500          -       3,600
USEC INC                   Common        90333E108       6,614   1,028,600      x       6      990,400          -      38,200
U S CONCRETE INC           Common        90333L102         236      32,500      x       6       32,500          -           -
USX-U S STL                Common        90337T101       1,738     124,355      x       6      124,355          -           -
U S XPRESS ENTERPRISES I   Common        90338N103          76      14,000      x       6       14,000          -           -
UGLY DUCKLING CORP         Common        903512101         590     213,100      x       6      207,400          -       5,700
USA ED INC                 Common        90390U102       1,470      17,730      x       6       17,730          -           -
UNIFIRST CORP MASS         Common        904708104       2,692     159,300      x       6      159,300          -           -
UNILEVER ADR(904784709)    Common        904784709         300       5,560      x       6        5,560          -           -
UNION ACCEP CORP           Common        904832102         436      72,600      x       6       71,600          -       1,000
UNION PAC CORP             Common        907818108          71       1,518      x       6        1,518          -           -
UNION PACIFIC              PFD CV        907824205         126       2,800      x       6        2,800          -           -
UNION PLANTERS CORP        Common        908068109           6         150      x       6          150          -           -
UNISOURCE ENERGY CORP      Common        909205106       8,480     605,700      x       6      590,600          -      15,100
UNITED AUTO GROUP INC      Common        909440109       5,927     356,200      x       6      347,700          -       8,500
UNITED DOMINION RLTY       Common        910197102         152      10,606      x       6          606          -      10,606
UNITED PARCEL SERVICE IN   Common        911312106          19         366      x       6          366          -           -
UNITED RENTALS INC         Common        911363109       6,003     346,200      x       6      346,200          -           -
UNITED RETAIL GROUP INC    Common        911380103         296      46,900      x       6       43,500          -       3,400
UNITED STATIONERS INC      Common        913004107      17,674     591,700      x       6      573,200          -      18,500
UNITED TECHNOLOGIES CORP   Common        913017109      10,011     215,300      x       6      215,300          -           -
UNIVERSAL AMERN FINL COR   Common        913377107         733     132,100      x       6      129,000          -       3,100
UNIVERSAL CORP VA          Common        913456109      18,013     539,800      x       6      523,800          -      16,000
UNIVERSAL FST PRODS INC    Common        913543104       7,365     387,200      x       6      375,400          -      11,800
UNIVERSAL STAINLESS & AL   Common        913837100         689      97,000      x       6       95,000          -       2,000
UNOCAL CORP                Common        915289102           8         250      x       6          250          -           -
UNUMPROVIDENT CORP         Common        91529Y106      17,961     713,876      x       6      623,521          -      90,905
UPM KYMMENE CORP           Common        915436109       5,332     192,188      x       6      191,853          -         335
USFREIGHTWAYS CORP CO      Common        916906100      26,564     849,203      x       6      828,773        820      20,615
URBAN OUTFITTERS INC       Common        917047102         228      20,400      x       6       20,400          -           -
UTAH MED PRODS INC         Common        917488108         360      35,067      x       6       33,951          -       1,116
V F CORP                   Common        918204108           4         150      x       6          150          -           -
VARIAN SEMICONDUCTOR EQU   Common        922207105      13,941     539,300      x       6      524,200          -      15,100
VERIZON                    Common        92343V104      45,199     833,796      x       6      772,402          -      62,226
VESTA INS GROUP INC        Common        925391104         110       8,400      x       6        8,400          -           -
VIACOM INC                 Common        925524308          35       1,000      x       6        1,000          -           -
VIALTA INC                 Common        92554D108           1       1,892      x       6        1,892          -           -
VICON INDS INC             Common        925811101         129      38,000      x       6       37,700          -         300
VILLAGE SUPER MKT INC      Common        927107409          67       3,800      x       6        3,800          -           -
VINTAGE PETE INC           Common        927460105      27,012   1,703,433      x       6    1,675,843      2,040      27,110
VISHAY INTERTECHNOLOGY I   Common        928298108       3,011     163,660      x       6      163,660          -           -
VISTEON CORP               Common        92839U107           2         170      x       6          170          -           -
VIVENDI UNIVERSAL          Common        92851S204       5,847     128,195      x       6      121,476          -       7,345
VOLT INFORMATION SCIENCE   Common        928703107         539      45,000      x       6       45,000          -           -
VULCAN MATLS CO            Common        929160109           6         150      x       6          150          -           -
WFS FINL INC               Common        92923B106       1,567      88,272      x       6       86,439          -       1,833
WPP GROUP PLC SPONS A      Common        929309300       2,832      77,940      x       6       76,370          -       1,980
WSFS FINL CORP             Common        929328102       3,357     203,700      x       6      197,500          -       6,200
WVS FINL CORP              Common        929358109          16       1,000      x       6        1,000          -           -
WABASH NATL CORP           Common        929566107       1,003     145,300      x       6      145,300          -           -
WABTEC CORP                Common        929740108       6,319     579,700      x       6      562,600          -      17,100
WACKENHUT CORRECTIONS CO   Common        929798106         580      43,300      x       6       40,800          -       2,500
WACHOVIA GROUP COM         Common        929903102      48,023   1,549,815      x       6    1,468,035          -      82,760
WACHOVIA CORP (CONTRA)     Common        929990372           -      28,405      x       6       28,405
WADDELL & REED FINL INC    Common        930059100         179       6,900      x       6        6,900          -           -
WALLACE COMPUTER SERVICE   Common        932270101       8,786     552,600      x       6      543,200          -       9,400
WARREN BANCORP INC         Common        934710104         200      22,400      x       6       21,900          -         500
WASHINGTON FED INC         Common        938824109       8,691     349,168      x       6      340,091      1,682       9,179
WASHINGTON MUT INC         Common        939322103       8,346     216,895      x       6      216,895          -           -
WATSCO INC                 Common        942622200         720      55,000      x       6       50,800          -       4,200
WATTS INDS INC             Common        942749102       3,055     233,200      x       6      233,200          -           -
WEBMD CORP COM             Common        94769M105       1,501     363,760      x       6      310,505          -      54,145
WEBSTER FINL CORP CONN     Common        947890109       3,082      93,500      x       6       93,500          -           -
WELLMAN INC                Common        949702104         797      69,050      x       6       54,050          -      15,900
WELLS FARGO & CO NEW       Common        949746101       3,444      77,471      x       6       77,471          -           -
WELLSFORD REAL PPTYS       Common        950240200       4,206     220,195      x       6      207,005      2,280      12,585
WESCO INTL INC             Common        95082P105       4,617     896,600      x       6      873,500          -      23,100
WEST COAST BANCORP ORE N   Common        952145100         148      10,950      x       6       10,950          -           -
WESTAFF INC                Common        957070105         463     287,500      x       6      279,800          -       7,700
WESTBANK CORP              Common        957116106          66       6,800      x       6        6,800          -           -
WESTCOAST HOSPITALITY CO   Common        95750P106          56       9,200      x       6        9,200          -           -
WESTCORP INC               Common        957907108         175      10,200      x       6       10,200          -           -
WESTERN RESOURCES, IN      Common        959425109       7,539     459,483      x       6      435,278        610      23,980
WEYERHAEUSER CO            Common        962166104          10         200      x       6          200          -           -
WHIRLPOOL CORP             Common        963320106       1,179      21,300      x       6       21,300          -           -
WHITEHALL JEWELLERS INC    Common        965063100          51       5,500      x       6        5,500          -           -
WILLIAMS COMMUNICATIO      Common        969455104       2,100   1,788,749      x       6    1,643,736          -     146,001
WILLIAMS COS INC COM       Common        969457100      34,031   1,247,537      x       6    1,174,287          -      73,645
WILLIAMS CLAYTON ENERGY    Common        969490101         734      78,800      x       6       73,400          -       5,400
WILLIS LEASE FINANCE COR   Common        970646105         333      52,700      x       6       50,400          -       2,300
WILSONS THE LEATHER EXPE   Common        972463103       2,819     311,800      x       6      301,900          -       9,900
WISCONSIN CENT TRANSN CO   Common        976592105       3,614     211,600      x       6      211,600          -           -
WOLTERS KLUWER N V AD      Common        977874205       6,818     308,766      x       6      273,893          -      35,773
WOLVERINE TUBE INC         Common        978093102       2,710     268,359      x       6      260,759          -       7,600
WOODWARD GOVERNOR CO       Common        980745103       1,405      29,000      x       6       29,000          -           -
WORKFLOW MGMT INC          Common        98137N109         891     274,000      x       6      266,400          -       7,600
WORLD ACCEP CORP DEL       Common        981419104       2,836     405,100      x       6      393,900          -      11,200
WORLD FUEL SVCS CORP       Common        981475106       2,074     222,800      x       6      216,600          -       6,200
WORLD WRESTLING FEDN       Common        98156Q108       2,530     199,625      x       6      187,270      2,000      11,500
WORLDCOM INC               Common        98157D106      57,751   3,843,602      x       6    3,601,257          -     243,255
WORLDCOM INC WORLDCOM      Common        98157D304       4,029     264,989      x       6      238,860          -      26,212
WORTHINGTON INDS INC       Common        981811102       1,496     133,000      x       6      133,000          -           -
XCEL ENERGY INC            Common        98389B100           4         150      x       6          150          -           -
XETA TECHNOLOGIES INC      Common        983909102         347      80,600      x       6       76,500          -       4,100
XETEL CORP                 Common        983942103          31      32,400      x       6       30,100          -       2,300
XEROX CORP                 Common        984121103           2         260      x       6          260          -           -
XYBERNAUT CORP             Common        984149104           0         100      x       6          100          -           -
YARDVILLE NATL BANCORP     Common        985021104       1,863     154,600      x       6      150,300          -       4,300
YELLOW CORP                Common        985509108      12,367     608,022      x       6      594,122          -      13,900
YORK GROUP INC             Common        986632107         366      35,500      x       6       35,500          -           -
YORK INTL CORP NEW         Common        986670107      12,925     451,300      x       6      435,700          -      15,600
ZALE CORP NEW              Common        988858106      22,021     831,620      x       6      815,020          -      16,600
ZOMAX INC MINN             Common        989929104       3,347     616,300      x       6      601,700          -      14,600
AFSC EQUITY FUND           Common        BLA111113      13,769     601,521      x       6          521          -     601,521
ACE LTD                    Common        G0070K103      38,336   1,327,855      x       6    1,298,190          -      29,700
ANNUITY & LIFE RE HLD      Common        G03910109      10,882     322,970      x       6      317,271      1,040       5,606
ACCENTURE LTD BERMUDA      Common        G1150G111       1,845     144,700      x       6      133,800          -      10,900
EVEREST RE GROUP           Common        G3223R108      10,682     165,508      x       6      163,548        470       2,350
RENAISSANCE RE HLDGS LTD   Common        G7496G103      18,148     204,120      x       6      201,320          -       2,800
SMITH & NEPHEW P L C       Common        G82343164         315      59,405      x       6       57,893          -       1,917
TRANSOCEAN SEDCO FORE      Common        G90078109      15,206     580,292      x       6      510,682          -      69,880
XL CAPITAL LTD.            Common        G98255105      10,488     132,740      x       6      130,452          -       3,152
ROYAL CARIBBEAN CRUIS      Common        V7780T103       1,302     125,470      x       6      122,805          -       3,420
TEEKAY SHIPPING MARSHALL   Common        Y8564W103          59       1,900      x       6        1,900          -           -



                     FORM 13F  Name of Reporting Manager:    Legg Mason, Inc.
                                                                (On Behalf of Gray Seifert & Co., Inc.
                                                                 For Positions Held as of 09/30/2001)


            (1)              (2)          (3)     (4)      (5)    (6)    (7)            (8)
      Name of Issuer     Title of Class  CUSIP    FMV    Shares Inv Disc Other   Voting Authority (Shs.)
                                                (x1000)       (a)(b)(c)   Mgr  (a)      (b)      (c)

                                                                

***ALBERTA ENERGY CO LTD   COMMON     012873105  2,886   85,000   X       7   85000
***AMDOCS LIMITED          COMMON     G02602103  1,841   69,100   X       7   69100
***BP P L C SPONSORED ADR  COMMON     055622104  1,810   36,827   X       7   36827
***ELAN CORP PLC-ADR       COMMON     284131208  3,785   78,125   X       7   78125
***MANULIFE FINANCIAL CORP COMMON     56501R106  4,892  186,675   X       7  186675
***ROYAL DUTCH PETROLEUM COCOMMON     780257804    566   11,269   X       7   11269
***SUN LIFE FINANCIAL SERVICOMMON     866796105    635   31,725   X       7   31725
ABBOTT LABS                COMMON     002824100    436    8,400   X       7    8400
AFFILIATED MANAGERS GROUP ICOMMON     008252108  2,913   51,285   X       7   51285
AFLAC INC                  COMMON     001055102    108    4,000   X       7    4000
ALBERTA ENERGY LTD         COMMON     0012873105 2,430   71,583   X       7   71583
ALLERGAN INC               COMMON     018490102  6,365   96,000   X       7   96000
ALLMERICA FINL CORP        COMMON     019754100     27      600   X       7     600
AMBAC FINL GROUP INC       COMMON     023139108     74    1,357   X       7    1357
AMER INTERNATIONAL GROUP INCOMMON     026874107 21,605  276,986   X       7  276986
AMER LANGUAGE KOLLEGE      AMER LANGUA013990106     90      800   X       7     800
AMERICAN EXPRESS COMPANY   COMMON     025816109  1,325   45,600   X       7   45600
AMERICAN HOME PRODUCTS CORPCOMMON     026609107  1,037   17,800   X       7   17800
AMERICAN ITALIAN PASTA CO-CCOMMON     027070101  7,486  173,075   X       7  173075
AMGEN INC                  COMMON     031162100     53      900   X       7     900
AMPERSAND INTL GROUP INC   COMMON     000706TD3     40       12   X       7      12
AMPERSAND IV               COMMON STOC032991200    160       48   X       7      48
AMSOUTH BANCORPORATION     COMMON     032165102      -        -   X       7       0
ANADARKO PETROLEUM CORP    COMMON     032511107  4,956  103,083   X       7  103083
ANGLO AMERICAN PROPERTIE   COMMON REST018990101      -      277   X       7     277
AOL TIME WARNER INC        COMMON     00184A105  3,009   90,915   X       7   90915
APACHE CORP                COMMON     037411105  6,889  160,205   X       7  160205
APOGENT TECHNOLOGIES INC   COMMON     03760A101     96    4,000   X       7    4000
ARCHSTONE CMNTYS TR        SH BEN INT 039581103      9      334   X       7     334
BALLARD PWR SYS INC        COMMON     05858H104     20    1,000   X       7    1000
BANK NEW YORK INC          COMMON     064057102  1,225   35,000   X       7   35000
BANK OF AMERICA CORP       COMMON     060505104    174    2,975   X       7    2975
BANK OF THE NORTHWEST PO   COMMON     064206105    328   22,000   X       7   22000
BANKNORTH GROUP INC NEW    COMMON     06646R107  3,456  154,825   X       7  154825
BAXTER INTERNATIONAL INC   COMMON     071813109  9,194  167,000   X       7  167000
BB&T CORP                  COMMON     054937107  4,899  134,401   X       7  134401
BERKSHIRE HATHAWAY INC D   CL B       084670207     28       12   X       7      12
BERKSHIRE HATHAWAY INC-DEL COMMON     084670108    350        5   X       7       5
BIOMET INC                 COMMON     090613100  1,777   60,750   X       7   60750
BISYS GROUP INC            COMMON     055472104  7,296  137,611   X       7  137611
BRISTOL MYERS SQUIBB CO    COMMON     110122108    400    7,200   X       7    7200
BRISTOL MYERS SQUIBB CO    COMMON     110122108    727   13,090   X       7   13090
BURLINGTON RES INC         COMMON     122014103    148    4,325   X       7    4325
BURLINGTON RESOURCES INC   COMMON     122014103    346   10,125   X       7   10125
CARDINAL HEALTH INC        COMMON     14149Y108     75    1,012   X       7    1012
CASCADE BANCORP            COMMON     147154108    960   73,840   X       7   73840
CASCADE BANCORP            COMMON     147154108    228   17,560   X       7   17560
CENTENNIAL BANCORP         COMMON     15133T104     87   11,550   X       7   11550
CHEVRON CORPORATION        COMMON     166751107  1,853   21,867   X       7   21867
CHUBB CORP                 COMMON     171232101    143    2,000   X       7    2000
CISCO SYSTEMS INC          COMMON     17275R102  4,579  375,908   X       7  375908
CITIGROUP INC              COMMON     172967101  6,340  156,534   X       7  156534
CITIGROUP INC              COMMON     172967101  1,908   47,117   X       7   47117
CITY NATIONAL CORP         COMMON     178566105    511   11,850   X       7   11850
CITY NATL CORP             COMMON     178566105  1,389   32,200   X       7   32200
COBIZ INC                  COMMON     190897108    832   64,500   X       7   64500
COBIZ INC                  COMMON     190897108    570   44,200   X       7   44200
COLGATE PALMOLIVE CO       COMMON     194162103  8,103  139,100   X       7  139100
COLGATE PALMOLIVE CO       COMMON     194162103  4,908   84,250   X       7   84250
COLUMBIA BANCORP           COMMON     197227101    144   10,000   X       7   10000
COMCAST CORP               CL A SPL   200300200  3,131   87,300   X       7   87300
COMCAST CORP CL A-SPL      COMMON     200300200  2,050   57,155   X       7   57155
COMERICA INC               COMMON     200340107    720   13,000   X       7   13000
COMMERCE BANCSHARES INC    COMMON     200525103  3,042   80,852   X       7   80852
COMMERCE BANCSHARES INC    COMMON     200525103  2,787   74,077   X       7   74077
CONAGRA FOODS INC          COMMON     205887102    135    6,000   X       7    6000
CONCORD EFS INC            COMMON     206197105  6,803  138,975   X       7  138975
CONCORD EFS INC            COMMON     206197105  5,944  121,425   X       7  121425
CONSOLIDATED EDISON INC    COMMON     209115104    649   15,950   X       7   15950
CONTOUR ENERGY CO          COMMON     21220C103      -       12   X       7      12
COSTCO WHOLESALE CORP-NEW  COMMON     22160K105  4,541  127,700   X       7  127700
COX COMMUNICATIONS INC     COMMON     224044107  1,025   24,550   X       7   24550
COX COMMUNICATIONS INC N   CL A       224044107  2,818   67,500   X       7   67500
CSG SYS INTL INC           COMMON     126349109  2,263   55,200   X       7   55200
CSG SYSTEMS INTERNATIONAL ICOMMON     126349109  1,320   32,200   X       7   32200
CULLEN FROST BANKERS INC   COMMON     229899109  1,576   58,475   X       7   58475
CULLEN FROST BANKERS INC   COMMON     229899109    873   32,400   X       7   32400
CVS CORP                   COMMON     126650100  2,688   80,966   X       7   80966
CVS CORP                   COMMON     126650100  1,557   46,909   X       7   46909
DEVON ENERGY CORPORATION NECOMMON     25179M103  3,331   96,825   X       7   96825
DOMINION RES INC VA        COMMON     257470104     10      250   X       7     250
DOVER CORP                 COMMON     260003108     36    1,200   X       7    1200
DOW CHEM CO                COMMON     260543103    295    9,000   X       7    9000
DST SYS INC DEL            COMMON     233326107  4,379  101,250   X       7  101250
DST SYSTEMS INC-DEL        COMMON     233326107  1,482   34,275   X       7   34275
DU PONT E I DE NEMOURS &   COMMON     263534109     54    1,440   X       7    1440
DUKE ENERGY CORP           COMMON     264399106  1,711   45,200   X       7   45200
DUKE ENERGY CORP           COMMON     264399106  1,951   51,550   X       7   51550
DURAMED PHARMACEUTICALS    COMMON     266354109     20    1,000   X       7    1000
EAGLE GEOPHYSICAL INC      COMMON     269524104      -      322   X       7     322
EASTMAN CHEM CO            COMMON     277432100      1       30   X       7      30
EASTMAN KODAK CO           COMMON     277461109     24      740   X       7     740
ECHOSTAR COMMUNICATIONS    CL A       278762109  1,880   80,800   X       7   80800
ECO SOIL SYSTEMS INC       COMMON     278858105      1   14,000   X       7   14000
EDWARDS AG INC             COMMON     281760108    506   14,400   X       7   14400
EL PASO CORPORATION        COMMON     28336L109  2,854   68,705   X       7   68705
ELAN PLC                   DEPOSITORY 284131208  3,189   65,825   X       7   65825
ELI LILLY & CO             COMMON     532457108  6,486   80,375   X       7   80375
ENRON CORP                 COMMON     293561106  2,094   76,900   X       7   76900
ENRON CORP                 COMMON     293561106    376   13,800   X       7   13800
EOG RES INC                COMMON     26875P101    629   21,750   X       7   21750
ESTEE LAUDER COMPANIES INC COMMON     518439104    215    6,500   X       7    6500
EXXON MOBIL CORP           COMMON     30231G102 11,195  284,154   X       7  284154
FANNIE MAE                 COMMON     313586109    516    6,450   X       7    6450
FEDERAL HOME LN MTG CORP   COMMON     313400301  1,521   23,400   X       7   23400
FEDERAL NATL MTG ASSN      COMMON     313586109  2,818   35,200   X       7   35200
FEDERATED INVS INC PA      CL B       314211103    681   23,000   X       7   23000
FIDELITY BANKSHARES INC    COMMON     31604Q107    334   25,000   X       7   25000
FIFTH THIRD BANCORP        COMMON     316773100  5,518   89,750   X       7   89750
FIFTH THIRD BANCORP        COMMON     316773100  3,176   51,665   X       7   51665
FINANCIAL FED CORP         COMMON     317492106    441   18,000   X       7   18000
FIRST DATA CORP            COMMON     319963104  3,874   66,500   X       7   66500
FIRST DATA CORP            COMMON     319963104  1,785   30,640   X       7   30640
FISERV INC                 COMMON     337738108  9,284  271,460   X       7  271460
FISERV INC                 COMMON     337738108  5,804  169,703   X       7  169703
FLEETBOSTON FINL CORP      COMMON     339030108     62    1,700   X       7    1700
FLEETBOSTON FINL CORP      COMMON     339030108    211    5,728   X       7    5728
FORD MTR CO DEL            COM PAR $0.345370860     76    4,370   X       7    4370
FRANKLIN RES INC           COMMON     354613101     45    1,284   X       7    1284
GANNETT INC                COMMON     364730101    100    1,667   X       7    1667
GENERAL ELEC CO            COMMON     369604103 23,363  628,036   X       7  628036
GENERAL ELECTRIC CO        COMMON     369604103  5,300  142,469   X       7  142469
GENERAL MILLS INC          COMMON     370334104    496   10,900   X       7   10900
GENERAL MLS INC            COMMON     370334104    855   18,800   X       7   18800
GENERAL MOTORS CORP-CL H NECOMMON     370442832  1,365  102,412   X       7  102412
GENERAL MTRS CL H          CL H NEW   370442832  3,027  227,100   X       7  227100
GILLETTE CO                COMMON     375766102  1,991   66,800   X       7   66800
GILLETTE CO                COMMON     375766102    691   23,200   X       7   23200
GLAXOSMITHKLINE PLC        DEPOSITORY 37733W105     19      341   X       7     341
GREATER BAY BANCORP        COMMON     391648102  2,963  127,311   X       7  127311
GREATER BAY BANCORP        COMMON     391648102  3,641  156,475   X       7  156475
H E R C PRODS INC          COMMON     404165102      -    5,000   X       7    5000
HAIN CELESTIAL GROUP INC   COMMON     405217100     16      875   X       7     875
HANCOCK JOHN FINL SVCS INC COMMON     41014S106  5,993  150,015   X       7  150015
HANDYMAN CORP LIQUID TR    COMMON     525996104      1    1,000   X       7    1000
HARBOR FLA BANCSHARES IN   COMMON     411901101  1,810  101,300   X       7  101300
HARBOR FLORIDA BANCSHARES ICOMMON     411901101  1,559   87,253   X       7   87253
HEALTH MGMT ASSOC INC NE   CL A       421933102    118    5,667   X       7    5667
HENRY JACK & ASSOC INC     COMMON     426281101  3,215  141,707   X       7  141707
HENRY JACK & ASSOCIATES INCCOMMON     426281101  3,590  158,208   X       7  158208
HERSHEY FOODS CORP         COMMON     427866108  3,602   55,105   X       7   55105
HERSHEY FOODS CORP         COMMON     427866108  3,936   60,211   X       7   60211
HOME DEPOT INC             COMMON     437076102  2,699   70,352   X       7   70352
HOME DEPOT INC             COMMON     437076102    248    6,464   X       7    6464
HOMEFED CORP               COM NEW    43739D208      1    1,188   X       7    1188
HOOPER HOLMES INC          COMMON     439104100    522   83,600   X       7   83600
HOOPER HOLMES INC          COMMON     439104100    418   66,950   X       7   66950
IBERIABANK CORP            COMMON     450828108    429   15,000   X       7   15000
INTEL CORP                 COMMON     458140100  4,393  214,902   X       7  214902
INTEL CORP                 COMMON     458140100  1,206   59,000   X       7   59000
INTERNATIONAL BUSINESS     COMMON     459200101  3,881   42,314   X       7   42314
INTERNATIONAL BUSINESS M   COMMON     459200101  7,471   81,456   X       7   81456
J P MORGAN CHASE & CO      COMMON     46625H100  6,315  184,920   X       7  184920
JEFFERSON PILOT CORP       COMMON     475070108  3,574   80,352   X       7   80352
JEFFERSON PILOT CORP       COMMON     475070108  2,571   57,807   X       7   57807
JOHNSON & JOHNSON          COMMON     478160104  7,003  126,409   X       7  126409
JOHNSON & JOHNSON          COMMON     478160104  7,890  142,416   X       7  142416
KENDLE INTERNATIONAL INC   COMMON     48880L107     39    2,000   X       7    2000
KIMBERLY CLARK CORP        COMMON     494368103    297    4,792   X       7    4792
KIMCO REALTY CORP          COMMON     49446R109  1,008   20,769   X       7   20769
KOHLS CORP                 COMMON     500255104  2,256   47,000   X       7   47000
KROGER CO                  COMMON     501044101  4,818  195,550   X       7  195550
KROGER CO                  COMMON     501044101  4,225  171,450   X       7  171450
L OREAL CO                 DEPOSITORY 502117203  1,517  110,000   X       7  110000
LAUDER ESTEE COS INC       CL A       518439104  1,730   52,200   X       7   52200
LEGG MASON INC             COMMON     524901105  1,296   32,600   X       7   32600
LEGG MASON INC             COMMON     524901105  1,068   26,850   X       7   26850
LEHMAN BROS HLDGS INC      COMMON     524908100  2,729   48,000   X       7   48000
LIBERTY MEDIA CORP. A      COM SER A  530718105     41    3,200   X       7    3200
LILLY ELI & CO             COMMON     532457108  7,326   90,782   X       7   90782
LINCOLN NATIONAL CORP-IND  COMMON     534187109    699   15,000   X       7   15000
LINCOLN NATL CORP IND      COMMON     534187109  4,595   98,550   X       7   98550
LOEWS CORP                 COMMON     540424108    370    8,000   X       7    8000
LOUIS DREYFUS NAT GAS CO   COMMON     546011107  2,400   61,700   X       7   61700
LOUIS DREYFUS NATURAL GAS CCOMMON     546011107  2,758   70,900   X       7   70900
LSI INDS INC               COMMON     50216C108     50    2,000   X       7    2000
M & T BANK CORP            COMMON     55261F104  6,120   82,700   X       7   82700
MARSH & MCLENNAN COS INC   COMMON     571748102  3,191   33,000   X       7   33000
MARSHALL & ILSLEY CORP     COMMON     571834100    862   15,200   X       7   15200
MARSHALL & ILSLEY CORP     COMMON     571834100    300    5,300   X       7    5300
MASSBANK CORP READ MASS    COMMON     576152102     30      800   X       7     800
MATTEL INC                 COMMON     577081102     12      747   X       7     747
MCDONALDS CORP             COMMON     580135101    244    9,000   X       7    9000
MEDTRONIC INC              COMMON     585055106  1,465   33,683   X       7   33683
MEDTRONIC INC              COMMON     585055106  1,049   24,106   X       7   24106
MERCANTILE BANKSHARES CO   COMMON     587405101  1,147   28,900   X       7   28900
MERCANTILE BANKSHARES CORP COMMON     587405101    432   10,875   X       7   10875
MERCK & CO INC             COMMON     589331107  3,855   57,884   X       7   57884
MERCK & CO INC             COMMON     589331107  2,959   44,434   X       7   44434
MERRILL LYNCH & CO INC     COMMON     590188108     16      400   X       7     400
METLIFE INC                COMMON     59156R108     92    3,100   X       7    3100
MICROSOFT CORP             COMMON     594918104  2,042   39,910   X       7   39910
MICROSOFT CORP             COMMON     594918104    455    8,900   X       7    8900
MID-STATE BANCSHARES       COMMON     595440108  1,203   70,450   X       7   70450
MID-STATE BANCSHARES       COMMON     595440108    485   28,400   X       7   28400
MINNESOTA MNG & MFG CO     COMMON     604059105    197    2,000   X       7    2000
MIRANT CORP                COMMON     604675108    438   20,000   X       7   20000
MISSISSIPPI VY BANCSHARE   COMMON     605720101    570   15,000   X       7   15000
MOLEX INC                  CL A       608554200     36    1,500   X       7    1500
NABORS INDS INC            COMMON     629568106     72    3,425   X       7    3425
NABORS INDUSTRIES INC      COMMON     629568106    246   11,725   X       7   11725
NARA BANCORP INC           COMMON     63080P105    366   20,000   X       7   20000
NATIONAL COMMERCE FINANCIALCOMMON     63545P104  7,134  273,325   X       7  273325
NATIONAL-OILWELL INC       COMMON     637071101     72    4,975   X       7    4975
NATIONAL-OILWELL INC       COMMON     637071101    268   18,475   X       7   18475
NATIONWIDE FINL SVCS INC   CL A       638612101    653   17,550   X       7   17550
NESTLE S A                 DEPOSITORY 641069406    939   17,600   X       7   17600
NEUBERGER BERMAN INC       COMMON     641234109     21      600   X       7     600
NEW YORK TIMES CO          CL A       650111107     10      268   X       7     268
NEXTEL COMMUNICATIONS INC-CCOMMON     65332V103    977  113,060   X       7  113060
NOMAS CORP                 NEV        65531N100      -      405   X       7     405
NORTH FORK BANCORPORATIO   COMMON     659424105  5,517  185,513   X       7  185513
NORTH FORK BANCORPORATION ICOMMON     659424105  3,928  132,062   X       7  132062
NORTHERN TR CORP           COMMON     665859104 10,473  199,556   X       7  199556
NORTHERN TRUST CORP        COMMON     665859104  3,675   70,030   X       7   70030
NORTHRIM BANK-ANCHORAGE ALACOMMON     666764105  1,817  130,700   X       7  130700
NORTHRIM BK ALASKA         COMMON     666764105  2,389  171,875   X       7  171875
OLD KENT FINL CORP         COMMON     679833103      -        1   X       7       1
ORACLE CORP                COMMON     68389X105  1,003   79,700   X       7   79700
OXFORD HEALTH PLANS INC    COMMON     691471106      5      173   X       7     173
PACIFIC CAPITAL BANCORP-NEWCOMMON     69404P101  3,215  111,000   X       7  111000
PACIFIC CENTY FINL CORP    COMMON     694058108    584   25,000   X       7   25000
PACIFIC NORTHWEST BANCOR   COMMON     69466M103    407   20,000   X       7   20000
PALM INC                   COMMON     696642107      2    1,251   X       7    1251
PANCANADIAN PETE LTD       COM NEW    698900206    689   28,850   X       7   28850
PENNSYLVANIA COMMERCE      COMMON     708677109    853   25,096   X       7   25096
PEPSICO INC                COMMON     713448108    535   11,040   X       7   11040
PEPSICO INC                COMMON     713448108    403    8,300   X       7    8300
PFIZER INC                 COMMON     717081103  5,971  148,899   X       7  148899
PFIZER INC                 COMMON     717081103  9,860  245,875   X       7  245875
PHILADELPHIA CONS HLDG C   COMMON     717528103  2,363   68,025   X       7   68025
PHILADELPHIA CONSOLIDATED  COMMON     717528103  1,751   50,400   X       7   50400
POWER SPECTRA INC          COMMON     738901107      -      300   X       7     300
PRAXAIR INC                COMMON     74005P104  2,982   71,000   X       7   71000
PRICE T ROWE GROUP INC     COMMON     74144T108    609   20,800   X       7   20800
PROCTER & GAMBLE CO        COMMON     742718109 10,373  142,504   X       7  142504
PROCTER & GAMBLE CO        COMMON     742718109  4,550   62,510   X       7   62510
PROTECTIVE LIFE CORP       COMMON     743674103  2,617   90,225   X       7   90225
PROTECTIVE LIFE CORP       COMMON     743674103  1,781   61,425   X       7   61425
QWEST COMMUNICATIONS INT   COMMON     749121109    351   21,013   X       7   21013
RAYMOND JAMES FINANCIAL    COMMON     754730109     22      800   X       7     800
RIVIANA FOODS INC          COMMON     769536103    734   42,350   X       7   42350
RIVIANA FOODS INC-DEL      COMMON     769536103    481   27,750   X       7   27750
ROSLYN BANCORP INC         COMMON     778162107    833   45,000   X       7   45000
ROYAL DUTCH PETE CO        DEPOSITORY 780257804  1,666   33,150   X       7   33150
SAFEWAY INC                COM NEW    786514208  3,205   80,700   X       7   80700
SAFEWAY INC                COMMON     786514208  2,593   65,284   X       7   65284
SBC COMMUNICATIONS INC     COMMON     78387G103    623   13,223   X       7   13223
SCHERING PLOUGH CORP       COMMON     806605101  1,572   42,367   X       7   42367
SCHLUMBERGER LTD           COMMON     806857108  1,307   28,600   X       7   28600
SEACOAST BKG CORP FLA      CL A       811707108    506   12,000   X       7   12000
SEITEL INC NEW             COMMON     816074306    236   23,500   X       7   23500
SMITH INTL INC             COMMON     832110100    440   12,100   X       7   12100
SOUTHWEST BANCORPORATION OFCOMMON     84476R109  4,870  163,700   X       7  163700
SPRINT CORP PCS GROUP SER 1COMMON     852061506    891   33,900   X       7   33900
SPRINT CORP PCS GRP        PCS COM SER852061506  2,024   77,000   X       7   77000
STANCORP FINL GROUP INC    COMMON     852891100  4,141   85,551   X       7   85551
STANCORP FINL GROUP INC    COMMON     852891100  4,352   89,925   X       7   89925
STANDARD & POORS DEPOSITARYCOMMON     78462F103  1,194   11,429   X       7   11429
STATE STR CORP             COMMON     857477103  6,084  133,706   X       7  133706
STATE STREET CORP          COMMON     857477103  2,872   63,125   X       7   63125
STERLING BANCSHARES INC    COMMON     858907108    575   43,500   X       7   43500
STERLING BANCSHARES INC    COMMON     858907108    341   25,775   X       7   25775
STERLING VALLEY INC        COMMON     859993909      9      330   X       7     330
SUN LIFE FINL SVCS CDA I   COMMON     866796105  1,491   74,550   X       7   74550
SUN MICROSYSTEMS INC       COMMON     866810104  1,515  183,200   X       7  183200
SUN MICROSYSTEMS INC       COMMON     866810104    315   38,100   X       7   38100
SUNGARD DATA SYS INC       COMMON     867363103     60    2,556   X       7    2556
SUNTRUST BKS INC           COMMON     867914103    823   12,352   X       7   12352
SUPERIOR FINANCIAL CORP    COMMON     868161100  1,199   81,300   X       7   81300
SUPERIOR FINL CORP DEL     COMMON     868161100    866   58,725   X       7   58725
SWIFT ENERGY CO            COMMON     870738101  1,677   81,325   X       7   81325
SWIFT ENERGY CO            COMMON     870738101  1,845   89,475   X       7   89475
SYBRON DENTAL SPECIALTIE   COMMON     871142105     25    1,333   X       7    1333
SYNOVUS FINANCIAL CORP     COMMON     87161C105  5,278  191,225   X       7  191225
SYSCO CORP                 COMMON     871829107  2,184   85,500   X       7   85500
SYSCO CORP                 COMMON     871829107  2,403   94,100   X       7   94100
TCF FINANCIAL CORP         COMMON     872275102  4,403   95,600   X       7   95600
TCF FINL CORP              COMMON     872275102  4,599   99,850   X       7   99850
TEJAS GAS CORP DEL         COMMON     879075109      -        3   X       7       3
TEXACO INC                 COMMON     881694103    469    7,223   X       7    7223
TEXAS INSTRS INC           COMMON     882508104  1,529   61,200   X       7   61200
TEXAS REGIONAL BANCSHARES ICOMMON     882673106  3,645  106,659   X       7  106659
TEXAS REGL BANCSHARES IN   CL A VTG   882673106  3,696  108,152   X       7  108152
TOTAL SYS SVCS INC         COMMON     891906109    322   13,000   X       7   13000
TRANSATLANTIC HLDGS INC    COMMON     893521104     74      873   X       7     873
TRANSOCEAN SEDCO FOREX I   ORD        G90078109     36    1,355   X       7    1355
TURNSTONE SYSTEMS INC      COMMON     900423104     23    7,500   X       7    7500
UBS AG CHF 2.8 (REGD)      UBS AG REGI005485958     17      369   X       7     369
UCBH HOLDINGS INC          COMMON     90262T308  5,953  204,025   X       7  204025
UNAPIX ENTMT INC           COMMON     904270105      -   96,297   X       7   96297
UNILEVER N V               DEPOSITORY 904784709    448    8,284   X       7    8284
UNITED PARCEL SERVICE IN   CL B       911312106  1,102   21,200   X       7   21200
UNITED STATES CELLULAR C   COMMON     911684108  1,634   33,000   X       7   33000
US BANCORP DEL             COM NEW    902973304  1,323   59,643   X       7   59643
USA EDUCATION INC          COMMON     90390U102  8,354  100,758   X       7  100758
VALERO ENERGY CORP NEW     COMMON     91913Y100    193    5,500   X       7    5500
VECTOR GROUP LTD           COMMON     92240M108     18      412   X       7     412
VERIZON COMMUNICATIONS     COMMON     92343V104  1,266   23,390   X       7   23390
WADDELL & REED FINANCIAL INCOMMON     930059100    915   35,175   X       7   35175
WADDELL & REED FINL INC    CL A       930059100  1,011   38,876   X       7   38876
WAL MART STORES INC        COMMON     931142103  2,137   43,164   X       7   43164
WALGREEN CO                COMMON     931422109  6,602  191,738   X       7  191738
WALGREEN CO                COMMON     931422109  5,168  150,100   X       7  150100
WAL-MART STORES INC        COMMON     931142103  1,038   20,960   X       7   20960
WASHINGTON MUT INC         COMMON     939322103  4,448  115,598   X       7  115598
WASHINGTON MUTUAL INC      COMMON     939322103  4,223  109,756   X       7  109756
WELLS FARGO & CO NEW       COMMON     949746101  5,341  120,163   X       7  120163
WELLS FARGO & CO-NEW       COMMON     949746101  2,981   67,060   X       7   67060
WESTERN WIRELESS CORP      CL A       9.60E+208  1,858   55,000   X       7   55000
WESTERN WIRELESS CORP-CL A COMMON     95988E204    429   12,700   X       7   12700
WHOLE FOODS MKT INC        COMMON     966837106    984   31,326   X       7   31326
WILLIAMS COMPANIES INC     COMMON     969457100  1,086   39,780   X       7   39780
WILLIAMS COS INC DEL       COMMON     969457100  1,709   62,600   X       7   62600
WILMINGTON TRUST CORP      COMMON     971807102    351    6,350   X       7    6350
WM WRIGLEY JR CO           COMMON     982526105  4,868   94,891   X       7   94891
WRIGLEY WM JR CO           COMMON     982526105  4,323   84,271   X       7   84271
ZIMMER HLDGS INC           COMMON     98956P102     20      720   X       7     720
ZIONS BANCORP              COMMON     989701107  3,012   56,131   X       7   56131
ZIONS BANCORPORATION       COMMON     989701107  2,841   52,944   X       7   52944



                             FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                            (On Behalf of Legg Mason Capital Management, Inc.
                                                                             For Positions Held as of 09/30/2001)



           (1)                  (2)         (3)         (4)         (5)      (6)       (7)                 (8)
      Name of Issuer       Title of Class  CUSIP        FMV        Shares   Inv Disc  Other       Voting  Authority (Shs.)
                                                      (x1000)              (a)(b)(c)   Mgr      (a)        (b)         (c)

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

Albertson's, Inc.          Com           013104104     270,793   8,494,145     x       8                  8,494,145
Accenture Ltd.             Com           G1150G111       1,105      86,700     x       8                     86,700
Acxiom Corporation         Com           005125109       8,234     876,000     x       8                    876,000
The AES Corporation        Com           00130H105      89,182   6,956,500     x       8                  6,956,500
Amazon.com, Inc.           Com           023135106     100,293  16,799,440     x       8                 16,799,440
Abercrombie & Fitch Co.    Com           002896207      11,521     655,000     x       8                    655,000
AOL Time Warner Inc.       Com           00184A105     276,287   8,347,040     x       8                  8,347,040
American Express Company   Com           025816109          44       1,520     x       8                      1,520
Banknorth Group, Inc.      Com           06646R107       1,129      50,600     x       8                     50,600
Big Lots, Inc.             Com           089302103       1,290     155,600     x       8                    155,600
Berkshire Hathaway Inc. ClaComA          084670108      26,110         373     x       8                        373
Berkshire Hathaway Inc. ClaComB          084670207      47,923      20,568     x       8                     20,568
Broadwing Inc              Com           111620100         973      60,500     x       8                     60,500
The Bear Stearns Companies Com.          073902108      91,616   1,831,946     x       8                  1,831,946
Citigroup Inc.             Com           172967101     229,458   5,665,625     x       8                  5,665,625
Cadence Design Systems, IncCom           127387108       1,255      75,400     x       8                     75,400
Cell Genesys, Inc.         Com           150921104       3,442     215,100     x       8                    215,100
Ceridian Corporation       Com           156779100       1,402      96,700     x       8                     96,700
Comverse Technology Inc.   Com           205862402      66,163   3,230,600     x       8                  3,230,600
Caremark Rx, Inc.          Com           141705103       3,343     200,400     x       8                    200,400
Conseco Inc.               Com           208464107         690      95,000     x       8                     95,000
CNET Networks, Inc.        Com           12613R104         676     157,200     x       8                    157,200
Dell Computer Corporation  Com           247025109     130,808   7,059,253     x       8                  7,059,253
Eastman Kodak Company      Com           277461109     197,697   6,077,390     x       8                  6,077,390
Enterasys Networks, Inc.   Com           293637104       9,426   1,461,400     x       8                  1,461,400
FleetBoston Financial CorpoComion        339030108     179,973   4,897,237     x       8                  4,897,237
Fannie Mae                 Com           313586109     188,484   2,354,280     x       8                  2,354,280
General Electric Co.       Com           369604103          22         600     x       8                        600
Corning Incorporated       Com           219350105      56,066   6,356,745     x       8                  6,356,745
General Motors Corporation Com           370442105      84,062   1,959,497     x       8                  1,959,497
Gateway, Inc.              Com           367626108      52,462   9,625,986     x       8                  9,625,986
The Home Depot, Inc.       Com           437076102          15         400     x       8                        400
Health Net Inc.            Com           42222G108      98,501   5,124,911     x       8                  5,124,911
Starwood Hotels & Resorts WComdwide In   85590A203      78,118   3,550,799     x       8                  3,550,799
International Business MachComs Corp.    459200101     179,758   1,947,542     x       8                  1,947,542
J.P. Morgan Chase & Co.    Com           46625H100     182,261   5,337,065     x       8                  5,337,065
The Kroger Co.             Com           501044101     192,059   7,794,610     x       8                  7,794,610
MBNA Corporation           Com           55262L100      85,324   2,816,908     x       8                  2,816,908
Lloyds TSB Group plc       FOR           G5542W106      63,644   6,665,716     x       8                  6,665,716
Lloyds TSB Group plc ORD   FOR           0870612        12,203   1,275,400     x       8                  1,275,400
Lucent Technologies Inc.   Com           549463107      36,377   6,348,500     x       8                  6,348,500
Level 3 Communications, IncCom           52729N100       8,271   2,188,000     x       8                  2,188,000
Manpower Inc.              Com           56418H100       1,403      53,300     x       8                     53,300
Mandalay Resort Group      Com           562567107      17,324   1,067,436     x       8                  1,067,436
McKesson Corporation       Com           58155Q103     200,441   5,304,065     x       8                  5,304,065
MGM Mirage Inc.            Com           552953101      27,596   1,227,570     x       8                  1,227,570
Metro-Goldwyn-Mayer Inc.   Com           591610100       3,342     197,154     x       8                    197,154
Marsh & McLennan Cos Inc   Com           571748102          41         425     x       8                        425
Minnesota Mining & ManufactComng Co.     604059105          20         200     x       8                        200
Modis Professional ServicesComnc.        607830106         720     180,000     x       8                    180,000
Microsoft Corp.            Com           594918104          18         350     x       8                        350
MGIC Investment CorporationCom           552848103     259,991   3,979,049     x       8                  3,979,049
Nokia Oyj Sponsored ADR    ADR           654902204          36       2,300     x       8                      2,300
Nextel Communications, Inc.Com           65332V103     116,331  13,464,202     x       8                 13,464,202
Bank One Corporation       Com           06423A103     225,399   7,162,355     x       8                  7,162,355
Koninklijke Philips ElectroADRs N.V.     500472303          29       1,500     x       8                      1,500
Pinnacle Entertainment, IncCom           723456109       1,168     196,300     x       8                    196,300
ProQuest Company           Com           74346P102       1,041      31,650     x       8                     31,650
Providian Financial Corp.  Com           74406A102       7,445     369,500     x       8                    369,500
Qwest Communications InternComonal, In   749121109     120,908   7,240,000     x       8                  7,240,000
Radian Group Inc.          Com           750236101       7,307     189,804     x       8                    189,804
Research In Motion Limited Com           760975102       7,768     483,100     x       8                    483,100
Republic Services, Inc.    Com           760759100      19,391   1,197,000     x       8                  1,197,000
Riverstone Networks, Inc.  Com           769320102       5,234     997,000     x       8                    997,000
Silicon Valley Bancshares  Com           827064106       1,111      55,000     x       8                     55,000
Sybase, Inc.               Com           871130100       8,968     964,300     x       8                    964,300
Symantec Corporation       Com           871503108      13,795     397,900     x       8                    397,900
TJX Companies, Inc.        Com           872540109       2,069      62,900     x       8                     62,900
Tellabs, Inc.              Com           879664100      67,232   6,804,835     x       8                  6,804,835
Toys 'R' Us, Inc.          Com           892335100     108,309   6,286,070     x       8                  6,286,070
UnionBanCal Corporation    Com           908906100       2,832      83,700     x       8                     83,700
UnitedHealth Group IncorporComd          91324P102     353,285   5,312,562     x       8                  5,312,562
UnumProvident Corporation  Com           91529Y106       2,833     112,200     x       8                    112,200
Wachovia Corporation       Com           929903102       2,480      80,000     x       8                     80,000
Wellpoint Health Networks ICom           94973H108      12,274     112,450     x       8                    112,450
Washington Mutual, Inc.    Com           939322103     291,747   7,581,775     x       8                  7,581,775
Waste Management, Inc.     Com           94106L109     344,459  12,881,785     x       8                 12,881,785
Wal-Mart Stores, Inc.      Com           931142103          25         500     x       8                        500
WPP Group plc Sponsored ADRADR           929309300      92,704   2,514,200     x       8                  2,514,200
WPP Group plc ORD          FOR           0974042         8,539   1,172,000     x       8                  1,172,000


                                         FORM 13F   Name of Reporting Manager:    Legg Mason, Inc.
                                                                                     (On Behalf of Legg Mason Focus Capital, Inc.
                                                                                      For Positions Held as of 09/30/2001)

          (1)                     (2)        (3)          (4)        (5)        (6)    (7)                (8)
      Name of Issuer       Title of Class  CUSIP          FMV       Shares  Inv Disc  Other         Voting Authority (Shs)
                                                       (X $1000)           (a)(b)(c)   Mgr       (a)        (b)           (c)


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

Abbott Labs                Common Stock  002824100         397       7,660     x         9                              7,660
Aflac Corp. New            Common Stock  001055102       1,436      53,176     x         9                             53,176
Airborne Inc Com           Common Stock  009269101         109      11,400     x         9                             11,400
Alliant Energy Corp        Common Stock  018802108         120       3,826     x         9                              3,826
Amazon.com Inc.            Common Stock  023135106         465      77,890     x         9      76,490                  1,400
Ameren Corp.               Common Stock  023608102       1,117      29,100     x         9                             29,100
American Express Co.       Common Stock  025816109       2,249      77,312     x         9      32,320                 44,992
American Home Products CorpCommon Stock  026609107         355       6,100     x         9                              6,100
American International GrouCommon Stock  026874107       2,820      36,153     x         9                             36,153
Amerigas Partners L P      LTD Part  P4  030975106         172       7,500     x         9                              7,500
Amgen Inc.                 Common Stock  031162100         760      12,930     x         9                             12,930
AOL Time Warner Inc        Common Stock  00184A105       3,826     115,773     x         9      20,185                 95,588
Applied Materials Inc      Common Stock  038222105         444      14,757     x         9         557                 14,200
Archer Daniels Midland Co  Common Stock  039483102          79       6,244     x         9                              6,244
AT & T Corp.               Common Stock  001957109       1,545      80,038     x         9                             80,038
AT&T Corp Wireless TrackingCommon Stock  001957406       1,742     116,569     x         9                            116,569
Avon Products Inc.         Common Stock  054303102          56       1,200     x         9                              1,200
Bank of America Corp.      Common Stock  060505104         218       3,726     x         9                              3,726
Bank One Corp.             Common Stock  06423A103         120       3,800     x         9                              3,800
Bausch & Lomb Inc.         Common Stock  071707103       1,217      42,994     x         9                             42,994
Bedford Property Investors Common Stock  076446301       1,583      78,200     x         9                             78,200
BellSouth Corp.            Common Stock  079860102         324       7,796     x         9                              7,796
Berkshire Hathaway B       Class B       084670207         255         109     x         9          29                     80
Beverly Enterprises Inc. NeCommon Stock  087851309         357      35,000     x         9                             35,000
Biogen Inc.                Common Stock  090597105       1,540      27,700     x         9                             27,700
Black & Decker Corp.       Common Stock  091797100       1,825      58,500     x         9                             58,500
Block H & R Inc.           Common Stock  093671105         892      23,120     x         9                             23,120
Boeing Co.                 Common Stock  097023105       1,136      33,901     x         9                             33,901
Boston Scientific Corp.    Common Stock  101137107         230      11,200     x         9                             11,200
BP plc                     ADR           055622104          16         328     x         9                                328
BRE Properties Inc. Cl A   Common Stock  05564E106       1,737      58,000     x         9                             58,000
Bristol-Myers Squibb Co.   Common Stock  110122108       3,436      61,847     x         9         150                 61,697
Camden Property Trust      Common Stock  133131102       2,128      57,350     x         9                             57,350
Caterpillar Inc.           Common Stock  149123101         782      17,450     x         9                             17,450
Champion Enterprises Inc.  Common Stock  158496109          80      11,507     x         9                             11,507
Chevron Corp.              Common Stock  166751107         298       3,507     x         9                              3,507
Chubb Corp.                Common Stock  171232101         143       2,000     x         9                              2,000
Cisco Systems Inc.         Common Stock  17275R102         482      39,588     x         9                             39,588
Citigroup Inc.             Common Stock  172967101       6,111     150,895     x         9      33,996                116,899
Claire's Stores, Inc.      Common Stock  179584107         302      23,900     x         9                             23,900
Clorox Co.                 Common Stock  189054109         376      10,154     x         9                             10,154
Coca Cola Co.              Common Stock  191216100         384       8,205     x         9                              8,205
Colonial Properties Trust  Common Stock  195872106         304      10,300     x         9                             10,300
Comcast Corp Class A       Class A       200300101          21         587     x         9                                587
Comcast Corp Class A SpeciaSpecial Class 200300200         143       3,973     x         9                              3,973
Compaq Computer Corp.      Common Stock  204493100         309      37,180     x         9                             37,180
Conagra Inc.               Common Stock  205887102         945      42,085     x         9                             42,085
Conoco Inc                 Common Stock  208251405         283      11,152     x         9                             11,152
Constellation Energy Group Common Stock  210371100         131       5,400     x         9                              5,400
Cornerstone Bancorp Inc.   Common Stock  218925105         137       9,033     x         9                              9,033
CVS Corp                   Common Stock  126650100       1,089      32,800     x         9                             32,800
DaimlerChrysler A.G.       ADR           D1668R123         996      33,210     x         9                             33,210
Deb Shops Inc.             Common Stock  242728103         103       5,000     x         9                              5,000
Dell Computer Corp.        Common Stock  247025109       1,456      76,675     x         9      42,675                 34,000
Dial Corp.                 Common Stock  25247D101         205      12,400     x         9                             12,400
Diebold Inc.               Common Stock  253651103         114       3,000     x         9                              3,000
Dow Jones & Co             Common Stock  260561105         700      15,400     x         9                             15,400
DPL Inc.                   Common Stock  233293109         190       7,796     x         9                              7,796
Du Pont (EI) de Nemours andCommon Stock  263534109       1,031      27,470     x         9                             27,470
Duke Energy Corp.          Common Stock  264399106         193       5,088     x         9                              5,088
Eastman Kodak Co.          Common Stock  277461109       1,270      39,575     x         9      16,895                 22,680
Ecolab Inc.                Common Stock  278865100         254       7,000     x         9                              7,000
Edison Intl                Common Stock  280883109          95       7,200     x         9                              7,200
EMC Corp.                  Common Stock  268648102         233      19,800     x         9                             19,800
Enron Corp                 Common Stock  293561106         820      30,114     x         9                             30,114
Equity Residential PropertiCommonsStock  29476L107       1,688      28,909     x         9                             28,909
Exelon Corp                Common Stock  30161N101         212       4,746     x         9                              4,746
Exxon Mobil Corp.          Common Stock  30231G102       1,492      37,856     x         9                             37,856
Fannie Mae                 Common Stock  313586109      11,091     138,529     x         9                            138,529
Federal Realty Investment TCommon Stock  313747206         894      40,650     x         9                             40,650
Federal Signal Corp.       Common Stock  313855108         401      22,732     x         9                             22,732
First Tennessee            Common Stock  337162101       1,354      36,600     x         9                             36,600
Fleet Boston Financial CorpCommon Stock  339030108       2,344      65,167     x         9      18,700                 46,467
Ford Motor Co.             Common Stock  345370860         486      27,991     x         9                             27,991
FPL Group Inc.             Common Stock  302571104       1,692      31,598     x         9                             31,598
Fulton Financial Corp.     Common Stock  360271100         482      21,547     x         9                             21,547
Gateway Inc.               Common Stock  367626108         295      54,180     x         9       3,180                 51,000
General Dynamics Corp.     Common Stock  369550108         559       6,332     x         9                              6,332
General Electric Co.       Common Stock  369604103       8,846     237,880     x         9       8,725                229,155
Gillette Co.               Common Stock  375766102       1,691      56,750     x         9                             56,750
Glaxosmithkline PLC - SponsADRR          37733W105         327       5,830     x         9                              5,830
Goodyear Tire & Rubber Co  Common Stock  382550101         252      13,659     x         9                             13,659
H J Heinz Co               Common Stock  423074103         642      15,224     x         9                             15,224
Harley Davidson, Inc.      Common Stock  412822108         263       6,500     x         9                              6,500
Hartford Financial ServicesCommon Stock  416515104         428       7,278     x         9                              7,278
Health Care Property InvestCommoncStock  421915109       3,420      88,948     x         9                             88,948
Health Care REIT, Inc.     Common Stock  42217K106         329      13,050     x         9                             13,050
Home Depot Inc.            Common Stock  437076102       1,146      29,904     x         9       9,700                 20,204
Honeywell International IncCommon Stock  438516106       1,956      74,075     x         9                             74,075
Hospitality Properties TrusCommon Stock  44106M102         348      14,450     x         9                             14,450
Hudson United Bancorp      Common Stock  444165104         179       6,458     x         9                              6,458
Ingersoll-Rand Co.         Common Stock  456866102       1,322      39,105     x         9                             39,105
Inkeepers USA Trust        Common Stock  4576J0104         403      44,800     x         9                             44,800
Inkine Pharmaceutical Co InCommon Stock  457214104          48      62,320     x         9                             62,320
Intel Corp.                Common Stock  458140100       5,094     249,843     x         9                            249,843
International Business MachCommonoStock  459200101       3,278      35,094     x         9       8,345                 26,749
International Speedway CorpClass A       460335201          71       2,040     x         9       1,390                    650
J P Morgan Chase & Co      Common Stock  46625H100       3,510     102,649     x         9      18,300                 84,349
JDS Uniphase Corp          Common Stock  46612J101          52       8,200     x         9                              8,200
Jefferson-Pilot Corp.      Common Stock  475070108         169       3,802     x         9                              3,802
Johnson & Johnson          Common Stock  478160104       1,697      30,627     x         9                             30,627
Kaneb Pipeline Partners    Preferred Unit484169107         182       4,600     x         9                              4,600
Keycorp New                Common Stock  493267108         871      36,100     x         9                             36,100
Keyspan Corporation        Common Stock  49337W100         354      10,648     x         9                             10,648
Kimberly-Clark Corp.       Common Stock  494368103       2,753      44,402     x         9                             44,402
Kinder Morgan Energy PartneCommon Stock  494550106         966      27,922     x         9                             27,922
Koninklijke Philips        ADR           500472303         655      33,950     x         9      33,950
Kramont Realty Trust Com ShCommonnStock  50075Q107         159      12,700     x         9                             12,700
Lafarge Corp.              Common Stock  505862102         267       8,000     x         9                              8,000
Liberty Media              Common Stock  001957208       1,040      81,900     x         9                             81,900
Lilly (Eli) & Co.          Common Stock  532457108       2,260      28,000     x         9                             28,000
Limited Inc.               Common Stock  532716107          89       9,400     x         9                              9,400
LSI Logic Corp.            Common Stock  502161102         946      80,500     x         9                             80,500
Lubrizol Corp.             Common Stock  549271104         401      12,700     x         9                             12,700
Lucent Technologies Inc.   Common Stock  549463107         410      71,521     x         9                             71,521
Macromedia Inc.            Common Stock  556100105         159      13,100     x         9                             13,100
Magna International Inc.   Class  A      559222401          12         219     x         9                                219
Manor Care Inc             Common Stock  564055101         225       8,000     x         9                              8,000
Marsh & Mclennan Cos Inc   Common Stock  571748102       2,117      21,800     x         9       7,300                 14,500
May Department Stores      Common Stock  577778103       1,639      56,471     x         9                             56,471
MBIA, Inc.                 Common Stock  55262C100       1,725      34,495     x         9                             34,495
McDonalds Corp.            Common Stock  580135101       1,391      51,250     x         9                             51,250
Mellon Finl Corp           Common Stock  58551A108       4,523     139,895     x         9                            139,895
Merck & Co., Inc.          Common Stock  589331107       2,102      31,570     x         9         125                 31,445
Merrill Lynch & Co., Inc.  Common Stock  590188108       1,784      43,940     x         9                             43,940
Microsoft Corp.            Common Stock  594918104       3,438      67,036     x         9       5,675                 61,361
Minnesota Mining & ManufactCommonCStock  604059105         458       4,610     x         9       3,250                  1,360
Mirant Corp                Common Stock  604675108         114       5,221     x         9                              5,221
Motorola Inc.              Common Stock  620076109       1,358      87,028     x         9                             87,028
Nationwide Health PropertieCommon Stock  638620104         220      11,200     x         9                             11,200
Nokia Corp.                ADR           654902204         599      37,690     x         9      37,690
Novartis AG-ADR            ADR           66987V109         307       7,900     x         9                              7,900
Oracle Corp                Common Stock  68389X105       1,233      98,000     x         9                             98,000
Owens & Minor Inc. New     Common Stock  690732102         211      10,400     x         9                             10,400
Pall Corp.                 Common Stock  696429307         257      13,200     x         9                             13,200
Parker Hannifin Corp.      Common Stock  701094104         178       5,200     x         9                              5,200
Paychex Inc.               Common Stock  704326107         180       5,717     x         9                              5,717
Pentair Inc.               Common Stock  709631105         637      20,700     x         9                             20,700
Pep Boys Manny Moe & Jack  Common Stock  713278109         216      19,508     x         9                             19,508
PepsiCo, Inc.              Common Stock  713448108       2,725      56,177     x         9                             56,177
Pfizer Inc.                Common Stock  717081103       4,277     106,655     x         9                            106,655
Pharmacopeia Inc.          Common Stock  71713B104         771      59,500     x         9                             59,500
Pitney-Bowes, Inc.         Common Stock  724479100       2,081      54,400     x         9                             54,400
PNC Financial Services GrouCommon Stock  693475105       2,134      37,270     x         9                             37,270
Procter & Gamble Co.       Common Stock  742718109       1,268      17,415     x         9                             17,415
Progress Energy Inc        Common Stock  743263105         264       6,150     x         9                              6,150
Public Service Enterprise GCommon Stock  744573106         520      12,225     x         9                             12,225
Questar Corp               Common Stock  748356102         107       5,300     x         9                              5,300
Qwest Communications InternCommonlStock  749121109         300      17,949     x         9                             17,949
R.H. Donnelly Corp.        Common Stock  74955W307         400      15,300     x         9                             15,300
RFS Hotel Investors Inc.   Common Stock  74955J108         397      38,400     x         9                             38,400
Royal Dutch Petroleum Co ADADR           780257804         658      13,096     x         9                             13,096
Sara Lee Corp.             Common Stock  803111103       1,568      73,630     x         9                             73,630
SBC Communications Inc.    Common Stock  78387G103         421       8,931     x         9                              8,931
Schering-Plough Corp.      Common Stock  806605101         199       5,353     x         9                              5,353
Schlumberger Limited       Common Stock  806857108       2,160      47,255     x         9                             47,255
Schwab Charles Corp.       Common Stock  808513105       1,033      89,804     x         9                             89,804
Servicemaster Co           Common Stock  81760N109         373      33,624     x         9                             33,624
Sherwin Williams Co        Common Stock  824348106         422      19,000     x         9                             19,000
Simon Property Group Inc   Common Stock  828806109       1,106      41,100     x         9                             41,100
Smucker JM Co              Common Stock  832696306         128       5,000     x         9                              5,000
Southern Co                Common Stock  842587107         315      13,148     x         9                             13,148
Sprint Corp. (FON Group)   Common Stock  852061100         346      14,400     x         9                             14,400
SPX Corp                   Common Stock  784635104         146       1,761     x         9                              1,761
Summit Properties Inc.     Common Stock  866239106       1,746      66,500     x         9                             66,500
Sun Microsystems Inc.      Common Stock  866810104         516      62,340     x         9                             62,340
T R W Inc.                 Common Stock  872649108       1,136      38,100     x         9                             38,100
Tasty Baking Co.           Common Stock  876553306          85       5,000     x         9                              5,000
Tellabs Inc.               Common Stock  879664100         585      59,218     x         9                             59,218
Texaco Inc.                Common Stock  881694103       2,553      39,275     x         9                             39,275
The Walt Disney Co.        Common Stock  254687106       2,057     110,482     x         9                            110,482
Toys 'R' Us Inc.           Common Stock  892335100         628      36,431     x         9                             36,431
Tyco International Ltd     Common Stock  902124106       1,952      42,904     x         9                             42,904
Unisys Corp.               Common Stock  909214108         464      53,534     x         9                             53,534
United Dominion Realty TrusCommon Stock  910197102         975      68,300     x         9                             68,300
United Parcel Service Inc  Common Stock  911312106       1,856      35,703     x         9                             35,703
Veritas Software Corp      Common Stock  923436109         250      13,579     x         9                             13,579
Verizon Communications     Common Stock  92343V104       5,577     103,070     x         9                            103,070
Viacom Inc Class B         Common Stock  925524308         388      11,257     x         9                             11,257
Vivendi Universal ADR      ADR           92851S204         621      13,400     x         9                             13,400
W P S Resources Corp.      Common Stock  92931B106         130       3,780     x         9                              3,780
Wachovia Corp              Common Stock  929771103       1,545      49,828     x         9                             49,828
Wal-Mart Stores Inc.       Common Stock  931142103       3,237      65,884     x         9      14,230                 51,654
Washington Mutual Inc.     Common Stock  939322103       1,244      32,327     x         9                             32,327
Waste Management Inc.      Common Stock  94106L109         128       4,800     x         9                              4,800
Weingarten Realty InvestorsCommon Stock  948741103       2,160      44,450     x         9                             44,450
WorldCom, Inc. - MCI Group Common Stock  98157D304          18       1,201     x         9                              1,201
WorldCom, Inc. - WorldCom GCommon Stock  98157D106       1,484      98,650     x         9                             98,650
WPP Group plc              ADR           929309300         637      17,290     x         9      16,490                    800
Yardville National Bancorp Common Stock  985021104         165      13,725     x         9                             13,725



                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of Legg Mason Funds Management, Inc.
                                                                           For Positions Held as of 09/30/2001)

          (1)                  (2)           (3)         (4)        (5)         (6)   (7)               (8)
    Name of Issuer       Title of Class     CUSIP        FMV       Shares   Inv Disc Other     Voting  Authority (Shs.)
                                                       (x1000)             (a)(b)(c)  Mgr      (a)        (b)         (c)

                                                                                     

Acxiom Corporation         Common         005125109     47,000   5,000,000     X       10    5,000,000
Albertson's, Inc.          Common         013104104    596,565  18,712,818     X       10   18,712,818
Alltel Corp.               Common         020039103     10,721     185,000     X       10      185,000
Amazon.com, Inc.           Common         023135106    224,197  37,553,992     X       10   37,553,992
American Express Company   Common         025816109      7,846     270,000     X       10      270,000
Avon Products, Inc.        Common         054303102      2,155      46,600     X       10       46,600
Bank of America CorporationCommon         060505104     11,569     198,100     X       10      198,100
The Bear Stearns Companies Common         073902108    183,290   3,665,072     X       10    3,665,072
Berkshire Hathaway Inc. ClaCommon         084670108    195,230       2,789     X       10        2,789
Berkshire Hathaway Inc. ClaCommon         084670207     12,659       5,433     X       10        5,433
Big Lots, Inc.             Common         089302103     41,450   5,000,000     X       10    5,000,000
Bristol-Myers Squibb Co.   Common         110122108      8,501     153,000     X       10      153,000
Broadwing Inc              Common         111620100     28,944   1,800,000     X       10    1,800,000
Cadence Design Systems, IncCommon         127387108     38,491   2,311,800     X       10    2,311,800
Caremark Rx, Inc.          Common         141705103    101,748   6,100,000     X       10    6,100,000
Cell Genesys, Inc.         Common         150921104     33,600   2,100,000     X       10    2,100,000
Ceridian Corporation       Common         156779100     43,500   3,000,000     X       10    3,000,000
Circuit City Stores Inc.   Common         172737108      9,810     817,500     X       10      817,500
Citigroup Inc.             Common         172967101    454,302  11,217,336     X       10   11,217,336
Comverse Technology Inc.   Common         205862402    128,766   6,287,400     X       10    6,287,400
Conseco Inc.               Common         208464107     10,941   1,507,000     X       10    1,507,000
Corning Incorporated       Common         219350105    110,741  12,555,700     X       10   12,555,700
Dell Computer Corporation  Common         247025109    267,745  14,449,282     X       10   14,449,282
The Walt Disney Co.        Common         254687106      1,862     100,000     X       10      100,000
Eastman Kodak Company      Common         277461109    409,482  12,587,829     X       10   12,587,829
Enterasys Networks, Inc.   Common         293637104     60,888   9,440,000     X       10    9,440,000
Fannie Mae                 Common         313586109    387,692   4,842,522     X       10    4,842,522
FleetBoston Financial CorpoCommon         339030108    386,566  10,518,815     X       10   10,518,815
Ford Motor Co.             Common         345370860      3,840     221,325     X       10      221,325
Gateway, Inc.              Common         367626108    133,194  24,439,295     X       10   24,439,295
General Electric Co.       Common         369604103      4,743     127,500     X       10      127,500
General Motors Corporation Common         370442105    166,083   3,871,392     X       10    3,871,392
The Home Depot, Inc.       Common         437076102      3,261      85,000     X       10       85,000
Intel Corp.                Common         458140100      5,083     249,300     X       10      249,300
International Business MachCommonorp.     459200101    361,718   3,918,942     X       10    3,918,942
Johnson & Johnson          Common         478160104      6,537     118,000     X       10      118,000
Kimberly-Clark Corp.       Common         494368103      2,790      45,000     X       10       45,000
Koninklijke Philips ElectroADRs N.V.      500472303      8,067     418,000     X       10      418,000
The Kroger Co.             Common         501044101    388,960  15,785,727     X       10   15,785,727
Lexmark International, Inc.Common         529771107      9,657     216,000     X       10      216,000
Lucent Technologies Inc.   Common         549463107     73,247  12,783,000     X       10   12,783,000
MGIC Investment CorporationCommon         552848103    575,516   8,808,021     X       10    8,808,021
MGM Mirage Inc.            Common         552953101    153,094   6,810,245     X       10    6,810,245
Mandalay Resort Group      Common         562567107     70,651   4,353,090     X       10    4,353,090
Marsh & McLennan Cos Inc   Common         571748102      5,512      57,000     X       10       57,000
May Department Stores      Common         577778103     15,236     525,000     X       10      525,000
McDonald's Corporation     Common         580135101      2,714     100,000     X       10      100,000
Merck & Co., Inc.          Common         589331107     10,390     156,000     X       10      156,000
Metro-Goldwyn-Mayer Inc.   Common         591610100     71,117   4,195,698     X       10    4,195,698
Microsoft Corp.            Common         594918104      5,603     109,500     X       10      109,500
Minnesota Mining & ManufactCommonCo.      604059105      2,706      27,500     X       10       27,500
Modis Professional ServicesCommon         607830106     20,400   5,100,000     X       10    5,100,000
Motorola Inc.              Common         620076109      3,588     230,000     X       10      230,000
Nokia Oyj Sponsored ADR    ADR            654902204      9,703     620,000     X       10      620,000
Northrop Grumman Corp.     Common         666807102      4,848      48,000     X       10       48,000
Qwest Communications InternCommonl, In    749121109    244,675  14,651,200     X       10   14,651,200
Radian Group Inc.          Common         750236101    125,125   3,250,000     X       10    3,250,000
Republic Services, Inc.    Common         760759100    158,587   9,789,300     X       10    9,789,300
Research In Motion Limited Common         760975102     39,492   2,456,000     X       10    2,456,000
Riverstone Networks, Inc.  Common         769320102     28,297   5,389,976     X       10    5,389,976
Sovereign Bancorp Inc.     Common         845905108     34,200   3,600,000     X       10    3,600,000
Sprint Corporation (FON GroCommon         852061100     10,084     420,000     X       10      420,000
Sybase, Inc.               Common         871130100     50,220   5,400,000     X       10    5,400,000
Symantec Corporation       Common         871503108    104,287   3,008,000     X       10    3,008,000
TJX Companies, Inc.        Common         872540109     86,198   2,620,000     X       10    2,620,000
Tellabs, Inc.              Common         879664100    134,962  13,660,100     X       10   13,660,100
Toys 'R' Us, Inc.          Common         892335100    240,212  13,941,501     X       10   13,941,501
UnionBanCal Corporation    Common         908906100     67,680   2,000,000     X       10    2,000,000
Unisys Corp.               Common         909214108      7,448     860,100     X       10      860,100
WPP Group plc Sponsored ADRADR            929309300      6,268     170,000     X       10      170,000
Wal-Mart Stores, Inc.      Common         931142103      6,400     129,300     X       10      129,300
Washington Mutual, Inc.    Common         939322103    684,336  17,784,200     X       10   17,784,200
The AES Corporation        Common         00130H105    124,696   9,726,700     X       10    9,726,700
AOL Time Warner Inc.       Common         00184A105    640,841  19,360,743     X       10   19,360,743
Bank One Corporation       Common         06423A103    463,165  14,717,667     X       10   14,717,667
Banknorth Group, Inc.      Common         06646R107     35,712   1,600,000     X       10    1,600,000
CNET Networks, Inc.        Common         12613R104     20,210   4,700,000     X       10    4,700,000
Health Net Inc.            Common         42222G108    238,461  12,406,942     X       10   12,406,942
J.P. Morgan Chase & Co.    Common         46625H100    324,262   9,495,241     X       10    9,495,241
Level 3 Communications, IncCommon         52729N100     56,700  15,000,000     X       10   15,000,000
MBNA Corporation           Common         55262L100    171,265   5,654,170     X       10    5,654,170
Manpower Inc.              Common         56418H100     47,512   1,804,500     X       10    1,804,500
McKesson Corporation       Common         58155Q103    399,056  10,559,822     X       10   10,559,822
Mellon Finl Corp           Common         58551A108      2,496      77,200     X       10       77,200
Nextel Communications, Inc.Common         65332V103    224,552  25,989,803     X       10   25,989,803
ProQuest Company           Common         74346P102     35,986   1,093,800     X       10    1,093,800
Providian Financial Corp.  Common         74406A102     34,255   1,700,000     X       10    1,700,000
SBC Communications Inc.    Common         78387G103      4,005      85,000     X       10       85,000
Starwood Hotels & Resorts WCommonde In    85590A203    211,871   9,630,515     X       10    9,630,515
UnitedHealth Group IncorporCommon         91324P102    803,562  12,083,634     X       10   12,083,634
UnumProvident Corporation  Common         91529Y106    103,525   4,100,000     X       10    4,100,000
Verizon Communications     Common         92343V104      6,223     115,000     X       10      115,000
Waste Management, Inc.     Common         94106L109    792,110  29,622,656     X       10   29,622,656
Wellpoint Health Networks ICommon         94973H108    112,425   1,030,000     X       10    1,030,000
WorldCom, Inc. - WorldCom GCommon         98157D106      3,008     200,000     X       10      200,000
Accenture Ltd.             Common         G1150G111     33,469   2,625,000     X       10    2,625,000

                        FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                       (On Behalf of Legg Mason Trust,fsb
                                                                        For Positions Held as of 09/30/2001)



           (1)                  (2)         (3)           (4)         (5)    (6)       (7)                 (8)
      Name of Issuer      Title of Class   CUSIP          FMV       Shares  Inv Disc  Other       Voting  Authority (Shs.)
                                                       ( x1000)            (a)(b)(c)   Mgr        (a)        (b)         (c)

                                                                                        
------------------------------------------------------------------------------------------------------------------------------
ABBOTT LABS                COM           002824100         333       6,420     X       11        1,600        350       4,470
AMERICAN INTERNATIONAL GROUCOMNC         026874107       1,497      19,195     X       11       11,378        475       7,342
AMGEN INC                  COM           031162100         399       6,793     X       11        3,293        300       3,200
ANADARKO PETE CORP         COM           032511107         912      18,965     X       11       13,220        175       5,570
ANHEUSER BUSCH COMPANIES   COM           035229103       1,167      27,865     X       11       22,290        875       4,700
AOL TIME WARNER INC        COM           00184A105       1,502      45,391     X       11       23,039        650      21,702
AON CORP                   COM           037389103       4,595     109,395     X       11            0          0     109,395
BAY NATIONAL CORP          COM           072500101          76      10,000     X       11       10,000          0           0
BELLSOUTH CORP             COM           079860102         328       7,900     X       11        2,800      1,200       3,900
BETHLEHEM STL CORP         COM           087509105          13      10,000     X       11       10,000          0           0
BP PLC ADR                 COM           055622104         462       9,402     X       11          700        200       8,502
BRISTOL MYERS SQUIBB CO    COM           110122108         499       8,980     X       11        2,990          0       5,990
CAPITAL ONE FINANCIAL CORP COM           14040H105         205       4,452     X       11          800          0       3,652
CISCO SYSTEMS INC          COM           17275R102         202      16,600     X       11        1,100        100      15,400
CITIGROUP INC              COM           172967101       1,644      40,602     X       11       27,130      1,441      12,031
DOVER CORP                 COM           260003108         519      17,250     X       11        1,950        200      15,100
EMC CORP                   COM           268648102         425      36,164     X       11       29,089        425       6,650
EMERSON ELECTRIC CO        COM           291011104         864      18,365     X       11       10,565        725       7,075
EXXON MOBIL CORP           COM           30231G102       1,841      46,721     X       11       26,782      3,000      16,939
FANNIE MAE                 COM           313586109       1,708      21,340     X       11        9,980        875      10,485
FIRST DATA CORP            COM           319963104         529       9,080     X       11        5,700        430       2,950
GENERAL ELECTRIC CO        COM           369604103       2,155      57,927     X       11       30,680        845      26,402
HOME DEPOT INC             COM           437076102       1,528      39,832     X       11       27,557      1,075      11,200
INTEL CORP                 COM           458140100       1,141      55,833     X       11       22,670        725      32,438
INTERNATIONAL BUSINESS MACHCOMS          459200101       1,326      14,462     X       11       10,102        450       3,910
JOHNSON & JOHNSON          COM           478160104       2,129      38,427     X       11       21,492      1,200      15,735
JP MORGAN CHASE & CO       COM           46625H100         266       7,782     X       11          970        800       6,012
KLM ROYAL DUTCH AIRLINES   COM           482516309         106      13,000     X       11            0          0      13,000
LEGG MASON, INC            COM           524901105       5,461     137,340     X       11          300          0     137,040
MBNA CORP                  COM           55262L100         241       7,955     X       11        5,300          0       2,655
MCDONALDS CORP             COM           580135101         753      27,740     X       11       19,115        550       8,075
MEDTRONIC INC              COM           585055106       1,056      24,270     X       11       16,970      1,000       6,300
MERCK & CO INC             COM           589331107         899      13,503     X       11        1,468        125      11,910
MICROSOFT CORP             COM           594918104       2,287      44,695     X       11       14,785        850      29,060
NABORS INDS INC            COM           629568106         357      17,045     X       11        9,085        700       7,260
NOKIA CORP                 COM           654902204         355      22,700     X       11       19,710        340       2,650
PAYCHEX INC                COM           704326107         646      20,500     X       11        8,640        610      11,250
PEPSICO INC                COM           713448108         885      18,240     X       11        6,755        500      10,985
PFIZER INC                 COM           717081103       1,644      41,006     X       11       31,091        925       8,990
PHARMACIA CORP             COM           71713U102         272       6,714     X       11        4,825          0       1,889
PROCTER & GAMBLE CO        COM           742718109       4,661      64,036     X       11          700        100      63,236
SBC COMMUNICATIONS INC     COM           78387G103         873      18,535     X       11       12,625        625       5,285
SCHERING-PLOUGH CORP       COM           806605101         352       9,475     X       11        1,900          0       7,575
SCHLUMBERGER LTD           COM           806857108         221       4,825     X       11        1,300        100       3,425
SUN MICROSYSTEMS INC       COM           866810104         190      22,982     X       11        4,682        600      17,700
SUNTRUST BANKS INC         COM           867914103         235       3,535     X       11            0          0       3,535
TEXAS INSTRUMENTS INC      COM           882508104         682      27,295     X       11       15,530        890      10,875
TYCO INTERNATIONAL LTD     COM           902124106       1,292      28,395     X       11       22,303        390       5,702
VERIZON COMMUNICATIONS     COM           92343V104         969      17,907     X       11        5,744      3,400       8,763
WACHOVIA CORP 2ND NEW      COM           929903102         205       6,618     X       11        3,585      1,100       1,933
WAL-MART STORES INC        COM           931142103       4,537      91,660     X       11       24,945      1,000      65,715
WASHINGTON MUTUAL INC      COM           939322103         794      20,638     X       11       15,179        774       4,685
WORLDCOM INC GA NEW        COM           98157D106         169      11,237     X       11          337        400      10,500


                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of Legg Mason Wood Walker, Inc.
                                                                           For Positions Held as of 09/30/2001)



           (1)                  (2)         (3)          (4)         (5)       (6)      (7)                (8)
      Name of Issuer     Title of Class    CUSIP         FMV        Shares Inv Disc    Other      Voting  Authority (Shs.)
                                                        (x1000)            (a) (b) (c)  Mgr      (a)          (b)         (c)

                                                                                         
------------------------------------------------------------------------------------------------------------------------------
A D C Telecommunications Inc.   Com      000886101           84      23,930     x       12                   23,930
Acm Government Income Fund Inc. Com      000912105          177      20,566     x       12                   20,566
ACM Government Spectrum Fund IncCom      000917104            0           0     x       12                        0
ABN Amro Hldg NV Sponsored ADR  ADR      000937102            5         280     x       12                      280
ACM Municipal Securities Income Com      000942102           33       2,606     x       12                    2,606
ABM Industries Inc.             Com      000957100           52       2,000     x       12                    2,000
Aflac Corp. New                 Com      001055102        1,018      37,703     x       12                   37,703
Agco Corp.                      Com      001084102            7         750     x       12                      750
AGL Resources Inc.              Com      001204106          264      13,224     x       12                   13,224
The AES Corp.                   Com      00130H105        1,269      99,020     x       12                   99,020
AK Steel Holding Corp.          Com      001547108            0          38     x       12                       38
AMR Corp.                       Com      001765106           85       4,420     x       12                    4,420
ANC Rental Corp                 Com      001813104            0          18     x       12                       18
AOL Time Warner Inc             Com      00184A105       27,157     820,464     x       12                  820,464
Apa Optics Inc                  Com      001853100            0         200     x       12                      200
APS Holding Corp.               Com      001937101            0         500     x       12                      500
ATI Technologies Inc.           ADR      001941103           15       1,950     x       12                    1,950
AT & T Corp.                    Com      001957109        5,590     289,632     x       12                  289,632
A.S.V. Inc.                     Com      001963107           78       5,878     x       12                    5,878
Atmi Inc.orporation             Com      00207R101            5         300     x       12                      300
AT&T Wireless Svcs Inc          Com      00209A106        1,611     107,817     x       12                  107,817
AVX Corporation                 Com      002444107           41       2,500     x       12                    2,500
Axs-one Inc                     Com      002458107            0       1,000     x       12                    1,000
Abbott Laboratories             Com      002824100       23,171     446,891     x       12                  446,891
Abercrombie & Fitch Co Cl A     Com      002896207           39       2,222     x       12                    2,222
Abacan Resource Corp. New       ADR      002919108            0       1,000     x       12                    1,000
Abbey National PLC Spons ADR    ADR      002920106            9         303     x       12                      303
Aberdeen Asia Pacific Incom Fd  Com      003009107           38       9,540     x       12                    9,540
Abigail Adams Natl Bancorp      Com      003390101           80       5,800     x       12                    5,800
Abgenix Inc.                    Com      00339B107           34       1,500     x       12                    1,500
Abiomed Inc                     Com      003654100            3         200     x       12                      200
Accelio Corp                    ADR      004296109            0         290     x       12                      290
Access Pharmaceuticals Inc      Com      00431M209           22       8,000     x       12                    8,000
Accom Inc                       Com      004334108            0       1,000     x       12                    1,000
Acterna Corp                    Com      00503U105            2         675     x       12                      675
Actuate Corp                    Com      00508B102           93      22,300     x       12                   22,300
Actuant Corp                    Com      00508X203            1          57     x       12                       57
Acxiom Corp.                    Com      005125109          149      15,870     x       12                   15,870
Adair International Oil & Gas InCom      005408109            0       3,100     x       12                    3,100
Adams Express                   Com      006212104           46       3,109     x       12                    3,109
Adams Golf Inc                  Com      006228100            0         200     x       12                      200
Adaptec Inc.                    Com      00651F108           15       1,850     x       12                    1,850
Adelphia Communications Corp. - ComA     006848105           62       2,805     x       12                    2,805
Aden Enterprises Inc New        Com      006852206            0       1,400     x       12                    1,400
Administaff Inc                 Com      007094105           13         500     x       12                      500
Adobe Systems Inc.              Com      00724F101           63       2,629     x       12                    2,629
Advance Financial Bancorp       Com      007437106            4         300     x       12                      300
Advanced Aerodynamics &Str -A   Com      00750B107           38     200,000     x       12                  200,000
Advanced Digital Info Corp      Com      007525108            5         500     x       12                      500
Advanced Fibre Communication    Com      00754A105          264      18,068     x       12                   18,068
Aeroflex Inc.                   Com      007768104            4         350     x       12                      350
Advanced Micro Devices Inc.     Com      007903107          212      26,045     x       12                   26,045
AdvancePCS                      Com      00790K109            1          10     x       12                       10
Aegon NV - ORD                  ADR      007924103          261       9,999     x       12                    9,999
Advanta Corp. CL A              Com      007942105            9         916     x       12                      916
Aether Sys Inc                  Com      00808V105           82      13,080     x       12                   13,080
Aetna Inc New                   Com      00817Y108          199       6,871     x       12                    6,871
Affiliated Computer Services    Com      008190100            1          12     x       12                       12
Affymetrix Inc.                 Com      00826T108           38       2,360     x       12                    2,360
Agilent Technologies Inc        Com      00846U101        2,930     149,873     x       12                  149,873
Agile Software Corp Del         Com      00846X105           30       3,350     x       12                    3,350
Agribiotech Inc                 Com      008494106            0         900     x       12                      900
Air Products and Chemicals, Inc.Com      009158106          718      18,608     x       12                   18,608
Airborne Inc Com                Com      009269101           13       1,403     x       12                    1,403
Airgas Inc.                     Com      009363102           13         980     x       12                      980
Airnet Communications Corp      Com      00941P106            0         200     x       12                      200
Akamai Technologies Inc         Com      00971T101            6       2,100     x       12                    2,100
AKZO Nobel NV Spons ADR         ADR      010199305           28         692     x       12                      692
Alabama & Florida Railway Co.   Com      010210201            0           4     x       12                        4
Alaska Air Group Inc.           Com      011659109          256      12,825     x       12                   12,825
Albemarle Corp.                 Com      012653101            4         202     x       12                      202
Alberto Culver Co. Cl A         Com      013068200          176       5,350     x       12                    5,350
Albertson's Inc.                Com      013104104        4,698     147,365     x       12                  147,365
Alcoa Inc.                      Com      013817101        1,459      47,037     x       12                   47,037
Alcatel Alsthom Sponsored ADR   ADR      013904305           21       1,778     x       12                    1,778
Aldila, Inc.                    Com      014384101            0         200     x       12                      200
Alexandria Real Estate Equities Com.     015271109           39       1,000     x       12                    1,000
Alexion Pharmaceuticals Inc     Com      015351109            3         200     x       12                      200
Alfacell Corp.                  Com      015404106            1       3,000     x       12                    3,000
Alkermes Inc                    Com      01642T108            2         118     x       12                      118
All American Term Trust  Inc    Com      016440109          434      34,725     x       12                   34,725
Allegheny Energy Inc.           Com      017361106          848      23,119     x       12                   23,119
Allegheny Vy Bancorp Inc Com    Com      017427105            4         100     x       12                      100
Allegiance Telecom Inc          Com      01747T102            6       2,100     x       12                    2,100
Allergan Inc.                   Com      018490102           85       1,275     x       12                    1,275
Allete                          Com      018522102          318      12,412     x       12                   12,412
Alliance Capital Management - LPComit    01855A101          785      17,186     x       12                   17,186
Alliance Resource Partners LTD Part P12  01877R108           28       1,200     x       12                    1,200
Alliance World Dollar GovernmentComnd    018796102          131      12,834     x       12                   12,834
Alliance World Dollar GovernmentCom II   01879R106           10       1,000     x       12                    1,000
Alliant Corp.                   Com      018802108        2,451      78,314     x       12                   78,314
Alliant Techsystem              Com      018804104           22         259     x       12                      259
Allied Artists Inds Inc         Com      018859108            0         200     x       12                      200
Allied Capital Corp.            Com      01903Q108          415      18,247     x       12                   18,247
Allied Domecq PLC               ADR      019121102           33       6,000     x       12                    6,000
Allied Irish Banks Plc          ADR      019228402           56       3,085     x       12                    3,085
Allied Waste Inds Inc. Com New  Com      019589308          690      54,095     x       12                   54,095
Allmerica Financial Corp.       Com      019754100            6         140     x       12                      140
The Allstate Corp.              Com      020002101        2,837      75,963     x       12                   75,963
Alltel Corp.                    Com      020039103        1,083      18,686     x       12                   18,686
Alpha Industries Inc Del        Com      020753109            0          15     x       12                       15
Altera Corp.                    Com      021441100          374      22,654     x       12                   22,654
Amazon.com, Inc.                Com      023135106        1,782     298,430     x       12                  298,430
Ambac Financial Group, Inc.     Com      023139108          350       6,401     x       12                    6,401
Amerada Hess Corp.              Com      023551104            2          25     x       12                       25
Ameren Corp.                    Com      023608102          526      13,686     x       12                   13,686
Ameriana Bancorp                Com      023613102            9         700     x       12                      700
America Movil SA De CV ADR      ADR      02364W105          112       7,567     x       12                    7,567
America First Mortgage Invst    Com      023934102           29       3,300     x       12                    3,300
American Axle & Manufacturing HoComngs   024061103           32       2,475     x       12                    2,475
American Capital Strategies     Com      024937104          994      36,300     x       12                   36,300
American Electric Power Co      Com      025537101          616      14,242     x       12                   14,242
American Eagle Outfitters Inc.  Com      02553E106            1          75     x       12                       75
American Express Co.            Com      025816109        7,143     245,810     x       12                  245,810
American Financial Group Inc.   Com      025932104           40       1,788     x       12                    1,788
American Finl Hldgs Inc         Com      026075101          259      10,550     x       12                   10,550
American Greetings Corp. Class ACom      026375105            4         300     x       12                      300
American Home Products Corp.    Com      026609107        7,464     128,144     x       12                  128,144
American Indl Pptys Reit SBI EscCom      026791970            0       1,007     x       12                    1,007
American International Group IncCom      026874107       13,073     167,597     x       12                  167,597
American Management Systems Inc.Com      027352103          454      37,825     x       12                   37,825
American Med Sec Group Inc      Com      02744P101            1         100     x       12                      100
American Mortgage Acceptance    Com      027568104            7         500     x       12                      500
American National Bankshares IncCom      027745108            5         282     x       12                      282
American Pad & Paper Co         Com      028816106            0       5,000     x       12                    5,000
American Power Conversion       Com      029066107           58       4,965     x       12                    4,965
American Res Offshore Inc       Com      029280104            0       3,000     x       12                    3,000
American Standard Companies Inc.Com      029712106           80       1,460     x       12                    1,460
American States Water Company   Com      029899101          151       4,075     x       12                    4,075
American Tower System Corp Cl A Com      029912201           33       2,405     x       12                    2,405
American Strategic Incm Ptfl    Com      030098107           67       5,389     x       12                    5,389
American Strategic Income II    Com      030099105           18       1,441     x       12                    1,441
American Strategic Income Port  Com      03009T101           70       5,870     x       12                    5,870
American Superconductor Corp.   Com      030111108           83       8,850     x       12                    8,850
American Water Works Co Inc.    Com      030411102           95       2,406     x       12                    2,406
Americredit Corp.               Com      03060R101            6         200     x       12                      200
Amerin Corp.                    Com      03070X106            0         200     x       12                      200
Ameron Inc.                     Com      030710107           23         350     x       12                      350
Ameritrade Holding Corp.  Class Com      03072H109            7       1,800     x       12                    1,800
Amerisourcebergencorp           Com      03073E105          129       1,818     x       12                    1,818
Ameriserv Financial Inc         Com      03074A102           15       3,225     x       12                    3,225
Ameriserv Financial Inc Pfd C   Com      03074B100           94       4,285     x       12                    4,285
Amerigas Partners L P       LTD Part P4  030975106           11         500     x       12                      500
Ametek Inc. New                 Com      031100100           71       2,700     x       12                    2,700
AMF Bowling Inc.                Com      03113V109            0       1,000     x       12                    1,000
Amgen Inc.                      Com      031162100       17,162     292,068     x       12                  292,068
Amkor Technology Inc            Com      031652100            7         700     x       12                      700
Amphenol Corp New Cl  A         Com      032095101          575      16,535     x       12                   16,535
AmSouth Bancorp                 Com      032165102          867      47,990     x       12                   47,990
Amtech Sys Inc                  Com      032332504            1         200     x       12                      200
Anadarko Pete Corp.             Com      032511107          358       7,453     x       12                    7,453
Analog Devices Inc.             Com      032654105          648      19,808     x       12                   19,808
Andrew Corp.                    Com      034425108           62       3,400     x       12                    3,400
Andrx Corp Del                  Com      034553107           12         178     x       12                      178
Angeles Income Properties LTLTD Part P0  03464D302            0          10     x       12                       10
Anglo American PLC              ADR      03485P102           10         869     x       12                      869
Anglogold Limited-Spon ADR      ADR      035128206           40       2,500     x       12                    2,500
Anheuser-Busch Companies Inc.   Com      035229103        5,598     133,658     x       12                  133,658
Anicom Inc.                     Com      035250109            0      18,346     x       12                   18,346
Annaly Mortgage Management Inc. Com      035710409          615      42,535     x       12                   42,535
Answerthink Consulting Corp     Com      036916104            2         500     x       12                      500
Antigenics Inc. Del             Com      037032109            4         300     x       12                      300
Aon Corporation                 Com      037389103          293       6,967     x       12                    6,967
Apache Corp.                    Com      037411105        2,574      59,863     x       12                   59,863
Apartment Investment & Mgt Co ClCom A    03748R101            7         149     x       12                      149
Apollo Group Inc.  Class A      Com      037604105          185       4,400     x       12                    4,400
Apogent Technologies Inc        Com      03760A101        1,697      71,015     x       12                   71,015
Appalachian Oil & Gas Inc       Com      037725207            0         100     x       12                      100
Apple Computer                  Com      037833100          353      22,760     x       12                   22,760
Applebee's International Inc.   Com      037899101           13         450     x       12                      450
Applera Corp                    Com      038020103          129       5,284     x       12                    5,284
Applera Corp Com Celera GenomicsComoup   038020202           92       3,834     x       12                    3,834
Applica Inc                     Com      03815A106            1         150     x       12                      150
Applied Industrial Tech Inc.    Com      03820C105           15         900     x       12                      900
Applied Materials Inc.          Com      038222105        2,592      91,142     x       12                   91,142
Applied Micro Circuits Corp     Com      03822W109           18       2,546     x       12                    2,546
Aptargroup Inc.                 Com      038336103          239       7,512     x       12                    7,512
Aradigm Corp                    Com      038505103            9       2,700     x       12                    2,700
Arbitron Inc                    Com      03875Q108           85       3,235     x       12                    3,235
Arc Wireless Solutions          Com      03878K108            4      22,000     x       12                   22,000
Arch Chemicals                  Com      03937R102            7         325     x       12                      325
Arch Wireless Inc               Com      039392105            0          99     x       12                       99
Archer-Daniels Midland Co.      Com      039483102          121       9,631     x       12                    9,631
Archstone Communities Trust     Com      039581103        1,267      48,540     x       12                   48,540
Arden Realty Group Inc.         Com      039793104           31       1,200     x       12                    1,200
Area Bancshares Corp. New       Com      039872106           26       1,500     x       12                    1,500
Argosy Gaming Co                Com      040228108           10         400     x       12                      400
Ariad Pharmaceuticals Inc       Com      04033A100            1         500     x       12                      500
Ariba Inc                       Com      04033V104           12       6,389     x       12                    6,389
Armstrong Hldgs Inc             Com      042384107           19       7,100     x       12                    7,100
Arqule Inc                      Com      04269E107            7         700     x       12                      700
Arris Group                     Com      04269Q100            2         600     x       12                      600
Arrow Electronics Inc.          Com      042735100          372      17,825     x       12                   17,825
Arrow International, Inc.       Com      042764100          259       6,955     x       12                    6,955
Art Technology Group Inc        Com      04289L107            0         200     x       12                      200
Artesyn Technologies Inc.       Com      043127109            4         650     x       12                      650
Artisoft Inc.                   Com      04314L106            3       1,000     x       12                    1,000
Arvinmeritor Inc                Com      043353101            9         645     x       12                      645
Ascential Software Corp         Com      04362P108            4       1,200     x       12                    1,200
Ashland Inc.                    Com      044204105           19         498     x       12                      498
Ashton Technology Group Inc     Com      045084100            1       2,340     x       12                    2,340
The Asia Tigers Fund, Inc.      Com      04516T105           16       3,000     x       12                    3,000
Asiainfo Hldgs Inc              Com      04518A104            1         100     x       12                      100
Aspect Communications Inc       Com      04523Q102            0         175     x       12                      175
Associated Banc Corp.           Com      045487105            2          50     x       12                       50
At Home Corp. Cl A              Com      045919107            2      10,620     x       12                   10,620
Associates First Capital Corp.  Com      046008108            0           0     x       12                        0
Astoria Financial Corp.         Com      046265104            8         135     x       12                      135
Astrazena PLC -Spons ADR        ADR      046353108           43         919     x       12                      919
Astropower Inc.                 Com      04644A101          336       9,731     x       12                    9,731
Atlantic Coast Airlines         Com      048396105            8         600     x       12                      600
Atlantic Finl Fed               Com      048535108            0         250     x       12                      250
Atlas Air Inc.                  Com      049164106            4         450     x       12                      450
Atmel Corp.                     Com      049513104          767     114,890     x       12                  114,890
ATMOS Energy Corp               Com      049560105           31       1,436     x       12                    1,436
Audiovox Corp.                  Com      050757103            6         690     x       12                      690
Autodesk Inc.                   Com      052769106          287       8,954     x       12                    8,954
Autolliv, Inc.                  Com      052800109            2         127     x       12                      127
Automatic Data Processing       Com      053015103        6,832     145,247     x       12                  145,247
Autozone Inc.                   Com      053332102           86       1,650     x       12                    1,650
Avalonbay Communities Inc.      Com      053484101          108       2,255     x       12                    2,255
Avanir Pharmaceuticals CL-A     Com      05348P104            0         150     x       12                      150
Avanex Corp                     Com      05348W109           23       7,690     x       12                    7,690
Avant Immunotherapeutics Inc    Com      053491106            0         100     x       12                      100
Avaya Inc                       Com      053499109          351      35,495     x       12                   35,495
Aventis                         ADR      053561106          195       2,598     x       12                    2,598
Avenue A Inc                    Com      053566105            2       2,000     x       12                    2,000
Avery Dennison Corp.            Com      053611109          400       8,450     x       12                    8,450
Aviall Inc.                     Com      05366B102            2         300     x       12                      300
Avici Sys Inc                   Com      05367L109            2       1,290     x       12                    1,290
Avid Technology Inc.            Com      05367P100           88      12,070     x       12                   12,070
Aviron                          Com      053762100            2         100     x       12                      100
Avista Corp                     Com      05379B107           52       3,854     x       12                    3,854
Avnet Inc.                      Com      053807103           56       3,064     x       12                    3,064
Avoca Inc.                      Com      053843108           10         500     x       12                      500
Avocent Corp                    Com      053893103          140       9,431     x       12                    9,431
Avon Products Inc.              Com      054303102        1,136      24,568     x       12                   24,568
AXA-UAP - Sponsored ADR         ADR      054536107           69       3,507     x       12                    3,507
Axcelis Technologies Inc        Com      054540109           23       2,429     x       12                    2,429
Axcan Pharma Inc.               Com      054923107            8         775     x       12                      775
BB&T Corp.                      Com      054937107        7,484     205,326     x       12                  205,326
BCSB Bankcorp Inc               Com      054948104            5         500     x       12                      500
Bae Systems Plc                 ADR      05523R107            5         269     x       12                      269
B A S F  A G                    ADR      055262505           24         689     x       12                      689
BAT International Inc           Com      05527C106            0       3,500     x       12                    3,500
BCE Inc.                        Com      05534B109           26       1,160     x       12                    1,160
BJ Services Co.                 Com      055482103          142       7,985     x       12                    7,985
BKF Capital Group               Com      05548G102            1          53     x       12                       53
BJ's Wholesale Club Inc.        Com      05548J106        2,243      47,105     x       12                   47,105
BP Amoco Plc -Spons ADR         ADR      055622104        6,330     128,736     x       12                  128,736
BP Prudhoe Bay Rty Tr Unit Ben ICom      055630107            6         400     x       12                      400
BRE Properties Inc. Cl A        Com      05564E106          107       3,567     x       12                    3,567
Bsb Bancorp                     Com      055652101           12         505     x       12                      505
BTG Inc.                        Com      05576J101            4         300     x       12                      300
BMC Software                    Com      055921100           77       6,039     x       12                    6,039
B2B Internet Holdrs Tr          Com      056033103            5       1,900     x       12                    1,900
Back Yd Burgers Inc             Com      05635W101            7       3,200     x       12                    3,200
Baker Hughes Inc.               Com      057224107          139       4,815     x       12                    4,815
Baldor Electric co              Com      057741100           74       3,750     x       12                    3,750
Baldwin Technology Co Inc. Cl A Com      058264102            0         200     x       12                      200
Ball Corp.                      Com      058498106          110       1,834     x       12                    1,834
Ballard Power Systems Inc.      Com      05858H104           61       3,100     x       12                    3,100
Banca Quadrum SA ADR            ADR      05944R108            0       5,900     x       12                    5,900
Bancorp Conn Inc                Com      059684100           98       5,300     x       12                    5,300
Bancorp South Inc.              Com      059692103          132       8,600     x       12                    8,600
Bancwest Corporation            Com      059790105           14         400     x       12                      400
Bandag Inc.                     Com      059815100            4         160     x       12                      160
Bangor Hydro Electric CO        Com      060077104          156       5,850     x       12                    5,850
Bank of America Corp.           Com      060505104       11,341     194,197     x       12                  194,197
Bank Of Granite Corp            Com      062401104           32       1,439     x       12                    1,439
Bank of New York Co. Inc.       Com      064057102          582      16,631     x       12                   16,631
Bank One Corp.                  Com      06423A103        5,118     162,617     x       12                  162,617
RTS Bank Utd Corp Litigatn CStockrRight  065416117            0         500     x       12                      500
Bank Atlantic Bancorp Inc. A    Com      065908501            5         500     x       12                      500
Banknorth Group Inc.            Com      06646R107          223       9,973     x       12                    9,973
Bard C R Inc.                   Com      067383109          314       6,100     x       12                    6,100
Barnesandnoble Com Inc          Com      067846105            0         400     x       12                      400
Barrick Gold Corp.              ADR      067901108           10         600     x       12                      600
Barr Labs Inc.                  Com      068306109          726       9,189     x       12                    9,189
Battle Mountain Gold Co         Com      071593107            0         120     x       12                      120
Bausch & Lomb Inc.              Com      071707103           54       1,900     x       12                    1,900
Baxter Intl Inc                 Com      071813109        1,794      32,587     x       12                   32,587
Baxter International Inc - CVR  Com      071813125            0       3,100     x       12                    3,100
Bay View Cap Corp. Del Com      Com      07262L101            6         822     x       12                      822
BEA Systems Inc.                Com      073325102          254      26,511     x       12                   26,511
Bear Stearns Companies, Inc.    Com      073902108          569      11,375     x       12                   11,375
Beckman Coulter Inc.            Com      075811109           55       1,240     x       12                    1,240
Becton Dickinson & Co           Com      075887109        2,336      63,139     x       12                   63,139
Bed Bath & Beyond Inc.          Com      075896100          284      11,156     x       12                   11,156
BellSouth Corp.                 Com      079860102        8,098     194,909     x       12                  194,909
Belmont Bancorp St. Clairsville Com      080162100           12       4,353     x       12                    4,353
Belo A H Com Ser A              Com      080555105          134       8,376     x       12                    8,376
Bemis Co Inc.                   Com      081437105          205       5,150     x       12                    5,150
Ben Franklin Retail Stores, Inc.Com      081499105            0         175     x       12                      175
Benj Franklin Federal Savings & Comn     082072109            4         500     x       12                      500
W R Berkley Corp.               Com      084423102           29         600     x       12                      600
Berkshire Hathaway Inc. Class A Com      084670108        1,820          26     x       12                       26
Berkshire Hathaway Inc. Class B Com      084670207       11,676       5,011     x       12                    5,011
Best Buy Inc.                   Com      086516101          107       2,350     x       12                    2,350
Bethlehem Steel Corp.           Com      087509105           34      26,503     x       12                   26,503
BHP Ltd                         ADR      088606108            5         619     x       12                      619
Beyond Com Corp                 Com      08860E309            0          86     x       12                       86
Bindview Development Corp       Com      090327107            1       1,000     x       12                    1,000
Bio-Technology General Corp.    Com      090578105            1         200     x       12                      200
Biogen Inc.                     Com      090597105        1,726      31,058     x       12                   31,058
Bio Plexus Inc Del              Com      09059L104            1         750     x       12                      750
Bioject Med Tech Inc            Com      09059T206           85       8,300     x       12                    8,300
Biomet Inc.                     Com      090613100          130       4,450     x       12                    4,450
Biopure Corp                    Com      09065H105          403      21,730     x       12                   21,730
Biotime Inc.                    Com      09066L105            1         100     x       12                      100
Biotech HOLDRS Tr               Com      09067D201          116       1,038     x       12                    1,038
Biovail Corp                    ADR      09067J109          639      13,773     x       12                   13,773
Biovail Corp               Stock Warrant 09067J117          184       1,295     x       12                    1,295
Birmingham Steel Corp.          Com      091250100            1         800     x       12                      800
Biomira Inc                     Com      09161R106            6       1,200     x       12                    1,200
Black & Decker Corp.            Com      091797100          912      29,244     x       12                   29,244
Black Box Corp.                 Com      091826107            4         100     x       12                      100
Black Hills Corp.               Com      092113109          137       4,478     x       12                    4,478
Blackrock Insd Mun Term Tr Inc  Com      092474105           49       4,700     x       12                    4,700
Blackrock North American Govt InComTr    092475102           49       4,772     x       12                    4,772
The Blackrock Income Tr Inc.    Com      09247F100          112      15,000     x       12                   15,000
Blackrock Florida Insured Muni TComt     09247H106          100       6,538     x       12                    6,538
Blackrock Investment Quality TerComrust  09247J102           11       1,200     x       12                    1,200
The Blackrock Muni Target Term TComnc.   09247M105            8         800     x       12                      800
Blackrock Strategic Term Trust ICom      09247P108           15       1,500     x       12                    1,500
Blackrock Inc                   Com      09247X101            4         100     x       12                      100
Blackrock Muni Income Tr        Com      09248F109           80       5,366     x       12                    5,366
Blackrock Fl Muni Income Trust  Com      09248H105           18       1,250     x       12                    1,250
Blackrock NJ Muni Income Trust  Com      09248J101           15       1,000     x       12                    1,000
Blackrock High Yield Tr         Com      09248N102           15       1,500     x       12                    1,500
Block H & R Inc.                Com      093671105            4         100     x       12                      100
Blyth Industries Inc            Com      09643P108           26       1,300     x       12                    1,300
Bob Evans Farms Inc.            Com      096761101          101       5,600     x       12                    5,600
Boeing Co.                      Com      097023105        2,797      83,494     x       12                   83,494
Boise Cascade                   Com      097383103            0           0     x       12                        0
Bombardier Inc- Cl A            Com      097751101            5         600     x       12                      600
Bombardier Inc. Cl B            Com      097751200            4         480     x       12                      480
Bookham Technology Plc          ADR      09856Q108            0          15     x       12                       15
Borders Group Inc.              Com      099709107          459      23,980     x       12                   23,980
Borg-Warner Automotive, Inc.    Com      099724106           52       1,281     x       12                    1,281
Borland Software Corp           Com      099849101           22       2,750     x       12                    2,750
Boston Acoustics Inc.           Com      100534106           13       1,225     x       12                    1,225
Boston Beer Co Inc. Cl A        Com      100557107            0          18     x       12                       18
Boston Cap Tax Cr Fd Ltd Ptnr   Com      100567874            0       1,500     x       12                    1,500
Boston Chicken Inc.             Com      100578103            0         150     x       12                      150
Boston Communications Group Inc.Com      100582105          142      12,705     x       12                   12,705
Boston Properties Inc.          Com      101121101           31         800     x       12                      800
Boston Scientific Corp.         Com      101137107          286      13,965     x       12                   13,965
BostonFed Bancorp Inc           Com      101178101           10         450     x       12                      450
Bowater Inc                     Com      102183100           61       1,375     x       12                    1,375
Bowl Amer Inc. Cl A             Com      102565108           46       4,410     x       12                    4,410
Boykin Lodging Co               Com      103430104           22       2,800     x       12                    2,800
Bradley Pharmaceuticals Inc     Com      104576103           38       5,000     x       12                    5,000
Braintech Inc New               ADR      105022107            0       2,500     x       12                    2,500
Brandywine Realty Trust SBI     Com      105368203          747      35,022     x       12                   35,022
Brazil Fund Inc.                Com      105759104            6         500     x       12                      500
Breed Technology                Com      106702103            0         401     x       12                      401
Briggs & Stratton Corp.         Com      109043109           37       1,170     x       12                    1,170
Brinker Intl Inc.               Com      109641100           46       1,960     x       12                    1,960
Brio Technology Inc             Com      109704106            1         300     x       12                      300
Bristol-Myers Squibb Co.        Com      110122108       19,878     357,779     x       12                  357,779
Britesmile Inc.                 Com      110415106            4         600     x       12                      600
British Telecommunications      ADR      111021408           42         812     x       12                      812
Broadband Holdrs Tr             Com      11130P104           14       1,000     x       12                    1,000
Broadcom Corp Cl A              Com      111320107          157       7,716     x       12                    7,716
Broadvision Inc.                Com      111412102           21      23,265     x       12                   23,265
Broadwing Inc                   Com      111620100           85       5,287     x       12                    5,287
Brocade Communications Sys Inc  Com      111621108           76       5,418     x       12                    5,418
Brown & Brown Inc               Com      115236101          135       2,600     x       12                    2,600
Brown Forman Corp. CL B         Com      115637209           63       1,000     x       12                    1,000
Brunswick Corp.                 Com      117043109          109       6,645     x       12                    6,645
Brush Wellman, Inc.             Com      117421107            6         400     x       12                      400
Bryn Mawr BK Corp.              Com      117665109           59       2,188     x       12                    2,188
Bsquare Corp                    Com      11776U102            1         400     x       12                      400
Buckeye Partners L P Unit       Com      118230101          281       8,100     x       12                    8,100
Budget Group Inc Cl A           Com      119003101            1         500     x       12                      500
Bull Run Corp                   Com      120182100            2       1,500     x       12                    1,500
Burlington Northern Santa Fe CorCom      12189T104          344      12,849     x       12                   12,849
Burlington Resources            Com      122014103          510      14,921     x       12                   14,921
Butler Manufacturing Co.        Com      123655102            8         350     x       12                      350
Cai Inc                         Com      124766106            0         600     x       12                      600
CBRL Group Inc.                 Com      12489V106          223      10,135     x       12                   10,135
CDI Corp.                       Com      125071100          262      16,318     x       12                   16,318
CDW Computer Centers Inc.       Com      125129106            7         200     x       12                      200
CEC  Entertainment Inc          Com      125137109           10         280     x       12                      280
CH Energy Group Incorporated    Com      12541M102          211       5,208     x       12                    5,208
Cigna Corp.                     Com      125509109          540       6,515     x       12                    6,515
CIGNA High Income Shares SBI    Com      12551D109           83      23,465     x       12                   23,465
Cleco Corporation               Com      12561W105          107       5,168     x       12                    5,168
CMG Information Services Inc.   Com      125750109           11      10,740     x       12                   10,740
CMS Energy Corp                 Com      125896100           23       1,168     x       12                    1,168
Cnb Bancorp Inc                 Com      125915108           17         550     x       12                      550
CNL Income Fund XII Ltd UnitLTDtPart P2  125928705            5         500     x       12                      500
CNL Income Fund III LTD     LTD Part P4  125928879           29          73     x       12                       73
CNBT Bancshares Inc             Com      125972992            0       2,380     x       12                    2,380
CNA Financial Corp.             Com      126117100          108       4,000     x       12                    4,000
CNB Hldgs Inc                   Com      12612T101            0       2,000     x       12                    2,000
CN Bancorp Inc.                 Com      12612U108        1,000     100,000     x       12                  100,000
CNF Transportation Inc.         Com      12612W104           11         500     x       12                      500
Cnet Networks Inc.              Com      12613R104           18       4,136     x       12                    4,136
Csc Inds Inc                    Com      126312107            0         200     x       12                      200
CSG Systems International Inc.  Com      126349109           49       1,185     x       12                    1,185
C S X Corp.                     Com      126408103        2,180      69,200     x       12                   69,200
Ctc Communications Group Inc    Com      126419100            1         250     x       12                      250
CT Communications Inc.          Com      126426402           23       1,600     x       12                    1,600
CTS Corp.                       Com      126501105            1         100     x       12                      100
CVS Corp.                       Com      126650100        2,083      62,737     x       12                   62,737
Cable & Wireless Pub Ltd Plc    ADR      126830207           25       1,925     x       12                    1,925
Cablevision Systems Corp. Cl A  Com      12686C109          180       4,392     x       12                    4,392
Cablevision Sys Corp - Rainbow  Com      12686C844           26       1,279     x       12                    1,279
Cable Design Technologies Corp. Com      126924109           32       2,700     x       12                    2,700
Cacheflow Inc.                  Com      126946102            2       1,000     x       12                    1,000
Cabot Corp.                     Com      127055101           95       2,375     x       12                    2,375
Cadbury Schweppes P L C         ADR      127209302           65       2,575     x       12                    2,575
Cadence Design Systems Inc.     Com      127387108           51       3,035     x       12                    3,035
Caire Inc.                      Com      127761104            0         109     x       12                      109
Caldera Technologies Corp.      ADR      12878E301            0         600     x       12                      600
Calico Commerce Inc             Com      129897104            0         200     x       12                      200
California Federal Bank GoodwillCom      130209604            0          19     x       12                       19
California Fed Bank FSB         Com      130209703            0           8     x       12                        8
California Micro Devices Corp   Com      130439102            1         200     x       12                      200
California Pizza Kitchen Inc    Com      13054D109           50       3,150     x       12                    3,150
California Water Service Grp    Com      130788102           58       2,156     x       12                    2,156
Callaway Golf Co                Com      131193104           81       6,350     x       12                    6,350
Calpine Corp.                   Com      131347106        4,252     186,388     x       12                  186,388
Camden Property Trust           Com      133131102        2,594      69,907     x       12                   69,907
Campbell Soup Co.               Com      134429109           78       2,800     x       12                    2,800
Canadian Pacific Ltd Com        Com      135923100           18         555     x       12                      555
Canadian National Railroad      Com      136375102          146       3,825     x       12                    3,825
Canon Inc. - Spon ADR           ADR      138006309           14         522     x       12                      522
Capital One Financial Corp.     Com      14040H105        3,339      72,549     x       12                   72,549
Capitalcare Corp                Com      140549106            0         621     x       12                      621
Capstone Turbine Corp           Com      14067D102          230      38,046     x       12                   38,046
Capstead Mtg Corp               Com      14067E506           14         521     x       12                      521
Captec Net Lease Realty Inc.    Com      140724105           51       4,200     x       12                    4,200
Cardinal Health Inc.            Com      14149Y108        2,692      36,406     x       12                   36,406
Careadvantage Inc Com New       Com      14166N209           20     166,667     x       12                  166,667
Caremark Rx Inc.                Com      141705103          116       6,927     x       12                    6,927
Carlisle Cos Inc.               Com      142339100            6         200     x       12                      200
Carnival Corp.                  Com      143658102        4,446     201,911     x       12                  201,911
Carpenter Technology Corp.      Com      144285103            9         400     x       12                      400
Carramerica Realty Corp.        Com      144418100          599      20,001     x       12                   20,001
Carreker Antinori Inc           Com      144433109            2         300     x       12                      300
Carrollton Bancorp              Com      145282109           39       3,300     x       12                    3,300
Cash America International, Inc.Com      14754D100            2         200     x       12                      200
Castle Convertible Fund Inc     Com      148443104           10         450     x       12                      450
Catalina Marketing Corp.        Com      148867104           28       1,000     x       12                    1,000
Catapult Communications Corp    Com      149016107           92       6,660     x       12                    6,660
Catellus Dev Corp.              Com      149111106            4         243     x       12                      243
Caterpillar Inc.                Com      149123101        1,205      26,905     x       12                   26,905
Cato Corp New  Class A          Com      149205106           19       1,300     x       12                    1,300
Cedar Fair, L.P. Dep Rec        Com      150185106          199      10,168     x       12                   10,168
Cell Genesys Inc.               Com      150921104        3,763     235,190     x       12                  235,190
Celestica Inc.                  ADR      15101Q108           73       2,675     x       12                    2,675
Celgene Corp                    Com      151020104        1,225      46,335     x       12                   46,335
Cell Pathways Inc. - New        Com      15114R101            0         140     x       12                      140
Celsion Corporation             Com      15117N107            3       6,000     x       12                    6,000
Cemex SA- Spons ADR             ADR      151290889          403      19,641     x       12                   19,641
Cendant Corp.                   Com      151313103        1,727     134,946     x       12                  134,946
Centaur Mng & Expl Ltd          Com      15133C507            0           1     x       12                        1
Center TR  Inc                  Com      151845104            1         180     x       12                      180
Centerpoint Properties Corp.    Com      151895109           12         250     x       12                      250
Centex Corp.                    Com      152312104          361      10,715     x       12                   10,715
Centillium Communications Inc   Com      152319109            1         200     x       12                      200
Centra Software Inc             Com      15234X103            6         750     x       12                      750
Central Bank of Tampa           Com      152585105            0          60     x       12                       60
Central Parking Corporation     Com      154785109          129       9,235     x       12                    9,235
Central Pkg Fin Tr Pfd Tr CPreferdStk Con154787303           26       2,000     x       12                    2,000
Century Business Services Inc   Com      156490104           22       8,905     x       12                    8,905
Century Pension Inc Fd LP XXLTDLPartaP4  156658106            0           4     x       12                        4
Centurytel Inc.                 Com      156700106        2,426      72,406     x       12                   72,406
Cephalon Inc.                   Com      156708109            2          50     x       12                       50
Ceridian Corp New               Com      156779100           51       3,500     x       12                    3,500
Cerner Corp.                    Com      156782104           69       1,400     x       12                    1,400
Certegy Inc                     Com      156880106          483      18,624     x       12                   18,624
Cerus Corp.                     Com      157085101            5         100     x       12                      100
Champion Enterprises Inc.       Com      158496109            3         400     x       12                      400
Chancellor Corp                 Com      158828103            0      10,000     x       12                   10,000
Charter One Financial Inc.      Com      160903100          911      32,280     x       12                   32,280
Charter Municipal Mortgage AccepComce    160908109          319      20,000     x       12                   20,000
Charter Communications Inc Del  Com      16117M107          334      27,006     x       12                   27,006
Chartered Semiconductor Mfg     ADR      16133R106            0          16     x       12                       16
Chartwell Divid & Income Fd Inc.Com      16139P104           47       4,791     x       12                    4,791
Chase Manhattan Corp.           Com      16161A108            0           0     x       12                        0
Chateau Communities Inc.        Com      161726104           14         480     x       12                      480
Checkfree Corp New              Com      162813109          165       9,725     x       12                    9,725
Checkpoint Systems, Inc.        Com      162825103          127      11,580     x       12                   11,580
Cheap Ticket Inc                Com      162990048            0       1,000     x       12                    1,000
Cheesecake Factory Inc.         Com      163072101          178       7,418     x       12                    7,418
Wts Cherokee Inc           Stock Warrant 16444L111            0          57     x       12                       57
Wts Cherokee Inc           Stock Warrant 16444L129            0          70     x       12                       70
Wts Cherokee Inc           Stock Warrant 16444L137            0         209     x       12                      209
Chesapeake Corp.                Com      165159104           36       1,400     x       12                    1,400
Chesapeake Energy Corp.         Com      165167107          218      38,600     x       12                   38,600
Chesapeake Finl Shs Inc         Com      16517A109            9         432     x       12                      432
Chesterfield Finl Corp          Com      166435107            9         600     x       12                      600
Chevron Corp.                   Com      166751107        7,297      86,095     x       12                   86,095
Chicago Bridge & Iron Co N V    ADR      167250109          327      16,405     x       12                   16,405
Chico's Fas Inc.                Com      168615102            7         300     x       12                      300
Children's Place Retail Stores ICom      168905107           17         950     x       12                      950
China Mobile Hong Kong Ltd      ADR      16941M109           89       5,570     x       12                    5,570
Choice Hotels Intl Inc.         Com      169905106           20       1,232     x       12                    1,232
Chiquita Brands Intl Inc.       Com      170032106            2       2,000     x       12                    2,000
Chiquita Brands $3.75 Ser BPreferdStk Con170032502           17       2,900     x       12                    2,900
Chiron Corp.Del                 Com      170040109          255       5,732     x       12                    5,732
Choicepoint Inc.                Com      170388102            8         187     x       12                      187
Chromavision Medical Sys        Com      17111P104            0          80     x       12                       80
Chubb Corp.                     Com      171232101        2,892      40,498     x       12                   40,498
Ciber Inc.                      Com      17163B102           28       4,386     x       12                    4,386
Ciena Corp.                     Com      171779101          195      18,980     x       12                   18,980
Cima Labs Inc                   Com      171796105          162       2,660     x       12                    2,660
INA Investment Secs Inc.        Com      17179X106           18       1,075     x       12                    1,075
Cincinnati Financial Corp.      Com      172062101        1,178      28,313     x       12                   28,313
Cinergy Corp.                   Com      172474108          682      22,103     x       12                   22,103
Circle Systems, Inc.            Com      172682106            0         500     x       12                      500
Circuit City Stores Inc.        Com      172737108        1,146      95,526     x       12                   95,526
Circuit City Stores Inc.-Carmax Com      172737306          684      60,800     x       12                   60,800
Cirrus Logic Corp.              Com      172755100            4         500     x       12                      500
Cisco Systems Inc.              Com      17275R102        9,120     748,759     x       12                  748,759
Cintas Corp.                    Com      172908105           81       2,016     x       12                    2,016
Citigroup, Inc.                 Com      172967101       28,830     711,845     x       12                  711,845
Citizens Bkg Corp.              Com      174420109            8         260     x       12                      260
Citizens Communications Co      Com      17453B101           65       6,926     x       12                    6,926
Citizens Finl Corp W Va         Com      17461K101          111       3,850     x       12                    3,850
Citizens First Bancorp Inc Del  Com      17461R106           66       4,450     x       12                    4,450
Citrix Systems Inc.             Com      177376100           44       2,236     x       12                    2,236
City Holding Co                 Com      177835105           62       6,220     x       12                    6,220
City National Corp.             Com      178566105           39         902     x       12                      902
Cityxpress Com Corp             Com      178786109            0       3,000     x       12                    3,000
Claire's Stores, Inc.           Com      179584107           27       2,100     x       12                    2,100
Clarcor Inc.                    Com      179895107        1,138      47,616     x       12                   47,616
Clarus Corp.                    Com      182707109           22       5,700     x       12                    5,700
Clayton Homes Inc.              Com      184190106           42       3,457     x       12                    3,457
Clear Channel Communications    Com      184502102           76       1,915     x       12                    1,915
Clorox Co.                      Com      189054109        1,395      37,700     x       12                   37,700
Closure Medical Corp.           Com      189093107           19       1,000     x       12                    1,000
CLP Holdings Ltd. Sponsored ADR ADR      18946Q101            4       1,134     x       12                    1,134
Coach Inc                       Com      189754104           27       1,000     x       12                    1,000
Coachmen Inds Inc.              Com      189873102            2         200     x       12                      200
Rts Coast Federal LitigationStockiRight  19034Q110            0         100     x       12                      100
Coca Cola Co.                   Com      191216100       12,788     272,957     x       12                  272,957
Coca Cola Enterprises Inc.      Com      191219104          405      26,426     x       12                   26,426
Coddle Creek Financial Inc      Com      191891100            9         300     x       12                      300
Cognex Corp.                    Com      192422103           10         520     x       12                      520
Cognos Inc.                     Com      19244C109            4         300     x       12                      300
Coherent Inc.                   Com      192479103           72       2,525     x       12                    2,525
Cohen & Steers Total Return RealComFd    19247R103          176      13,825     x       12                   13,825
Cohen & Steers Adv Inc Rlty Fd  Com      19247W102          382      27,079     x       12                   27,079
Cohu Inc.                       Com      192576106            4         300     x       12                      300
Colgate-Palmolive Co.           Com      194162103        4,792      82,258     x       12                   82,258
Collagenex Pharmaceuticals Inc  Com      19419B100            4         500     x       12                      500
Colonial Bancgroup Inc.         Com      195493309           36       2,800     x       12                    2,800
Colonial Intermarket Incm Tr 1  Com      195762109           23       2,800     x       12                    2,800
Colonial Properties Trust       Com      195872106          219       7,400     x       12                    7,400
Colorado Medtech Inc            Com      19652U104            1         250     x       12                      250
Columbia Bancorp                Com      197227101          118       8,140     x       12                    8,140
Columbia Laboratories Inc.      Com      197779101           19       4,300     x       12                    4,300
Comcast Corp. Class A           Com      200300101          182       5,110     x       12                    5,110
Comcast Corp. Class A Special   Com      200300200        3,589     100,065     x       12                  100,065
Comdisco                        Com      200336105            1       1,100     x       12                    1,100
Comerica Inc.                   Com      200340107          124       2,243     x       12                    2,243
Commerce Bancorp Inc.           Com      200519106           69       1,016     x       12                    1,016
Commerce Bancshares Inc.        Com      200525103            4         115     x       12                      115
Commerce One Inc Del            Com      200693109           81      32,881     x       12                   32,881
Commercefirst Bancorp Inc       Com      200845105           13       2,500     x       12                    2,500
Commercial Federal Corp.        Com      201647104            7         300     x       12                      300
Commercial Net Lease Realty     Com      202218103          432      32,602     x       12                   32,602
Commonwealth Edison Co          Com      202795720            0          16     x       12                       16
Commonwealth Telephone EnterprisComInc.  203349105        1,131      30,765     x       12                   30,765
Commscope Inc.                  Com      203372107        1,250      69,924     x       12                   69,924
Communication Intelligence New  Com      20338K106            3       4,550     x       12                    4,550
Community Financial Group Inc.  Com      20365M108            3         200     x       12                      200
Comp-U-Check Inc.               Com      204237309            0         150     x       12                      150
Companhia De Bebidas Das Amers  ADR      20441W203            5         300     x       12                      300
Compaq Computer Corp.           Com      204493100        1,955     235,250     x       12                  235,250
Compass Bancshares Inc. New     Com      20449H109        1,300      49,950     x       12                   49,950
Computer Associates InternationaComnc.   204912109        2,231      86,679     x       12                   86,679
Computer Network Technology     Com      204925101            6         600     x       12                      600
Computer Learning Centers       Com      205199102            0         460     x       12                      460
Computer Sciences Corp.         Com      205363104          302       9,107     x       12                    9,107
Compuware Corp.                 Com      205638109           39       4,700     x       12                    4,700
Comverse Technology Inc.        Com      205862402          453      22,124     x       12                   22,124
Conagra Inc.                    Com      205887102          832      37,048     x       12                   37,048
Conagra Capital LLC 9.35%  LTD Part P12  20588V406           21         840     x       12                      840
Com21 Inc                       Com      205937105            0         200     x       12                      200
Concord Camera Corp. MA         Com      206156101            4       1,000     x       12                    1,000
Concord EFS Inc.                Com      206197105          152       3,100     x       12                    3,100
Concur Technologies Inc         Com      206708109            0         500     x       12                      500
Condor Technology Solutions     Com      206772105            0       2,000     x       12                    2,000
Conectiv Inc.                   Com      206829103          165       7,000     x       12                    7,000
Conectiv Inc.- Cl A             Com      206829202            6         300     x       12                      300
Conestoga Enterprises Inc.      Com      207015108           14         600     x       12                      600
Conexant Systems Inc.           Com      207142100           39       4,671     x       12                    4,671
Congress Video Group Inc        Com      207266107            0         200     x       12                      200
Connecticut Water Service Inc.  Com      207797101           12         450     x       12                      450
Conoco Inc.                     Com      208251306          227       8,945     x       12                    8,945
Conoco Inc                      Com      208251405          232       9,174     x       12                    9,174
Conseco Inc.                    Com      208464107          447      61,503     x       12                   61,503
Conseco Strategic Income Fd     Com      20847A102            9       1,002     x       12                    1,002
Consol Energy Inc               Com      20854P109            2         100     x       12                      100
Consolidated Capital Instl PLTDePartsP1  208924100            5          24     x       12                       24
Consolidated Edison Inc.        Com      209115104          752      18,470     x       12                   18,470
Consolidated Freightways Corp.  Com      209232107            3       1,000     x       12                    1,000
Consolidated Tomoka Ld Co       Com      210226106            1          40     x       12                       40
Constellation Brands Inc        Com      21036P108           17         400     x       12                      400
Constellation Energy Group      Com      210371100        3,911     161,629     x       12                  161,629
Continental Airlines Inc. Class Com      210795308          198      13,200     x       12                   13,200
Continental Airlines Hldgs Inc. Com      210802104            0           6     x       12                        6
Continental Energy Corp         ADR      210909107            0       2,000     x       12                    2,000
Convergent Communications Inc   Com      211914403            0       1,000     x       12                    1,000
Convera Corp                    Com      211919105            4       1,500     x       12                    1,500
Convergys Corp                  Com      212485106          710      25,595     x       12                   25,595
Cooper Industries               Com      216669101          813      19,615     x       12                   19,615
Cooper Tire & Rubber Co         Com      216831107           10         725     x       12                      725
Cooperative Bankshares Inc      Com      216844100            6         600     x       12                      600
Coors Adolph Co.                Com      217016104            9         200     x       12                      200
Copart, Inc                     Com      217204106          249       8,889     x       12                    8,889
Copper Mtn Networks Inc         Com      217510106            2       2,000     x       12                    2,000
COR Therapeutics Inc.           Com      217753102           62       2,732     x       12                    2,732
Coram Healthcare Corp.          Com      218103109            0         126     x       12                      126
Corel Systems Corp              Com      21868Q109            0         200     x       12                      200
Corillian Corp                  Com      218725109            0         100     x       12                      100
Corixa Corp                     Com      21887F100            9         902     x       12                      902
Corn Products International Inc.Com      219023108           36       1,268     x       12                    1,268
Cornerstone Strategic Value Fd  Com      21924B104           11       1,648     x       12                    1,648
Corning Inc.                    Com      219350105        2,736     310,170     x       12                  310,170
Corporate Executive Brd Co      Com      21988R102           17         645     x       12                      645
Corporate High Yield Fund Inc.  Com      219914108           16       2,000     x       12                    2,000
Corporate Office Properties TrusCom      22002T108          296      27,130     x       12                   27,130
Corrections Corp Amer New       Com      22025Y407            1          50     x       12                       50
Corvis Corp                     Com      221009103           16      10,208     x       12                   10,208
Costco Whsl Corp New            Com      22160K105          703      19,770     x       12                   19,770
Cott Corp.                      Com      22163N106           30       1,981     x       12                    1,981
Countrywide Credit Industries   Com      222372104          105       2,400     x       12                    2,400
Covad Communications Group      Com      222814204            3       7,200     x       12                    7,200
Covance Inc.                    Com      222816100           21       1,200     x       12                    1,200
Covanta Energy Corp             Com      22281N103            1         100     x       12                      100
Covansys Corp                   Com      22281W103          161      18,400     x       12                   18,400
Cox Communications Inc. Cl A    Com      224044107          443      10,604     x       12                   10,604
COX Radio Inc. Cl A             Com      224051102            0          24     x       12                       24
Cray Computer Corp.             Com      225222108            0         400     x       12                      400
Credence Systems Corp.          Com      225302108           10         845     x       12                      845
Cree Research, Inc.             Com      225447101           22       1,500     x       12                    1,500
Crescent Real Estate Equities   Com      225756105           67       3,125     x       12                    3,125
Crescent Operating Inc.         Com      22575M100            0         120     x       12                      120
Crestline Capital Corp          Com      226153104            8         297     x       12                      297
Criimi Mae Inc.                 Com      226603108            4       9,511     x       12                    9,511
Criimi Mae Inc Preferred SePreferdStk Con226603405            1          75     x       12                       75
Cross Timber Royalty Trust      Com      22757R109           16       1,000     x       12                    1,000
Crown American Realty Trust     Com      228186102            2         300     x       12                      300
Crown Castle Intl Corp          Com      228227104           89       9,900     x       12                    9,900
Crown Cork & Seal Co Inc.       Com      228255105           16       6,851     x       12                    6,851
Crown Group Inc                 Com      228359105           20       5,000     x       12                    5,000
Cubist Pharmaceuticals Inc      Com      229678107           66       2,025     x       12                    2,025
Cullen Frost Bankers Inc.       Com      229899109          642      23,818     x       12                   23,818
Cummins Engine Co, Inc.         Com      231021106          535      16,200     x       12                   16,200
Cyberian Outpost Inc            Com      231914102            0         700     x       12                      700
Cybear Group New                Com      23243C201            0           2     x       12                        2
Cyber-Care Inc                  Com      23243T105            0         230     x       12                      230
Cyberonics Inc.                 Com      23251P102            8         500     x       12                      500
Cypress Semiconductor Corp.     Com      232806109           69       4,657     x       12                    4,657
Cysive Inc                      Com      23281T108           12       4,450     x       12                    4,450
Cytec Industries                Com      232820100           10         425     x       12                      425
Cytogen Corp.                   Com      232824102            8       3,100     x       12                    3,100
CYTYC Corp.                     Com      232946103          982      36,630     x       12                   36,630
DPL Inc.                        Com      233293109          234       9,628     x       12                    9,628
D Q E Inc.                      Com      23329J104          144       7,467     x       12                    7,467
D R Horton Inc.                 Com      23331A109            1          44     x       12                       44
DST Systems Inc.                Com      233326107          829      19,165     x       12                   19,165
D S P Group Inc.                Com      23332B106           16         800     x       12                      800
DTE Energy CO                   Com      233331107           95       2,213     x       12                    2,213
Dvl Inc                         Com      233347103            0         400     x       12                      400
Daleen Technologies Inc         Com      23437N104           56     133,400     x       12                  133,400
Dana Corp.                      Com      235811106          126       8,071     x       12                    8,071
Danaher Corp.                   Com      235851102          157       3,335     x       12                    3,335
Darden Restaurants Inc.         Com      237194105            3         100     x       12                      100
Dassault Systems SA Sponsored AdADR      237545108            2          50     x       12                       50
Datron Systems Inc              Com      238173108            2         100     x       12                      100
Datum Inc                       Com      238208102            3         300     x       12                      300
D'Brit Corp                     Com      24021W104            0         200     x       12                      200
Dean Witter Realty Yield PLSLTD Part P0  24241L201            0          20     x       12                       20
Debt Strategies Fd Ii Inc       Com      24276Q109           28       4,422     x       12                    4,422
Deere & Co                      Com      244199105        1,076      28,615     x       12                   28,615
Del Monte Foods Co.             Com      24522P103          149      19,360     x       12                   19,360
Delaware Group Dividend &       Com      245915103          196      16,496     x       12                   16,496
Dell Computer Corp.             Com      247025109        6,369     343,718     x       12                  343,718
Delphi Automotive Sys Corp      Com      247126105        1,059      90,098     x       12                   90,098
Del  Soft Consulting Inc        Com      247348105            0      10,000     x       12                   10,000
Delta & Pine Land Co            Com      247357106            3         200     x       12                      200
Delta Air Lines Inc.            Com      247361108          188       7,152     x       12                    7,152
Delta Data Sys Corp             Com      247604101            0       1,000     x       12                    1,000
Delta Nat Gas Inc               Com      247748106            6         300     x       12                      300
Deltic Timber Corp.             Com      247850100          313      12,360     x       12                   12,360
Deluxe Corp.                    Com      248019101          175       5,056     x       12                    5,056
Denning Mobile Robotics Inc     Com      248570301            0          72     x       12                       72
Dentsply International, Inc.    Com      249030107           41         900     x       12                      900
Descartes Sys Group Inc         ADR      249906108            1         200     x       12                      200
Deutsche Bank Sponsored ADR     ADR      251525309           11         200     x       12                      200
Deutsche Telecom AG ADS         ADR      251566105           87       5,585     x       12                    5,585
Developers Diversified Realty CoCom      251591103           37       2,040     x       12                    2,040
Devon Energy Corp New           Com      25179M103          105       3,059     x       12                    3,059
Devry Inc.                      Com      251893103          828      23,075     x       12                   23,075
Diageo PLC-Sponsored ADR New    ADR      25243Q205          136       3,281     x       12                    3,281
Diagnostic Health Svcs Inc.     Com      252446406            0       1,000     x       12                    1,000
Dial Corp.                      Com      25247D101           51       3,077     x       12                    3,077
Diamond Offshore Drilling Inc.  Com      25271C102           33       1,313     x       12                    1,313
Diamonds Trust Unit Series 1    Com      252787106          924      10,455     x       12                   10,455
Diasys Corp                     Com      252838107            2       4,700     x       12                    4,700
Diebold Inc.                    Com      253651103          270       7,078     x       12                    7,078
Digex Inc. Cl A                 Com      253756100           11       3,417     x       12                    3,417
Digimarc Corp                   Com      253807101            1         100     x       12                      100
Digital Lightwave, Inc.         Com      253855100            1         100     x       12                      100
Digital Insight Corp            Com      25385P106            1         100     x       12                      100
Digitas Inc.                    Com      25388K104            1         600     x       12                      600
Dime Bancorp Inc.               Com      25429Q102          715      18,180     x       12                   18,180
Dime Bancorp Inc New WarranStock Warrant 25429Q110            3      13,500     x       12                   13,500
Dimethaid Research Inc.         Com      25435L105            4       1,445     x       12                    1,445
Dimon Inc.                      Com      254394109           15       2,600     x       12                    2,600
Dionex Corp                     Com      254546104           10         400     x       12                      400
The Walt Disney Co.             Com      254687106        7,603     408,307     x       12                  408,307
Discovery Zone Inc         Stock Warrant 25468B131            0           6     x       12                        6
Disease Sciences Inc            Com      25469Y106            0       1,000     x       12                    1,000
Diversified Senior Services Inc.Com      255340101            4      32,121     x       12                   32,121
Diversinet Corp                 ADR      25536K204            2       2,000     x       12                    2,000
Dixon Ticonderoga Co            Com      255860108            1         200     x       12                      200
Docucorp International-W/I      Com      255911109            0          80     x       12                       80
Dole Food Company               Com      256605106           91       4,275     x       12                    4,275
Dollar General Corp.            Com      256669102           60       5,131     x       12                    5,131
Dollar Thrifty Automotive Group Com.     256743105            8         800     x       12                      800
Dollar Tree Stores Inc.         Com      256747106          796      42,475     x       12                   42,475
Dominion Res Inc Va New         Com      25746U109          664      11,184     x       12                   11,184
Donaldson Inc.                  Com      257651109          616      21,375     x       12                   21,375
Donnelley (R R) & Sons Co       Com      257867101            5         200     x       12                      200
Doubleclick Inc.                Com      258609304            7       1,150     x       12                    1,150
Dover Corp.                     Com      260003108        1,612      53,546     x       12                   53,546
Dover Downs Entertainment Inc.  Com      260086103           21       1,678     x       12                    1,678
Dow Chemical Co                 Com      260543103        2,087      63,721     x       12                   63,721
Dow Jones & Co                  Com      260561105            8         184     x       12                      184
Dress Barn, Inc.                Com      261570105            3         150     x       12                      150
Drexler Technology Corp         Com      261876106            2         100     x       12                      100
Dreyfus Strategic Municipal     Com      261932107           96       9,905     x       12                    9,905
Dreyfus Gr & Value-Aggressive GrCom      26200S101           78      15,002     x       12                   15,002
Dreyfus Core Bond               Com      26202F107           14       1,605     x       12                    1,605
Drugstore Com Inc               Com      262241102            0         500     x       12                      500
Dset Corp                       Com      262504202            5       3,216     x       12                    3,216
Du Pont (EI) de Nemours and Co. Com      263534109        5,579     148,707     x       12                  148,707
Duff & Phelps Utilities Income ICom      264324104          484      45,101     x       12                   45,101
Duff & Phelps Utility &         Com      26432K108          215      16,595     x       12                   16,595
Duke Energy Corp.               Com      264399106        3,785     100,006     x       12                  100,006
Duke Realty Investments, Inc.   Com      264411505        1,131      47,743     x       12                   47,743
Dun & Bradstreet Corp.          Com      26483E100          263       9,405     x       12                    9,405
Duramed Pharmaceuticals Inc.    Com      266354109           13         660     x       12                      660
Duratek Inc                     Com      26658Q102            2         400     x       12                      400
Dynacq Intl Inc                 Com      267919306          180      11,947     x       12                   11,947
Dynegy Inc New                  Com      26816Q101          193       5,580     x       12                    5,580
Dynex Cap Inc                   Com      26817Q506            1         500     x       12                      500
ECI Telecom Limited ORD         ADR      268258100            3       1,045     x       12                    1,045
E Digital Corp.                 Com      26841Y103            5       4,300     x       12                    4,300
EMC Corp.                       Com      268648102        3,594     305,884     x       12                  305,884
E Medsoft Com                   Com      26873Q101           11       2,800     x       12                    2,800
Enbc Corp                       Com      26874E107            0       1,000     x       12                    1,000
Ensco International Inc.        Com      26874Q100           66       4,485     x       12                    4,485
EOG Res Inc                     Com      26875P101           28         965     x       12                      965
E Resources Inc                 Com      26883T103            0         400     x       12                      400
Eagle Bancorp Inc Md            Com      268948106           20       1,750     x       12                    1,750
E Spire Communications Inc      Com      269153102            0         200     x       12                      200
E Trade Group Inc               Com      269246104           18       2,895     x       12                    2,895
Eagle Bancshares Inc            Com      26942C109            7         500     x       12                      500
Earthlink Inc                   Com      270321102          125       8,197     x       12                    8,197
Eastern Va Bankshares Inc       Com      277196101           15       1,000     x       12                    1,000
Eastman Chemical Co             Com      277432100           85       2,337     x       12                    2,337
Eastman Kodak Co.               Com      277461109        6,976     214,442     x       12                  214,442
Easton Bancorp Inc              Com      277496105            1          50     x       12                       50
Eaton Corp.                     Com      278058102           33         564     x       12                      564
Eaton Vance Corp                Com      278265103          854      27,247     x       12                   27,247
Eaton Vance Sr Income Tr SBI    Com      27826S103            0           0     x       12                        0
Ebay Inc Com                    Com      278642103          156       3,405     x       12                    3,405
Echelon Corp                    Com      27874N105          353      28,300     x       12                   28,300
Echostar Communications New     Com      278762109          389      16,735     x       12                   16,735
Ecolab                          Com      278865100        1,435      39,500     x       12                   39,500
Ecometry Corp                   Com      27900H106            0         100     x       12                      100
Ediets Com Inc Cl A             Com      280597105            0         133     x       12                      133
Edison International            Com      281020107          240      18,230     x       12                   18,230
Education Management Corp       Com      28139T101            3         100     x       12                      100
Edwards A G Inc.                Com      281760108          201       5,711     x       12                    5,711
Edwards Lifesciences Corp       Com      28176E108           32       1,425     x       12                    1,425
eFunds Corp                     Com      28224R101            3         210     x       12                      210
800 Travel Systems Inc          Com      282506104           14      27,000     x       12                   27,000
Eircom PLC                      Com      282990274            0         300     x       12                      300
Eircom Plc                      ADR      282990308            2         400     x       12                      400
El Paso Corp                    Com      28336L109        1,177      28,337     x       12                   28,337
El Paso Electric Co New         Com      283677854          198      15,050     x       12                   15,050
El Paso Energy Partners         Com      28368B102           18         500     x       12                      500
Elan Corp. ADR                  ADR      284131208        1,110      22,918     x       12                   22,918
Elan Plc                   Stock Warrant 284131703           36         600     x       12                      600
Elbit Computers Ltd             ADR      284275104            1         300     x       12                      300
Electro Scientific Corp.        Com      285229100            4         200     x       12                      200
Electronic Arts                 Com      285512109           51       1,125     x       12                    1,125
Electronic Data Systems         Com      285661104        2,659      46,175     x       12                   46,175
Electronic Data Sys New         ADR      285661203          931      18,260     x       12                   18,260
Electronics for Imaging Inc.    Com      286082102           11         700     x       12                      700
Ellsworth Conv Growth & Income  Com      289074106           25       2,965     x       12                    2,965
Embarcadero Technologies Inc    Com      290787100            2         300     x       12                      300
Emerge Interactive Inc          Com      29088W103            0         130     x       12                      130
Emerging Markets Income Fund    Com      290920107           69       6,000     x       12                    6,000
Emerson Electric Co.            Com      291011104        7,989     169,764     x       12                  169,764
Emisphere Technologies Inc.     Com      291345106            4         200     x       12                      200
Emmis Communications Corp Cl A  Com      291525103            1          50     x       12                       50
Empire Amer Fed Svgs Bk Ny      Com      292004108            0         166     x       12                      166
Empresas ICA Sociedad           ADR      292448107            0          70     x       12                       70
Emulex Corp.                    Com      292475209           87       9,150     x       12                    9,150
Encad Inc                       Com      292503109            0         325     x       12                      325
Enbridge Energy Partners L P    Com      29250R106          454       9,958     x       12                    9,958
Endesa S.A. ADR                 ADR      29258N107            6         400     x       12                      400
Energy Conversion Devices Inc.  Com      292659109            3         200     x       12                      200
Energen Corp.                   Com      29265N108            7         300     x       12                      300
Energy East Corporation         Com      29266M109           39       1,939     x       12                    1,939
Energizer Hldgs Inc             Com      29266R108            5         325     x       12                      325
Engineered Support Sys Inc      Com      292866100           19         400     x       12                      400
Enron Corp                      Com      293561106        8,730     320,596     x       12                  320,596
Enterasys Networks Inc          Com      293637104          488      75,694     x       12                   75,694
Entercom Communications Corp    Com      293639100            1          18     x       12                       18
Entergy Corp.                   Com      29364G103          526      14,803     x       12                   14,803
Enterprise Prods Partners L LTD Part P4  293792107        1,492      32,225     x       12                   32,225
Entertainment Properties Trust  Com      29380T105           93       5,475     x       12                    5,475
Entremed Inc                    Com      29382F103            3         300     x       12                      300
Entrust Technologies Inc.       Com      293848107            4       1,500     x       12                    1,500
Enzon Inc.                      Com      293904108          632      12,384     x       12                   12,384
Environmental Elements Corp     Com      293940102            1         200     x       12                      200
Enzo Biochem Inc.               Com      294100102            9         525     x       12                      525
Equifax Inc.                    Com      294429105          817      37,325     x       12                   37,325
Equitable Bk Md                 Com      29444Q105            5         210     x       12                      210
Equitable Resources Inc.        Com      294549100           61       2,024     x       12                    2,024
Equity Concepts Inc             Com      294638101            0          84     x       12                       84
Equity Income Fd                Com      294700703           20         157     x       12                      157
Equity Inns Inc.                Com      294703103            3         425     x       12                      425
Equity Office Properties Trust  Com      294741103          151       4,712     x       12                    4,712
Equity Residential Properties TrCom      29476L107          793      13,586     x       12                   13,586
Ericsson L M Tel Co ADR Cl B    ADR      294821400          776     222,286     x       12                  222,286
Erie Indemnity Company - Cl A   Com      29530P102           65       1,650     x       12                    1,650
Etablissements Delhaize Freres  ADR      29759W101           12         214     x       12                      214
Ethan Allen Interiors, Inc.     Com      297602104           59       2,150     x       12                    2,150
Ethyl Corp.                     Com      297659104            0         405     x       12                      405
Etoys Inc.                      Com      297862104            0       1,100     x       12                    1,100
Euro909 Com A S                 ADR      298737107            1         500     x       12                      500
Europe Fund Inc.                Com      29874M103           38       3,775     x       12                    3,775
Evertrust Finl Group Inc.       Com      300412103            6         400     x       12                      400
Exar Corp                       Com      300645108            0          24     x       12                       24
Excelon Corporation             Com      300691102           12      25,550     x       12                   25,550
Exchange Applications           Com      300867108            0         500     x       12                      500
Exelon Corp                     Com      30161N101          245       5,500     x       12                    5,500
Exide Corp                      Com      302051107            2         400     x       12                      400
Exodus Communications Inc.      Com      302088109           14      80,356     x       12                   80,356
Expedia Inc                     Com      302125109          282      11,625     x       12                   11,625
Extreme Networks Inc            Com      30226D106           22       3,200     x       12                    3,200
Exxon Mobil Corp.               Com      30231G102       30,180     765,986     x       12                  765,986
F & M Bancorp                   Com      302367107           64       2,445     x       12                    2,445
F N B Corp.                     Com      302520101           50       1,926     x       12                    1,926
FPIC Insurance Group Inc.       Com      302563101          106       9,000     x       12                    9,000
FPL Group Inc.                  Com      302571104          773      14,438     x       12                   14,438
F N B Corp. VA                  Com      302930102           30       1,445     x       12                    1,445
FTI Consulting Inc.             Com      302941109           29       1,000     x       12                    1,000
Fairchild Semiconductor Intl    Com      303726103           57       3,550     x       12                    3,550
Family Dollar Stores Inc.       Com      307000109          493      17,930     x       12                   17,930
Farmers Natl Banc Corp          Com      309627107           10       1,000     x       12                    1,000
Fastenal Co.                    Com      311900104           57       1,000     x       12                    1,000
Freddie Mac                     Com      313400301        7,967     122,571     x       12                  122,571
Federal Mogul Corp.             Com      313549107            1       1,200     x       12                    1,200
Fannie Mae                      Com      313586109       17,807     222,422     x       12                  222,422
Federal Realty Investment Trust Com      313747206          508      23,104     x       12                   23,104
Federal Signal Corp.            Com      313855108          388      21,994     x       12                   21,994
Federated Department Stores     Com      31410H101          120       4,238     x       12                    4,238
Federated Investors Inc ( PA ) CCom      314211103          261       8,825     x       12                    8,825
Fedex Corp                      Com      31428X106        2,262      61,553     x       12                   61,553
Felcor Lodging Trust Inc        Com      31430F101            4         275     x       12                      275
F5 Networks Inc                 Com      315616102           20       2,200     x       12                    2,200
Fibercore Inc                   Com      31563B109            1         500     x       12                      500
Fidelity Bancorp                Com      315831107           64       4,276     x       12                    4,276
Fifth Third Bancorp             Com      316773100          978      15,904     x       12                   15,904
Finisar Corp                    Com      31787A101            5       1,200     x       12                    1,200
Finova Group Inc.               Com      317928109            0         400     x       12                      400
Firepond Inc                    Com      318224102            1       2,000     x       12                    2,000
First Albany Cos Inc            Com      318465101            2         275     x       12                      275
First American Finl Corp        Com      318522307            8         400     x       12                      400
First Central Financial Corp    Com      318908100            0       7,700     x       12                    7,700
First Charter Corp.             Com      319439105          431      26,385     x       12                   26,385
First Ctzns Bancshares Inc. NC  Com      31946M103           59         710     x       12                      710
First Chester County Corp.      Com      31947W100           22       1,400     x       12                    1,400
Frist Comwlth Finl Corp. PA     Com      319829107           66       5,377     x       12                    5,377
First Fed Cap Corp              Com      319960100           18       1,200     x       12                    1,200
First Data Corp.                Com      319963104        3,541      60,771     x       12                   60,771
First Financial Hldgs Inc.      Com      320239106           46       2,000     x       12                    2,000
First Industrial Realty Trust   Com      32054K103          211       7,025     x       12                    7,025
First Mariner Bancorp Inc.      Com      320795107           37       5,000     x       12                    5,000
First Health Group Corp.        Com      320960107          960      32,675     x       12                   32,675
First Natl Bk Shelby N C Cap StkCom      33354P107            0         262     x       12                      262
First Pl Finl Corp              Com      33610T109           15       1,075     x       12                    1,075
First Tennessee                 Com      337162101           50       1,350     x       12                    1,350
First VA Banks Inc.             Com      337477103          657      14,355     x       12                   14,355
First W Va Bancorp Inc          Com      337493100           50       3,000     x       12                    3,000
Fiserv Inc.                     Com      337738108           22         637     x       12                      637
Firstmerit Corp.                Com      337915102           17         739     x       12                      739
Firstenergy Corp.               Com      337932107          194       5,400     x       12                    5,400
Fleet Boston Financial Corp.    Com      339030108        6,231     171,879     x       12                  171,879
Fleetwood Enterprises Inc.      Com      339099103            2         200     x       12                      200
Fleming Companies, Inc.         Com      339130106            3         100     x       12                      100
Fletcher Challenge Ltd Forest   ADR      339324402            0         150     x       12                      150
Florida East Coast Inds Inc     Com      340632108          526      23,895     x       12                   23,895
Florida East Coast Industries   Com      340632207            3         132     x       12                      132
Fluor Corp.                     Com      343412102          246       6,401     x       12                    6,401
Flowers Foods Inc               Com      343498101            4         100     x       12                      100
Flowserve Corp.                 Com      34354P105           14         700     x       12                      700
Focal Communications Corp.      Com      344155106            0       1,000     x       12                    1,000
Ford Motor Co.                  Com      345370860        7,414     427,293     x       12                  427,293
Forest Labs Inc.                Com      345838106          272       3,775     x       12                    3,775
Forest Oil Corp            Stock Warrant 346091127            0           4     x       12                        4
Forest Oil Corp            Stock Warrant 346091135            0           4     x       12                        4
Forest Oil Corp                 Com      346091705            0          15     x       12                       15
Fortress Group Inc. New         Com      34956K207            0          25     x       12                       25
Fortune Brands Inc.             Com      349631101          518      15,448     x       12                   15,448
Forward Air Corporation         Com      349853101            5         200     x       12                      200
Foundry Networks Inc            Com      35063R100           37       6,105     x       12                    6,105
4 Kids Entertainment Inc.       Com      350865101          185       9,300     x       12                    9,300
Franklin Electric Inc.          Com      353514102        7,271     100,983     x       12                  100,983
Franklin Multi-Income Trust     Com      354021107           26       3,325     x       12                    3,325
Franklin Ophthalmic Instrs Inc  Com      354267106            0       1,000     x       12                    1,000
Franklin Resources              Com      354613101        1,982      57,176     x       12                   57,176
Franklin Unvl Tr Sh Ben Int     Com      355145103           10       1,390     x       12                    1,390
Freemarkets Inc                 Com      356602102           35       3,300     x       12                    3,300
Freeport McMoran Copper & Gold, Com.     35671D105            0           6     x       12                        6
Fremont General Corp.           Com      357288109            1         160     x       12                      160
Friede Goldman Intl Inc         Com      358430106            1       2,879     x       12                    2,879
Friedman Billings Ramsey Grp IncComL A   358433100            9       1,700     x       12                    1,700
Frontier Insurance Group Inc.   Com      359081106            0         220     x       12                      220
Fuelcell Energy Inc             Com      35952H106           21       1,420     x       12                    1,420
Fuji Photo Film Co              ADR      359586302            2          76     x       12                       76
Fulton Financial Corp.          Com      360271100          356      15,926     x       12                   15,926
Furniture Brands Intl Inc.      Com      360921100           16         825     x       12                      825
GA Financial Inc.               Com      361437106            3         175     x       12                      175
Gatx Corp.                      Com      361448103        1,211      36,005     x       12                   36,005
GLB Bancorp Inc                 Com      361778103           80       8,150     x       12                    8,150
GPU Inc.                        Com      36225X100          191       4,734     x       12                    4,734
GSI Lumonics Inc                Com      36229U102            1         100     x       12                      100
Gtsi Corp                       Com      36238K103            7       1,000     x       12                    1,000
Gabelli Equity Tr Inc.          Com      362397101          180      18,182     x       12                   18,182
Gabelli Utility Trust           Com      36240A101           77       9,062     x       12                    9,062
Goldman S. CORE Sm Cap Eq Svc   Com      36240B109           17       1,548     x       12                    1,548
The Gabelli Conv Sec Fund IPreferdStk Con36240B208           26       1,000     x       12                    1,000
Gables Residential Trust Com    Com      362418105          583      19,013     x       12                   19,013
Gaiam Inc Cl A                  Com      36268Q103            7         440     x       12                      440
Galileo International Inc.      Com      363547100            4         200     x       12                      200
Gallagher Arthur J & Co         Com      363576109          332       9,800     x       12                    9,800
Gallaher Group PLC-Spon ADR     ADR      363595109          161       6,047     x       12                    6,047
Gannett Co                      Com      364730101        1,486      24,721     x       12                   24,721
Gap Inc.                        Com      364760108          381      31,918     x       12                   31,918
Gargoyles Inc                   Com      366033108            0       4,000     x       12                    4,000
Gartner Group Inc. - CL B       Com      366651206            2         208     x       12                      208
Gateway Inc.                    Com      367626108          715     131,200     x       12                  131,200
Gaylord Entertainment Co        Com      367905106            2          83     x       12                       83
Geminex Inds Inc                Com      368651105            0         500     x       12                      500
Gemstar-tv Guide Intl Inc       Com      36866W106           68       3,448     x       12                    3,448
Genaissance Pharmaceuticals     Com      36867W105          323      83,095     x       12                   83,095
Gencorp Inc.                    Com      368682100            3         225     x       12                      225
Gene Logic Inc.                 Com      368689105           26       2,000     x       12                    2,000
Genencor Intl Inc               Com      368709101            4         400     x       12                      400
Genentech Inc                   Com      368710406          220       4,998     x       12                    4,998
General American Investors Co   Com      368802104            8         246     x       12                      246
General Dynamics Corp.          Com      369550108        1,700      19,245     x       12                   19,245
General Electric Co.            Com      369604103       52,858   1,420,921     x       12                1,420,921
General Growth Properties, Inc. Com      370021107           29         825     x       12                      825
General Mills Inc.              Com      370334104        1,018      22,379     x       12                   22,379
General Motors Corp.            Com      370442105        5,653     131,775     x       12                  131,775
General Motors Corp. - CL H New Com      370442832          681      51,087     x       12                   51,087
General Semiconductor Inc.      Com      370787103            2         225     x       12                      225
Genesco Inc.                    Com      371532102            2         100     x       12                      100
Genesee & Wyoming Inc Cl A      Com      371559105          175       7,776     x       12                    7,776
Genesee Corp. Cl B              Com      371601204            1          52     x       12                       52
Gentex Corp.                    Com      371901109           59       2,475     x       12                    2,475
Genesis Health Ventures Inc.    Com      371912106            0       1,000     x       12                    1,000
Genlyte Group Inc.              Com      372302109            6         200     x       12                      200
Gensci Regeneration Sciences IncADR      37244V109            0       2,000     x       12                    2,000
Genta Inc New                   Com      37245M207            5         500     x       12                      500
Genuine Parts Co.               Com      372460105        2,966      93,084     x       12                   93,084
Genstar Therapeutics Corp       Com      37248D105          101      35,900     x       12                   35,900
Genuity Inc                     Com      37248E103           33      21,000     x       12                   21,000
Genzyme Corp.-General Division  Com      372917104        3,069      67,560     x       12                   67,560
Genzyme-Molecular Oncology      Com      372917500            8       1,020     x       12                    1,020
Genzyme Corp                    Com      372917708            6       1,663     x       12                    1,663
Georgia Gulf Corp.              Com      373200203            8         500     x       12                      500
Georgia-Pacific Corp.           Com      373298108          368      12,790     x       12                   12,790
Georgia Pacific Corp. (Timber GrCom)     373298702           15         404     x       12                      404
Geron Corp.                     Com      374163103            1         100     x       12                      100
Getty Realty Corp.              Com      374297109          308      17,100     x       12                   17,100
Gillette Co.                    Com      375766102        5,373     180,300     x       12                  180,300
Glatfelter P H Co               Com      377316104          158      10,300     x       12                   10,300
Glaxosmithkline PLC - Spons ADR ADR      37733W105        1,896      33,787     x       12                   33,787
Glenayre Technologies Inc.      Com      377899109            1       1,700     x       12                    1,700
Glimcher Realty Trust           Com      379302102          100       6,200     x       12                    6,200
Global Industries Ltd           Com      379336100          155      28,500     x       12                   28,500
Global Marine Inc.              Com      379352404           83       5,900     x       12                    5,900
Global Telesystems Group Inc.   Com      37936U104            0       1,000     x       12                    1,000
Global Pmts Inc                 Com      37940X102            3         100     x       12                      100
Globecomm Systems Inc           Com      37956X103            8       1,500     x       12                    1,500
Globespan Semiconductor Inc     Com      379571102            2         215     x       12                      215
Goamerica Inc                   Com      38020R106           26      27,450     x       12                   27,450
Golden West Finl Corp. Del      Com      381317106           21         368     x       12                      368
Goldman Sachs Group Inc         Com      38141G104        2,770      38,822     x       12                   38,822
Golf Trust of America Inc.      Com      38168B103            7         950     x       12                      950
Goodrich B.F. Co.               Com      382388106        2,607     133,826     x       12                  133,826
Goodyear Tire & Rubber Co       Com      382550101          629      34,143     x       12                   34,143
Goto Com Inc                    Com      38348T107            3         250     x       12                      250
W.R. Grace & Co.                Com      38388F108            1         400     x       12                      400
Graco Inc.                      Com      384109104           11         375     x       12                      375
Grainger WW Inc.                Com      384802104        1,274      32,781     x       12                   32,781
Grant Prideco Inc               Com      38821G101            6       1,000     x       12                    1,000
Graphon Corp                    Com      388707101            1       1,150     x       12                    1,150
Great Amern Rec Inc             Com      390005205            0          15     x       12                       15
Great Lakes Chemical Corp.      Com      390568103          299      13,550     x       12                   13,550
Great Lakes REIT Inc            Com      390752103            7         400     x       12                      400
Greater Atlantic Financial      Com      391601101          217      40,175     x       12                   40,175
Greater Bay Bancorp             Com      391648102          130       5,600     x       12                    5,600
Griffon Corp.                   Com      398433102          557      45,696     x       12                   45,696
Grossmans Inc                   Com      399215102            0       1,500     x       12                    1,500
Group 1 Software Inc New        Com      39943Y103            1         150     x       12                      150
Groupe Cgi Inc                  ADR      39945C109           46       7,987     x       12                    7,987
Grupo Televisa, S.A. GDS        ADR      40049J206           20         700     x       12                      700
GTECH Holdings Corp.            Com      400518106           10         300     x       12                      300
Gucci Group NV - NY Reg Shrs    ADR      401566104            8         100     x       12                      100
Guidant Corp.                   Com      401698105        2,264      58,803     x       12                   58,803
Guilford Pharmaceutical Inc.    Com      401829106          115      13,300     x       12                   13,300
Guitar Center Inc.              Com      402040109          129      10,700     x       12                   10,700
Gulfport Energy Corp WarranStock Warrant 402635122            0          24     x       12                       24
H & Q Healthcare Fd SBI         Com      404052102           34       1,581     x       12                    1,581
H & Q Life Sciences Investors   Com      404053100          171       9,248     x       12                    9,248
HCA-Healthcare Co               Com      404119109        1,509      34,060     x       12                   34,060
HCC Insurance Holdings Inc.     Com      404132102           22         831     x       12                      831
HNC Software Inc.               Com      40425P107            1          54     x       12                       54
HRPT Proprties Trust            Com      40426W101          128      15,778     x       12                   15,778
HSBC Holdings PLC -Spons ADR    ADR      404280406          114       2,125     x       12                    2,125
Hadron Inc.orporation New       Com      405009200            4       1,740     x       12                    1,740
Halliburton Co.                 Com      406216101          486      21,570     x       12                   21,570
John Hancock Bank & Thrift      Com      409735107          178      21,703     x       12                   21,703
Hancock Fabrics Inc.            Com      409900107          235      28,600     x       12                   28,600
John Hancock Income Sec Trust   Com      410123103           35       2,400     x       12                    2,400
John Hancock Patriot Preferred  Com      41013J107          154      13,000     x       12                   13,000
J. Hancock High Yield Bond C    Com      410142103            4         200     x       12                      200
Hancock John Finl Services Inc. Com      41014S106          118       2,948     x       12                    2,948
Handspring Inc                  Com      410293104            0         100     x       12                      100
Hanger Orthopedic Group, Inc.   Com      41043F208           25       6,850     x       12                    6,850
Hanover Compressor Co.          Com      410768105          433      20,021     x       12                   20,021
Harbor Bank - VA                Com      41146K104          109       7,760     x       12                    7,760
Harbor Florida Bancshares       Com      411901101          154       8,600     x       12                    8,600
Harley Davidson, Inc.           Com      412822108        6,776     167,318     x       12                  167,318
Harleysville National  Corp. - PCom      412850109            9         400     x       12                      400
Harman International Industries Com.     413086109           32         950     x       12                      950
Harmonic Lightwaves Inc.        Com      413160102           11       1,415     x       12                    1,415
Harrahs Entmt Inc               Com      413619107           22         812     x       12                      812
Harris Corp.                    Com      413875105           33       1,038     x       12                    1,038
Harsco Corp.                    Com      415864107            5         185     x       12                      185
Hartford Financial Services GrouComnc.   416515104          691      11,757     x       12                   11,757
Hasbro Inc.                     Com      418056107           24       1,700     x       12                    1,700
Hathaway Corp                   Com      419011101            5       2,000     x       12                    2,000
Hatteras Income Secs Inc.       Com      419025101           60       4,475     x       12                    4,475
Havas Advertising               ADR      419313101            1         139     x       12                      139
Haverty Furniture Co Inc.       Com      419596101          264      26,850     x       12                   26,850
Hawaiian Elec Inds Inc.         Com      419870100          133       3,416     x       12                    3,416
Health Care Property Investors ICom      421915109          939      24,433     x       12                   24,433
Healthsouth Corp.               Com      421924101          845      51,995     x       12                   51,995
Health Management Associates, InComCl    421933102          302      14,550     x       12                   14,550
Healthcare Realty Trust         Com      421946104        1,042      40,865     x       12                   40,865
Health Care REIT, Inc.          Com      42217K106          318      12,629     x       12                   12,629
Healthcentral Com               Com      42221V403            0          50     x       12                       50
Health Net, Inc.                Com      42222G108          381      19,811     x       12                   19,811
Heilig-Myers Co                 Com      422893107            0      10,700     x       12                   10,700
Heineken N V - ADR              ADR      423012202          147       3,888     x       12                    3,888
H J Heinz Co                    Com      423074103        5,429     128,795     x       12                  128,795
Helix Technology Inc.           Com      423319102           13         800     x       12                      800
Hellenic Telecommun Org - ADR   ADR      423325307            4         500     x       12                      500
Helix Systems Limited           Com      42332E100            0       1,500     x       12                    1,500
Helmerich & Payne               Com      423452101           35       1,325     x       12                    1,325
Hershey Foods Corp.             Com      427866108        2,026      30,992     x       12                   30,992
Hewlett-Packard Co.             Com      428236103        4,837     300,434     x       12                  300,434
Hi-Tech Pharmacal Inc           Com      42840B101            2         200     x       12                      200
Hibernia Corp. Class A          Com      428656102          477      29,165     x       12                   29,165
High Income Opportunity Fund IncCom      42967Q105           45       6,200     x       12                    6,200
High Plains Corp                Com      429701105           25       6,333     x       12                    6,333
High Speed Access Corp          Com      42979U102            0         200     x       12                      200
High Yield Plus Fund Inc.       Com      429906100            9       1,700     x       12                    1,700
Highline Inds Inc.              Com      431108109            0       5,000     x       12                    5,000
Highwoods Properties Inc.       Com      431284108          843      34,067     x       12                   34,067
Hillenbrand Industries Inc.     Com      431573104           71       1,315     x       12                    1,315
Rts Hills Stores Co.        Stock Right  431692987            0           2     x       12                        2
Hilton Hotels Corp.             Com      432848109           11       1,356     x       12                    1,356
Hitachi Ltd ADR 10 Com          ADR      433578507        1,074      16,025     x       12                   16,025
Hoe R & Co Inc                  ADR      434380101            0         100     x       12                      100
Home Depot Inc.                 Com      437076102       16,345     425,994     x       12                  425,994
Home Properties of New York,    Com      437306103          125       3,950     x       12                    3,950
Home Unity S&L Assn Lafayette   Com      437377104            0         200     x       12                      200
Homefed Corp                    Com      43739D208            1         950     x       12                      950
Homestake Mining Co             Com      437614100            6         625     x       12                      625
HON Industries Inc.             Com      438092108          198       9,025     x       12                    9,025
Honda Motor LTD AMER SHS        ADR      438128308           27         420     x       12                      420
Honeywell International Inc.    Com      438516106        5,623     213,004     x       12                  213,004
Horace Mann Educators           Com      440327104           16         900     x       12                      900
Horizon Group Properties Inc    Com      44041U102            1         155     x       12                      155
Hormel Foods Corp.              Com      440452100          119       5,051     x       12                    5,051
Hospital Newspapers Group Inc.  Com      440906105            0         290     x       12                      290
Hospitality Properties Trust    Com      44106M102          989      41,086     x       12                   41,086
Host Marriott Corp New          Com      44107P104          597      84,656     x       12                   84,656
Hot Topic Inc                   Com      441339108            9         350     x       12                      350
Household International Inc.    Com      441815107        2,101      37,270     x       12                   37,270
House2home Inc                  Com      44183S105            8       5,900     x       12                    5,900
Houston Exploration Company     Com      442120101            5         200     x       12                      200
Hubbell Inc.  CL A              Com      443510102           17         620     x       12                      620
Hubbell Inc.  CL B              Com      443510201          124       4,255     x       12                    4,255
Hudson City Bancorp             Com      443683107           62       2,600     x       12                    2,600
Hughes Supply Inc.              Com      444482103           95       4,250     x       12                    4,250
Humana Inc.                     Com      444859102           20       1,636     x       12                    1,636
Human Genome Sciences Inc.      Com      444903108           56       1,819     x       12                    1,819
Humphrey Hospitality Trust      Com      445467103            3       1,000     x       12                    1,000
Huntington Bancshares Inc.      Com      446150104          132       7,625     x       12                    7,625
Hutchinson Whampoa - Unsp ADR   ADR      448415208           10         265     x       12                      265
ICN Pharmaceuticals Inc.        Com      448924100          312      11,844     x       12                   11,844
Hyperion Solutions Corp         Com      44914M104            7         500     x       12                      500
Hyseq Inc                       Com      449163302            2         400     x       12                      400
Ias Communications Inc          ADR      44920B100            0       4,000     x       12                    4,000
ICG Communications Inc.         Com      449246107            0       1,553     x       12                    1,553
Icos Corp.                      Com      449295104           52       1,065     x       12                    1,065
I.C.U. Med Inc.                 Com      44930G107           40       1,000     x       12                    1,000
IDEC Pharmaceutical Corp.       Com      449370105           52       1,045     x       12                    1,045
IEM S A Amern Shs               ADR      449496207            0          12     x       12                       12
IFR Sys Inc.                    Com      449507102            0          82     x       12                       82
Igen International  Inc.        Com      449536101        3,134     113,890     x       12                  113,890
Ihop Corp                       Com      449623107           13         500     x       12                      500
Imco Recycling Inc.             Com      449681105            2         200     x       12                      200
I-Link Inc.                     Com      449927102            1       3,800     x       12                    3,800
IMS Health Inc.                 Com      449934108          635      25,338     x       12                   25,338
IRT Property Co                 Com      450058102           18       1,650     x       12                    1,650
ITC Deltacom Inc.               Com      45031T104            1       1,000     x       12                    1,000
ITT Educational Services Inc    Com      45068B109           29         900     x       12                      900
Infinite Technology Corp        Com      45069F109            3       1,000     x       12                    1,000
IBIS Technology Corp.           Com      450909106           35       7,820     x       12                    7,820
ITT Industries, Inc.            Com      450911102          293       6,548     x       12                    6,548
Idacorp Inc                     Com      451107106          191       5,350     x       12                    5,350
Igate Capital Corp              Com      45169U105            7       2,650     x       12                    2,650
IKON Office Solutions Inc.      Com      451713101           11       1,450     x       12                    1,450
Identix Inc.                    Com      451906101           16       2,002     x       12                    2,002
Illinois Tool Works             Com      452308109        1,462      27,013     x       12                   27,013
Illumina Inc                    Com      452327109            1         150     x       12                      150
Ilog S A                        ADR      452360100            1         100     x       12                      100
Image Entertainment Inc. Com    Com      452439201            2       1,000     x       12                    1,000
Imagyn Medical Technologies Inc.Com      45244E100            0       1,400     x       12                    1,400
Imation Corp.                   Com      45245A107            4         180     x       12                      180
Imclone Systems Inc             Com      45245W109        3,973      70,253     x       12                   70,253
Immunex Corp.                   Com      452528102          930      49,850     x       12                   49,850
Immune Response Corp. - Del     Com      45252T106            0         200     x       12                      200
Impath Inc                      Com      45255G101          116       3,350     x       12                    3,350
Impco Technologies Inc          Com      45255W106            1         100     x       12                      100
Imperial Chemical Inds Plc Adr  ADR      452704505           26       1,500     x       12                    1,500
Imperial Corp of America        Com      452722101            0          16     x       12                       16
Imperial Credit Industries Inc  Com      452729106            7      15,000     x       12                   15,000
Immunomedics Inc.               Com      452907108          201      16,815     x       12                   16,815
Imperial Sugar Co New           Com      453096109            3      40,026     x       12                   40,026
Imperial Sugar Co New           Com      453096208            0         189     x       12                      189
Impsat Fiber Networks Inc       ADR      45321T103            0       1,500     x       12                    1,500
Inacom Corp.                    Com      45323G109            0         900     x       12                      900
Independent Bank Corp.          Com      453836108          114       7,024     x       12                    7,024
Independent Energy Hldgs PLC ADRADR      45384X108            0       1,000     x       12                    1,000
The India Fund, Inc.            Com      454089103            3         400     x       12                      400
Infodata Systems Inc. New       Com      456650209            0         232     x       12                      232
Informatica Corp                Com      45666Q102           10       2,450     x       12                    2,450
Information Architects Corp     Com      45669R107            1       1,500     x       12                    1,500
Inforte Corp                    Com      45677R107            2         150     x       12                      150
Infosys Technologies Ltd        ADR      456788108            0          12     x       12                       12
Infospace Com Inc.              Com      45678T102            3       2,139     x       12                    2,139
Ing Groep NV Spons ADR          ADR      456837103          342      12,840     x       12                   12,840
Ingersoll-Rand Co.              Com      456866102          955      28,244     x       12                   28,244
Ingles Markets Inc.             Com      457030104            6         500     x       12                      500
Ingram Micro Inc.               Com      457153104          135      10,475     x       12                   10,475
Inhale Therapeutic Sys Inc      Com      457191104            2         174     x       12                      174
Inkine Pharmaceutical Co Inc.   Com      457214104            6       7,600     x       12                    7,600
Inktomi Corp                    Com      457277101           20       7,370     x       12                    7,370
Inland Res Inc Wash             Com      457469302            0         100     x       12                      100
Input/Output Inc.               Com      457652105            7         850     x       12                      850
Insituform Technologies Inc     Com      457667103          748      43,865     x       12                   43,865
Insmed Inc New                  Com      457669208            0         150     x       12                      150
Inside Holdings Inc.            Com      45769S104            0         200     x       12                      200
Inrange Technologies Corp       Com      45769V206            1         100     x       12                      100
Inkeepers USA Trust             Com      4576J0104          115      12,786     x       12                   12,786
Insured Municipal Income Fund   Com      45809F104           11         820     x       12                      820
Integrated Device Technology    Com      458118106          187       9,275     x       12                    9,275
Integrated Health Services Inc. Com      45812C106            0       4,570     x       12                    4,570
Intel Corp.                     Com      458140100       19,338     948,384     x       12                  948,384
Intelidata Technologies Corp.   Com      45814T107           29       8,700     x       12                    8,700
Integrated Information Sys Inc  Com      45817B103           15      16,700     x       12                   16,700
Inter Tel Incorporated          Com      458372109            1          50     x       12                       50
Inter-Digital Communications CorCom      45866A105          210      28,607     x       12                   28,607
Interland Inc                   Com      458727104            0          86     x       12                       86
Intermagnetics General Corp.    Com      458771102           24       1,020     x       12                    1,020
Intermet Corp.                  Com      45881K104           17       6,000     x       12                    6,000
Intermune Inc                   Com      45884X103            0          12     x       12                       12
Internap Network Svcs Corp      Com      45885A102            0         200     x       12                      200
International Alum Corp         Com      458884103           12         500     x       12                      500
Intlassets Holding Corp         Com      459028106            9       9,415     x       12                    9,415
International Business Machines Comp.    459200101       32,066     347,411     x       12                  347,411
International Flavors & FragrancCom      459506101           75       2,705     x       12                    2,705
International Fibercom Inc.     Com      45950T101            0         300     x       12                      300
International Ostrich Corp      Com      460107105            0         100     x       12                      100
International Paper Co.         Com      460146103        3,630     104,305     x       12                  104,305
Intl Rectifier Corp.            Com      460254105          181       6,633     x       12                    6,633
International Shipholding Corp. Com      460321201           97      12,900     x       12                   12,900
International Speedway Corp.    Com      460335201           75       2,158     x       12                    2,158
Interneuron Pharmaceutical      Com      460573108           85      17,140     x       12                   17,140
Internet Cap Group Inc          Com      46059C106            4      10,920     x       12                   10,920
Internet Infrastructr Holds Tr  Com      46059V104            3         600     x       12                      600
Internet Holders Tr             Com      46059W102           11         400     x       12                      400
Internet Architecture Holdr Tr  Com      46060A107            3         100     x       12                      100
Internet Sec Sys Inc            Com      46060X107            1         115     x       12                      115
Interpublic Group Companies Inc.Com      460690100          868      42,538     x       12                   42,538
Intersil Hldg Corp              Com      46069S109           29       1,021     x       12                    1,021
Interstate Bakeries Corp.       Com      46072H108          129       5,075     x       12                    5,075
Interstate Hotels Corp          Com      46088R108            1         437     x       12                      437
Intertan Inc.                   Com      461120107           81      10,278     x       12                   10,278
Intertechnology Solar Inc       Com      461126104            0         300     x       12                      300
Intimate Brands Inc.            Com      461156101          114      12,705     x       12                   12,705
Intrabiotics Pharmaceuticals    Com      46116T100            2       1,500     x       12                    1,500
Intrado Inc                     Com      46117A100           87       3,400     x       12                    3,400
Intraware Inc                   Com      46118M103            0         600     x       12                      600
Intuit Corp.                    Com      461202103          481      13,445     x       12                   13,445
Invision Technologies Inc.      Com      461851107           11       1,100     x       12                    1,100
Invitrogen Corp                 Com      46185R100           47         715     x       12                      715
Iomega Corp.                    Com      462030107            1       1,000     x       12                    1,000
IShares Inc MSCI Australia IndexCom      464286103           36       4,643     x       12                    4,643
Ishares Inc.                    Com      464286608           36         600     x       12                      600
IShares Inc MSCI United Kingdom Com      464286699           27       1,909     x       12                    1,909
IShare Inc MSCI Index France Fd Com      464286707           24       1,428     x       12                    1,428
IShares Inc Switzerland Index FdCom      464286749           27       2,204     x       12                    2,204
ISHARES INC  MSCI Germay Index  Com      464286806           22       1,751     x       12                    1,751
IShares Inc Netherlands Index FdCom      464286814           25       1,542     x       12                    1,542
IShares Inc Japan Index Fd      Com      464286848           34       4,102     x       12                    4,102
IShares Inc Hong Kong Index Fd  Com      464286871           51       6,470     x       12                    6,470
Ishares Tr S&P 100 Idx Fd       Com      464287101          675      12,606     x       12                   12,606
Ishares Tr S&P 500 Idx          Com      464287200           37         355     x       12                      355
Ishares Tr                      Com      464287473          965      13,800     x       12                   13,800
Ishares Tr S&P Midcap 400       Com      464287507        1,149      13,260     x       12                   13,260
Ishares Tr                      Com      464287556           89       1,200     x       12                    1,200
Ishares Tr Dj Us Con Cycl       Com      464287580          117       2,477     x       12                    2,477
Ishares Tr S&P Midcap Grow      Com      464287606           27         290     x       12                      290
Ishares Tr Rusl 2000 Valu       Com      464287630          993       8,875     x       12                    8,875
Ishares Tr Russell 2000         Com      464287655          997      12,430     x       12                   12,430
Ishares Tr                      Com      464287663          506       7,610     x       12                    7,610
Ishares Tr S&P Midcap Value     Com      464287705        1,011      12,700     x       12                   12,700
Ishares Tr Dj Us TelecommunicatiCom      464287713          139       4,124     x       12                    4,124
Ishares Tr Dj Us Tech Sec       Com      464287721          369       9,542     x       12                    9,542
Ishares Tr                      Com      464287739          533       6,730     x       12                    6,730
iShares Trust Dow Jones InternetComdex   464287747            9       1,000     x       12                    1,000
Ishares Tr                      Com      464287754          139       3,259     x       12                    3,259
Ishares Tr Dj Us Healthcare     Com      464287762          141       2,328     x       12                    2,328
Ishares Tr S&P Smallcap 600     Com      464287804        1,044      10,940     x       12                   10,940
Ishares Tr Dj Us Con Cycl       Com      464287812          151       3,598     x       12                    3,598
Ishares Tr                      Com      464287838           63       1,825     x       12                    1,825
Ishares Tr SmCap 600 Valu       Com      464287879          971      13,600     x       12                   13,600
Ishares Tr S&P SmCap 600 Grow   Com      464287887          978      15,190     x       12                   15,190
ISIS Pharmaceuticals            Com      464330109            4         210     x       12                      210
Isolyser Co Inc.                Com      464888106            2       1,000     x       12                    1,000
IT Group Inc                    Com      465266104            0          25     x       12                       25
I3 Mobile Inc                   Com      465713105          316     106,799     x       12                  106,799
12 Technologies Inc.            Com      465754109           65      18,855     x       12                   18,855
IVAX Corp.                      Com      465823102           52       2,350     x       12                    2,350
Ivillage Inc.                   Com      46588H105            0         200     x       12                      200
JDN Realty Corp.                Com      465917102          217      20,500     x       12                   20,500
Ixys Corp                       Com      46600W106            1         200     x       12                      200
J Alexander Corp.               Com      466096104           38      17,095     x       12                   17,095
JDS Uniphase Corp               Com      46612J101          705     111,532     x       12                  111,532
JLG Industries Inc.             Com      466210101           57       6,250     x       12                    6,250
Jni Corp                        Com      46622G105            5         800     x       12                      800
J P Morgan Chase & Co           Com      46625H100       11,317     331,405     x       12                  331,405
Jabil Circuit Inc.              Com      466313103          398      22,230     x       12                   22,230
Jacobs Engineering Group Inc.   Com      469814107            1          11     x       12                       11
Jakks Pacific Inc               Com      47012E106           22       1,600     x       12                    1,600
James Hardie Inds Ltd Spon Adr  ADR      47030C306            4       1,000     x       12                    1,000
Jameson Inns Inc                Com      470457102            0           0     x       12                        0
Jefferson-Pilot Corp.           Com      475070108        4,710     105,885     x       12                  105,885
The John Nuveen Co Cl A         Com      478035108          947      21,411     x       12                   21,411
Johnson & Johnson               Com      478160104       24,980     450,905     x       12                  450,905
Johnson Controls Inc.           Com      478366107          200       3,061     x       12                    3,061
Jones Apparel Group, Inc.       Com      480074103          208       8,172     x       12                    8,172
Joy Global Inc                  Com      481165108        1,659     111,700     x       12                  111,700
Juniper Networks                Com      48203R104           39       4,038     x       12                    4,038
Just For Feet, Inc.             Com      48213P106            0         200     x       12                      200
KLA Tencor Corp.                Com      482480100          406      12,850     x       12                   12,850
KLM Royal Dutch Airlines        ADR      482516309           18       2,200     x       12                    2,200
KN Energy Inc - PFD Conv PrPreferdStktCon482620507           44         700     x       12                      700
KPMG Consulting Inc.            Com      48265R109          329      30,390     x       12                   30,390
Ks Bancorp Inc                  Com      48266R108           19       1,125     x       12                    1,125
Kadant Inc                      Com      48282T104            1          51     x       12                       51
Kana Communications             Com      483600102            0         214     x       12                      214
Kaneb Pipe Line Partners LP LTDPPart P4  484169107           49       1,250     x       12                    1,250
Kansas City Power & Light Co    Com      485134100           21         800     x       12                      800
Kansas City Southn Inds Inc     Com      485170302           41       3,450     x       12                    3,450
KAO Corporation ADR             ADR      485537203            3          12     x       12                       12
Kaydon Corp.                    Com      486587108            2         100     x       12                      100
Keane, Inc.                     Com      486665102          158      11,600     x       12                   11,600
Keithley Instrs Inc             Com      487584104            3         200     x       12                      200
Kellogg Co                      Com      487836108          460      15,334     x       12                   15,334
Kelly Services Inc Cl A         Com      488152208           54       2,685     x       12                    2,685
KEMET Corp.                     Com      488360108          702      42,675     x       12                   42,675
Kerr-McGee Corp.                Com      492386107        1,048      20,193     x       12                   20,193
Key Energy Group Inc.           Com      492914106            6         970     x       12                      970
Keycorp New                     Com      493267108          205       8,494     x       12                    8,494
Keyspan Corporation             Com      49337W100          156       4,681     x       12                    4,681
Keystone Cons Industries Inc.   Com      493422109            0         149     x       12                      149
Keystone Ppty Tr Corp           Com      493596100            3         200     x       12                      200
Romac International Inc         Com      493732101            1         237     x       12                      237
Kimberly-Clark Corp.            Com      494368103        2,303      37,138     x       12                   37,138
KIMCO Realty Corp.              Com      49446R109          165       3,390     x       12                    3,390
Kinder Morgan Energy Partners LPCom      494550106        3,423      98,897     x       12                   98,897
Kinder Morgan Inc               Com      49455P101        1,907      38,744     x       12                   38,744
Kinder Morgan Management Llc    Com      49455U100           37       1,064     x       12                    1,064
King Pharmaceuticals Inc        Com      495582108          183       4,359     x       12                    4,359
Kish Bancorp                    Com      49771A101           25         300     x       12                      300
Knight-Ridder Inc.              Com      499040103          998      17,861     x       12                   17,861
Knight Trading Group Inc        Com      499063105           64       8,265     x       12                    8,265
Koala Corp.                     Com      499866101            0         300     x       12                      300
Kohls Corp.                     Com      500255104          604      12,581     x       12                   12,581
Koninklijke Ahold NV-SP ADR     ADR      500467303           19         673     x       12                      673
Koninklijke Philips Electronics ADRADR   500472303        6,256     324,142     x       12                  324,142
Kopin Corp.                     Com      500600101           91       8,750     x       12                    8,750
KOS Pharmaceuticals Inc.        Com      500648100           22         800     x       12                      800
Kraft Foods Inc                 Com      50075N104           81       2,350     x       12                    2,350
Krispy Kreme Doughnuts Inc      Com      501014104          577      19,480     x       12                   19,480
Kroger Co.                      Com      501044101        1,743      70,743     x       12                   70,743
Kronos Inc.                     Com      501052104          111       2,707     x       12                    2,707
Krupp Insd Mtg Ltd PartnershLTD Part P4  501120109           14       5,000     x       12                    5,000
Krupp Insd Plus-ii Ltd PartnLTD Part P4  501125108            1         400     x       12                      400
Kyocera Corp. Spons ADR         ADR      501556203           27         414     x       12                      414
LCA-Vision Inc.                 Com      501803209            0         344     x       12                      344
LCC International Inc.          Com      501810105            2         300     x       12                      300
LNR Property Corp.              Com      501940100            9         300     x       12                      300
L S B Bancshares Inc.           Com      502158108           35       2,717     x       12                    2,717
LSI Logic Corp.                 Com      502161102          121      10,306     x       12                   10,306
LSI Industries Inc              Com      50216C108           11         435     x       12                      435
LTC Properties Inc.             Com      502175102           12       2,250     x       12                    2,250
LTC Healthcare Inc.             Com      50217R104            0          72     x       12                       72
L T X Corp.                     Com      502392103            4         300     x       12                      300
L-3 Communications Hldings Inc  Com      502424104           11         129     x       12                      129
La Quinta Inns, Inc.            Com      50419Q409           13       3,034     x       12                    3,034
Laboratory Corp Amer Hldgs      Com      50540R409           54         665     x       12                      665
LaFarge Corp.                   Com      505862102          365      10,930     x       12                   10,930
Lafayette Bancorporation        Com      505893107           22       1,300     x       12                    1,300
Laidlaw Inc. New                Com      50730K503            0         100     x       12                      100
Lakes Gaming                    Com      51206P109            4         700     x       12                      700
LAM Research Corp.              Com      512807108           89       5,250     x       12                    5,250
Lamar Advertising Co            Com      512815101          199       6,575     x       12                    6,575
Lancaster Colony Corp.          Com      513847103           14         510     x       12                      510
Lance Inc.                      Com      514606102           81       6,100     x       12                    6,100
Landacorp Inc                   Com      514756105            0         500     x       12                      500
Lands End Incorporated          Com      515086106            4         135     x       12                      135
Landstar Systems Inc.           Com      515098101          128       2,000     x       12                    2,000
Lasalle Hotel Properties SBI    Com      517942108           24       2,605     x       12                    2,605
Latitude Communications Inc     Com      518292107           10       5,450     x       12                    5,450
Estee Lauder Companies          Com      518439104          197       5,954     x       12                    5,954
Leading Edge Earth Products     Com      521706101            0       1,000     x       12                    1,000
Leap Wireless International Inc.Com      521863100           21       1,340     x       12                    1,340
Lear Corp.                      Com      521865105           18         660     x       12                      660
Lee Enterprises, Inc.           Com      523768109        1,429      45,110     x       12                   45,110
Legato Systems Inc.             Com      524651106            1         200     x       12                      200
Leggett & Platt Inc.            Com      524660107           10         500     x       12                      500
Legg Mason, Inc.                Com      524901105            4         100     x       12                      100
Lehman Brothers Holdings Inc    Com      524908100          121       2,136     x       12                    2,136
Lennar Corp.                    Com      526057104           25         700     x       12                      700
Lennox Intl Inc                 Com      526107107            1         134     x       12                      134
Leucadia National               Com      527288104          451      14,445     x       12                   14,445
Level 3 Communications Inc.     Com      52729N100          151      39,892     x       12                   39,892
Lexmark Intl Group Inc. CL A    Com      529771107          339       7,585     x       12                    7,585
Liberty All Star Growth Fd      Com      529900102           89      12,927     x       12                   12,927
Liberate Technologies           Com      530129105            2         200     x       12                      200
Liberty All Star Equity Fund    Com      530158104          124      11,688     x       12                   11,688
Liberty Media Corp New          Com      530718105        2,163     170,281     x       12                  170,281
Liberty Property Trust          Com      531172104          364      12,684     x       12                   12,684
Liberty Satellite & Technology  Com      531182103            0          75     x       12                       75
Lifecore Biomedical Inc         Com      532187101            6         500     x       12                      500
Lifepoint Hospitals Inc.        Com      53219L109           34         771     x       12                      771
Ligand Pharmaceuticals Inc.     Com      53220K207            2         200     x       12                      200
Lightpath Technologies Inc      Com      532257102            0         250     x       12                      250
Lilly (Eli) & Co.               Com      532457108        7,555      93,613     x       12                   93,613
Limited Inc                     Com      532716107           58       6,099     x       12                    6,099
Lincare Hldgs Inc.              Com      532791100           52       1,940     x       12                    1,940
Lincoln National Corp. Ind.     Com      534187109          469      10,066     x       12                   10,066
Lincorp Holdings Inc.           Com      535100101            0         199     x       12                      199
Lindsay Mfg Co                  Com      535555106           13         724     x       12                      724
Linear Technology Corp.         Com      535678106          555      16,924     x       12                   16,924
Linens 'N Things, Inc           Com      535679104           17         901     x       12                      901
Lionbridge Technologies Inc     Com      536252109            0          76     x       12                       76
Littlefuse Inc.                 Com      537008104          396      17,900     x       12                   17,900
Liz Claiborne, Incorporated     Com      539320101          219       5,820     x       12                    5,820
Lockheed Martin Corp.           Com      539830109        1,006      22,998     x       12                   22,998
Loews Corp.                     Com      540424108           39         850     x       12                      850
Lone Star Steakhouse Saloon     Com      542307103          231      21,355     x       12                   21,355
Lone Star Technologies Inc.     Com      542312103            9         750     x       12                      750
Long Island Ed Util Inc         Com      542668306            0          70     x       12                       70
Looksmart Ltd                   Com      543442107            0         250     x       12                      250
Lord Abbett Mid Cap Value Fd    Com      543919104          200      13,080     x       12                   13,080
Lorus Therapeutics Inc          Com      544191109            6      10,000     x       12                   10,000
Louis Dreyfus Natural Gas CP    Com      546011107            2          50     x       12                       50
Lowe's Companies, Inc.          Com      548661107        4,048     127,891     x       12                  127,891
Lubrizol Corp.                  Com      549271104           19         600     x       12                      600
Lubys Cafeterias Inc.           Com      549282101           53       7,400     x       12                    7,400
Lucent Technologies Inc.        Com      549463107        1,484     258,906     x       12                  258,906
Luminex Corp Del                Com      55027E102           50       3,650     x       12                    3,650
Luminent Inc                    Com      55027R103            0         200     x       12                      200
LYNX Therapeutics Inc.          Com      551812308            0          16     x       12                       16
Lyondell Petrochemical Co       Com      552078107            3         300     x       12                      300
M & F Worldwide Corp.           Com      552541104            0          13     x       12                       13
M & T Bank Corp                 Com      55261F104          272       3,671     x       12                    3,671
MAF Bancorp                     Com      55261R108           13         439     x       12                      439
MBIA, Inc.                      Com      55262C100          722      14,439     x       12                   14,439
MBNA Corp.                      Com      55262L100        5,781     190,850     x       12                  190,850
M D U Resources Group, Inc.     Com      552690109           55       2,350     x       12                    2,350
MFS Charter Income Trust        Com      552727109          242      28,500     x       12                   28,500
MFN Finl Corp.                  Com      55272N104            0           1     x       12                        1
Wts MFN Finl Corp Ser A    Stock Warrant 55272N112            0           2     x       12                        2
Wts MFN Finl Corp. Ser B   Stock Warrant 55272N120            0           2     x       12                        2
Wts MFN Finl Corp.         Stock Warrant 55272N138            0           2     x       12                        2
MFS Multimarket Income Trust    Com      552737108           64      10,581     x       12                   10,581
MFS Municipal Income Tr         Com      552738106          137      17,200     x       12                   17,200
MFS Intermediate Income Tr      Com      55273C107          405      58,856     x       12                   58,856
MGIC Investment Corp.           Com      552848103        2,499      38,253     x       12                   38,253
MFS Government Markets Income   Com      552939100           97      14,707     x       12                   14,707
MGM Mirage Inc.                 Com      552953101           17         740     x       12                      740
Mks Instrument Inc              Com      55306N104           67       3,785     x       12                    3,785
MRV Communications, Inc.        Com      553477100            7       2,280     x       12                    2,280
MTR Gaming Group Inc            Com      553769100           27       2,950     x       12                    2,950
Mack-Cali Realty Corp.          Com      554489104          141       4,550     x       12                    4,550
Macrohem Corp. - Delaware       Com      555903103            1         500     x       12                      500
Macrovision Corp                Com      555904101            1          35     x       12                       35
Macromedia Inc.                 Com      556100105            3         280     x       12                      280
Madison Gas & Elec Co           Com      557497104           18         728     x       12                      728
Madison Sports & Entmt Gproup   Com      558248100            0       1,000     x       12                    1,000
Magna International Inc.        ADR      559222401           63       1,185     x       12                    1,185
Managed High Income Portfolio   Com      56166C105           15       2,200     x       12                    2,200
Management Assist Liquid Trust  Com      561671504            0          12     x       12                       12
Managed High Yield Plus Fd Inc  Com      561911108            4         732     x       12                      732
Mandalay Resort Group           Com      562567107          164      10,113     x       12                   10,113
Manhattan Scientifics Inc       Com      563122100            1       2,000     x       12                    2,000
Manitowoc Co Inc.               Com      563571108        1,314      54,195     x       12                   54,195
Manor Care Inc                  Com      564055101           38       1,358     x       12                    1,358
Manpower Inc.                   Com      56418H100          121       4,580     x       12                    4,580
Manugistics Group               Com      565011103           11       1,901     x       12                    1,901
Manulife Finl Corp              Com      56501R106          417      15,896     x       12                   15,896
Mapinfo Corp                    Com      565105103           18       2,475     x       12                    2,475
Marchfirst Inc                  Com      566244109            0       1,200     x       12                    1,200
Marconi Plc                     ADR      566306205            0         767     x       12                      767
Markel Corp.                    Com      570535104           20         100     x       12                      100
Market 2000+ Holdrs Tr          Com      57059Y204            6         100     x       12                      100
Marketing Services Group Inc    Com      570907105            1       3,000     x       12                    3,000
Marsh & McLennan Cos Inc        Com      571748102        3,501      36,200     x       12                   36,200
Marshall & Ilsley Corp.         Com      571834100          153       2,700     x       12                    2,700
Marriott International Cl A     Com      571903202          466      13,962     x       12                   13,962
Martek Biosciences Corp.        Com      572901106           11         600     x       12                      600
Martha Stewart Living Omnimed   Com      573083102            8         550     x       12                      550
Martin Marietta Materials       Com      573284106          568      14,525     x       12                   14,525
Masco Corp.                     Com      574599106           59       2,911     x       12                    2,911
Massbank Corp.                  Com      576152102           15         400     x       12                      400
Massey Energy Corp              Com      576206106           27       1,850     x       12                    1,850
Massmutual Corporate Investors ICom      576292106            9         400     x       12                      400
Mastec Inc                      Com      576323109           19       3,690     x       12                    3,690
Matria Healthcare Inc.          Com      576817209           21         866     x       12                      866
Matrixone Inc                   Com      57685P304            1         100     x       12                      100
Matsushita Elec Ind             ADR      576879209            2         189     x       12                      189
Matlak Systems Inc.             Com      576901102            0         177     x       12                      177
Mattel Inc.                     Com      577081102          694      44,314     x       12                   44,314
Maxon Industries Inc.           Com      577725104            0          27     x       12                       27
Maxim Integrated Products Inc   Com      57772K101          565      16,163     x       12                   16,163
May Department Stores           Com      577778103          819      28,217     x       12                   28,217
Maverick Tube Corp.             Com      577914104          555      61,290     x       12                   61,290
Maximus Inc.                    Com      577933104           84       2,125     x       12                    2,125
Maytag Corp.                    Com      578592107          179       7,250     x       12                    7,250
McCormick & Co.                 Com      579780206          869      18,975     x       12                   18,975
McData Corp Cl B                Com      580031102            7         800     x       12                      800
McData Corp Class A             Com      580031201           19       2,231     x       12                    2,231
McDermott International Inc.    Com      580037109            4         500     x       12                      500
McDonalds Corp.                 Com      580135101        3,816     140,607     x       12                  140,607
Mcgrath Rentcorp                Com      580589109          182       8,450     x       12                    8,450
McGraw-Hill Companies Inc.      Com      580645109          557       9,565     x       12                    9,565
McKesson HBOC Inc.              Com      58155Q103        1,560      41,287     x       12                   41,287
McLeodusa Inc. - CL A           Com      582266102            1       1,633     x       12                    1,633
Mcleodusa Inc Pfd Ser A    PreferdStk Con582266201            7         200     x       12                      200
McMoran Exploration Co          Com      582411104            0           6     x       12                        6
Mead Corp.                      Com      582834107          203       7,325     x       12                    7,325
Mechanical Technology           Com      583538103          112      31,994     x       12                   31,994
Medarex Inc                     Com      583916101            1          77     x       12                       77
Medallion Financial Corp        Com      583928106           28       3,400     x       12                    3,400
Medi-hut Co Inc                 Com      58438C103           31       5,000     x       12                    5,000
Media General Inc. Class A      Com      584404107          123       2,835     x       12                    2,835
Medical Asset Mgmt Inc          Com      58449R107            0       2,300     x       12                    2,300
Medical Technology Sys Inc      Com      58462R802            1         400     x       12                      400
Medicis Pharmaceutical Cl A     Com      584690309           52       1,050     x       12                    1,050
Medimmune Inc.                  Com      584699102        1,814      50,915     x       12                   50,915
Medquist Inc                    Com      584949101            6         223     x       12                      223
Medtronic Inc.                  Com      585055106        6,719     154,468     x       12                  154,468
Mellon Finl Corp                Com      58551A108        1,782      55,111     x       12                   55,111
Memry Corp                      Com      586263204            0          30     x       12                       30
Mercantile Bankshares Corp.     Com      587405101        1,428      35,979     x       12                   35,979
Mercator Software Inc           Com      587587106            0         250     x       12                      250
Merck & Co., Inc.               Com      589331107       33,855     508,328     x       12                  508,328
Mercury Computer Systems Inc.   Com      589378108           64       1,700     x       12                    1,700
Mercury General Corp.           Com      589400100           83       2,100     x       12                    2,100
Mercury Interactive Corp        Com      589405109            4         198     x       12                      198
Meredith Corp.                  Com      589433101            6         200     x       12                      200
Meridian Medical Tech Inc.      Com      589658103            8         400     x       12                      400
Merisel Inc                     Com      589849306            0         100     x       12                      100
Meristar Hospitality Corp       Com      58984Y103          252      23,910     x       12                   23,910
Meristar Hotels & Resorts Inc.  Com      589988104            0         250     x       12                      250
Meritor Svgs Bk PA in ReceivershCom      590007100            5       3,160     x       12                    3,160
Merrill Lynch & Co., Inc.       Com      590188108        2,038      50,201     x       12                   50,201
Merrill Nikkei 225 - MITTS      Com      590188553            4         500     x       12                      500
Merrill Lynch & Co Inc          Com      590188694           22       2,000     x       12                    2,000
Merrill Lynch & Co Inc          Com      59021J505           17       2,100     x       12                    2,100
Merry Land Properties Inc       Com      590441101            0          32     x       12                       32
Mesa Royalty Trust              Com      590660106           65       1,650     x       12                    1,650
Metasolv Inc                    Com      59139P104           10       1,600     x       12                    1,600
Metlife Inc                     Com      59156R108          959      32,303     x       12                   32,303
Metricom Inc.                   Com      591596101            0       1,500     x       12                    1,500
Metro Goldwyn Mayer Inc.        Com      591610100          278      16,375     x       12                   16,375
Metrocall, Inc.                 Com      591647102            0       1,000     x       12                    1,000
Metrocorp Banchares Inc.        Com      591650106           18       1,600     x       12                    1,600
Metromedia Fiber Network Inc. ClCom      591689104            2       7,257     x       12                    7,257
Mettler-Toledo International    Com      592688105            4         100     x       12                      100
Micrel Inc.                     Com      594793101            1          30     x       12                       30
Micros Systems Inc.             Com      594901100          234      13,185     x       12                   13,185
Microsoft Corp.                 Com      594918104       19,770     386,359     x       12                  386,359
Microstrategy Inc.              Com      594972101            3       2,430     x       12                    2,430
Microfield Graphics             Com      59506W104            0         100     x       12                      100
Micromuse Inc.                  Com      595094103           14       2,393     x       12                    2,393
Micron Technology Inc.          Com      595112103          206      10,944     x       12                   10,944
Mid-America Apartment CommunitieComInc   59522J103            9         364     x       12                      364
Mid Atlantic Realty Trust       Com      595232109          219      15,619     x       12                   15,619
Mid Atlantic Med Services Inc.  Com      59523C107           54       2,578     x       12                    2,578
Standard & Poors Midcap 400     Com      595635103        1,165      14,715     x       12                   14,715
Milacron Inc                    Com      598709103           12         992     x       12                      992
Millennium Pharmaceuticals Inc  Com      599902103          141       7,941     x       12                    7,941
Miller Herman Inc.              Com      600544100           10         500     x       12                      500
Miller Industries Inc.          Com      600551105            0         200     x       12                      200
Millipore Corp.                 Com      601073109           11         200     x       12                      200
The Mills Corp.                 Com      601148109          595      27,840     x       12                   27,840
Mindarrow Sys Inc               Com      602551103            0         400     x       12                      400
Miniscribe Corp.                Com      603669102            0         300     x       12                      300
Minnesota Mining & ManufacturingCom.     604059105        3,617      36,756     x       12                   36,756
Mirant Corp                     Com      604675108          159       7,271     x       12                    7,271
Mission West Pptys Inc          Com      605203108            8         700     x       12                      700
Mississippi Central Railroad Co.Com      605281104            0           4     x       12                        4
Mitchell Energy & Dev Corp.  CL Com      606592202           10         200     x       12                      200
Mitsubishi Tokyo Finl Group     ADR      606816106            5         588     x       12                      588
Mobilemedia Corp.               Com      607415106            0       2,000     x       12                    2,000
Mocon Inc                       Com      607494101           37       5,062     x       12                    5,062
Modis Professional Services     Com      607830106            6       1,490     x       12                    1,490
Mohawk Industries               Com      608190104           26         700     x       12                      700
Molex Inc.                      Com      608554101           70       2,500     x       12                    2,500
Molex Inc. Cl A                 Com      608554200          259      10,675     x       12                   10,675
Momentum Business Applications ICom      60877P108            0           6     x       12                        6
Robert Mondavi Corp. Cl A       Com      609200100            7         200     x       12                      200
Monsanto Co New                 Com      61166W101          137       4,065     x       12                    4,065
Montana Power Co                Com      612085100            6       1,200     x       12                    1,200
Montgomery Street Income SecuritCom In   614115103           30       1,650     x       12                    1,650
Moodys Corp                     Com      615369105          495      13,378     x       12                   13,378
Moog Inc.                       Com      615394202            2          75     x       12                       75
Morgan St Dean Witter Discover &Com.     617446448        2,494      53,813     x       12                   53,813
Morgan Stanley Emerging Mkts FunCom      61744G107            3         500     x       12                      500
Morgan Stanley Emerging Mkt DebtCom In   61744H105           23       3,350     x       12                    3,350
Morgan Stanley High Yield Fund ICom      61744M104            9       1,000     x       12                    1,000
Morgan Stanley India Fund       Com      61745C105            6         750     x       12                      750
Dean Witter Government Income   Com      61745P106           18       2,000     x       12                    2,000
Municipal Premium Income Trust IComrest  61745P429           12       1,317     x       12                    1,317
Morgan Stanley Dean Witter Mun IComIII   61745P437           41       4,406     x       12                    4,406
Intercapital Quality Municipal ICom Tr   61745P668          159      10,764     x       12                   10,764
Intercapital Quality Municipal IComme    61745P734           16       1,103     x       12                    1,103
Morgan Stanley Dean Witter Insd Comi     61745P791           69       5,000     x       12                    5,000
Morgan Stanley Dean Witter Insd Comi     61745P833            0           4     x       12                        4
MSDW Insd Muni Trust            Com      61745P866            6         370     x       12                      370
Mothers Work, Inc.              Com      619903107          149      16,600     x       12                   16,600
Motorola Inc.                   Com      620076109        5,547     355,596     x       12                  355,596
Mountain-Valley Bancshares Inc  Com      62430P104           66       3,000     x       12                    3,000
Mpower Holding Corp             Com      62473L101            2      12,450     x       12                   12,450
Muniholdings Insd Fd Inc        Com      625930102           26       2,000     x       12                    2,000
Municipal Advantage Fund Inc.   Com      626189104           32       2,500     x       12                    2,500
Municipal Mortgage & Equity     Com      62624B101        4,299     186,100     x       12                  186,100
Muniholdings Fla Insd Fd        Com      62624W105          138      10,000     x       12                   10,000
Muniholdings Insd Fd II Inc     Com      62625A102           39       3,000     x       12                    3,000
Muniyield Quality Fund Inc.     Com      626302103           24       1,700     x       12                    1,700
Muniyield Insured Fund Inc.     Com      62630E107            0           2     x       12                        2
Myers Inds Inc.                 Com      628464109        4,305     363,257     x       12                  363,257
Mylan Laboratories Inc.         Com      628530107          720      22,080     x       12                   22,080
Myturn.com Inc                  Com      628690109            0         300     x       12                      300
NABI Inc.                       Com      628716102           11       1,700     x       12                    1,700
Nahc Inc                        Com      62874P107            0       5,000     x       12                    5,000
NBT Bancorp Inc.                Com      628778102          175      12,254     x       12                   12,254
NCH Corporation                 Com      628850109            4         100     x       12                      100
NCR Corp.                       Com      62886E108           25         855     x       12                      855
NCT Group Inc                   Com      62888Q109            0         500     x       12                      500
NHP Retirement Housing PartnLTD Part P0  628944100            0           4     x       12                        4
N E C Corp.                     ADR      629050204            2         260     x       12                      260
NL Industries Inc.              Com      629156407            3         220     x       12                      220
NN, Inc.                        Com      629337106           73       8,400     x       12                    8,400
NPS Technologies Group Inc      Com      629366105            0         500     x       12                      500
Nrg Energy Inc                  Com      629377102           36       2,200     x       12                    2,200
NTL Incorporated                Com      629407107            1         300     x       12                      300
NTS Mortgage Income Fund    LTD Part P0  629419102            3       1,020     x       12                    1,020
Ntt Docomo Inc Spons Adr        ADR      62942M201            6          85     x       12                       85
NUI Corp. Holding Company       Com      629431107           27       1,300     x       12                    1,300
NX Networks Inc                 Com      629478108            0       1,850     x       12                    1,850
N-vision Technology Inc         Com      629507104            0          20     x       12                       20
Nabors Industries Inc.          Com      629568106           92       4,385     x       12                    4,385
Namibian Minerals Corp.         ADR      629913104            6      30,000     x       12                   30,000
Nanogen Inc                     Com      630075109            1         255     x       12                      255
Nanovation Technologies Inc.    Com      630085108            0       5,435     x       12                    5,435
Nasdaq 100 Shares               Com      631100104        2,331      80,427     x       12                   80,427
Nastech Pharmaceutical          Com      631728409            8       1,000     x       12                    1,000
National Australia Bank LTD SponADRR     632525408           16         257     x       12                      257
National Bankshares Inc/ Va     Com      634865109            4         200     x       12                      200
National City Corp.             Com      635405103        1,190      39,741     x       12                   39,741
National Commerce Finl Corp     Com      63545P104        1,047      40,114     x       12                   40,114
National Fuel Gas Co.           Com      636180101           92       3,982     x       12                    3,982
National Golf Properties Inc.   Com      63623G109           19       1,200     x       12                    1,200
National Health Invs Inc.       Com      63633D104           23       1,700     x       12                    1,700
National Info Consortium Inc    Com      636491102            6       2,400     x       12                    2,400
National Instruments Corp       Com      636518102           79       3,000     x       12                    3,000
National Oilwell Inc.           Com      637071101           44       3,000     x       12                    3,000
National Research Corp          Com      637372103            3         500     x       12                      500
National Semiconductor Inc.     Com      637640103           84       3,810     x       12                    3,810
National Service Industries Inc.Com      637657107          332      16,080     x       12                   16,080
Nations Balanced Target MaturityComnd    63857K107           43       4,500     x       12                    4,500
Nations Govt Income Term Tr 2003Comc.    638583104            0          22     x       12                       22
Nationwide Health Properties IncCom      638620104           40       2,050     x       12                    2,050
Natural Alternative Intl Inc.   Com      638842302            1         500     x       12                      500
Nautica Enterprises Inc.        Com      639089101           12       1,010     x       12                    1,010
Navistar International Corp.    Com      63934E108           15         520     x       12                      520
Navisite Inc                    Com      63935M109            0       1,610     x       12                    1,610
Navigant Consulting Inc         Com      63935N107            2         600     x       12                      600
Neiman-Marcus Groups Inc.       Com      640204202           19         777     x       12                      777
Neoforma Com Inc                Com      640475505            0          50     x       12                       50
Neorx Corp                      Com      640520300           52      20,875     x       12                   20,875
Neotherapeutics Inc.            Com      640656104           15       5,050     x       12                    5,050
Networks Associates Inc.        Com      640938106          227      17,575     x       12                   17,575
Nestle SA Sponsored ADR         ADR      641069406          946      17,735     x       12                   17,735
Net Perceptions Inc             Com      64107U101            0         500     x       12                      500
Netcentives Inc                 Com      64108P101            0         700     x       12                      700
Netopia Inc.                    Com      64114K104            9       2,400     x       12                    2,400
Network Appliance Inc           Com      64120L104          198      29,188     x       12                   29,188
Network Access Solutions Corp   Com      64120S109            0         600     x       12                      600
Netwolves Corp                  Com      64120V102            1         200     x       12                      200
Network Plus Corp               Com      64122D506            2       2,150     x       12                    2,150
Net2000 Communications Inc      Com      64122G103            7      13,300     x       12                   13,300
Neuberger Berman Inc            Com      641234109          145       4,150     x       12                    4,150
Neurogen Corp.                  Com      64124E106            5         300     x       12                      300
New Centy Equity Hldgs Corp     Com      64353J107            4       9,000     x       12                    9,000
New England Business Service    Com      643872104           47       2,700     x       12                    2,700
New Focus Inc                   Com      644383101            1         300     x       12                      300
New Jersey Resources Corp.      Com      646025106            9         200     x       12                      200
New PLan Excel Realty Trust     Com      648053106          425      24,865     x       12                   24,865
New Windsor Bancorp             Com      649203106          249       2,492     x       12                    2,492
New York Times Co.              Com      650111107          148       3,785     x       12                    3,785
New York Times Co  Conv CL B    Com      650111404            5         120     x       12                      120
Newcare Health Corp             Com      651053100            0          28     x       12                       28
Newell Rubbermaid Inc.          Com      651229106        1,042      45,893     x       12                   45,893
Newfield Exploration Co         Com      651290108           26         900     x       12                      900
Newmil Bancorp Inc              Com      651633109           13       1,000     x       12                    1,000
Newmont Mining Corp.            Com      651639106           88       3,728     x       12                    3,728
Newport Corp.                   Com      651824104           25       1,755     x       12                    1,755
Newpower Hldgs Inc              Com      652463100            6       2,000     x       12                    2,000
News Corp. Limited              ADR      652487703           53       2,199     x       12                    2,199
News Corp. Ltd Spons ADR Pfd    ADR      652487802           41       1,915     x       12                    1,915
Newport News and Shipbuilding   Com      652990201        1,192      18,413     x       12                   18,413
NEWPORT NEWS SHIPBUILDING INC   Com      652CSH990            2          32     x       12                       32
Nextcard Inc                    Com      65332K107            1         200     x       12                      200
Nexar Technologies Inc          Com      65332P106            0       1,000     x       12                    1,000
Nextel Communications Inc.      Com      65332V103        3,865     446,353     x       12                  446,353
Nextel Partners Inc             Com      65333F107          170      25,200     x       12                   25,200
Niagara Mohawk Holdings Inc.    Com      653520106          455      26,820     x       12                   26,820
Nice-Systems Ltd ADR            ADR      653656108          147      11,350     x       12                   11,350
Nike Inc.                       Com      654106103          592      12,645     x       12                   12,645
9278 Communications Inc         Com      65440W100            1       3,300     x       12                    3,300
Nisource Inc.                   Com      65473P105          561      24,081     x       12                   24,081
Nisource Inc SAILS              Com      65473P600           12       5,863     x       12                    5,863
Nissan Motor Co Ltd Sponsored   ADR      654744408            9       1,000     x       12                    1,000
Noble Affiliates Inc.           Com      654894104          448      14,455     x       12                   14,455
Nokia Corp. Sponsored ADR       ADR      654902204        4,988     318,696     x       12                  318,696
Noble Drilling Corp.            Com      655042109           54       2,248     x       12                    2,248
Non Invasive Monitoring Systems Com.     655366508            2       5,325     x       12                    5,325
Nord Res Corp.                  Com      655555100            0         600     x       12                      600
Nordstrom Inc.                  Com      655664100          137       9,475     x       12                    9,475
Norfolk Southern Corp.          Com      655844108        1,011      62,694     x       12                   62,694
Nortankers Inc                  ADR      656550100            0         300     x       12                      300
Nortek Inc.                     Com      656559101           21         966     x       12                      966
Nortel Networks Corp.           Com      656568102          599     106,735     x       12                  106,735
North Amern Palladium Ltd       ADR      656912102           11       2,000     x       12                    2,000
North American Metals Corp      ADR      65702L107            0       1,000     x       12                    1,000
North Fork Bancorp, Inc.-DEL    Com      659424105          973      32,726     x       12                   32,726
North Pittsburgh Sys Inc.       Com      661562108          387      26,240     x       12                   26,240
Northeast Utilities             Com      664397106           66       3,531     x       12                    3,531
Northern Border Partnership LTD Part P1  664785102          214       5,501     x       12                    5,501
Northern Trust Corp.            Com      665859104        2,020      38,484     x       12                   38,484
Northfield Laboratories Inc.    Com      666135108           19       1,450     x       12                    1,450
Northpoint Communications Hldg  Com      666610100            0         200     x       12                      200
Northrop Grumman Corp.          Com      666807102          794       7,861     x       12                    7,861
Northwest Natural Gas Co        Com      667655104            7         300     x       12                      300
Northwestern Corp.              Com      668074107            3         130     x       12                      130
Novartis AG-ADR                 ADR      66987V109          579      14,885     x       12                   14,885
Novavax Inc.                    Com      670002104           10         675     x       12                      675
Novell, Inc.                    Com      670006105           81      22,087     x       12                   22,087
Novellus System Inc.            Com      670008101           14         495     x       12                      495
Noven Pharmaceuticals Inc       Com      670009109           24       1,300     x       12                    1,300
Novoste Corp. MA                Com      67010C100            6       1,035     x       12                    1,035
NSTAR                           Com      67019E107          142       3,385     x       12                    3,385
Nucor Corp.                     Com      670346105        1,922      48,415     x       12                   48,415
Nuveen Connecticut Premium      Com      67060D107           16       1,000     x       12                    1,000
Nuveen North Carolina Premium   Com      67060P100           21       1,400     x       12                    1,400
Nuveen Pennsylvania Premium     Com      67061F101           43       3,000     x       12                    3,000
Nuveen Maryland Premium Income  Com      67061Q107          404      26,600     x       12                   26,600
Nuveen Select Maturities        Com      67061T101          115      10,400     x       12                   10,400
Nuveen Investment Quality MuniciCom      67062E103           44       2,980     x       12                    2,980
Nuveen Municipal Advantage Fund Com.     67062H106          128       8,775     x       12                    8,775
Nuveen Insured Quality MunicipalComnd    67062N103           93       6,262     x       12                    6,262
Nuveen Performance Plus Muni FunComnc.   67062P108           23       1,600     x       12                    1,600
Nuveen Premium Income Muni Fund Com      67062T100           42       3,000     x       12                    3,000
Nuveen Municipal Mkt OpportunityCom In   67062W103           61       4,200     x       12                    4,200
Nuveen Select Tax-Free Income   Com      67063C106           24       1,680     x       12                    1,680
Nuveen Premium Income Muni Fund Com      67063W102          178      12,165     x       12                   12,165
Nuveen Select Tax-Free Income   Com      67063X100           52       3,800     x       12                    3,800
Nuveen Virginia Premium Income  Com      67064R102          101       6,374     x       12                    6,374
Nvidia Corp                     Com      67066G104            1          30     x       12                       30
Nuveen Divid Advantage Mun Fd   Com      67066V101          112       7,472     x       12                    7,472
Nuveen NC Divid Adv Muni Fd     Com      67069N106           53       3,500     x       12                    3,500
Nuveen MD Divid advantage       Com      67069R107          186      12,243     x       12                   12,243
Nuveen California               Com      67069X104           15       1,000     x       12                    1,000
Nuveen New Jersey               Com      67069Y102           22       1,500     x       12                    1,500
Nuveen Insured Premium Inc Muni Comd 2   6706D8104           77       5,577     x       12                    5,577
Nuveen Premium Income Muni Fund Comnc    6706K4105          160      11,837     x       12                   11,837
Nuveen Dividend Advantage       Com      67070F100           38       2,600     x       12                    2,600
Nuveen Dividend Advantage       Com      67070X101          120       7,950     x       12                    7,950
Nyfix Inc                       Com      670712108           14       1,000     x       12                    1,000
OAO Technology Solutions Inc.   Com      67082B105            0          80     x       12                       80
OGE Energy Corp.                Com      670837103           83       3,815     x       12                    3,815
OM Group Inc.                   Com      670872100           56       1,020     x       12                    1,020
Nuveen Municipal Bond B         Com      670928100          479      51,751     x       12                   51,751
Nuveen Pennsylvania Inv Quality Comi Fd  670972108          253      16,750     x       12                   16,750
Nuveen Select Quality Muni Fund Com.     670973106           58       4,018     x       12                    4,018
NVIEW Corporation               Com      670974104            1       4,500     x       12                    4,500
Nuveen Quality Income           Com      670977107          143       9,913     x       12                    9,913
Nuveen Ohio Quality Income      Com      670980101           46       2,908     x       12                    2,908
Nuveen NY Insured Muni Bond R   Com      670984103          362      24,665     x       12                   24,665
Nuveen New York Quality Income FCom      670986108           11         800     x       12                      800
Nuveen Premier Municipal        Com      670988104           82       5,578     x       12                    5,578
Oakley Inc.                     Com      673662102            3         200     x       12                      200
Oakwood Homes Corp.             Com      674098207            1         330     x       12                      330
Occidental Petroleum Corp.      Com      674599105          171       7,011     x       12                    7,011
Ocean Energy Inc.               Com      67481E106           68       4,149     x       12                    4,149
Office Depot, Inc.              Com      676220106        2,297     168,875     x       12                  168,875
Officemax Inc.                  Com      67622M108            7       2,402     x       12                    2,402
Official Pmts Corp              Com      676235104            3       1,290     x       12                    1,290
Ohio Casualty Corp.             Com      677240103           30       2,325     x       12                    2,325
Lukoil Oil Co Sponsored ADR     ADR      677862104          303       8,070     x       12                    8,070
Old Point Financial Corp.       Com      680194107           61       2,600     x       12                    2,600
Old Republic International Corp.Com      680223104           62       2,375     x       12                    2,375
Olin Corp.                      Com      680665205           10         650     x       12                      650
Omnicom Group Inc.              Com      681919106        1,168      17,994     x       12                   17,994
Omega Healthcare Investors, Inc.Com      681936100            8       2,325     x       12                    2,325
1-800 Contacts Inc              Com      681977104           25       2,000     x       12                    2,000
Omega Financial Corp.           Com      682092101           38       1,220     x       12                    1,220
Omega Worldwide Inc.            Com      68210B108            0          98     x       12                       98
Omni Computer Systems Inc.      Com      68210G107            0       1,000     x       12                    1,000
Omni Energy Services Corp       Com      68210T109            7      10,000     x       12                   10,000
Omnova Solutions Inc            Com      682129101            1         225     x       12                      225
On Semiconductor Corp           Com      682189105            0         100     x       12                      100
On Technology Corp.             Com      68219P108            0         400     x       12                      400
One Liberty Properties Inc  LTD Part P4  682406103            6         435     x       12                      435
Oneok Inc.                      Com      682680103           13         800     x       12                      800
Online Entmt Inc                Com      68274C109            4       1,800     x       12                    1,800
On2 Com Inc                     Com      68338A107            1       1,500     x       12                    1,500
Onyx Software Corp.             Com      683402101            6       3,150     x       12                    3,150
Openwave Sys Inc                Com      683718100           41       3,215     x       12                    3,215
Opnet Technologies Inc          Com      683757108            3         500     x       12                      500
Optio Software Inc              Com      68389J106            0       1,000     x       12                    1,000
Oracle Corp                     Com      68389X105        8,427     669,865     x       12                  669,865
Oppenheimer Multi-Sector Tr     Com      683933105           50       6,300     x       12                    6,300
Opus360 Corp                    Com      68400F109            0         103     x       12                      103
Oratec Interventions Inc        Com      68554M108            7       1,000     x       12                    1,000
Orasure Technologies Inc        Com      68554V108          211      20,592     x       12                   20,592
Orbital Sciences Corp.          Com      685564106            2       1,000     x       12                    1,000
Original Media Inc              ADR      686200106            0       5,000     x       12                    5,000
Orion Pwr Hldgs Inc             Com      686286105            9         335     x       12                      335
Orthodontic Centers of America ICom      68750P103           15         600     x       12                      600
Osca Inc                        Com      687836106           23       1,500     x       12                    1,500
Otter Tail Power Co             Com      689648103           55       1,942     x       12                    1,942
Outback Steakhouse Inc.         Com      689899102          836      32,625     x       12                   32,625
Overseas Shipholding            Com      690368105           35       1,600     x       12                    1,600
Owens & Minor Inc. New          Com      690732102          517      25,490     x       12                   25,490
Owens Corning                   Com      69073F103            1         800     x       12                      800
Oxford Health Plans Inc.        Com      691471106          447      15,733     x       12                   15,733
PDG Environmental Inc           Com      693283103            0         562     x       12                      562
P G & E Corp.                   Com      69331C108           15         990     x       12                      990
PFF Bancorp Inc.                Com      69331W104            8         300     x       12                      300
PHP Healthcare Corp.            Com      693344103            0       1,000     x       12                    1,000
Pimco Commercial Mortgage       Com      693388100           28       2,000     x       12                    2,000
PLM Equipment Growth Fund Dep UnCom      693413106            1       2,239     x       12                    2,239
PLM Equipment Growth Fund V     Com      69341H402            4       1,750     x       12                    1,750
PMC Capital Inc.                Com      693430100           50       6,350     x       12                    6,350
PMC Commercial Trust            Com      693434102            6         495     x       12                      495
PMC-Sierra Inc                  Com      69344F106           94       9,032     x       12                    9,032
PMI Group Inc.                  Com      69344M101          177       2,845     x       12                    2,845
PNC Financial Services Group    Com      693475105        2,144      37,450     x       12                   37,450
PPG Industries, Inc.            Com      693506107        1,343      29,353     x       12                   29,353
PPL Corp                        Com      69351T106          553      16,969     x       12                   16,969
Ppl Cap Fdg Tr I                ADR      69352F204           85       4,700     x       12                    4,700
PRI Automation Inc.             Com      69357H106            3         300     x       12                      300
PSB Bancorp Inc                 Com      693604100           21       3,758     x       12                    3,758
PTEK Holdings Inc.              Com      69366M104           18       7,100     x       12                    7,100
Pac-west Telecom Inc            Com      69371Y101            0         140     x       12                      140
Pacholder High Yield Fund       Com      693742108            7         700     x       12                      700
Pacific American Income Shares FCom      693796104          394      26,635     x       12                   26,635
Pacific Century Financial Corp. Com      694058108           70       2,975     x       12                    2,975
Pacific Centy Cyberworks Ltd    ADR      694059106           10       4,349     x       12                    4,349
Packaging Corp Amer             Com      695156109          200      12,925     x       12                   12,925
Packeteer Inc                   Com      695210104            4       1,150     x       12                    1,150
Packetport Com Inc              Com      69521P109            0         500     x       12                      500
Pactiv Corp                     Com      695257105          828      57,173     x       12                   57,173
Pain Therateutics Inc           Com      69562K100            4         500     x       12                      500
Pall Corp.                      Com      696429307          516      26,533     x       12                   26,533
Palm Inc                        Com      696642107           57      38,740     x       12                   38,740
Palmetto Bancshares Inc         Com      697062107            0         480     x       12                      480
Palomar Med Technologies Inc ComComw     697529303            0         285     x       12                      285
Panera Bread Co                 Com      69840W108            7         200     x       12                      200
Paracelsian Inc                 Com      698898103            0       1,000     x       12                    1,000
Paradigm Advanced Technologies  Com      699004107            0         500     x       12                      500
Paradigm Genetics Inc           Com      69900R106           11       1,806     x       12                    1,806
Paradyne Networks Inc           Com      69911G107            3       2,470     x       12                    2,470
Paragon Technologies, Inc.      Com      69912T108           56       7,400     x       12                    7,400
Parametric Technology Corp.     Com      699173100           11       2,050     x       12                    2,050
Park Meridian Finl Corp         Com      700585102           62       4,096     x       12                    4,096
Park Place Entertainment Corp.  Com      700690100           10       1,315     x       12                    1,315
Parker Drilling Co              Com      701081101            6       2,000     x       12                    2,000
Parker Hannifin Corp.           Com      701094104          637      18,504     x       12                   18,504
Parkvale Financial Corp.        Com      701492100          335      15,257     x       12                   15,257
Patriot Bank Corporation PA     Com      70335P103            5         500     x       12                      500
Patriot Scientific Corp         Com      70336N107            1       6,000     x       12                    6,000
Patterson Dental Co             Com      703412106          158       4,294     x       12                    4,294
Patterson Uti Energy Inc        Com      703481101            1          85     x       12                       85
Paxson Communications Corp.     Com      704231109           16       2,200     x       12                    2,200
Paychex Inc.                    Com      704326107          268       8,494     x       12                    8,494
Payless Shoesource Inc.         Com      704379106           22         400     x       12                      400
Pec Solutions Inc               Com      705107100           13         750     x       12                      750
Peco II Inc                     Com      705221109            7       1,500     x       12                    1,500
Pegasus Communications Corp. - CCom      705904100            4         500     x       12                      500
Penn Virginia Corp.             Com      707882106          136       4,827     x       12                    4,827
Penney (J C) Co Inc.            Com      708160106          507      23,142     x       12                   23,142
Pennsylvania Commerce Bancorp InCom      708677109           53       1,570     x       12                    1,570
Pennsylvania Real Estate Tr SBI Com      709102107           10         454     x       12                      454
Pennzoil-Quaker State Co.       Com      709323109          600      53,688     x       12                   53,688
Pentair Inc.                    Com      709631105          482      15,680     x       12                   15,680
People's Bank - Bridgeport, CT  Com      710198102            8         350     x       12                      350
Peoples Bk N C                  Com      710577107            3         165     x       12                      165
Peoples Energy Corp.            Com      711030106           19         483     x       12                      483
PeopleSoft Inc.                 Com      712713106           55       3,053     x       12                    3,053
Pepsiamericas Inc               Com      71343P200            3         170     x       12                      170
PepsiCo, Inc.                   Com      713448108       10,816     223,004     x       12                  223,004
Wt Per-Se Technologies Inc.Stock Warrant 713569119            0          11     x       12                       11
Per Se Technologies Inc Com New Com      713569309            2         200     x       12                      200
Peregrine Systems Inc           Com      71366Q101          196      15,509     x       12                   15,509
Performance Food Group Co       Com      713755106            6         200     x       12                      200
Performance Technologies Inc.   Com      71376K102            4         500     x       12                      500
Perkinelmer Inc                 Com      714046109            5         200     x       12                      200
Perot Systems Corp. Cl A        Com      714265105          238      14,750     x       12                   14,750
Petroleum & Resources Corp.     Com      716549100            3         111     x       12                      111
Petroleo Brasileiro Sa Petrobr  ADR      71654V408          264      13,345     x       12                   13,345
Petroleum Geo Services A/S SPONSADRR     716597109          482      76,448     x       12                   76,448
Petroquest Energy Inc.          Com      716748108           78      15,500     x       12                   15,500
Petsmart, Inc.                  Com      716768106           14       2,000     x       12                    2,000
Pfizer Inc.                     Com      717081103       17,443     434,989     x       12                  434,989
Pharmaceutical Product DevelopmeCom      717124101          629      21,475     x       12                   21,475
Pharmaceutical Holders Tr       Com      71712A206           49         500     x       12                      500
Pharmacopeia Inc.               Com      71713B104          248      19,165     x       12                   19,165
Pharmanetics Inc                Com      71713J107           35       5,050     x       12                    5,050
Pharmacia Corp                  Com      71713U102        4,016      99,003     x       12                   99,003
Phelps Dodge                    Com      717265102          251       9,139     x       12                    9,139
Philadelphia Suburban           Com      718009608           78       2,975     x       12                    2,975
Philip Morris Companies Inc.    Com      718154107        8,268     171,216     x       12                  171,216
Philip Services Corp. Del       Com      718193105            0          80     x       12                       80
Phillips Petroleum Company      Com      718507106        1,103      20,452     x       12                   20,452
Phoenix Cos Inc New             Com      71902E109            5         320     x       12                      320
Phoenix Group Corp              Com      71906P100            1      15,000     x       12                   15,000
Phosphate Resource Partners LTD Part P4  719217101            0         100     x       12                      100
Photon Dynamics Inc             Com      719364101            6         275     x       12                      275
Phyamerica Physician Group Inc  Com      71940A101            0       2,200     x       12                    2,200
Phycor Inc.                     Com      71940F100            0         500     x       12                      500
Piccadilly Cafeterias Inc.      Com      719567109            2       1,485     x       12                    1,485
Piedmont Natural Gas Co         Com      720186105          415      13,340     x       12                   13,340
Pier 1 Imports Inc.             Com      720279108            3         400     x       12                      400
Pilgrim America Prime Rate Tr   Com      72146W103           64       9,206     x       12                    9,206
Pilot Network Services Inc      Com      721596104            0         200     x       12                      200
Pinnacle Entertainment Inc      Com      723456109           45       7,550     x       12                    7,550
Pinnacle Bankshares Corp.       Com      72345E102           22       1,794     x       12                    1,794
Pinnacle West Cap Corp          Com      723484101            8         200     x       12                      200
***Pioneer Corporation ADS      ADR      723646105            1          47     x       12                       47
Pioneer Natural Resources Co    Com      723787107            4         300     x       12                      300
Pioneer Railcorp                Com      723839106            1       1,000     x       12                    1,000
Pioneer Standard                Com      723877106            5         550     x       12                      550
Pitney-Bowes, Inc.              Com      724479100          467      12,208     x       12                   12,208
Pittsburgh Finl Corp            Com      725098107           18       1,500     x       12                    1,500
PIXAR Inc.                      Com      725811103           44       1,100     x       12                    1,100
Pivotal Corp                    Com      72581R106            1         200     x       12                      200
Placer Dome Inc.                Com      725906101           19       1,500     x       12                    1,500
Plantronics Inc                 Com      727493108           17       1,000     x       12                    1,000
Plastic Surgery Co              Com      727557100            1       1,000     x       12                    1,000
Playtex Products Inc.           Com      72813P100            4         375     x       12                      375
Plum Creek Timber Co L P        Com      729251108          192       7,200     x       12                    7,200
Pointe Comm Corp                Com      730749108            0         425     x       12                      425
Polaris Industries Inc.         Com      731068102            8         200     x       12                      200
Polaroid Corp.                  Com      731095105            0          90     x       12                       90
Polycom Inc                     Com      73172K104            3         130     x       12                      130
Polymedica Industries           Com      731738100           44       2,870     x       12                    2,870
Polymer Group Inc               Com      731745105           10       5,184     x       12                    5,184
Popular Inc.                    Com      733174106        1,577      50,540     x       12                   50,540
Porta Systems Incorporated      Com      735647307            3       1,194     x       12                    1,194
Portal Software Inc             Com      736126103           14       9,320     x       12                    9,320
Positron Corp                   Com      737397109            2       7,600     x       12                    7,600
Post Properties Inc.            Com      737464107           54       1,455     x       12                    1,455
Potash Corp. of Saskatchewan    ADR      73755L107           17         300     x       12                      300
Potlach Corp.                   Com      737628107            3         100     x       12                      100
Potomac Electric Power Co       Com      737679100          354      16,122     x       12                   16,122
Power-One Inc.                  Com      739308104           15       2,500     x       12                    2,500
Powerwave Technologies Inc.     Com      739363109           22       1,850     x       12                    1,850
Praecis Pharmaceuticals Inc     Com      739421105            3         875     x       12                      875
Praxair Inc.                    Com      74005P104           40         962     x       12                      962
Precision Castparts Corp.       Com      740189105          296      13,350     x       12                   13,350
Predictive Sys Inc              Com      74036W102            1       1,200     x       12                    1,200
Preferred Income Opportunity    Com      74037H104            4         400     x       12                      400
Premier Farnell PLC Sponsored ADADR      74050U107            1         126     x       12                      126
Premier Farnell PLC Sponsored ADADR      74050U206            2         102     x       12                      102
Premier Laser System Inc CL A   Com      740522107            0       1,000     x       12                    1,000
Prentiss Properties Trust       Com      740706106           30       1,100     x       12                    1,100
Presidential Airways            Com      740861109            0         200     x       12                      200
Presidential Life Corp NY       Com      740884101           28       1,563     x       12                    1,563
Price Communications Corp.      Com      741437305          176      10,400     x       12                   10,400
Price T Rowe Group Inc          Com      74144T108        2,411      82,280     x       12                   82,280
Priceline.Com Inc.              Com      741503106           13       3,400     x       12                    3,400
Pride International Inc         Com      74153Q102            8         800     x       12                      800
Prime Retail Inc                Com      741570105            2       8,892     x       12                    8,892
Prime Retail Inc. 8.50% SerPreferdStkvCon741570303            3       1,257     x       12                    1,257
Primedia Inc                    Com      74157K101            1         400     x       12                      400
Primix Solutions                Com      741620108            0       1,000     x       12                    1,000
Prince Gold Corp                Com      741924104            0          50     x       12                       50
Primus Telecommunications Group Com.     741929103            3       4,700     x       12                    4,700
Princeton Review Inc            Com      742352107            6       1,000     x       12                    1,000
Princeton Video Image Inc.      Com      742476104            1         500     x       12                      500
Procter & Gamble Co.            Com      742718109       13,156     180,738     x       12                  180,738
Progenics Pharmaceutals Inc.    Com      743187106            7         500     x       12                      500
Progress Energy Inc             Com      743263105        1,297      30,161     x       12                   30,161
Progressive Corp.               Com      743315103          138       1,033     x       12                    1,033
Progressive Savings & Loan LTD  Com      74337P103            0       2,925     x       12                    2,925
Prologis Trust                  Com      743410102          148       7,000     x       12                    7,000
Promistar Financial Corp.       Com      74342Y107           27       1,153     x       12                    1,153
Proquest Company                Com      74346P102            7         200     x       12                      200
Prosofttraining Com Inc         Com      743477101            1         900     x       12                      900
Prospect Street Hi Inc Fd       Com      743586406            9       2,036     x       12                    2,036
Protective Life Corp.           Com      743674103           38       1,300     x       12                    1,300
Protein Design Labs Inc.        Com      74369L103           20         419     x       12                      419
Provident Bankshares Corp.      Com      743859100          312      15,088     x       12                   15,088
Provident Financial GRP         Com      743866105           11         427     x       12                      427
Province Healthcare Co.         Com      743977100           22         600     x       12                      600
Providian Financial Corp.       Com      74406A102          232      11,494     x       12                   11,494
PSINet Inc.                     Com      74437C101            1      55,420     x       12                   55,420
Psinet Inc Convertible Pfd PrefStockConvG74437C309            4       2,250     x       12                    2,250
Public Service Enterprise Group Com      744573106          798      18,745     x       12                   18,745
Public Storage Inc.             Com      74460D109            7         204     x       12                      204
Puget Energy Inc New            Com      745310102           45       2,100     x       12                    2,100
Pulte Corp.                     Com      745867101           12         400     x       12                      400
Puma Technology Inc             Com      745887109            0         100     x       12                      100
Purchasepro Com                 Com      746144104            0         200     x       12                      200
Pure World Inc                  Com      74622C106            6       6,000     x       12                    6,000
Pure Res Inc                    Com      74622E102           16       1,000     x       12                    1,000
Putnam Conv Opp & Income Tr SBI Com      746479104           21       1,250     x       12                    1,250
Putnam High Income Cvt & Bd Fd  Com      746779107            9       1,300     x       12                    1,300
Putnam High Yield Muni Trust    Com      746781103            8         940     x       12                      940
Putnam Investment Grade         Com      746806108            0           0     x       12                        0
Putnam Managed High Yield       Com      746819101           71       7,950     x       12                    7,950
Putnam Master Income Trust      Com      74683K104          369      56,735     x       12                   56,735
Putnam Premier Income Trust     Com      746853100          207      34,437     x       12                   34,437
Putnam Master Intermediate      Com      746909100          499      82,401     x       12                   82,401
Putnam Tax-Free Health Care     Com      746920107           18       1,350     x       12                    1,350
QLogic Corp.                    Com      747277101          117       6,155     x       12                    6,155
Quadramed Corp                  Com      74730W101            0          62     x       12                       62
Quaker Chemical Corp.           Com      747316107            5         300     x       12                      300
Quadrax Corp. New Com AccreditedComvs    74731J109            0       1,938     x       12                    1,938
Qualcomm Inc.                   Com      747525103        2,955      62,167     x       12                   62,167
Quanta Services, Inc.           Com      74762E102            0          31     x       12                       31
Queenstown Bank of Maryland     Com      74831Y105           12         212     x       12                      212
Quest Diagnostics Inc.          Com      74834L100          354       5,732     x       12                    5,732
Questron Technology Inc         Com      748372208            0           6     x       12                        6
Quicksilver Resources Inc       Com      74837R104            4         300     x       12                      300
Quigley Corp. New               Com      74838L304            0         200     x       12                      200
Quintiles Transnational Corp.   Com      748767100        2,954     202,328     x       12                  202,328
Quintus Corp                    Com      748798105            0         285     x       12                      285
Qwest Communications InternationCom Inc  749121109        3,297     197,449     x       12                  197,449
Qxl Ricardo Plc Sp ADR Rep 25   ADR      74912W309            0           8     x       12                        8
Rait Invt Tr                    Com      749227104            5         322     x       12                      322
RCN Corp.                       Com      749361101          129      40,349     x       12                   40,349
RCM Strategic Global Government Comd     74936A101           30       2,800     x       12                    2,800
RGC Resources Inc               Com      74955L103           18         900     x       12                      900
R.H. Donnelly Corp.             Com      74955W307            1          22     x       12                       22
RGS Energy Group Inc            Com      74956K104          186       4,800     x       12                    4,800
RPM Inc. - Ohio                 Com      749685103          435      45,980     x       12                   45,980
RSA Security Co                 Com      749719100           23       1,700     x       12                    1,700
RTI  Inc Com New                Com      749739207            0          24     x       12                       24
RF Micro Devices Inc.           Com      749941100          989      59,506     x       12                   59,506
Radian Group Inc.               Com      750236101          303       7,858     x       12                    7,858
Radiant Systems Inc             Com      75025N102           10       1,000     x       12                    1,000
Radioshack Corp                 Com      750438103        1,001      41,293     x       12                   41,293
Radva Corp.                     Com      750610107            1       3,250     x       12                    3,250
Radyne Comstream Inc            Com      750611402            2         500     x       12                      500
Railamerica Inc.                Com      750753105           13       1,000     x       12                    1,000
Rambus Inc.                     Com      750917106           18       2,494     x       12                    2,494
Ralston-Ralston Purina Group    Com      751277302          148       4,501     x       12                    4,501
Rational Software Corp. Com New Com      75409P202           69       7,986     x       12                    7,986
Raymond James Financial Inc.    Com      754730109           44       1,605     x       12                    1,605
Rayonier Inc.                   Com      754907103           26         651     x       12                      651
Raytheon Co                     Com      755111507          281       8,090     x       12                    8,090
Razorfish, Inc.                 Com      755236106            0       2,000     x       12                    2,000
Realnetworks Inc                Com      75605L104           55      11,280     x       12                   11,280
Realty Income Corp.             Com      756109104          122       4,220     x       12                    4,220
Realty Parking Properties LPLTD-PartsP4  756124202           11         800     x       12                      800
Reckson Associates Realty Corp. Com      75621K106           85       3,530     x       12                    3,530
Reckson Assocs Realty Corp. Cl BCom      75621K304           49       1,937     x       12                    1,937
Red Hat Inc                     Com      756577102           38      10,965     x       12                   10,965
Redback Networks Inc            Com      757209101            0          95     x       12                       95
Rediff Com India Ltd            ADR      757479100            1       1,300     x       12                    1,300
Reebok International Ltd        Com      758110100           32       1,550     x       12                    1,550
Reed International PLC SponsoredADRR     758212872            5         161     x       12                      161
Regal - Beloit Corp.            Com      758750103           28       1,550     x       12                    1,550
Regency Centers Corp            Com      758849103           23         900     x       12                      900
Regeneron Pharmaceuticals Inc.  Com      75886F107           73       3,270     x       12                    3,270
Regions Financial Corp.         Com      758940100          113       3,920     x       12                    3,920
Regus Plc                       ADR      759144108            0          56     x       12                       56
Register.com, Inc               Com      75914G101            3         300     x       12                      300
Reliant Res Inc                 ADR      75952B105            3         155     x       12                      155
Reliant Energy Inc              Com      75952J108          352      13,390     x       12                   13,390
Repligen Corp                   Com      759916109            2       1,200     x       12                    1,200
Renal Care Group Inc.           Com      759930100          503      16,335     x       12                   16,335
Repsol S.A. ADR                 ADR      76026T205            8         546     x       12                      546
Republic Bancorp Ky             Com      760281204           13       1,000     x       12                    1,000
Republic Services Inc.          Com      760759100          795      49,073     x       12                   49,073
Research In Motion Ltd.         ADR      760975102           63       3,900     x       12                    3,900
Resortquest Intl Inc            Com      761183102           19       6,390     x       12                    6,390
Resources Connection Inc        Com      76122Q105            9         500     x       12                      500
Reunion Industries Inc.         Com      761312107           15      22,700     x       12                   22,700
Reuters Holdings PLC Spon ADR   ADR      76132M102          360       6,887     x       12                    6,887
Rex Silver Mines Ltd            ADR      761622109            0       5,000     x       12                    5,000
Reynolds & Reynolds Co CL A     Com      761695105          112       4,820     x       12                    4,820
Reynolds R J Tob Hldgs Inc      Com      76182K105           45         784     x       12                      784
Riggs National Corp.            Com      766570105            3         200     x       12                      200
Rio Tinto PLC - Sponsored ADR   ADR      767204100          120       1,900     x       12                    1,900
Rite Aid Corp.                  Com      767754104          192      24,819     x       12                   24,819
Riverstone Networks Inc         Com      769320102          198      37,735     x       12                   37,735
Robert Half Intl Inc.           Com      770323103           98       4,900     x       12                    4,900
Robotic Vision Systems          Com      771074101            4       3,680     x       12                    3,680
Roche Holdings Ltd Spons ADR    ADR      771195104           11         150     x       12                      150
Rockwell International Corp.    Com      773903109           70       4,747     x       12                    4,747
Rockwell Collins Inc            Com      774341101           66       4,647     x       12                    4,647
Rogers Communication CL-B Non-vtCom      775109200           22       1,700     x       12                    1,700
Rogers Wireless Communications  ADR      775315104            2         150     x       12                      150
Rohm & Haas                     Com      775371107           27         819     x       12                      819
Ross Stores Inc.                Com      778296103           93       3,180     x       12                    3,180
Rouse Co.                       Com      779273101          659      27,245     x       12                   27,245
Rowan Bancorp Inc               Com      779379106            5         300     x       12                      300
Rowan Companies Inc.            Com      779382100            6         451     x       12                      451
Royal Group Technologies Ltd    Com      779915107            3         200     x       12                      200
Roxio Inc                       Com      780008108            2         164     x       12                      164
Royal Bk Canada                 Com      780087102          880      28,846     x       12                   28,846
Royal Bk Scotland Group Plc     ADR      780097861          132       5,150     x       12                    5,150
Royal Bk Scotland Group Plc     ADR      780097879          123       4,950     x       12                    4,950
Royal Dutch Petroleum Co ADR    ADR      780257804        3,078      61,253     x       12                   61,253
Royce Value Tr Inc.             Com      780910105          704      53,611     x       12                   53,611
Royce Micro Cap Trust Inc.      Com      780915104           28       3,279     x       12                    3,279
Ruddick Corp.                   Com      781258108           46       3,000     x       12                    3,000
Rudolph Technologies Inc        Com      781270103          112       4,523     x       12                    4,523
Rural Cellular Corp             Com      781904107            2         100     x       12                      100
Ryder System Inc.               Com      783549108           67       3,335     x       12                    3,335
Ryland Group Inc.               Com      783764103           14         304     x       12                      304
S & T Bancorp Inc               Com      783859101           83       3,534     x       12                    3,534
SBC Communications Inc.         Com      78387G103        8,925     189,405     x       12                  189,405
SBS Technologies Inc.           Com      78387P103            1         100     x       12                      100
SCB Computer Technology Inc.    Com      78388N107            0         112     x       12                      112
S C I Systems Inc.              Com      783890106           68       3,750     x       12                    3,750
SA Telecommunications Inc       Com      783942105            0       2,000     x       12                    2,000
SCP Pool Corp                   Com      784028102           32       1,500     x       12                    1,500
SEI Investments Co              Com      784117103            3          80     x       12                       80
SL Green Realty Corp.           Com      78440X101           63       2,000     x       12                    2,000
SPS Technologies Inc.           Com      784626103           18         600     x       12                      600
Standard & Poors DEP Receipts   Com      78462F103        3,070      29,392     x       12                   29,392
SPSS Inc.                       Com      78462K102          132       7,675     x       12                    7,675
SPX Corp.                       Com      784635104           27         329     x       12                      329
S1 Corporation                  Com      78463B101            8       1,000     x       12                    1,000
Sabre Group Holdings Inc.       Com      785905100           56       2,104     x       12                    2,104
Saf-t-hammer Corp               Com      78636N107            5       6,000     x       12                    6,000
Safeco Corp.                    Com      786429100          530      17,480     x       12                   17,480
Safeguard Scientifics Inc.      Com      786449108           24      13,488     x       12                   13,488
Safety-kleen Corp New           Com      78648R203            0       1,000     x       12                    1,000
Safeway Inc.                    Com      786514208        3,411      85,885     x       12                   85,885
Saga Communications Inc Cl- A   Com      786598102           18       1,037     x       12                    1,037
SAGA Sys Inc                    Com      786610881            0      63,775     x       12                   63,775
St Joe Corp.                    Com      790148100          775      29,975     x       12                   29,975
St Jude Medical Inc.            Com      790849103          138       2,010     x       12                    2,010
St. Paul Companies Inc.         Com      792860108          177       4,292     x       12                    4,292
Saks Incorporated               Com      79377W108            8       1,547     x       12                    1,547
Salomon Brothers High Income    Com      794907105           43       4,105     x       12                    4,105
Salomon Brothers 2008 WWS Govt FCom      79548R103          149      15,250     x       12                   15,250
Salomon Brothers Worldwide      Com      79548T109           11         900     x       12                      900
Salton Inc.                     Com      795757103          253      29,515     x       12                   29,515
San Paolo-imi S P A             ADR      799175104            3         135     x       12                      135
Sandisk Corp.                   Com      80004C101           20       2,045     x       12                    2,045
Sandy Spring Bancorp Inc        Com      800363103           30         753     x       12                      753
Sangamo Biosciences Inc         Com      800677106           46       6,200     x       12                    6,200
Sanmina Corp.                   Com      800907107           81       5,951     x       12                    5,951
SAP AG Sponsored ADR            ADR      803054204           87       3,360     x       12                    3,360
Sapient Corp                    Com      803062108            1         324     x       12                      324
Sappi Ltd -Sponsered ADR        ADR      803069202           26       3,000     x       12                    3,000
Sara Lee Corp.                  Com      803111103        2,094      98,321     x       12                   98,321
Saul Centers                    Com      804395101          236      12,400     x       12                   12,400
Scan Optic Inc.                 Com      805894102            0         300     x       12                      300
Scana Corp New                  Com      80589M102          532      20,957     x       12                   20,957
Scansoft Inc                    Com      80603P107            6       4,557     x       12                    4,557
Schering-Plough Corp.           Com      806605101       10,185     274,529     x       12                  274,529
Schlumberger Limited            Com      806857108        3,968      86,822     x       12                   86,822
Schulman Inc.                   Com      808194104           15       1,500     x       12                    1,500
Schwab Charles Corp.            Com      808513105          985      85,628     x       12                   85,628
Scient Corp                     Com      80864H109            0         500     x       12                      500
Scientific-Atlanta Inc.         Com      808655104          190      10,853     x       12                   10,853
Scios, Inc.                     Com      808905103           24       1,430     x       12                    1,430
Sciquest Com Inc                Com      80908Q107            2       2,500     x       12                    2,500
SCORE BOARD INC NEW             Com      809173206            0       2,124     x       12                    2,124
Scottich Power PLC              Com      81013T705           48       2,043     x       12                    2,043
Scripps Co E W Cl A             Com      811054204           24         400     x       12                      400
Scudder High Income Tr          Com      811153105           34       4,700     x       12                    4,700
Sea Containers Cl B             Com      811371103           14       1,496     x       12                    1,496
Sea Containers Ltd Cl A         Com      811371707           89       9,835     x       12                    9,835
Seacoast Banking Corp. FLA      Com      811707108          105       2,500     x       12                    2,500
Seacost Finl Services Corp      Com      81170Q106           57       3,831     x       12                    3,831
Seagate Technology Inc. Escrow  Com      811804988            0       1,695     x       12                    1,695
Sealed Air Corp.                Com      81211K100          131       3,592     x       12                    3,592
Sealed Air Corp - $2 Conv PPreferdStk Con81211K209           21         542     x       12                      542
Sears Roebuck & Co              Com      812387108          473      13,666     x       12                   13,666
Sector Spdr Trust Shs Ben Int BaCom      81369Y100            1          59     x       12                       59
Sector Spdr Tr                  Com      81369Y209            1          30     x       12                       30
Sector Spdr Tr                  Com      81369Y308           30       1,194     x       12                    1,194
Sector Spdr Trust Shs Ben Int   Com      81369Y407            1          39     x       12                       39
Sector Spdr Trust Shs Ben Int EnComy     81369Y506            5         193     x       12                      193
Sector Spdr Trust               Com      81369Y605           97       3,926     x       12                    3,926
Sector Spdr Trust Shs Ben Int InComtl    81369Y704            2          75     x       12                       75
Sector Spdr Trust Shs           Com      81369Y803          209      10,910     x       12                   10,910
Sector Spdr Tr                  Com      81369Y886            4         132     x       12                      132
Secure Computing Corp           Com      813705100           12       1,250     x       12                    1,250
Security Capital Group Inc. Ser Com      81413P204           52       2,800     x       12                    2,800
Seibels Bruce Group Inc         Com      816006209            0           7     x       12                        7
Seitel Inc. New                 Com      816074306           51       5,100     x       12                    5,100
Semiconductor HLDRS Tr          Com      816636203           12         400     x       12                      400
Semtech Corp.                   Com      816850101            8         294     x       12                      294
Sempra Energy                   Com      816851109          190       7,669     x       12                    7,669
Senior Hsg Pptys Tr             Com      81721M109          276      20,555     x       12                   20,555
Sensient Technologies Corp      Com      81725T100          110       5,920     x       12                    5,920
Sepracor Inc.                   Com      817315104          163       4,549     x       12                    4,549
Service Corp. International     Com      817565104          220      36,525     x       12                   36,525
Servicemaster Co                Com      81760N109          402      36,272     x       12                   36,272
Shaman Pharmaceuticals Inc      Com      819319500            0         838     x       12                      838
Shamrock Logistics L P      LTD Part P1  819357104           33       1,000     x       12                    1,000
Shaw Group Inc.                 Com      820280105           52       1,835     x       12                    1,835
Shelbourne Pptys Ii Inc         Com      821374105            8         200     x       12                      200
Shell Transport & Trading PLC   ADR      822703609           97       2,194     x       12                    2,194
Shenandoah Telecommunications   Com      82312B106          118       3,380     x       12                    3,380
Sherwin Williams Corp.          Com      824348106        2,232     100,454     x       12                  100,454
Shire Pharmaceuticals Grp PLC SpADR ADR  82481R106            0           8     x       12                        8
Shiseido Ltd ADR                ADR      824841407            9       1,000     x       12                    1,000
Shoe Carnival Inc Ind           Com      824889109            5         500     x       12                      500
Shopko Stores, Inc.             Com      824911101           22       2,600     x       12                    2,600
Shore Bancshares Inc.           Com      825107105          163       8,596     x       12                    8,596
Shurgard Storage Centers Inc., CCom      82567D104          169       5,600     x       12                    5,600
Sicor Inc                       Com      825846108            1          75     x       12                       75
Sideware Systems Inc.           Com      825907108            0       3,000     x       12                    3,000
Siebel Systems Inc.             Com      826170102          272      20,914     x       12                   20,914
Siemens A G                     ADR      826197501           16         414     x       12                      414
Sierra Health Services, Inc.    Com      826322109            7         800     x       12                      800
Sierra Pacific Resources new    Com      826428104        1,730     114,570     x       12                  114,570
Sigma-Aldrich Corp.             Com      826552101        1,234      27,292     x       12                   27,292
Signalsoft Corp                 Com      82668M102            1         300     x       12                      300
Silicon Storage Technology Inc. Com      827057100           12       2,532     x       12                    2,532
Silicon Valley Bancshares       Com      827064106           16         800     x       12                      800
Siliconix inc                   Com      827079203            4         200     x       12                      200
Silver Diner Incorporated       Com      827655101            0         500     x       12                      500
Simon Property Group Inc        Com      828806109        1,317      48,941     x       12                   48,941
Sinclair Broadcast Group Inc.   Com      829226109            2         220     x       12                      220
The Singer Co N.V.              Com      82930F109            0       2,100     x       12                    2,100
Sinopec Shanghai Petrochemical SADR ADR  82935M109            5         500     x       12                      500
Sirius Satellite Radio Inc      Com      82966U103           30       8,475     x       12                    8,475
Sitel Corp.                     Com      82980K107            1       1,000     x       12                    1,000
Sizeler Property Investors, Inc.Com      830137105           10       1,125     x       12                    1,125
Skechers USA Inc. Cl A          Com      830566105           22       1,920     x       12                    1,920
Skillsoft Corp                  Com      83066P101           24       1,500     x       12                    1,500
Sky Financial Group Inc         Com      83080P103          478      24,026     x       12                   24,026
Slippery Rock Finl Corp         Com      831471107            8         500     x       12                      500
Smallcap Fd Inc                 Com      831680103           14       1,464     x       12                    1,464
Smart Choice Automotive Group   Com      831686407            0           5     x       12                        5
Smartalk Teleservices Inc.      Com      83169A100            0       2,350     x       12                    2,350
Smartdisk Corp                  Com      83169Q105            0         100     x       12                      100
Smith A O Corp.                 Com      831865209           20       1,155     x       12                    1,155
Charles E. Smith Residential    Com      832197107          276       5,358     x       12                    5,358
Smithfield Foods                Com      832248108          306      14,560     x       12                   14,560
Smurfit-Stone Container Corp.   Com      832727101           10         742     x       12                      742
Snap-On Inc.                    Com      833034101           51       2,303     x       12                    2,303
Societe Generale France SP ADR  ADR      83364L109            3         320     x       12                      320
Softnet Systems Inc.            Com      833964109            3       2,325     x       12                    2,325
Solectron Corp.                 Com      834182107          272      23,327     x       12                   23,327
Solutia Inc.                    Com      834376105           27       2,145     x       12                    2,145
Sonera Group Plc                ADR      835433202            1         445     x       12                      445
Sonex Research Inc.             Com      835448101            2      11,600     x       12                   11,600
Sonic Foundry Inc               Com      83545R108            0         200     x       12                      200
Sonicblue Inc                   Com      83546Q109            1         466     x       12                      466
Sonicwall Inc                   Com      835470105            6         490     x       12                      490
Sonoco Products Co              Com      835495102          884      37,625     x       12                   37,625
Sony Corp. - Sponsored ADR      ADR      835699307          231       6,963     x       12                    6,963
Sothebys Holdings Inc. - Cl A LtComtg    835898107            2         200     x       12                      200
Source Venture Cap Inc          ADR      836163303            0           6     x       12                        6
South Alabama Bancorporation    Com      836234104           13       1,300     x       12                    1,300
South Financial Group Inc       Com      837841105           19       1,200     x       12                    1,200
Southern Co                     Com      842587107          619      25,821     x       12                   25,821
Southern Cmnty Bk & Tr N C      Com      842630105           37       5,276     x       12                    5,276
Southern Union Co New           Com      844030106           91       4,350     x       12                    4,350
Southtrust Corp.                Com      844730101        1,106      43,436     x       12                   43,436
Southwest Airlines Co           Com      844741108          900      60,678     x       12                   60,678
Southwest Bancorporation of TexaComnc.   84476R109          177       5,954     x       12                    5,954
Southwest Gas Corp.             Com      844895102           25       1,165     x       12                    1,165
Sovereign Bancorp Inc.          Com      845905108          756      79,559     x       12                   79,559
Spectra Vision Inc. Cl B        Com      847607108            0         750     x       12                      750
Spectrasite Holdings Inc        Com      84760T100           43      17,805     x       12                   17,805
Spectrum Oil Corp               Com      84762G304            0          20     x       12                       20
Spectrum Signal Processing Inc  ADR      84763F107            0         200     x       12                      200
Speechworks Intl Inc            Com      84764M101            0         100     x       12                      100
Speedway Motorsports Inc.       Com      847788106            8         400     x       12                      400
Spelling Entertainment Group    Com      847807104            0       3,340     x       12                    3,340
Spherion Corp                   Com      848420105            7         950     x       12                      950
Spherix Inc                     Com      84842R106           18       2,300     x       12                    2,300
Spinnaker Expl Co               Com      84855W109           11         300     x       12                      300
The Sports Authority Inc.       Com      849176102            4       1,000     x       12                    1,000
Sprint Corp. (FON Group)        Com      852061100        2,926     121,861     x       12                  121,861
Sprint Corp. (PCS Group)        Com      852061506        1,031      39,225     x       12                   39,225
Staff Leasing Inc.              Com      852381102            4       2,900     x       12                    2,900
Stamford Intl Inc               Com      852902105           59      59,000     x       12                   59,000
Standard-Pacific Corp.          Com      85375C101            8         400     x       12                      400
Standex Intl Corp.              Com      854231107            1          50     x       12                       50
Stanley Works                   Com      854616109           24         650     x       12                      650
Staples Inc.                    Com      855030102        1,428     107,178     x       12                  107,178
Star Gas Partners L P           Com      85512C105          186       9,300     x       12                    9,300
Starbucks Corp.                 Com      855244109          328      22,092     x       12                   22,092
Starmedia Network Inc.          Com      855546107            0         500     x       12                      500
Startek Inc.                    Com      85569C107            3         150     x       12                      150
Startech Enviromental Corp      Com      855906103           13       3,858     x       12                    3,858
Starwood Hotels & Resorts WorldwCom Inc  85590A203          540      24,544     x       12                   24,544
State Financial Services Corp CLCom      856855101            3         228     x       12                      228
State Str Corp                  Com      857477103        2,747      60,364     x       12                   60,364
Steak N Shake Co                Com      857873103            5         503     x       12                      503
Steelcase Inc. - CL A           Com      858155203           35       2,800     x       12                    2,800
Sterling Bancshares Inc.        Com      858907108           20       1,500     x       12                    1,500
Steris Corp.                    Com      859152100          264      13,450     x       12                   13,450
Stewart Enterprises CL A        Com      860370105           68      11,650     x       12                   11,650
Stillwater Mining Co            Com      86074Q102           34       1,700     x       12                    1,700
Stilwell Financial Inc          Com      860831106          436      22,353     x       12                   22,353
Stmicroelectronics NV - NY ShareADR      861012102           50       2,310     x       12                    2,310
Stolt-Nielson SA ADR            ADR      861565109            4         300     x       12                      300
Stone Energy Corp.              Com      861642106          135       4,196     x       12                    4,196
Stonecutter Mills Corp Cl A     Com      861793107           22         286     x       12                      286
Stonecutter Mills Corp Cl B     Com      861793206           34         439     x       12                      439
Stonepath Group Inc             Com      861837102            1         600     x       12                      600
Storage USA, Inc.               Com      861907103          403      10,171     x       12                   10,171
Storage Technology Corp.        Com      862111200           59       4,678     x       12                    4,678
Storagenetworks Inc             Com      86211E103            1         215     x       12                      215
Strayer Education Inc.          Com      863236105            7         150     x       12                      150
Streettracks Ser Tr             Com      86330E406          968       8,300     x       12                    8,300
Streettracks Ser Tr             Com      86330E703            4         100     x       12                      100
Strong Point Inc Com New        Com      863355202            0           5     x       12                        5
Stryker Corp.                   Com      863667101          138       2,604     x       12                    2,604
Sturgis Fed Svngs Bk Mich       Com      864088109            6         900     x       12                      900
Sturm Ruger & Co                Com      864159108          129      12,460     x       12                   12,460
Suburban Propane Partners LPLTD Part P4  864482104          146       5,815     x       12                    5,815
Suiza Foods Corp.               Com      865077101           92       1,450     x       12                    1,450
Sumitomo Mitsui Banking Corp    ADR      865622104            1         200     x       12                      200
Summit Properties Inc.          Com      866239106          252       9,596     x       12                    9,596
Sun Life Finl Svcs Cda Inc      ADR      866796105          139       6,972     x       12                    6,972
Sun Microsystems Inc.           Com      866810104        4,755     574,931     x       12                  574,931
Sunbeam Corp.                   Com      867071102            0       1,700     x       12                    1,700
Suncor Energy Inc.              ADR      867229106           10         350     x       12                      350
Sungard Data Systems Inc.       Com      867363103          114       4,872     x       12                    4,872
Sunoco Inc                      Com      86764P109           44       1,239     x       12                    1,239
Sunrise Assisted Living Inc.    Com      86768K106          873      33,817     x       12                   33,817
Sunrise Technologies Intl Inc.  Com      86769L103            0         300     x       12                      300
Suntrust Banks Inc.             Com      867914103        5,126      76,960     x       12                   76,960
Superconductor Tech Inc.        Com      867931107            1         350     x       12                      350
Superior Consultant Hldgs Corp. Com      868146101            7       1,500     x       12                    1,500
Superior Energy Services Inc.   Com      868157108            7       1,250     x       12                    1,250
Superior Industries Intl Inc.   Com      868168105            7         200     x       12                      200
Superior Surgical Mfg Inc       Com      868358102           22       2,500     x       12                    2,500
Supertex Inc                    Com      868532102            2         100     x       12                      100
Supervalu Inc.                  Com      868536103          539      26,646     x       12                   26,646
SureBeam Corp - Cl A            Com      86866R102            4         500     x       12                      500
Surgilight Inc                  Com      868828104            2       6,500     x       12                    6,500
Susquehanna Bancshares Inc.     Com      869099101          631      28,340     x       12                   28,340
Swift Energy Co                 Com      870738101           65       3,160     x       12                    3,160
Swift Transportation Co Inc.    Com      870756103          377      21,320     x       12                   21,320
Swire Pacific Ltd Sponsored ADR ADR      870794302            2         525     x       12                      525
Swiss Helvetia Fd Inc.          Com      870875101           37       3,512     x       12                    3,512
Sybase Inc.                     Com      871130100           37       4,030     x       12                    4,030
Sybron Dental Specialties Inc   Com      871142105          331      17,787     x       12                   17,787
Sycamore Networks Inc           Com      871206108           14       4,065     x       12                    4,065
Sykes Enterprises Inc.          Com      871237103            3         500     x       12                      500
Sylvan Learning Systems Inc.    Com      871399101          163       7,098     x       12                    7,098
Symantec Corp.                  Com      871503108        2,192      63,226     x       12                   63,226
Symbol Technologies Inc.        Com      871508107           42       3,985     x       12                    3,985
Symbolics Inc New               Com      871512208            0          95     x       12                       95
Synavant Inc                    Com      87157A105            0         117     x       12                      117
Synopsys Inc.                   Com      871607107           42       1,038     x       12                    1,038
Syngenta Ag Adr                 ADR      87160A100            1         106     x       12                      106
Synplicity Inc                  Com      87160Y108            4         710     x       12                      710
Synovus Financial Corp.         Com      87161C105          125       4,538     x       12                    4,538
Synthetech Inc.                 Com      87162E100            1       1,000     x       12                    1,000
Sysco Corp.                     Com      871829107          237       9,270     x       12                    9,270
Systems & Computer Technology CoCom      871873105            2         200     x       12                      200
T B C Corp.                     Com      872180104          120      12,100     x       12                   12,100
TCF Financial Corp.             Com      872275102          200       4,338     x       12                    4,338
TCW Convertible Securities Fd   Com      872340104          413      55,250     x       12                   55,250
TCW Convertible Securities FStockiRight  872340930            0      54,849     x       12                   54,849
Teco Energy Inc.                Com      872375100          199       7,348     x       12                    7,348
Teppco Partners L P Units  RLTDLPart P4  872384102          348      10,871     x       12                   10,871
TJX Companies Inc.              Com      872540109        1,377      41,845     x       12                   41,845
TLC The Laser Center Inc        Com      87255E108            0         125     x       12                      125
Tpi Enterprises Inc             Com      872623103            0       1,000     x       12                    1,000
T R W Inc.                      Com      872649108          282       9,445     x       12                    9,445
TMP Worldwide Inc.              Com      872941109            2          60     x       12                       60
TXU Corp                        Com      873168108        2,049      44,240     x       12                   44,240
Tab Prods Co Del                Com      873197107            4       1,000     x       12                    1,000
Taiwan Semiconductor Co. LTD SpoADRADR   874039100            4         420     x       12                      420
Talbots Inc.                    Com      874161102           17         760     x       12                      760
Talisman Energy Inc             Com      87425E103           39       1,150     x       12                    1,150
Talk America Hldgs Inc          ADR      87426R103           14      31,540     x       12                   31,540
Tanger Factory Outlet Centers   Com      875465106          165       7,980     x       12                    7,980
Tanning Technology Corp         Com      87588P101            5       1,500     x       12                    1,500
Tapistron Intl Inc.             Com      876038100            0       8,800     x       12                    8,800
Target Corp                     Com      87612E106        4,620     145,456     x       12                  145,456
Targets Tr Vi                   Com      87612P101            3         750     x       12                      750
Tasty Baking Co.                Com      876553306           17       1,000     x       12                    1,000
Taubman Centers, Inc.           Com      876664103           31       2,500     x       12                    2,500
Tech Data Corp.                 Com      878237106          186       4,900     x       12                    4,900
Technitrol Inc.                 Com      878555101          363      16,260     x       12                   16,260
Tecumseh Producs CO CL A        Com      878895200           54       1,190     x       12                    1,190
Tekelec                         Com      879101103          119       9,000     x       12                    9,000
Telenorte Leste Participacoes ADADR      879246106            3         302     x       12                      302
Telecom Corp. of New            ADR      879278208           90       6,486     x       12                    6,486
Telecom Italia Spa Spon ADR     ADR      87927W106            2          30     x       12                       30
Telebras - Spon ADR             ADR      879287100            0       1,250     x       12                    1,250
Telecominicaoes Brasileiras SA AADR      879287308           12         485     x       12                      485
Teleflex Inc.                   Com      879369106        6,803     181,937     x       12                  181,937
Telefonica de Argentina S.A.    ADR      879378206            1         105     x       12                      105
Telefonica De Espana SA Spons ADADR      879382208          107       3,141     x       12                    3,141
Telefonos De Mexico SA Spons ADRADR      879403780          284       8,804     x       12                    8,804
Telephone & Data Systems, Inc.  Com      879433100           28         300     x       12                      300
Telesp Celular Participa- ADR   ADR      87952L108            1         190     x       12                      190
Telex-Chile S.A.                ADR      87957Q102            1       1,130     x       12                    1,130
Telik Inc                       Com      87959M109           20       3,050     x       12                    3,050
Teligent Inc. Cl A              Com      87959Y103            0       1,300     x       12                    1,300
Tellabs Inc.                    Com      879664100        1,308     132,393     x       12                  132,393
Telstra Corporation Limited     Com      87969N204            2         122     x       12                      122
Temple Inland Inc.              Com      879868107          314       6,610     x       12                    6,610
Telephone Exchange Fund Invt    Com      879919108          223         675     x       12                      675
Templeton Global Governments    Com      879929107          166      27,800     x       12                   27,800
Templeton Dragon Fund Inc.      Com      88018T101           36       5,570     x       12                    5,570
Templeton China World Fund      Com      88018X102            7       1,000     x       12                    1,000
Templeton Emerging Markets      Com      880190103           14       1,750     x       12                    1,750
Templeton Emerging Markets      Com      880191101           48       6,835     x       12                    6,835
Templeton Emerging Markets IncomComund   880192109          576      57,223     x       12                   57,223
Templeton Global Income Fund    Com      880198106          110      16,500     x       12                   16,500
Templeton Vietnam Opptys Fund   Com      88022J107            8       1,326     x       12                    1,326
Tenet Healthcare Corp.          Com      88033G100        1,366      22,899     x       12                   22,899
Tenneco Automotive Inc          Com      880349105            0         110     x       12                      110
Teradyne Inc.                   Com      880770102          232      11,915     x       12                   11,915
Terayon Communication Systems   Com      880775101           53       7,380     x       12                    7,380
Terra Networks S A              ADR      88100W103            8       1,614     x       12                    1,614
Tesoro Petroleum Corp.          Com      881609101            3         300     x       12                      300
Tessa Complete Health Care Inc  Com      881611107            0         100     x       12                      100
Teva Pharmaceutical-SP ADR      ADR      881624209           88       1,450     x       12                    1,450
Texaco Inc.                     Com      881694103        3,582      55,113     x       12                   55,113
Texas Industries Inc.           Com      882491103        2,308      74,700     x       12                   74,700
Texas Instruments Inc.          Com      882508104        4,840     193,748     x       12                  193,748
Texas Pacific Land Trust        Com      882610108           61       1,750     x       12                    1,750
Textron Inc.                    Com      883203101        1,188      35,360     x       12                   35,360
Theragenics Corp.               Com      883375107           14       1,500     x       12                    1,500
Thermo Electron Corp.           Com      883556102           15         847     x       12                      847
Thomas & Betts Corp.            Com      884315102            8         450     x       12                      450
3 Com Corp.                     Com      885535104           31       8,295     x       12                    8,295
Three Five Systems Inc.         Com      88554L108           13         825     x       12                      825
Three Rivs Bancorp Inc          Com      88562Q107           10         900     x       12                      900
360networks Inc                 ADR      88575T205            0         350     x       12                      350
Tibco Software Inc              Com      88632Q103           15       2,046     x       12                    2,046
Tidewater Inc.                  Com      886423102           39       1,460     x       12                    1,460
Tiffany & Co New                Com      886547108           56       2,568     x       12                    2,568
Tilden Associates Inc           Com      886749209            0      10,000     x       12                   10,000
Timberland Co                   Com      887100105           16         600     x       12                      600
Timken Co                       Com      887389104           36       2,600     x       12                    2,600
Tipperary Corp                  Com      888002300           30      19,000     x       12                   19,000
Tippingpoint Tech Inc           Com      888011103            2         300     x       12                      300
Titan Corp.                     Com      888266103           63       3,219     x       12                    3,219
Titan Pharmaceuticals Inc Del   Com      888314101            0          16     x       12                       16
Tollgrade Communications Inc    Com      889542106            5         250     x       12                      250
Tomkins PLC Sponsored ADR       ADR      890030208          168      19,500     x       12                   19,500
Tomorrows Morning Inc           Com      890087109            1       6,000     x       12                    6,000
Tons Of Toys Inc. Com New       Com      890318207            0           2     x       12                        2
Tootsie Roll Industries Inc.    Com      890516107           16         430     x       12                      430
Tor Minerals Intl Inc           Com      890878101            1         500     x       12                      500
Torchmark Corp.                 Com      891027104          892      22,875     x       12                   22,875
Toronto Dominion Bank           Com      891160509          194       7,900     x       12                    7,900
Torrington Water Co             Com      891466104           35         700     x       12                      700
Total SA Adr                    ADR      89151E109           60         881     x       12                      881
Totalaxcess Com Inc             Com      89151J207            0         666     x       12                      666
Total System Services Inc.      Com      891906109           12         500     x       12                      500
The Town and Country Trust      Com      892081100          545      27,500     x       12                   27,500
Toyota Motor Co                 ADR      892331307            3          53     x       12                       53
Toys 'R' Us Inc.                Com      892335100          886      51,416     x       12                   51,416
Tractor Supply Co.              Com      892356106           14         715     x       12                      715
Trakit Corp                     Com      892888108            0          17     x       12                       17
Trans World Airlines            Com      893349837            0       4,500     x       12                    4,500
Transatlantic Holdings, Inc.    Com      893521104          118       1,402     x       12                    1,402
Transcanada Pipelines LTD       ADR      893526103            8         600     x       12                      600
Transkaryotic Therapies Inc     Com      893735100            5         200     x       12                      200
Transportadora Gas Sur - SponsorADRADR   893870204           19       3,300     x       12                    3,300
Transportation Equities Inc     Com      893881102            0       1,000     x       12                    1,000
Transtar Communications         Com      89388M999            0          18     x       12                       18
Travelocity Com Inc             Com      893953109            4         300     x       12                      300
Transwitch Corp.                Com      894065101            4       1,224     x       12                    1,224
Treasury Intl Inc               Com      894641208            0         320     x       12                      320
Tredegar Industries             Com      894650100            2         100     x       12                      100
Tremont Corp. Del Com Par       Com      894745207            2          70     x       12                       70
Trex Inc.                       Com      89531P105          984      56,375     x       12                   56,375
Tri-Continental                 Com      895436103          410      22,387     x       12                   22,387
Triad Hospitals Inc.            Com      89579K109          358      10,121     x       12                   10,121
Triad Guaranty Inc.             Com      895925105           38       1,100     x       12                    1,100
Tricon Global Restaurants Inc.  Com      895953107           71       1,799     x       12                    1,799
Tribune Co                      Com      896047107          202       6,430     x       12                    6,430
Tribune Co New Sb Db Exch2%PreferdStk Con896047305            5          50     x       12                       50
Tricord Systems Inc             Com      896121100            0         350     x       12                      350
Trigon Healthcare Inc.          Com      89618L100          231       3,526     x       12                    3,526
Trimble Nav Ltd                 Com      896239100           15       1,000     x       12                    1,000
Triquint Semiconductor IncorporaCom      89674K103           20       1,258     x       12                    1,258
Triton Pcs Hldgs Inc            Com      89677M106            4         100     x       12                      100
Trizec Hahn Corp.               ADR      896938107           18       1,000     x       12                    1,000
Trustco Bk Corp N Y             Com      898349105            2         125     x       12                      125
Trustmark Corp.                 Com      898402102           90       4,000     x       12                    4,000
Tularik Inc                     Com      899165104           18       1,000     x       12                    1,000
Tupperware Corp.                Com      899896104          814      40,811     x       12                   40,811
Boston Capital Tax Credit FuLTDIParttP0  8S00043              0       1,000     x       12                    1,000
Boston Capital Tax Credit FLTD PartPP12  8S00052              0       1,000     x       12                    1,000
Astron Corp.                    Com      8S00961              0       4,000     x       12                    4,000
State Bank of Commerce Slidell LCom      8S01071              0       5,000     x       12                    5,000
System Planning Corp Inc        Com      8S01086              0       4,093     x       12                    4,093
Triangle Biomedical Sciences    Com      8S01111              0         289     x       12                      289
Hethwood INcome Partners LtdLTD Part P2  8S01155              0           1     x       12                        1
Ni-Cal Technology Ltd           Com      8S01690              0          25     x       12                       25
CNB Holdings Inc.               Com      8S02631              0          50     x       12                       50
Emerald Investment Partners     Com      8S02737            214     200,000     x       12                  200,000
Consolidated Oil Corp           Com      8S03025              0           0     x       12                        0
ELUSYS THERAPEUTICS, INC        Com      8S03231              0      10,000     x       12                   10,000
Embassy Bank                    ADR      8S03259              0       2,000     x       12                    2,000
Rts Cna Finl Corp               Com      8S03373              0       1,166     x       12                    1,166
Keefe Offshore Fund LTD         Com      8S04075              0           4     x       12                        4
Commonwealth Income & Growth FunCom      8S04443              2         150     x       12                      150
Uniprop Manufactured Housing    Com      8S04488              1           2     x       12                        2
Houston Spec ASO LLC            Com      8S04644              0         100     x       12                      100
Turnstone Systems Inc           Com      900423104            1         200     x       12                      200
II-IV Inc.                      Com      902104108            5         400     x       12                      400
2002 Target Term Tr             Com      902106103            2         116     x       12                      116
Tyco International LTD          ADR      902124106       14,821     325,729     x       12                  325,729
Tyson Foods Inc.                Com      902494103            5         500     x       12                      500
U A L Corp.                     Com      902549500            2         100     x       12                      100
Udc Homes Inc                   Com      902646108            0         450     x       12                      450
UGI Corp. Hldg Co               Com      902681105            8         300     x       12                      300
UIL Holding Corp                Com      902748102          415       8,701     x       12                    8,701
USX Marathon Group              Com      902905827        1,443      53,957     x       12                   53,957
U S T Inc.                      Com      902911106          199       6,000     x       12                    6,000
Usa Video Interactive Corp      ADR      902924208            0         200     x       12                      200
U S Plastic Lmbr Corp           Com      902948108           17      35,550     x       12                   35,550
U S Restaurants PPtys Inc.      Com      902971100            2         150     x       12                      150
US Bancorp                      Com      902973304        1,200      54,104     x       12                   54,104
U S Liquids Inc                 Com      902974104           11       2,000     x       12                    2,000
USA Networks Inc.               Com      902984103          367      20,420     x       12                   20,420
USG Corp.                       Com      903293405           26       6,870     x       12                    6,870
U S Laboratories Inc            Com      90333T105            4         400     x       12                      400
U S Interactive Inc             Com      90334M109            0          30     x       12                       30
USX-U.S. Steel Group            Com      90337T101            6         450     x       12                      450
Us Unwired Inc                  Com      90338R104           20       2,000     x       12                    2,000
US Oncology Inc                 Com      90338W103            2         250     x       12                      250
U.S. Wireless Corp              Com      90339C106            0         550     x       12                      550
USX Capital Trust I        PreferdStk Con90339E201           14         300     x       12                      300
USA Education, Inc.             Com      90390U102          361       4,360     x       12                    4,360
Unibanco-Uniao De Barcos        ADR      90458E107           10         680     x       12                      680
Unifi Inc.                      Com      904677101            1         175     x       12                      175
Unifab International Inc.       Com      90467L100            3       1,900     x       12                    1,900
Unigene Labs Inc.               Com      904753100            4      10,000     x       12                   10,000
Unilever PLC                    ADR      904767704           59       1,983     x       12                    1,983
Unilever N V                    Com      904784709          151       2,794     x       12                    2,794
Ultramar Diamond Shamrock Corp  Com      904CSH988            0         500     x       12                      500
Union Pacific Corp.             Com      907818108        1,478      31,516     x       12                   31,516
Union Planters Corp.            Com      908068109          632      14,732     x       12                   14,732
Uniquest Inc.                   Com      90915Q107            0         320     x       12                      320
Uniroyal Technology Corp        Com      909163107            9       3,000     x       12                    3,000
Unisource Energy Corp.          Com      909205106            3         220     x       12                      220
Unisys Corp.                    Com      909214108          563      65,026     x       12                   65,026
United Companies Financial      Com      909870107            0         900     x       12                      900
United Bankshares Inc. W Va     Com      909907107           84       3,125     x       12                    3,125
United Dominion Realty Trust    Com      910197102          695      48,649     x       12                   48,649
United Guardian Inc             Com      910571108            3         500     x       12                      500
United Microelectronics Corp    ADR      910873207            0          89     x       12                       89
United Mobile Homes Inc.        Com      911024107          130      11,700     x       12                   11,700
United Online Inc               Com      911268100            0          71     x       12                       71
United Parcel Service Inc       Com      911312106        1,531      29,448     x       12                   29,448
United Rentals Inc.             Com      911363109        1,859     107,224     x       12                  107,224
United States Cellular Corp.    Com      911684108            2          39     x       12                       39
US Air Group                    Com      911905107           11       2,450     x       12                    2,450
U S Technologies Inc            Com      91272D309            4       1,000     x       12                    1,000
United Technologies Corp.       Com      913017109        4,165      89,578     x       12                   89,578
UnitedGlobalCom, Inc.           Com      913247508            9       4,000     x       12                    4,000
UnitedHealth Group Inc.         Com      91324P102        1,515      22,785     x       12                   22,785
Unitil Corp.                    Com      913259107          109       4,500     x       12                    4,500
Universal Health                Com      913903100            4          75     x       12                       75
UNIVERSE2U INC                  Com      914019104            2       2,000     x       12                    2,000
Univision Communications Inc    Com      914906102            1          57     x       12                       57
Unocal Corp.                    Com      915289102          220       6,756     x       12                    6,756
Unova Inc.                      Com      91529B106            4         844     x       12                      844
Unumprovident Corp.             Com      91529Y106          650      25,749     x       12                   25,749
Upm Kymmene Corp                ADR      915436109            3          91     x       12                       91
USFreightways Corp.             Com      916906100           12         400     x       12                      400
US Internetworking Inc.         Com      917311805           15      54,260     x       12                   54,260
Utilicorp United Inc.           Com      918005109           39       1,385     x       12                    1,385
Va Linux Systems Inc            Com      91819B105            1         600     x       12                      600
V F Corp.                       Com      918204108          143       4,869     x       12                    4,869
V-ONE Corp.                     Com      918278102            1         800     x       12                      800
Vtel Corp                       Com      918333105            1         500     x       12                      500
Vail Resorts Inc                Com      91879Q109            1          50     x       12                       50
Valassis Communications Inc.    Com      918866104           10         300     x       12                      300
Valence Technology, Inc.        Com      918914102            5       1,400     x       12                    1,400
Valero Energy Corp.             Com      91913Y100           48       1,359     x       12                    1,359
The Valspar Corp.               Com      920355104        5,723     171,152     x       12                  171,152
Value City Department Stores IncCom      920387107            1         200     x       12                      200
Van Kampen American Capital MuniComust   920919107            7         487     x       12                      487
Van Kampen Amer Capt OH Qtly MunComr     920923109           30       1,870     x       12                    1,870
Van Kampen Merritt Trust For    Com      920929106           15       1,000     x       12                    1,000
Van Kampen Merritt Muni OpportunCom Tr   920935103           26       1,667     x       12                    1,667
Van Kampen American Cap Bond FunCom      920955101           29       1,500     x       12                    1,500
Van Kampen American Cap Income FCom      920957107           30       4,400     x       12                    4,400
Van Kampen American Capital Sr IComme    920961109           37       5,148     x       12                    5,148
Van Kampen Merritt Advantage    Com      921124103           14       1,000     x       12                    1,000
Van Kampen Advantage Muni IncomeCom II   92112K107            0           0     x       12                        0
Van Kampen Merritt Penn Value   Com      92112T108           59       4,000     x       12                    4,000
Van Kampen Merritt Ohio Value   Com      92112W101           15       1,050     x       12                    1,050
Van Kampen Merritt Value MunicipCom      921132106            9         700     x       12                      700
Vanderbilt Gold Corp.           Com      921786109            0         700     x       12                      700
Vari-L Company, Inc.            Com      922150107            4         300     x       12                      300
Varian Inc                      Com      922206107           28       1,100     x       12                    1,100
Varian Semiconductor Equip      Com      922207105           13         500     x       12                      500
Varian Medical Systems Inc      Com      92220P105           45         700     x       12                      700
Vasomedical Inc                 Com      922321104           11       3,565     x       12                    3,565
Vast Solutions Inc Cl B1        Com      92237T108            0          26     x       12                       26
Vast Solutions Inc Cl B2        Com      92237T207            0          26     x       12                       26
Vast Solution Inc Cl B3         Com      92237T306            0          26     x       12                       26
Vaxgen Inc                      Com      922390208            1          50     x       12                       50
VelocityHSI, Inc.               Com      92257K102            0         169     x       12                      169
Vencor Inc.                     Com      92260R102            0       4,000     x       12                    4,000
Ventiv Health Inc               Com      922793104            0          33     x       12                       33
Ventro Corp                     Com      922815105            0         200     x       12                      200
Verdant Brands Inc Com New      Com      923366207            0         304     x       12                      304
Veritas Software Corp           Com      923436109          193      10,470     x       12                   10,470
Verity Inc                      Com      92343C106           18       1,735     x       12                    1,735
Verisign Inc.                   Com      92343E102          153       3,655     x       12                    3,655
Verizon Communications          Com      92343V104       21,012     388,317     x       12                  388,317
Vertel Corp                     Com      924907108            1       1,100     x       12                    1,100
Verso Technologies Inc          Com      925317109            6       9,500     x       12                    9,500
Verticalnet Inc.                Com      92532L107            3       7,610     x       12                    7,610
Viacom Inc Class A              Com      925524100          249       7,126     x       12                    7,126
Viacom Inc Class B              Com      925524308        4,007     116,145     x       12                  116,145
Viatel Inc.                     Com      925529208            0       2,600     x       12                    2,600
Viad Corp.                      Com      92552R109          211      10,988     x       12                   10,988
Viant Corp                      Com      92553N107            1       1,000     x       12                    1,000
Viador Inc                      Com      92553R108            1       3,500     x       12                    3,500
Vicor Corp.                     Com      925815102          148      10,500     x       12                   10,500
Videoactive Co                  Com      92657N102            0      10,000     x       12                   10,000
Vignette Corp                   Com      926734104            8       2,350     x       12                    2,350
Viking Cap Group Inc            Com      92676E208            2       5,000     x       12                    5,000
Viragen Inc                     Com      927638106           18      13,333     x       12                   13,333
Virata Corp                     Com      927646109          385      38,570     x       12                   38,570
Virginia Finl Corp              Com      927810101           43       2,038     x       12                    2,038
Viropharma Inc.                 Com      928241108           61       2,400     x       12                    2,400
Vishay Intertechnology Inc.     Com      928298108          877      47,678     x       12                   47,678
Visible Genetics Inc            Com      92829S104            2         100     x       12                      100
Visionics Corp Del              Com      92831E101           74       6,250     x       12                    6,250
Visteon Corp                    Com      92839U107          196      15,366     x       12                   15,366
Visual Networks Inc             Com      928444108            5       2,300     x       12                    2,300
Visx Inc Del                    Com      92844S105            5         400     x       12                      400
Vitesse Semiconductor Corp.     Com      928497106           41       5,350     x       12                    5,350
Vitria Technology               Com      92849Q104            4       2,050     x       12                    2,050
Vivendi Universal ADR           ADR      92851S204            8         163     x       12                      163
Vivus Inc                       Com      928551100            2         725     x       12                      725
Vixel Corp Del                  Com      928552108            0         100     x       12                      100
Vlasic Foods International      Com      928559103            0          20     x       12                       20
Vodafone Group Plc New          ADR      92857W100        1,355      61,701     x       12                   61,701
Volcanic Gold Inc               Com      928639103            0         100     x       12                      100
Volkswagen AG - Sponsored ADR   ADR      928662303           28       4,000     x       12                    4,000
Volvo Aktiebolaget              ADR      928856400            1         100     x       12                      100
Voxware Inc                     Com      92906L105            0         400     x       12                      400
Vulcan Materials Co             Com      929160109          235       5,450     x       12                    5,450
WD-40 Co.                       Com      929236107           78       3,816     x       12                    3,816
Wgl Hldgs Inc                   Com      92924F106          642      23,862     x       12                   23,862
WPP Group PLC - Sponsored ADR   ADR      929309300          114       3,082     x       12                    3,082
W.P. Carey & Co. LLC            Com      92930Y107           15         700     x       12                      700
W P S Resources Corp.           Com      92931B106          328       9,500     x       12                    9,500
Wachovia Corp.                  Com      929771103            0           0     x       12                        0
Wackenhut Corp. - CL B          Com      929794303            4         200     x       12                      200
Wachovia Corp 2nd New           Com      929903102        6,662     214,918     x       12                  214,918
Wachovia Corp Merger with ElectiCom      929990372            0      33,201     x       12                   33,201
Wachovia Corporation            Com      929CSH989            0         600     x       12                      600
Waddell & Reed Financial - A    Com      930059100            5         200     x       12                      200
Wake Forest Bancshares Inc      Com      930888102           22       1,285     x       12                    1,285
Wal-Mart Stores Inc.            Com      931142103       12,274     247,960     x       12                  247,960
Wal Mart De Mexico Sa De Cv     ADR      93114W107            2         111     x       12                      111
Wal Mart De Mexico Sa De Cv     ADR      93114W206            1         311     x       12                      311
Walgreen Co                     Com      931422109        1,181      34,314     x       12                   34,314
Warnaco Group Inc               Com      934390105            0       2,000     x       12                    2,000
Washington Federal Inc.         Com      938824109           44       1,756     x       12                    1,756
Washington Mutual Inc.          Com      939322103        5,963     154,962     x       12                  154,962
Washington Post- Class B        Com      939640108          209         403     x       12                      403
Washington Real Estate InvestorsComust   939653101        1,810      76,290     x       12                   76,290
Waste Management Inc.           Com      94106L109        9,379     350,731     x       12                  350,731
Waters Corp.                    Com      941848103           59       1,650     x       12                    1,650
Waterside Capital Corp          Com      941872103           12       3,895     x       12                    3,895
Watsco Inc Cl A                 Com      942622200            4         300     x       12                      300
Watson Pharmaceuticals Inc      Com      942683103          821      15,010     x       12                   15,010
Wausau-Mosinee Paper Corp.      Com      943315101           12       1,050     x       12                    1,050
Waverider Communications        Com      943570101            0         500     x       12                      500
Wayne Savings Bancshares Inc    Com      946250107            9         500     x       12                      500
Waypoint Finl Corp              Com      946756103           86       6,526     x       12                    6,526
Wealthbuilders Finl Corp        Com      946894102            0         100     x       12                      100
Weatherford International Inc NeCom      947074100          115       4,527     x       12                    4,527
Webmethods Inc                  Com      94768C108            0          50     x       12                       50
Webmd Corporation               Com      94769M105           11       2,688     x       12                    2,688
Webster Financial Corp.         Com      947890109           97       2,944     x       12                    2,944
Webvan Group Inc                Com      94845V103            0         322     x       12                      322
Weingarten Realty Investors     Com      948741103          712      14,640     x       12                   14,640
Weingarten Realty Investors LTD Part P4  948741202           10         400     x       12                      400
Weis Markets Inc                Com      948849104           19         675     x       12                      675
Wellpoint Health Networks Inc.  Com      94973H108           53         490     x       12                      490
Wells Fargo Company             Com      949746101        6,013     135,285     x       12                  135,285
Wells Real Estate Fd L P    LTD Part P0  950000109            2          12     x       12                       12
Wendy's International Inc       Com      950590109          738      27,702     x       12                   27,702
Werner Enterprises Inc MA       Com      950755108            3         200     x       12                      200
Wesbanco Inc                    Com      950810101           42       1,950     x       12                    1,950
Wesco Financial Corp.           Com      950817106          152         525     x       12                      525
Western Digital Corp.           Com      958102105           30      13,910     x       12                   13,910
Western Gas Resources Inc       Com      958259103           23         900     x       12                      900
Western Wireless Corp Cl A      Com      95988E204            2          50     x       12                       50
Westvaco Corp.                  Com      961548104            4         150     x       12                      150
Weyerhaeuser Co.                Com      962166104          187       3,835     x       12                    3,835
Whitehall Enterprises Inc       Com      965042104            0         300     x       12                      300
Whitney Holding Corp.           Com      966612103           52       1,200     x       12                    1,200
Whole Foods Market Inc          Com      966837106          174       5,550     x       12                    5,550
Willamette Inds                 Com      969133107            6         135     x       12                      135
Willamette Inds - Tender Offer  Com      969133990           59       1,316     x       12                    1,316
Willcox & Gibbs Inc.            Com      969219203            0         459     x       12                      459
Williams Communications Group   Com      969455104           27      23,022     x       12                   23,022
Williams Companies Inc          Com      969457100          854      31,300     x       12                   31,300
Williams Energy Partners L PLTD Part P0  969491109        1,890      51,094     x       12                   51,094
Williams Sonoma Inc.            Com      969904101            1          45     x       12                       45
Wilmington Trust Corp. New      Com      971807102          543       9,835     x       12                    9,835
Wind River Systems Inc          Com      973149107           12       1,100     x       12                    1,100
Winfield Capital Corp.          Com      973859101            0         500     x       12                      500
Winn Dixie Stores               Com      974280109           57       4,964     x       12                    4,964
Winstar Communications Inc      Com      975515107            4      57,250     x       12                   57,250
Wireless Facilities Inc         Com      97653A103            0         100     x       12                      100
Wireless Holdrs Tr              Com      97653L208           27         500     x       12                      500
Wisconsin Energy Power          Com      976657106          880      39,122     x       12                   39,122
***WOLSELEYPLC                  ADR      97786P100            3         100     x       12                      100
Wolverine World Wide            Com      978097103           23       1,720     x       12                    1,720
World Access Inc.               Com      98141A101            0       1,500     x       12                    1,500
World Comm Online Inc Del       Com      98144Q103            0       2,000     x       12                    2,000
Worldgate Communications Inc.   Com      98156L307           40      20,500     x       12                   20,500
Worldcom, Inc.                  Com      98157D106        9,877     656,733     x       12                  656,733
Worldcom Inc Ga New             Com      98157D304          328      21,554     x       12                   21,554
Worthington Industry Inc        Com      981811102           18       1,600     x       12                    1,600
Wrigley (WM) Jr Co              Com      982526105          314       6,118     x       12                    6,118
Wyndham Intl Inc                Com      983101106            4       5,729     x       12                    5,729
XCL LTD                         Com      983701103            0         266     x       12                      266
Xm Satellite Radio Hldgs Inc    Com      983759101           14       2,700     x       12                    2,700
Xo Communications Inc           Com      983764101           21      51,719     x       12                   51,719
Xto Energy Corp                 Com      98385X106           10         710     x       12                      710
XEBEC                           Com      983889106            0         300     x       12                      300
Xcel Energy Inc                 Com      98389B100        8,486     301,453     x       12                  301,453
Xilinx Inc.                     Com      983919101          322      13,670     x       12                   13,670
Xerox Corp.                     Com      984121103        1,081     139,494     x       12                  139,494
Xpedior Inc                     Com      98413B100            0         100     x       12                      100
Xybernaut Corp                  Com      984149104            3       1,600     x       12                    1,600
Yadkin Vy Bk&tr Co Elkin N C    Com      984308106            2         200     x       12                      200
Yahoo Inc                       Com      984332106          113      12,783     x       12                   12,783
Xicor Corp.                     Com      984903104            6         800     x       12                      800
Yardville National Bancorp N J  Com      985021104           16       1,361     x       12                    1,361
York International Inc          Com      986670107           17         600     x       12                      600
Young Broadcasting Inc.         Com      987434107          389      26,855     x       12                   26,855
Zap Com Corp                    Com      989063102            0          20     x       12                       20
Zapata Corp                     Com      989070602            2         100     x       12                      100
Zebra Technologies Corp. Cl A   Com      989207105            4         100     x       12                      100
Zenith Electrs Corp             ADR      989349105            0         600     x       12                      600
ZILA, Inc.                      Com      989513205           11       6,000     x       12                    6,000
Zimmer Holdings Inc.            Com      98956P102        1,168      42,097     x       12                   42,097
Zions BanCorporation            Com      989701107        1,188      22,138     x       12                   22,138
Zonagen Inc.                    Com      98975L108            2         500     x       12                      500
Zurich Finl Svcs                ADR      98982M107            1          32     x       12                       32
Zweig Fund Inc.                 Com      989834106           63       7,830     x       12                    7,830
The Zweig Total Return Fd       Com      989837109           17       2,500     x       12                    2,500
Zomax Optical Media Inc.        Com      989929104            1         200     x       12                      200
Boston Capital Tax Credit FuLTDLPart P0  B001183              0       1,000     x       12                    1,000
Brierley Invests NPV            ADR      B005987              0       1,850     x       12                    1,850
Celanese AG                     ADR      D1497A101            0          10     x       12                       10
DaimlerChrysler A.G.            ADR      D1668R123          298       9,935     x       12                    9,935
Deutsche Bank AG                Com      D18190898           78       1,450     x       12                    1,450
Fractional Kinder Morgan Mgmt   ADR      EKE55U103            0      13,020     x       12                   13,020
WTS Euro Disney S C A      Stock Warrant F26387161            0         100     x       12                      100
Neopost Sa Ex Financiere Bagne  Com      F65196119            0           1     x       12                        1
ACE LTD                         Com      G0070K103          195       6,740     x       12                    6,740
Amdocs Limited                  Com      G02602103          503      18,861     x       12                   18,861
APW Ltd.                        Com      G04397108            8       1,964     x       12                    1,964
Xcelera Com Inc                 ADR      G31611109            4       3,540     x       12                    3,540
Everest Re Group Ltd            ADR      G3223R108          316       4,890     x       12                    4,890
Foster Wheeler Ltd              Com      G36535105            4         800     x       12                      800
Fruit of the Loom INC Cl-A      Com      G3682L105            0       1,000     x       12                    1,000
Garmin Ltd                      ADR      G37260109            3         200     x       12                      200
***GLAXOSMITHKLINE              Com      G3910J112            4         141     x       12                      141
Global Crossing Ltd.            Com      G3921A100          510     283,064     x       12                  283,064
Global Crossing Ltd        PreferdStk ConG3921A134           10         250     x       12                      250
Globalstar Telecommunications LTCom OR   G3930H104            2       6,160     x       12                    6,160
Helen of Troy LTD               Com      G4388N106           13       1,200     x       12                    1,200
IPC Holdings Ltd                Com      G4933P101           14         600     x       12                      600
Irdium World Communications Ltd ComA     G49398103            0         234     x       12                      234
Knightsbridge Tankers Ltd       Com      G5299G106            8         475     x       12                      475
Lloyds TSB Group PLC            ADR      G5542W106           34       3,556     x       12                    3,556
Loral Space & Communications    Com      G56462107           12       9,535     x       12                    9,535
Opentv Corp                     ADR      G67543101            2         400     x       12                      400
Orient-express Hotels Ltd       ADR      G67743107           70       5,000     x       12                    5,000
Partnerre LTD                   Com      G6852T105           18         375     x       12                      375
Psion Plc                       Com      G72928107            1       2,500     x       12                    2,500
Renaissancere Holdings Ltd      Com      G7496G103          180       2,025     x       12                    2,025
RSL Communications LTD Cl A     Com      G7702U102            0       2,000     x       12                    2,000
Santa Fe International Corp.    Com      G7805C108           30       1,390     x       12                    1,390
Stewart W P & Co Ltd            ADR      G84922106            8         400     x       12                      400
3D Labs Inc. Ltd                Com      G8846W103            1       1,000     x       12                    1,000
Tiers Principal Protected       Com      G88649119            5         500     x       12                      500
Tommy Hilfiger Corp.            Com      G8915Z102            9       1,050     x       12                    1,050
Transocean Sedco Forex Inc      Com      G90078109          326      12,331     x       12                   12,331
Tycom Ltd                       ADR      G9144B106            9       1,200     x       12                    1,200
White Mountains Inc Group Ltd CoCom      G9618E107          200         600     x       12                      600
XL Capital Ltd - Class A        Com      G98255105          200       2,536     x       12                    2,536
Investors U S Gold              Com      H693020              7          23     x       12                       23
Ubs Ag                          ADR      H8920G155           20         150     x       12                      150
Ubs Ag                          ADR      H8920M855           31         669     x       12                      669
Acln Ltd                        ADR      M01764105           20         500     x       12                      500
Audiocodes Ltd                  ADR      M15342104            3       1,200     x       12                    1,200
Check Point Software Tech Ltd   Com      M22465104          269      12,194     x       12                   12,194
ESC Medical System Inc. Ord     Com      M40868107            2         100     x       12                      100
Fundtech Ltd.                   ADR      M47095100            3         700     x       12                      700
Gilat Satellite Networks Ltd OrdCom      M51474100            4         700     x       12                      700
Lanoptics Ltd                   ADR      M6706C103           46      14,400     x       12                   14,400
Lumenis Ltd                     ADR      M6778Q105           25       1,250     x       12                    1,250
Taro Pharmaceutical Inds Ltd OrdADR      M8737E108            4         100     x       12                      100
Tioga Technologies Ltd          ADR      M8789G100            0         800     x       12                      800
ASM Lithography Holding NV      ADR      N07059111            2         200     x       12                      200
CNH Global N.V.                 ADR      N20935107            3         450     x       12                      450
Indigo NV                       ADR      N44495104          187      30,200     x       12                   30,200
Metron Technology N V           ADR      N5665B105            7       1,150     x       12                    1,150
Grupo Financiero BBVA Bancomer  ADR      P49505103            1         740     x       12                      740
Sun International Ltd Ord       Com      P8797T133            6         319     x       12                      319
Telefonica De Argentina SA CL B ADR      P90325104            3       3,000     x       12                    3,000
Royal Carribean Cruise Ltd      Com      V7780T103           18       1,700     x       12                    1,700
Singapore Airlines              Com      V80178110            1         307     x       12                      307
Investor AB Stockholm           Com      W48102102           27       2,800     x       12                    2,800
Creative Technology Ordinary ShaCom      Y1775U107            6       1,150     x       12                    1,150
Flextronics International Ltd   Com      Y2573F102        6,315     381,809     x       12                  381,809
Korea Thrunet Co Ltd            ADR      Y49975108            0         300     x       12                      300
Pacific Internet Limited        Com      Y66183107            1         550     x       12                      550
Pacific Century Cyberworks      ADR      Y6801N134            1       4,500     x       12                    4,500
Teekay Shipping Corp.           ADR      Y8564W103           98       3,148     x       12                    3,148

                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of LeggMason Investors Asset Managers, plc
                                                                           For Positions Held as of 09/30/2001)


           (1)                  (2)         (3)          (4)         (5)      (6)      (7)                 (8)
      Name of Issuer       Title of Class  CUSIP         FMV       Shares  Inv Disc   Other     Voting  Authority (Shs.)
                                                       (x1000)             (a)(b)(c)   Mgr      (a)        (b)       (c)

                                                                                    
------------------------------------------------------------------------------------------------------------------------
American Electric Power Co Common        025537101       8,823     300,000     X       13      300,000
CMS Energy                 Common        125896100      12,704     930,000     X       13      930,000
DTE Energy                 Common        233331107       6,736     230,000     X       13      230,000
Duke Energy                Common        264399106       4,506     175,000     X       13      175,000
EN.East                    Common        29266M109      12,902      945500     X       13       945500
El Paso Energy             Common        28336L109       7,302      257000     X       13       257000
Keyspan Corp               Common        49337W100      12,148     538,000     X       13      538,000
NISource Inc               Common        65473P105       8,175     515,000     X       13      515,000
Sierra Pacific Reserves    Common        826428104       3,517     342,500     X       13      342,500
TXU                        Common        873168108      18,526     587,500     X       13      587,500
Verizon Comunications      Common        92343V104       6,443     350,000     X       13      350,000
XCEL Energy                Common        98389B100      15,320     800,000     X       13      800,000




                           FORM 13F      Name of Reporting Manager:    Legg Mason, Inc.
                                                                          (On Behalf of LMM, LLC
                                                                          For Positions Held as of 09/30/2001)


           (1)                  (2)          (3)         (4)         (5)     (6)       (7)                 (8)
    Name of Issuer       Title of Class     CUSIP        FMV       Shares  Inv Disc   Other      Voting  Authority (Shs.)
                                                       (x1000)            (a) (b) (c)  Mgr     (a)        (b)         (c)

                                                                                     

Abercrombie & Fitch        Common         002896207     45,734   2,600,000     X       14    2,600,000
Acxiom Corporation         Common         005125109     30,080   3,200,000     X       14    3,200,000
Amazon.com, Inc.           Common         023135106     30,789   5,157,300     X       14    5,157,300
AOL Time Warner Inc.       Common         00184A105     33,100   1,000,000     X       14    1,000,000
Conseco Inc.               Common         208464107     32,597   4,490,000     X       14    4,490,000
Cott Corp.                 Common         22163N106     68,766   4,572,200     X       14    4,572,200
Dell Computer Corporation  Common         247025109     14,824     800,000     X       14      800,000
Devon Energy Corp New      Common         25179M103     27,520     800,000     X       14      800,000
eSPEED, Inc.               Common         296643109     15,256   1,799,000     X       14    1,799,000
E*TRADE Group Inc.         Common         269246104     12,100   2,000,000     X       14    2,000,000
Enterasys Networks, Inc.   Common         293637104     45,150   7,000,000     X       14    7,000,000
Finova Group Inc.          Common         317928109      6,608   5,900,000     X       14    5,900,000
Gateway, Inc.              Common         367626108     30,520   5,600,000     X       14    5,600,000
Hollywood Entertainment CorCommon         436141105     29,925   2,546,800     X       14    2,546,800
KPMG Consulting Inc.       Common         48265R109     26,043   2,409,200     X       14    2,409,200
Level 3 Communications, IncCommon         52729N100     66,150  17,500,000     X       14   17,500,000
Mandalay Resort Group      Common         562567107     32,460   2,000,000     X       14    2,000,000
Knight Trading Group Inc.  Common         499063105     12,336   1,600,000     X       14    1,600,000
Nextel Communications, Inc.Common         65332V103     51,581   5,970,000     X       14    5,970,000
Omnicare Inc.              Common         681904108     30,562   1,400,000     X       14    1,400,000
Oxford Health Plans, Inc.  Common         691471106     53,960   1,900,000     X       14    1,900,000
Pinnacle Entertainment, IncCommon         723456109     10,561   1,775,000     X       14    1,775,000
Pentair Inc.               Common         709631105     49,232   1,600,000     X       14    1,600,000
Providian Financial Corp.  Common         74406A102     44,330   2,200,000     X       14    2,200,000
Research In Motion Limited Common         760975102     29,844   1,856,000     X       14    1,856,000
Republic Services, Inc.    Common         760759100     79,380   4,900,000     X       14    4,900,000
Riverstone Networks, Inc.  Common         769320102     19,031   3,625,000     X       14    3,625,000
Symantec Corporation       Common         871503108     38,484   1,110,000     X       14    1,110,000
Talk America Holdings Inc  Common         87426R103      2,508   5,574,200     X       14    5,574,200
Unisys Corp.               Common         909214108     35,506   4,100,000     X       14    4,100,000
UnumProvident Corporation  Common         91529Y106     58,075   2,300,000     X       14    2,300,000
Viad Corp                  Common         92552R109     40,828   2,128,700     X       14    2,128,700
Washington Mutual, Inc.    Common         939322103     38,480   1,000,000     X       14    1,000,000
Tricon Global Restaurants ICommon         895953107     37,706     961,400     X       14      961,400


     FORM 13F Name of Reporting Manager:   Legg Mason, Inc.
                                              (On Behalf of Perigee Investment Counsel Inc.
                                               For Positions Held as of 09/30/2001)

          (1)                (2)            (3)          (4)        (5)      (6)      (7)                  (8)
     Name of Issuer     Title of Class    CUSIP          FMV       Shares  Inv Disc  Other       Voting  Authority (Shs.)
                                                       (x1000)             (a)(b)(c)  Mgr       (a)        (b)        (c)

                                                                                     

A T & T CORP               COM           001957109      17,595     911,665     x       15      911,665
ABBOTT LABS                COM           002824100       6,084     117,334     x       15      117,334
ABITIBI-CONSOLIDATED INC   COM           003924107      69,200   6,926,883     x       15    6,926,883
ADC TELECOMMUNICATIONS INC COM           000886101         183      52,300     x       15       52,300
AES CORPORATION            COM           00130H105         304      23,700     x       15       23,700
AGERE SYSTEMS INC-A        CL A          00845V100       4,740   1,147,800     x       15    1,147,800
AGRIUM INC                 COM           008916108      12,703     833,000     x       15      833,000
AKAMAI TECHNOLOGIES        COM           00971T101       1,746     600,000     x       15      600,000
ALBERTA ENERGY CO          COM           012873105     108,473   2,023,745     x       15    2,023,745
ALCAN INC                  COM           013716105     138,134   2,912,996     x       15    2,912,996
ALCOA INC                  COM           013817101       5,001     161,278     x       15      161,278
ALLERGAN INC               COM           018490102       1,041      15,700     x       15       15,700
ALLTEL CORP                COM           020039103       1,315      22,700     x       15       22,700
AMERADA HESS               COM           023551104         406       6,400     x       15        6,400
AMERICAN EAGLE OUTFITTERS  COM           02553E106         418      21,000     x       15       21,000
AMERICAN EXPRESS CO        COM           025816109      12,367     425,558     x       15      425,558
AMERICAN FINANCIAL GROUP INCOM           025932104       2,775     125,000     x       15      125,000
AMERICAN HOME PRODS CORP   COM           026609107      20,506     352,041     x       15      352,041
AMERICAN INT'L GROUP       COM           026874107       5,940      76,157     x       15       76,157
AMGEN INC                  COM           031162100       1,709      29,092     x       15       29,092
ANDERSON EXPLORATION LTD   COM           033901109         939      23,700     x       15       23,700
ANHEUSER BUSCH COS INC     COM           035229103       2,703      64,550     x       15       64,550
AOL TIME WARNER INC        COM           00184A105      15,108     456,424     x       15      456,424
APOLLO GROUP INC. CL.A     COM           037604105         240       5,700     x       15        5,700
APPLE COMPUTER INC         COM           037833100         614      39,600     x       15       39,600
APPLERA CORP-APPLIED BIOSYSCOMS          038020103       2,682     109,900     x       15      109,900
APPLIED MATERIAL INC       COM           038222105         429      15,100     x       15       15,100
ASIA PACIFIC RESOURCES LTD COM           044902104          10      20,000     x       15       20,000
ASTORIA FINANCIAL CORP     COM           046265104       3,822      64,500     x       15       64,500
ATI TECHNOLOGIES INC       COM           001941103       6,661     536,300     x       15      536,300
AUTOMATIC DATA PROCESSING  COM           053015103       1,459      31,006     x       15       31,006
B C E INC                  COM           05534B109     213,520   6,194,372     x       15    6,194,372
BANK OF AMERICA CORP COM   COM           060505104       7,463     127,792     x       15      127,792
BANK OF MONTREAL           COM           063671101     204,861   5,214,069     x       15    5,214,069
BANK OF NEW YORK CO. INC   COM           064057102         847      24,200     x       15       24,200
BANK ONE CORPORATION       COM           06423a103       2,143      68,100     x       15       68,100
BARR LABORATORIES INC      COM           068306109       1,099      13,900     x       15       13,900
BARRICK GOLD CORP COM      COM           067901108     100,691   3,649,547     x       15    3,649,547
BAXTER INTL INC COM        COM           071813109       2,384      43,312     x       15       43,312
BELLSOUTH CORP             COM           079860102       5,912     142,278     x       15      142,278
BEMIS COMPANY              COM           081437105       1,622      40,700     x       15       40,700
BIOMIRA INC COM            COM           09161R106       6,412     878,400     x       15      878,400
BIOVAIL CORP               COM           09067J109      55,020     753,700     x       15      753,700
BMC SOFTWARE INC           COM           055921100         315      24,800     x       15       24,800
BOEING CO                  COM           097023105       4,823     143,958     x       15      143,958
BRASCAN CORPORATION CL A   CL A LTD VT SH10549P606      10,735     409,093     x       15      409,093
BRISTOL-MYERS SQUIBB COM   COM           110122108       7,656     137,798     x       15      137,798
BROCADE COMMUNICATIONS SYSTCOM           111621108       2,455     175,000     x       15      175,000
BROOKFIELD PROPERTIES      COM           112900105      54,171   1,864,100     x       15    1,864,100
CALPINE CORPORATION        COM           131347106         447      19,600     x       15       19,600
CAMECO CORP                COM           13321L108       8,129     225,800     x       15      225,800
CANADA LIFE FINANCIAL CORP COM           135113108       7,481     166,800     x       15      166,800
CANADIAN IMPERIAL BK COMMERCOM           136069101     271,261   5,251,901     x       15    5,251,901
CANADIAN NATIONAL RAILWAY CCOM           136375102      67,601   1,776,632     x       15    1,776,632
CANADIAN PACIFIC LTD (U.S.)COM           135923100      84,455   2,631,805     x       15    2,631,805
CARDINAL HEALTH INC        COM           14149Y108         666       9,000     x       15        9,000
CARNIVAL CORP              COM           143658102       4,662     211,700     x       15      211,700
CATERPILLAR INC COM        COM           149123101         694      15,500     x       15       15,500
CDN NATURAL RESOURCES LTD. COM           136385101      69,303   1,787,997     x       15    1,787,997
CELESTICA INC.             COM           15101Q108      36,415     852,820     x       15      852,820
CERIDIAN CORP              COM           156779100       1,524     105,100     x       15      105,100
CGI GROUP INC              CL A SUB VTG  39945c109         282      31,110     x       15       31,110
CHEVRON CORP               COM           166751107       5,223      61,625     x       15       61,625
CHIRON CORP                COM           170040109       1,746      39,300     x       15       39,300
CIGNA CORP                 COM           125509109         332       4,000     x       15        4,000
CISCO SYSTEMS INC          COM           17275R102      12,188   1,000,688     x       15    1,000,688
CITIGROUP INC              COM           172967101      25,888     639,211     x       15      639,211
CLEAR CHANNEL COMMUNICTIONSCOM           184502102         203       5,100     x       15        5,100
C-MAC INDUSTRIES           COM           125920108      41,070   1,307,126     x       15    1,307,126
COCA COLA CO               COM           191216100       2,432      51,903     x       15       51,903
COGNOS INCORPORATED        COM           19244C109      38,113   1,681,215     x       15    1,681,215
COLGATE PALMOLIVE          COM           194162103       2,429      41,708     x       15       41,708
COMCAST CORP-SPECIAL CL A  CL A          200300200       1,221      34,050     x       15       34,050
COMPAQ COMPUTER CORP       COM           204493100       1,184     142,454     x       15      142,454
COMPUTER ASSOCIATES INTL INCOM           204912109       1,952      75,836     x       15       75,836
COMPUTER SCIENCES CORP     COM           205363104       2,262      68,200     x       15       68,200
COMPUWARE CORP             COM           205638109       2,154     258,600     x       15      258,600
COMVERSE TECHNOLOGY INC    COM PAR $0.10 205862402       2,277     111,200     x       15      111,200
CONSECO INC.               COM           208464107         908     125,000     x       15      125,000
CORNING INC COM            COM           219350105         129      14,600     x       15       14,600
COSTCO WHOLESALE CORP      COM           22160K105         493      13,850     x       15       13,850
COUNTRYWIDE CREDIT IND INC COM           222372104       5,236     119,200     x       15      119,200
COX COMMUNICATIONS INC CL ACOM           224044107       1,236      29,600     x       15       29,600
CRESCENT REAL ESTATE EQT COCOM           225756105         313      14,600     x       15       14,600
CSG SYSTEMS INTL INC       COM           126349109         287       7,000     x       15        7,000
CVS CORP COM               COM           126650100      14,913     449,200     x       15      449,200
DARDEN RESTAURANTS         COM           237194105       2,880     109,700     x       15      109,700
DELL COMPUTER              COM           247025109       1,450      78,247     x       15       78,247
DELPHI AUTOMATIVE SYSTEMS CCOM           247126105       1,767     150,401     x       15      150,401
DESCARTES SYSTEMS GROUP    COM           249906108       3,743     564,600     x       15      564,600
DIEBOLD INC                COM           253651103         933      24,500     x       15       24,500
DISNEY (WALT) CO HOLDING COCOM           254687106       1,863     100,047     x       15      100,047
DOMINION RESOURCES INC/VA  COM           25746U109         522       8,800     x       15        8,800
DOMTAR INC                 COM           257561100      14,905   1,295,000     x       15    1,295,000
DONNELLEY (R.R.) & SONS CO COM           257867101         941      34,800     x       15       34,800
DOREL INDUSTRIES INC CL B  CL B          25822C205      21,839     686,100     x       15      686,100
DOW CHEMICAL CO            COM           260543103       2,901      88,558     x       15       88,558
DU PONT E I DE NEMOURS & COCOM           263534109       3,205      85,427     x       15       85,427
DUKE ENERGY CORP COM       COM           264399106       2,407      63,600     x       15       63,600
DUN & BRADSTREET CORP      COM           26483E100       1,487      53,100     x       15       53,100
EATON CORP                 COM           278058102       1,072      18,100     x       15       18,100
EL PASO CORP               COM           28336L109       2,809      67,600     x       15       67,600
ELAN CORP PLC ADR          ADR           284131208       3,629      74,900     x       15       74,900
ELECTRONIC DATA SYSTEMS CORCOM           285661104       4,006      69,569     x       15       69,569
EMC CORP (MASS)            COM           268648102       8,185     696,583     x       15      696,583
EMERSON ELECTRIC COM       COM           291011104       9,701     206,150     x       15      206,150
ENBRIDGE INC               COM           29250n105      56,450   1,326,668     x       15    1,326,668
ENGLEHARD CORP             COM           292845104       4,967     215,000     x       15      215,000
ENRON CORP                 COM           293561106         775      28,447     x       15       28,447
ESTEE LAUDER COMPANIES     COM           518439104       1,658      50,000     x       15       50,000
EXELON CORPORATION         COM           30161N101       1,276      28,600     x       15       28,600
EXXON-MOBIL CORP COM       COM           30231G102      11,078     281,160     x       15      281,160
FANNIE MAE                 COM           313586109      10,073     125,817     x       15      125,817
FIFTH THIRD BANCORP        COM           316773100         689      11,200     x       15       11,200
FIRST DATA CORP            COM           319963104       1,078      18,500     x       15       18,500
FIRST TENNESSEE NATL CORP  COM           337162101       4,074     110,100     x       15      110,100
FISHER SCIENTIFIC INTL     COM           338032204       3,889     153,100     x       15      153,100
FLEET BOSTON FINL CORP     COM           339030108       2,509      68,267     x       15       68,267
FORD MOTOR CO              COM PAR $0.01 345370860       1,206      69,522     x       15       69,522
FOUR SEASONS HOTELS INC SUBSUBGVTG       35100E104       4,808      81,360     x       15       81,360
FREDDIE MAC                COM           313400301       3,460      53,228     x       15       53,228
GALILEO INTERNATIONAL INC  COM           363547100         228      11,000     x       15       11,000
GAP STORES                 COM           364760108         325      27,200     x       15       27,200
GENERAL ELECTRIC CO        COM           369604103      33,433     898,744     x       15      898,744
GENERAL MOTORS CLASS H     CL H NEW      370442832       1,898     142,401     x       15      142,401
GENERAL MOTORS CORP        COM           370442105       5,153     120,123     x       15      120,123
GENESIS MICROCHIP INC      COM           371933102       6,272     222,900     x       15      222,900
GENUINE PARTS CO           COM           372460105       1,497      47,000     x       15       47,000
GILDAN ACTIVEWEAR INC      COM           375916103      13,769     728,500     x       15      728,500
GILLETTE CO                COM           375766102       1,453      48,747     x       15       48,747
GLOBAL CROSSING LTD        COM           G3921A100          55      30,700     x       15       30,700
HALLIBURTON CO             COM           406216101         361      16,000     x       15       16,000
HARLEY DAVIDSON            COM           412822108       3,038      75,000     x       15       75,000
HARRIS CORP                COM           413875105       1,104      34,700     x       15       34,700
HEALTH-NET SYSTEMS         COM           42222G108       1,038      54,000     x       15       54,000
HEMOSOL INC                COM           42369K102       2,869     568,200     x       15      568,200
HEWLETT PACKARD CO         COM           428236103       2,575     159,919     x       15      159,919
HOME DEPOT INC             COM           437076102      14,584     380,080     x       15      380,080
HONEYWELL INC              COM           438516106       1,297      49,140     x       15       49,140
HORACE MANN EDUCATORS      COM           440327104       3,530     200,000     x       15      200,000
IMPERIAL OIL LTD COM       COM           453038408      81,925   1,916,365     x       15    1,916,365
INCO LTD                   COM           453258402      20,962   1,064,075     x       15    1,064,075
INGERSOLL RAND CO          COM           456866102       2,346      69,400     x       15       69,400
INTEL CORP                 COM           458140100       9,677     474,598     x       15      474,598
INTERNATIONAL BUSINESS MACHCOM           459200101      23,229     251,672     x       15      251,672
INTERNATIONAL PAPER CO     COM           460146103       2,189      62,900     x       15       62,900
INTIMATE BRANDS INC CL A   CL A          461156101       2,554     283,800     x       15      283,800
INTIMATE BRANDS INC CL A   COM           461156101       2,554     283,800     x       15      283,800
INTL RECTIFER              COM           460254105       1,299      47,700     x       15       47,700
INTRAWEST CORP COM         COM NEW       460915200       5,949     276,700     x       15      276,700
IPSCO INC                  COM           462622101       8,158     418,350     x       15      418,350
ISHARES MSCI EMU                         464286608         434       7,600     x       15        7,600
ISHARES MSCI JAPAN INDEX FDCOM           464286848         320      33,800     x       15       33,800
IVAX CORP                  COM           465823102         460      20,800     x       15       20,800
JDS UNIPHASE CORP          COM           46612J101         224      35,400     x       15       35,400
JOHNSON & JOHNSON          COM           478160104       8,503     153,482     x       15      153,482
JOHNSON CONTROLS INC       COM           478366107         522       8,000     x       15        8,000
JP MORGAN CHASE & CO       COM           46625H100       6,311     184,810     x       15      184,810
KIMBERLY CLARK CORP        COM           494368103       2,517      40,594     x       15       40,594
KLA-TENCOR CORP            COM           482480100         812      25,700     x       15       25,700
KRAFT FOODS INC  CLASS A   COM           50075N104         546      15,900     x       15       15,900
KRAFT FOODS INC  CLASS A   CL A          50075N104         546      15,900     x       15       15,900
KROGER CO                  COM           501044101       3,139     127,392     x       15      127,392
LENNAR CORP                COM           526057104       1,521      42,200     x       15       42,200
LILLY ELI & CO             COM           532457108       4,701      58,247     x       15       58,247
LIMITED INC                COM           532716107       5,308     558,700     x       15      558,700
LINCOLN NATIONAL CORP      COM           534187109         205       4,400     x       15        4,400
LIZ CLAIBORNE INC          COM           539320101       2,322      61,600     x       15       61,600
LOWE'S COMPANIES           COM           548661107       2,481      78,400     x       15       78,400
MAGNA INTERNATIONAL INC CL CLAVSUB VTG   559222401      70,054     842,195     x       15      842,195
MANOR CARE INC             COM           564055101         295      10,500     x       15       10,500
MANULIFE FINANCIAL CORP-W/ICOM           56501R106      87,942   2,126,773     x       15    2,126,773
MARSH & MCLENNAN COS       COM           571748102         890       9,200     x       15        9,200
MCDONALDS CORP             COM           580135101       3,870     142,600     x       15      142,600
MDS INC                    COM           55269P302      23,175   1,237,326     x       15    1,237,326
MEAD CORP                  COM           582834107         471      17,000     x       15       17,000
MEDTRONIC INC              COM           585055106       1,471      33,814     x       15       33,814
MELLON FINL CORP COM       COM           58551A108         310       9,600     x       15        9,600
MERCK & CO INC             COM           589331107      28,121     422,232     x       15      422,232
MERRILL LYNCH & CO         COM           590188108       9,401     231,550     x       15      231,550
METHANEX CORP COM          COM           59151K108      11,435   1,490,900     x       15    1,490,900
METLIFE INC                COM           59156R108       3,035     102,200     x       15      102,200
MICRON TECHNOLOGY          COM           595112103         228      12,100     x       15       12,100
MICROSOFT CORP             COM           594918104      26,770     523,149     x       15      523,149
MINNESOTA MINING & MFG     COM           604059105      10,633     108,054     x       15      108,054
MIRANT CORP                COM           604675108       3,346     152,769     x       15      152,769
MOHAWK INDUSTRIES INC      COM           608190104         533      14,500     x       15       14,500
MORGAN ST DEAN WITTER & CO COM           617446448       2,984      64,375     x       15       64,375
MOTOROLA INC               COM           620076109         948      60,765     x       15       60,765
MYLAN LABORATORIES         COM           628530107       3,151      96,600     x       15       96,600
NEUBERGER BERMAN INC       COM           641234109         896      25,700     x       15       25,700
NEXEN INC                  COM           65334H102      32,584   1,068,325     x       15    1,068,325
NEXTEL COMMUNICATIONS INC  COM           65332V103          90      10,400     x       15       10,400
NIKE INC CL B              COM           654106103       2,860      61,100     x       15       61,100
NORTEL NETWORKS CORP       COM           656568102     161,632  18,263,550     x       15   18,263,550
NORTH FORK BANCORPORATION  COM           659424105         425      14,300     x       15       14,300
NOVA CHEMICALS CORP        COM           66977W109      29,024   1,127,152     x       15    1,127,152
NOVELLUS SYSTEMS INC       COM           670008101         506      17,700     x       15       17,700
OLD REPUBLIC INTERNATIONAL COM           680223104         826      31,500     x       15       31,500
OPEN TEXT CORP             COM           683715106      12,843     374,659     x       15      374,659
ORACLE CORP COMM           COM           68389X105      11,720     931,628     x       15      931,628
OUTBACK STEAKHOUSE INC     COM           689899102       3,852     150,400     x       15      150,400
OXFORD HEALTH PLAN INC     COM           691471106       1,360      47,900     x       15       47,900
PAYCHEX INC                COM           704326107       2,521      80,000     x       15       80,000
PEPSICO INC                COM           713448108      12,590     259,597     x       15      259,597
PETRO CANADA COM           COM/VARIBL VTG71644E102     163,708   4,200,865     x       15    4,200,865
PFIZER INC COM             COM           717081103      35,209     878,029     x       15      878,029
PHARMACIA CORP             COM           71713U102       7,040     173,568     x       15      173,568
PHILIP MORRIS COMPANIES    COM           718154107      26,908     557,216     x       15      557,216
PIVOTAL CORP               COM           72581R106       2,747     415,000     x       15      415,000
PLACER DOME INC            COM           725906101      16,051     784,900     x       15      784,900
PNC FINANCIAL SERVICES GROUCOM           693475105         412       7,200     x       15        7,200
POPULAR INC                COM           733174106         412      13,200     x       15       13,200
POTASH CORP OF SASKATCHEWANCOM           73755L107      10,964     125,000     x       15      125,000
PREMDOR INC COM            COM           74046P105      12,017   1,064,400     x       15    1,064,400
PROCTER & GAMBLE CO        COM           742718109      11,522     158,296     x       15      158,296
PROGESS ENERGY INC         COM           743263105       1,874      43,600     x       15       43,600
PUBLIC STORAGE INC         COM           74460D109       1,049      31,400     x       15       31,400
QLT INC.                   COM           746927102      13,550     554,400     x       15      554,400
QUEBECOR WORLD INC.        COM           748203106      16,811     424,514     x       15      424,514
QWEST COMMUNICATIONS INTL ICOM           749121109       2,630     157,494     x       15      157,494
RELIANT ENERGY INC         COM           75952J108         521      19,800     x       15       19,800
RIVERSTONE NETWORKS INC    COM           769320102          80      15,186     x       15       15,186
RJ REYNOLDS TOBACCO CO.    COM           76182K105         863      15,100     x       15       15,100
ROGERS COMMUNICATIONS INC. CL B          775109200       5,283     261,525     x       15      261,525
ROYAL BANK OF CANADA       COM           780087102     147,723   3,067,973     x       15    3,067,973
ROYAL DUTCH PETE CO NY REG NY REG GL1.25 780257804       8,054     160,269     x       15      160,269
ROYAL GROUP TECHNOLOGIES LTSUB VTG SH    779915107       6,390     266,800     x       15      266,800
S & P 500 DEPOSITARY RECEIPUNIT SER 1    78462F103         210       2,012     x       15        2,012
SAFEWAY INC                COM           786514208       3,738      94,100     x       15       94,100
SANDISK CORP               SUB-VTG SH    80004C101       1,726     175,000     x       15      175,000
SANTA FE INTERNATIONAL CORPORD           G7805C108       1,309      61,600     x       15       61,600
SARA LEE CORPORATION US    COM           803111103       3,632     170,500     x       15      170,500
SBC COMMUNICATIONS COM     COM           78387G103      15,791     335,132     x       15      335,132
SCHERING-PLOUGH CORP       COM           806605101       4,152     111,914     x       15      111,914
SCHLUMBERGER LTD           COM           806857108       3,605      78,886     x       15       78,886
SCHWAB (CHARLES) CORP      COM           808513105         310      26,950     x       15       26,950
SEARS ROEBUCK & CO         COM           812387108         520      15,000     x       15       15,000
SEDCOFOREX HOLDINGS LTD.   COM           G90078109       4,005     151,700     x       15      151,700
SEMPRA ENERGY              COM           816851109       1,341      54,200     x       15       54,200
SICOR INC.                 COM           825846108         742      39,300     x       15       39,300
SIEBEL SYSTEMS INC         COM           826170102       2,082     160,000     x       15      160,000
SIERRA WIRELESS            COM           826516106       6,568     397,800     x       15      397,800
SILENT WITNESS ENTERPRISES COM NEW       826906307       5,103     453,600     x       15      453,600
SIMON PPTY GROUP INC COM   COM           828806109         309      11,500     x       15       11,500
SOUTHERN CO                COM           842587107         645      26,900     x       15       26,900
SOUTHTRUST CORP            COM           844730101       2,234      87,700     x       15       87,700
SPRINT CORP(FON GROUP)     COM FON GROUP 852061100         444      18,500     x       15       18,500
ST JUDE MEDICAL INC        COM           790849103       3,286      48,000     x       15       48,000
STRYKER CORP               COM           863667101       1,116      21,100     x       15       21,100
SUN LIFE FINANCIAL SVSC CANCOM           866796105      58,584   1,848,650     x       15    1,848,650
SUN MICROSYSTMES INC       COM           866810104       7,540     911,770     x       15      911,770
SUNCOR ENERGY INC COM      COM           867229106      59,551   1,353,434     x       15    1,353,434
SUNOCO INC                 COM           86764p109       2,118      59,500     x       15       59,500
SYNOPSYS INC               COM           871607107         882      22,000     x       15       22,000
TAIWAN SEMICONDUCTOR       COM           874039100       1,455     153,320     x       15      153,320
TARGET CORP                COM           87612E106       1,823      57,414     x       15       57,414
TD WATERHOUSE              COM           872362108       3,298     340,000     x       15      340,000
TELEFONICA SA              SPONSORED ADR 879382208       2,991      88,100     x       15       88,100
TELEFONOS DE MEXICO-SP ADR SPONSORED ADR 879403780       2,021      62,600     x       15       62,600
TELLABS INC                COM           879664100       3,068     310,500     x       15      310,500
TELUS CORP CL A NON VOTING NON VTG SHS   87971M202      11,667     649,958     x       15      649,958
TENET HEALTHCARE CORPORATIOCOM           88033G100         489       8,200     x       15        8,200
TESMA INTERNATIONAL INC-CL CL A SUB VTG  881908107       9,911     388,200     x       15      388,200
TEXACO INC                 COM           881694103       2,742      42,189     x       15       42,189
TEXAS INSTRS INC           COM           882508104       1,917      76,750     x       15       76,750
THE PMI GROUP INC          COM           69344M101       3,425      54,900     x       15       54,900
TORCHMARK CORP             COM           891027104       3,050      78,200     x       15       78,200
TORONTO DOMINION BANK      COM NEW       891160509     269,329   6,936,109     x       15    6,936,109
TRANSCANADA PIPELINES LTD  COM           893526103      22,822   1,122,030     x       15    1,122,030
TRIGON HEALTHCARE INC      COM           89618L100       2,417      36,900     x       15       36,900
TRIZECHAHN CORP COM        COM           896938107      24,363     858,446     x       15      858,446
TXU CORPORATION            COM           873168108       3,905      84,300     x       15       84,300
TYCO INTL COM              COM           902124106       7,824     171,967     x       15      171,967
UNITED KINGDOM INDEX       MSCI UTD KINGD464286699         240      17,600     x       15       17,600
UNITED TECHS CORP          COM           913017109       3,784      81,374     x       15       81,374
US BANCORP                 COM           902973304       1,302      58,700     x       15       58,700
USA NETWORKS INC           COM           902984103         554      30,800     x       15       30,800
USX-MARATHON GROUP         COM           902905827         725      27,100     x       15       27,100
UTSTARCOM INC              COM           918076100         928      57,100     x       15       57,100
VARIAN MEDICAL SYSTEMS INC COM           92220P105         776      12,100     x       15       12,100
VENATOR GROUP INC          COM           922944103       1,934     126,800     x       15      126,800
VERITAS SOFTWARE CORP      COM           923436109         277      15,000     x       15       15,000
VERIZON COMMUNICATIONS     COM           92343V104      14,449     267,021     x       15      267,021
VIACOM INC CLASS B         CL B          925524308       1,827      52,963     x       15       52,963
VIACOM INC CLASS B         COM           925524308       1,827      52,963     x       15       52,963
VORNADA REALTY TRUST       SH BEN INT    929042109       1,258      31,700     x       15       31,700
VULCAN MATERIALS CO        COM           929160109       1,214      28,100     x       15       28,100
WALGREEN CO                COM           931422109       1,343      39,017     x       15       39,017
WALMART STORES INC         COM           931142103      21,265     429,597     x       15      429,597
WASHINGTON MUTUAL INC      COM           939322103       1,047      27,200     x       15       27,200
WATSON PHARMACEUTICALS INC COM           942683103       3,556      65,000     x       15       65,000
WELLS FARGO COMPANY        COM           949746101       2,852      64,167     x       15       64,167
WENDY'S INTL INC           COM           950590109         674      25,300     x       15       25,300
WESCAST INDUSTRIES INC CL ACL A          950813105      13,383     305,000     x       15      305,000
WESTCOAST ENERGY INC.      COM           95751D102         622      15,475     x       15       15,475
WHIRLPOOL CORP             COM           963320106       1,744      31,500     x       15       31,500
WILLIAMS COMMUNICATION CORPCOM           969455104          18      14,961     x       15       14,961
WILLIAMS COS INC           COM           969457100       8,206     300,600     x       15      300,600
WORLDCOM INC - WORLDCOM GROCOM           98157D106       1,259      83,724     x       15       83,724


                             FORM 13F    Name of Reporting Manager:    Legg Mason, Inc.
                                                                            (On behalf of its subsidiaries that do not have
                                                                             independent filing obligations
                                                                             For Positions Held as of 09/30/2001)


           (1)                  (2)          (3)           (4)        (5)       (6)        (7)                  (8)
      Name of Issuer       Title of Class   CUSIP          FMV       Shares   Inv Disc    Other       Voting  Authority (Shs.)
                                                         (x1000)            (a) (b) (c)    Mgr      (a)         (b)        (c)


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

AT & T Corp                   Common       001957109         127     10,000      X                           10,000
AT & T Wireless Services      Common       00209A106         125     12,700      X                           12,700
Allegiance Telecom Inc.       Common       01747T102          17       5000      X                            5,000
Alliance Pharmaceutical Corp  Common       018773101           6       7000      X                            7,000
ALLTEL                        Common       020039103         188      4,800      X                            4,800
AOL Time Warner Inc           Common       02364J104         116      5,285      X                            5,285
American Intl Group           Common       026874107         175      3,400      X                            3,400
Anheuser Busch                Common       035229103         177      5,400      X                            5,400
BJ Services Co                Common       055482103          86       5000      X                            5,000
Bank of New York              Common       064057102         103      3,800      X                            3,800
Barrick Gold Corp             Common       067901108         389      22000      X                           22,000
Bell South                    Common       079860102         385     13,500      X                           13,500
Berkshire Hathaway A Shares   Class A      084670108         142          3      X                                3
Bristol Myers Squibb          Common       110122108         102      2,700      X                            2,700
CE Franklin LTD               Common       125151100          68     375000      X                          375,000
Cendant                       Common       151313103         100     12,900      X                           12,900
CenturyTel Inc                Common       156700106         204      9,200      X                            9,200
Cisco Systems Plc             Common       17275R102         218     28,560      X                           28,560
Citigroup Inc                 Common       172967101         255      9,400      X                            9,400
Cobalt Corp                   Common       19074W100         380      90400      X                           90,400
Coca Cola Company             Common       191216100         113      3,550      X                            3,550
Coeur D Alene Mines Corp      Common       192108108          14      15000      X                           15,000
Dell Computer Corp            Common       247025109          60      4,900      X                            4,900
Denbury Resources In          Common       247916208         169      21000      X                           21,000
Denison International Plc       ADR        248335101          42       3000      X                            3,000
CALL DUPONT PHOTOMASK OCT 25.00Call        26613X901           5         30      X                               30
EEX Corporation               Com New      26842V207          18      15000      X                           15,000
LM Ericsson Telephone Co        ADR        294821400          34      10000      X                           10,000
Genaera Corp                    Com        36867G100           6       2500      X                            2,500
Gerber Scientific Inc.          Com        373730100          32       3000      X                            3,000
Hearx Ltd.                    Com New      422360305           1       1110      X                            1,110
Hexcel Corp                     Com        428291108          56      15000      X                           15,000
Ikon Office Solutions Inc.      Com        451713101         338      45000      X                           45,000
Infonet Class B Common Stock  Class B      45666T106          27     17,800      X                           17,800
Intel Corp                    Common       458140100          42      3,020      X                            3,020
International Business MachineCommon       459200101         122      2,000      X                            2,000
Internet Cap Group Inc.         Com        46059C106           1       3000      X                            3,000
JDS Uniphase Common Stock     Common       46612J101          46     11,450      X                           11,450
Kimberly-Clark Corp           Common       494368103          91       2200      X                            2,200
Lilly Eli                     Common       532457108         130      2,400      X                            2,400
MBNA Corp                     Common       55262L100         136      6,900      X                            6,900
Macromedia Inc                  Com        556100105          12       1000      X                            1,000
Mcdermott International Inc   Common       580037109          31       4000      X                            4,000
Mcdonalds Corp                Common       580135101          91      5,000      X                            5,000
McGraw Hill                   Common       580645109         151      3,900      X                            3,900
Medtronic Inc                 Common       585055106         119      4,140      X                            4,140
Microsoft Corp                Common       594918104         132      3,900      X                            3,900
Milacron Inc.                 Common       598709103          28       2500      X                            2,500
Motorola Inc Common Stock     Common       620076109         151     14,400      X                           14,400
CALL NASDAQ 100 OCT 30         Call        631100104           5         50      X                               50
Network Plus Corp               Com        64122D506          25      18900      X                           18,900
Oceaneering International Inc.  Com        675232102         116       7500      X                            7,500
Pepsico Inc                   Common       713448108         216      6,500      X                            6,500
Pfizer Inc                    Common       717081103         352     13,000      X                           13,000
Polaroid Corp W/Rts  to pur     Com        731095105           8      15000      X                           15,000
Polyone Corp                    Com        73179P106          69       9000      X                            9,000
Precision Drilling Corp       Common       74022D100          41       1900      X                            1,900
Qwest Communications Intl     Common       749121109         183     16,300      X                           16,300
CALL READERS DIGEST OCT 17.50  Call        755267901           2         30      X                               30
Robotic Vision Sys. Inc.        Com        771074101         123     112000      X                          112,000
Rofin Sinar Technologies Inc.   Com        775043102          36       5000      X                            5,000
Rowan Companies Inc.          Common       779382100          60       5000      X                            5,000
SBC Communications            Common       78387G103         922     29,300      X                           29,300
Schlumberger                  Common       806857108         129      4,400      X                            4,400
Sprint Corp  (FON Group)      Common       852061100         115      7,400      X                            7,400
Starbucks                     Common       855244109          59      6,000      X                            6,000
Symbol Technologies Inc.      Common       871508107          53       5000      X                            5,000
Tyco International            Common       902124106         140      4,600      X                            4,600
Unisys Corp                    Call        909214908          67       8000      X                            8,000
CALL UNOCAL CORP OCT 32.50     Call        915289902           4         50      X                               50
Verisign                      Common       92343E102         161      6,000      X                            6,000
Verizon Comunications         Common       92343V104         947     25,980      X                           25,980
WebMD Corp                      Com        94769M105          20       5000      X                            5,000
Williams Communications Group Common       969455104           6       5000      X                            5,000
Winstar Communications Inc.     Com        975515107         408       6000      X                            6,000
World Wireless Communications   Com        98155B102         925       3700      X                            3,700
Global Crossing Ltd USD0.01   Common       G3921A100          11      8,610      X                            8,610