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

                                    Form 13F

                               Form 13F Cover Page

Report for Calendar Year or Quarter Ended: September 30, 2002
                                           ------------------

Check here if amendment [_]  Amendment Number [_]

Institutional Investment Manager filing this report:

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

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

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

Person signing this report on behalf of the reporting manager:

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

Signature, Place, and Date of Signing:

 /s/ FREDERICK P. BAUGHMAN      Boston, Massachusetts        October 29, 2002
----------------------------    ---------------------        ----------------
       [Signature]                   [City, State]                [Date]

Report Type (Check only one):

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

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

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

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

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



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:          10
                                            --
Form 13F Information Table Entry Total:     3,243
                                            -----
Form 13F Information Table Value Total:     260,166,247
                                            -----------
                                            (thousands)

List of Other Included Managers:

Provide a numbered list of the names(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report. [If there are no entries in this
list, state "NONE" and omit the column headings and list entries.]

   ---------------------------------------------------------------
   No.    Form 13F File Number       Name
   ---------------------------------------------------------------
   1              28-1932            Frederick Ballou
   ---------------------------------------------------------------
   2              28-3602            Francis L. Coolidge
   ---------------------------------------------------------------
   3              28-2710            F. Davis Dossori, Jr.
   ---------------------------------------------------------------
   4              28-3488            Nicholas A. Grace
   ---------------------------------------------------------------
   5              28-5798            Roy A. Hammer
   ---------------------------------------------------------------
   6              28-6740            Edward J. Joyce
   ---------------------------------------------------------------
   7              28-5796            George H. Kidder
   ---------------------------------------------------------------
   8              28-1487            Peter B. Loring
   ---------------------------------------------------------------
   9              28-4282            Dean Ridlon
   ---------------------------------------------------------------
   10             28-6281            Michael B. Elefante
   ---------------------------------------------------------------



                            State Street Corporation
                       SEC13F Report - September 30, 2002



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

---------------------------------------------------------------------------------------------------------------------
                                                                                     
CITIGROUP INC          COM         17296710     7,049,154,727.00  237,745,522  221,440,083  15,712,237      593,202
JOHNSON & JOHNSON      COM         47816010     6,596,587,653.00  121,978,322  117,118,064   2,966,237    1,894,021
GENERAL ELEC CO        COM         36960410     6,535,372,341.00  265,126,667  253,265,392   6,594,602    5,266,673
MICROSOFT CORP         COM         59491810     6,005,014,780.00  137,288,861  134,306,891   2,154,693      827,277
EXXON MOBIL CORP       COM         30231G10     5,595,475,069.00  175,406,742  167,706,794   4,202,001    3,497,947
LOCKHEED MARTIN CORP   COM         53983010     5,217,387,733.00   80,677,095   80,610,733      56,848        9,514
WAL MART STORES INC    COM         93114210     5,085,097,473.00  103,271,679  100,000,100   2,137,345    1,134,234
INTERNATIONAL BUSINE   COM         45920010     4,693,828,467.00   80,497,830   79,153,297   1,030,120      314,413
PFIZER INC             COM         71708110     4,675,399,228.00  161,109,553  154,654,583   3,742,575    2,712,395
MORGAN STANLEY         COM NEW     61744644     3,907,057,930.00  115,320,482   26,123,986  89,118,682       77,814
AMERICAN INTL GROUP    COM         02687410     3,563,473,017.00   65,145,759   61,822,435   2,158,089    1,165,235
GENERAL MTRS CORP      COM         37044210     3,550,176,213.00   91,264,170   91,139,986      94,671       29,513
3M CO                  COM         88579Y10     3,418,606,048.00   31,086,715   26,399,516   4,387,614      299,585
MERRILL LYNCH & CO I   COM         59018810     3,367,322,218.00  102,194,908   20,695,851  81,485,747       13,310
PROCTER & GAMBLE CO    COM         74271810     3,355,819,382.00   37,545,529   35,519,901   1,143,976      881,652
BOEING CO              COM         09702310     3,097,110,023.00   90,744,507   89,568,795   1,126,454       49,258
COCA COLA CO           COM         19121610     3,034,931,149.00   63,280,466   60,566,460   1,421,468    1,292,538
BELLSOUTH CORP         COM         07986010     2,965,782,508.00  161,534,995  157,889,438   3,282,336      363,221
MERCK & CO INC         COM         58933110     2,858,004,402.00   62,524,708   58,882,850   2,026,638    1,615,220
LOWES COS INC          COM         54866110     2,807,836,471.00   67,822,137   18,455,765  49,251,713      114,659
BP PLC                 SPONSORED   05562210     2,689,795,857.00   67,413,430   67,334,102      79,328
TARGET CORP            COM         87612E10     2,534,182,097.00   85,846,277   84,953,417     696,378      196,482
BANK OF AMERICA CORP   COM         06050510     2,495,941,619.00   39,121,342   38,693,056     352,072       76,214
INTEL CORP             COM         45814010     2,483,435,381.00  178,793,044  171,634,033   4,587,691    2,571,320
CHEVRONTEXACO CORP     COM         16676410     2,379,122,876.00   34,355,565   26,850,094   7,310,983      194,488
WELLS FARGO & CO NEW   COM         94974610     2,110,462,559.00   43,821,897   42,042,825   1,201,660      577,412
HONEYWELL INTL INC     COM         43851610     2,055,618,192.00   94,903,887   22,506,622  72,344,244       53,021
PHILIP MORRIS COS IN   COM         71815410     2,044,628,274.00   52,696,605   51,899,318     496,748      300,539
CISCO SYS INC          COM         17275R10     2,031,278,381.00  193,824,273  188,886,686   3,378,860    1,558,727
VERIZON COMMUNICATIO   COM         92343V10     1,947,291,563.00   70,965,436   69,369,081   1,013,288      583,067
SBC COMMUNICATIONS I   COM         78387G10     1,835,962,260.00   91,341,406   86,819,841   3,973,612      547,953
PEPSICO INC            COM         71344810     1,733,523,032.00   46,915,373   44,279,464   1,654,246      981,663
HOME DEPOT INC         COM         43707610     1,672,033,599.00   64,062,590   61,356,149   2,019,514      686,927
VIACOM INC             CLB         92552430     1,651,102,532.00   40,717,695   40,496,296     191,894       29,505
DELL COMPUTER CORP     COM         24702510     1,579,554,709.00   67,186,504   65,780,091   1,196,619      209,794
ABBOTT LABS            COM         00282410     1,577,075,771.00   39,036,529   37,623,043     725,006      688,480
FEDERAL NATL MTG ASS   COM         31358610     1,537,020,753.00   25,814,927   25,579,455     179,524       55,948
LILLY ELI & CO         COM         53245710     1,432,514,250.00   25,885,693   25,720,025     132,089       33,579
DU PONT E I DE NEMOU   COM         26353410     1,369,920,492.00   37,979,498   37,243,039     434,041      302,418
Page Total                                    124,539,901,029.00


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

--------------------------------------------------------------
                                          
CITIGROUP INC           112,823,197  107,895,986   17,026,339
JOHNSON & JOHNSON        68,249,706   42,655,406   11,073,210
GENERAL ELEC CO         212,663,229   19,222,773   33,240,665
MICROSOFT CORP          114,407,036    4,676,236   18,205,589
EXXON MOBIL CORP        148,076,331    5,858,839   21,471,572
LOCKHEED MARTIN CORP      9,036,488      110,758   71,529,849
WAL MART STORES INC      87,335,916    4,276,113   11,659,650
INTERNATIONAL BUSINE     39,904,376   34,949,159    5,644,295
PFIZER INC              131,381,000    8,782,484   20,946,069
MORGAN STANLEY           23,741,649   88,130,822    3,448,011
AMERICAN INTL GROUP      54,305,848    2,062,620    8,777,291
GENERAL MTRS CORP        14,887,369   74,574,904    1,801,897
3M CO                    11,626,431   17,982,222    1,478,062
MERRILL LYNCH & CO I     17,554,082   81,690,503    2,950,323
PROCTER & GAMBLE CO      31,096,247    1,853,452    4,595,830
BOEING CO                19,675,315   68,415,749    2,653,443
COCA COLA CO             52,238,287    3,080,748    7,961,431
BELLSOUTH CORP           39,803,166  115,076,417    6,655,412
MERCK & CO INC           50,953,316    3,337,166    8,234,226
LOWES COS INC            15,464,023   49,734,665    2,623,449
BP PLC                      526,863   66,881,497        5,070
TARGET CORP              18,620,713   64,225,456    3,000,108
BANK OF AMERICA CORP     32,949,008      640,407    5,531,927
INTEL CORP              147,424,835    7,313,191   24,055,018
CHEVRONTEXACO CORP       23,118,982    7,664,559    3,572,024
WELLS FARGO & CO NEW     36,679,905    1,201,051    5,940,941
HONEYWELL INTL INC       19,892,595   72,461,608    2,549,684
PHILIP MORRIS COS IN     47,441,721    1,520,930    3,733,954
CISCO SYS INC           160,497,478    6,800,806   26,525,989
VERIZON COMMUNICATIO     59,630,231    1,527,019    9,808,186
SBC COMMUNICATIONS I     74,861,241    4,426,467   12,053,698
PEPSICO INC              38,079,862    2,318,891    6,516,620
HOME DEPOT INC           53,390,362    2,366,869    8,305,359
VIACOM INC               34,601,288      635,105    5,481,302
DELL COMPUTER CORP       56,053,981    2,070,322    9,062,201
ABBOTT LABS              32,064,999    1,890,000    5,081,530
FEDERAL NATL MTG ASS     21,459,235      776,362    3,579,330
LILLY ELI & CO           21,431,724      916,690    3,537,279
DU PONT E I DE NEMOU     34,290,878      663,896    3,024,724
Page Total


                                                                         1 of 82





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

------------------------------------------------------------------------------------------------------------------------
                                                                                       
DUKE ENERGY CORP       COM         26439910       1,356,786,128.00   69,400,825   20,738,819  48,524,363      137,643
UNITED PARCEL SERVIC   CL B        91131210       1,326,857,023.00   21,219,527   21,001,276     186,285       31,966
AT&T CORP              COM         00195710       1,319,814,377.00  109,892,954   99,862,743   9,765,890      264,321
AMGEN INC              COM         03116210       1,315,720,276.00   31,552,045   31,183,195     231,790      137,060
INTL PAPER CO          COM         46014610       1,309,669,292.00   39,223,399   14,710,601  24,500,716       12,082
MEDTRONIC INC          COM         58505510       1,277,198,905.00   30,322,861   29,203,057     868,864      250,940
AOL TIME WARNER INC    COM         00184A10       1,271,815,974.00  108,702,220  108,012,747     588,586      100,887
SOUTHWEST AIRLS CO     COM         84474110       1,251,370,921.00   95,817,069   95,727,872      61,140       28,057
PHARMACIA CORP         COM         71713U10       1,238,198,879.00   31,846,679   31,533,962     233,124       79,593
AMERICAN EXPRESS CO    COM         02581610       1,219,233,379.00   39,103,059   38,120,683     801,560      180,816
SEARS ROEBUCK & CO     COM         81238710       1,187,858,022.00   30,457,898   30,435,913      19,365        2,620
BRISTOL MYERS SQUIBB   COM         11012210       1,167,398,639.00   49,050,363   47,156,052     900,308      994,003
WACHOVIA CORP 2ND NE   COM         92990310       1,114,320,440.00   34,087,502   33,601,847     354,958      130,697
BANK ONE CORP          COM         06423A10       1,090,396,326.00   29,154,982   29,008,138     114,615       32,229
ANHEUSER BUSCH COS I   COM         03522910       1,090,052,979.00   21,542,549   20,979,240     339,176      224,133
GILLETTE CO            COM         37576610       1,082,570,923.00   36,573,342   25,891,827  10,386,475      295,040
J P MORGAN CHASE & C   COM         46625H10       1,051,141,316.00   55,352,360   54,336,067     593,836      422,457
WYETH                  COM         98302410       1,035,379,793.00   32,559,113   31,091,583     808,300      659,230
FEDERAL HOME LN MTG    COM         31340030       1,015,937,891.00   18,174,202   17,577,590     463,369      133,243
ORACLE CORP            COM         68389X10         992,669,991.00  126,293,892  125,831,614     324,168      138,110
KEYCORP NEW            COM         49326710         968,016,809.00   38,767,193   38,702,004      42,987       22,202
CONAGRA FOODS INC      COM         20588710         966,778,291.00   38,904,559   15,867,332  23,010,657       26,570
PROGRESS ENERGY INC    COM         74326310         954,275,714.00   23,349,051   23,328,448      14,293        6,310
HEWLETT PACKARD CO     COM         42823610         932,820,444.00   79,933,200   77,690,875   1,092,302    1,150,023
US BANCORP DEL         COM NEW     90297330         927,233,748.00   49,904,938   49,402,032     413,886       89,020
FIFTH THIRD BANCORP    COM         31677310         886,680,753.00   14,481,149   13,236,353     877,595      367,201
UNITED TECHNOLOGIES    COM         91301710         879,072,241.00   15,561,555   15,349,035     124,014       88,506
DISNEY WALT CO         COM DISNEY  25468710         827,176,488.00   54,635,171   51,874,954   1,896,408      863,809
NORTHROP GRUMMAN COR   COM         66680710         808,359,128.00    6,516,923    6,510,290       6,196          437
WALGREEN CO            COM         93142210         805,637,005.00   26,191,060   24,460,062   1,145,791      585,207
KIMBERLY CLARK CORP    COM         49436810         793,157,786.00   14,003,492   13,300,413     484,290      218,789
WASHINGTON MUT INC     COM         93932210         787,776,991.00   25,032,634   24,955,419      70,686        6,529
COLGATE PALMOLIVE CO   COM         19416210         745,115,858.00   13,811,230   13,201,941     502,042      107,247
GLAXOSMITHKLINE PLC    SPONSORED   37733W10         725,271,020.00   18,872,522   18,596,859     275,663
SCHERING PLOUGH CORP   COM         80660510         715,053,718.00   33,539,105   33,041,010     304,586      193,509
CONOCOPHILLIPS         COM         20825C10         713,908,099.00   15,439,189   15,301,754      88,632       48,803
CARDINAL HEALTH INC    COM         14149Y10         711,160,714.00   11,433,452   11,081,022     306,770       45,660
PENNEY J C INC         COM         70816010         698,776,735.00   43,893,011   43,874,065      18,346          600
UNITEDHEALTH GROUP I   COM         91324P10         661,306,052.00    7,582,046    7,562,326      17,080        2,640
AUTOMATIC DATA PROCE   COM         05301510         656,317,476.00   18,875,970   15,812,440   2,047,130    1,016,400
Page Total                                       39,878,286,544.00


                                    Voting Authority
     Name of                Sole         Shared        None
     Issuer

--------------------------------------------------------------
                                          
DUKE ENERGY CORP         18,104,307   48,567,736    2,728,782
UNITED PARCEL SERVIC     18,051,224      810,116    2,358,187
AT&T CORP                85,269,401   10,494,168   14,129,385
AMGEN INC                26,015,783    1,097,736    4,438,526
INTL PAPER CO            15,104,516   22,636,820    1,482,063
MEDTRONIC INC            24,793,869    1,203,991    4,325,001
AOL TIME WARNER INC      91,906,526    1,607,097   15,188,597
SOUTHWEST AIRLS CO       14,464,038   79,206,097    2,146,934
PHARMACIA CORP           26,841,762      834,596    4,170,321
AMERICAN EXPRESS CO      30,253,930    4,167,551    4,681,578
SEARS ROEBUCK & CO        7,256,446   22,162,269    1,039,183
BRISTOL MYERS SQUIBB     40,285,130    2,456,119    6,309,114
WACHOVIA CORP 2ND NE     28,760,261      622,042    4,705,199
BANK ONE CORP            24,198,662      643,920    4,312,400
ANHEUSER BUSCH COS I     18,043,422      736,703    2,762,424
GILLETTE CO              22,172,026   10,725,517    3,675,799
J P MORGAN CHASE & C     47,160,666    1,124,399    7,067,295
WYETH                    26,932,462    1,434,840    4,191,811
FEDERAL HOME LN MTG      15,294,078      394,409    2,485,715
ORACLE CORP             106,109,274    4,009,944   16,174,674
KEYCORP NEW               9,283,473   28,070,454    1,413,266
CONAGRA FOODS INC        11,594,170   25,588,291    1,722,098
PROGRESS ENERGY INC       4,516,291   18,149,615      683,145
HEWLETT PACKARD CO       67,441,353    2,209,747   10,282,100
US BANCORP DEL           42,081,065      784,625    7,039,248
FIFTH THIRD BANCORP      11,854,750      800,114    1,826,285
UNITED TECHNOLOGIES      13,588,860      272,077    1,700,618
DISNEY WALT CO           46,257,420    1,526,150    6,851,601
NORTHROP GRUMMAN COR      2,065,204    4,153,926      297,793
WALGREEN CO              21,394,664    1,337,165    3,459,231
KIMBERLY CLARK CORP      11,697,868      521,694    1,783,930
WASHINGTON MUT INC       20,953,964      380,896    3,697,774
COLGATE PALMOLIVE CO     11,555,135      540,071    1,716,024
GLAXOSMITHKLINE PLC      18,863,577                     8,945
SCHERING PLOUGH CORP     28,249,426    1,365,905    3,923,774
CONOCOPHILLIPS           13,560,295      260,581    1,618,313
CARDINAL HEALTH INC       9,638,614      309,361    1,485,477
PENNEY J C INC            5,073,347   38,073,982      745,682
UNITEDHEALTH GROUP I      6,363,676      185,244    1,033,126
AUTOMATIC DATA PROCE     15,130,131    1,498,300    2,247,539
Page Total


                                                                         2 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                          
GOLDMAN SACHS GROUP    COM         38141G10         652,412,650.00    9,880,549    9,487,136     350,584       42,829
TEXAS INSTRS INC       COM         88250810         646,653,655.00   43,781,561   43,529,340     184,437       67,784
DELPHI CORP            COM         24712610         645,061,188.00   75,445,753   75,246,627     177,404       21,722
FIRSTENERGY CORP       COM         33793210         634,144,894.00   21,215,955   21,193,749      19,760        2,446
MCDONALDS CORP         COM         58013510         625,760,625.00   35,433,784   34,387,924     786,801      259,059
BAXTER INTL INC        COM         07181310         623,688,331.00   20,415,330   15,187,102   5,198,894       29,334
ALLSTATE CORP          COM         02000210         621,685,815.00   17,487,646   17,431,787      47,169        8,690
TENET HEALTHCARE COR   COM         88033G10         616,610,016.00   12,456,768   12,423,548      31,260        1,960
AIR PRODS & CHEMS IN   COM         00915810         614,188,678.00   14,620,059    5,477,732   8,964,500      177,827
MARSH & MCLENNAN COS   COM         57174810         613,818,154.00   14,741,070   13,535,802     942,110      263,158
STATE STR CORP         COM         85747710         611,804,392.00   15,833,447    7,613,288   7,785,807      434,352
DOW CHEM CO            COM         26054310         609,690,998.00   22,324,826   22,134,190     106,416       84,220
HCA INC                COM         40411910         602,887,667.00   12,663,047   12,287,165     324,643       51,239
SYSCO CORP             COM         87182910         589,373,163.00   20,759,886   16,965,901   2,314,965    1,479,020
MOTOROLA INC           COM         62007610         588,691,788.00   57,828,270   56,252,130   1,009,060      567,080
MBNA CORP              COM         55262L10         586,907,788.00   31,931,871   31,699,667     161,939       70,265
FLEETBOSTON FINL COR   COM         33903010         584,272,835.00   28,739,441   27,934,906     552,813      251,722
TYCO INTL LTD NEW      COM         90212410         572,386,891.00   40,594,815   40,590,242       4,573
FIRST DATA CORP        COM         31996310         570,214,658.00   20,401,240   20,016,374     305,007       79,859
QUALCOMM INC           COM         74752510         521,609,886.00   18,885,224   18,817,674      42,100       25,450
APPLIED MATLS INC      COM         03822210         504,991,352.00   43,722,195   41,961,827   1,360,924      399,444
BANK NEW YORK INC      COM         06405710         501,726,681.00   17,457,435   17,235,355     116,653      105,427
CLEAR CHANNEL COMMUN   COM         18450210         499,364,762.00   14,370,209   14,099,148     244,733       26,328
SOUTHERN CO            COM         84258710         491,075,528.00   17,063,083   17,014,455      40,723        7,905
EMERSON ELEC CO        COM         29101110         486,805,064.00   11,078,859   10,056,356     659,814      362,689
KOHLS CORP             COM         50025510         486,149,740.00    7,994,569    7,966,563      25,286        2,720
GENERAL MTRS CORP      CL H NEW    37044283         480,829,151.00   52,549,634   52,502,548      33,653       13,433
COMCAST CORP           CL A SPL    20030020         475,370,613.00   22,788,620   22,385,317     357,647       45,656
GANNETT INC            COM         36473010         470,099,894.00    6,512,883    6,382,514      58,950       71,419
ILLINOIS TOOL WKS IN   COM         45230810         467,510,866.00    8,014,930    7,123,219     606,484      285,227
ALCOA INC              COM         01381710         464,080,987.00   24,045,647   23,977,203      59,644        8,800
NATIONAL CITY CORP     COM         63540510         456,764,643.00   16,009,977   15,441,916      52,078      515,983
FORD MTR CO DEL        COM PAR $0  34537086         455,206,971.00   46,449,691   46,232,213     186,932       30,546
AFLAC INC              COM         00105510         442,659,946.00   14,423,589   14,208,418     175,261       39,910
WASTE MGMT INC DEL     COM         94106L10         424,855,233.00   18,218,492   14,243,254   3,972,923        2,315
SCHLUMBERGER LTD       COM         80685710         423,940,234.00   11,022,887   11,020,887       2,000
BERKSHIRE HATHAWAY I   CL B        08467020         422,402,400.00      171,360      167,336       1,627        2,397
CATERPILLAR INC DEL    COM         14912310         420,630,329.00   11,301,191   11,196,679      73,090       31,422
TRAVELERS PPTY CAS C   CL B        89420G40         415,907,193.00   30,739,630   21,764,641   8,934,256       40,733
GENERAL DYNAMICS COR   COM         36955010         409,595,528.00    5,036,217    4,857,531     149,202       29,484
Page Total                                       21,331,831,187.00


                                     Voting Authority
     Name of                 Sole        Shared        None
     Issuer

---------------------------------------------------------------
                                            
GOLDMAN SACHS GROUP        8,492,901      373,422    1,014,226
TEXAS INSTRS INC          36,325,052    1,303,156    6,153,353
DELPHI CORP               11,909,066   61,716,642    1,820,045
FIRSTENERGY CORP           6,738,102   13,329,121    1,148,732
MCDONALDS CORP            29,566,520    1,242,894    4,624,370
BAXTER INTL INC           12,873,930    5,519,650    2,021,750
ALLSTATE CORP             14,998,436      290,249    2,198,961
TENET HEALTHCARE COR      10,468,699      295,326    1,692,743
AIR PRODS & CHEMS IN       4,829,911    9,044,147      746,001
MARSH & MCLENNAN COS      12,140,520      690,338    1,910,212
STATE STR CORP             6,630,332    8,144,614    1,058,501
DOW CHEM CO               19,239,228      379,672    2,705,926
HCA INC                   10,762,480      353,569    1,546,998
SYSCO CORP                16,264,880    1,969,697    2,525,309
MOTOROLA INC              48,786,653    1,350,008    7,691,609
MBNA CORP                 26,192,858      971,337    4,767,676
FLEETBOSTON FINL COR      24,226,982      642,595    3,869,864
TYCO INTL LTD NEW         34,874,418      634,650    5,085,747
FIRST DATA CORP           17,057,772      670,023    2,673,445
QUALCOMM INC              15,617,909      570,604    2,696,711
APPLIED MATLS INC         36,328,837    1,557,364    5,835,994
BANK NEW YORK INC         14,576,097      621,078    2,260,260
CLEAR CHANNEL COMMUN      12,271,774      237,395    1,861,040
SOUTHERN CO               14,555,110      322,958    2,185,015
EMERSON ELEC CO            9,081,664      543,257    1,453,938
KOHLS CORP                 6,691,599      235,603    1,067,367
GENERAL MTRS CORP          6,494,116   44,738,398    1,317,120
COMCAST CORP              19,293,869      339,118    3,155,633
GANNETT INC                5,475,339      198,193      839,351
ILLINOIS TOOL WKS IN       6,622,963      386,086    1,005,881
ALCOA INC                 21,153,886      335,962    2,555,799
NATIONAL CITY CORP        13,202,129      740,880    2,066,968
FORD MTR CO DEL           39,415,198      661,149    6,373,344
AFLAC INC                 12,128,641      250,283    2,044,665
WASTE MGMT INC DEL        12,156,478    4,095,566    1,966,448
SCHLUMBERGER LTD           9,472,844      207,294    1,342,749
BERKSHIRE HATHAWAY I           2,242      169,056           62
CATERPILLAR INC DEL       10,100,073      151,408    1,049,710
TRAVELERS PPTY CAS C      19,129,647    9,146,207    2,463,776
GENERAL DYNAMICS COR       4,302,906      146,874      586,437
Page Total


                                                                         3 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                          
EXELON CORP            COM         30161N10         408,908,927.00    8,608,609    8,567,661      33,857        7,091
SUNTRUST BKS INC       COM         86791410         406,757,151.00    6,616,089    6,580,996      33,043        2,050
EDISON INTL            COM         28102010         406,746,470.00   40,674,647   40,659,932      13,875          840
GENERAL MLS INC        COM         37033410         402,781,503.00    9,067,571    8,631,869     187,756      247,946
MEADWESTVACO CORP      COM         58333410         399,823,435.00   20,813,297   20,796,216      10,702        6,379
PG&E CORP              COM         69331C10         398,694,068.00   35,407,999   35,393,599      13,820          580
PRUDENTIAL FINL INC    COM         74432010         382,351,055.00   13,387,642   13,357,418      28,436        1,788
FEDEX CORP             COM         31428X10         380,763,373.00    7,604,621    7,509,425      21,101       74,095
HARLEY DAVIDSON INC    COM         41282210         374,546,695.00    8,063,438    7,803,669     231,319       28,450
FOREST LABS INC        COM         34583810         367,673,382.00    4,483,275    4,448,675      12,680       21,920
UNION PAC CORP         COM         90781810         363,911,096.00    6,288,424    6,183,937      42,100       62,387
RAYTHEON CO            COM NEW     75511150         358,041,399.00   12,219,843   12,066,418     131,461       21,964
BB&T CORP              COM         05493710         357,518,656.00   10,203,158   10,178,155      24,503          500
SARA LEE CORP          COM         80311110         357,103,031.00   19,524,496   19,377,779      68,513       78,204
ELECTRONIC DATA SYS    COM         28566110         354,108,059.00   25,329,618   14,932,822  10,391,792        5,004
BECTON DICKINSON & C   COM         07588710         345,267,263.00   12,157,298   12,137,603      13,715        5,980
DOMINION RES INC VA    COM         25746U10         343,058,226.00    6,762,433    6,660,755      65,466       36,212
COSTCO WHSL CORP NEW   COM         22160K10         342,723,460.00   10,587,688   10,538,856      41,666        7,166
METLIFE INC            COM         59156R10         341,407,010.00   15,000,308   14,978,994      19,969        1,345
MCGRAW HILL COS INC    COM         58064510         334,591,481.00    5,465,395    5,264,425     101,613       99,357
PNC FINL SVCS GROUP    COM         69347510         327,114,714.00    7,757,048    7,662,093      57,062       37,893
ALLTEL CORP            COM         02003910         326,959,616.00    8,147,511    7,267,750     728,239      151,522
HOUSEHOLD INTL INC     COM         44181510         325,003,471.00   11,480,165   11,450,524      25,301        4,340
ANADARKO PETE CORP     COM         03251110         316,221,751.00    7,099,725    6,503,171     425,159      171,395
SLM CORP               COM         78442P10         310,961,954.00    3,338,651    3,330,428       7,903          320
EBAY INC               COM         27864210         310,937,569.00    5,887,854    5,878,705       8,749          400
WELLPOINT HEALTH NET   COM         94973H10         307,778,563.00    4,198,889    4,190,067       8,622          200
EASTMAN KODAK CO       COM         27746110         307,491,031.00   11,288,217   11,238,591      25,498       24,128
EQUITY OFFICE PROPER   COM         29474110         306,678,960.00   11,877,574   11,799,195      78,379
STRYKER CORP           COM         86366710         306,525,888.00    5,321,630    4,660,170     512,267      149,193
HEINZ H J CO           COM         42307410         304,199,351.00    9,115,953    9,032,526      41,869       41,558
KROGER CO              COM         50104410         302,814,786.00   21,476,226   21,408,181      65,845        2,200
PEPSI BOTTLING GROUP   COM         71340910         295,486,518.00   12,627,629   12,622,379       5,050          200
TXU CORP               COM         87316810         292,551,562.00    7,013,943    6,991,541      16,615        5,787
PROGRESSIVE CORP OHI   COM         74331510         292,166,996.00    5,770,630    5,735,219      25,511        9,900
TRIBUNE CO NEW         COM         89604710         292,105,272.00    6,986,493    6,831,896      82,520       72,077
DEERE & CO             COM         24419910         288,268,170.00    6,342,534    6,324,887      14,592        3,055
OCCIDENTAL PETE CORP   COM         67459910         286,811,799.00   10,106,124   10,076,922      28,122        1,080
CENDANT CORP           COM         15131310         283,941,766.00   26,388,640   26,284,386      61,819       42,435
YUM BRANDS INC         COM         98849810         283,750,843.00   10,240,016   10,206,073      27,363        6,580
Page Total                                       13,494,546,320.00


                                  Voting Authority
     Name of              Sole         Shared        None
     Issuer

------------------------------------------------------------
                                         
EXELON CORP             7,205,755      147,170    1,255,684
SUNTRUST BKS INC        5,598,414       97,167      920,508
EDISON INTL             8,002,579   31,589,818    1,082,250
GENERAL MLS INC         7,336,485      520,066    1,211,020
MEADWESTVACO CORP       4,714,880   15,467,145      631,272
PG&E CORP               8,304,999   25,823,847    1,279,153
PRUDENTIAL FINL INC    11,634,216      194,988    1,558,438
FEDEX CORP              6,367,402      194,440    1,042,779
HARLEY DAVIDSON INC     6,705,313      255,542    1,102,583
FOREST LABS INC         3,782,859      189,139      511,277
UNION PAC CORP          5,261,356      151,365      875,703
RAYTHEON CO             8,054,412    3,033,859    1,131,572
BB&T CORP               8,905,724      171,383    1,126,051
SARA LEE CORP          16,348,349      644,607    2,531,540
ELECTRONIC DATA SYS     9,974,950   13,768,840    1,585,828
BECTON DICKINSON & C    6,243,120    5,028,998      885,180
DOMINION RES INC VA     5,755,497      133,389      873,547
COSTCO WHSL CORP NEW    8,960,342      139,667    1,487,679
METLIFE INC            12,568,685      254,286    2,177,337
MCGRAW HILL COS INC     4,436,670      244,669      784,056
PNC FINL SVCS GROUP     6,585,142      122,853    1,049,053
ALLTEL CORP             7,133,850      249,153      764,508
HOUSEHOLD INTL INC      9,709,662      160,691    1,609,812
ANADARKO PETE CORP      5,946,118      266,915      886,692
SLM CORP                2,813,723      108,815      416,113
EBAY INC                4,980,820      198,300      708,734
WELLPOINT HEALTH NET    3,662,566       37,038      499,285
EASTMAN KODAK CO        9,848,593      155,244    1,284,380
EQUITY OFFICE PROPER   10,040,470      134,525    1,702,579
STRYKER CORP            4,482,910      262,231      576,489
HEINZ H J CO            7,580,161      298,406    1,237,386
KROGER CO              17,952,041      577,093    2,947,092
PEPSI BOTTLING GROUP    5,560,252    6,550,729      516,648
TXU CORP                5,967,770      115,591      930,582
PROGRESSIVE CORP OHI    4,932,694       82,780      755,156
TRIBUNE CO NEW          5,950,976      166,907      868,610
DEERE & CO              5,318,944       59,658      963,932
OCCIDENTAL PETE CORP    8,711,915      151,246    1,242,963
CENDANT CORP           22,358,659      402,734    3,627,247
YUM BRANDS INC          6,187,414    3,056,709      995,893
Page Total


                                                                         4 of 82





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

------------------------------------------------------------------------------------------------------------------
                                                                                     
BOSTON SCIENTIFIC CO   COM         10113710     282,687,085.00    8,957,132    8,935,242      21,190           700
LEHMAN BROS HLDGS IN   COM         52490810     280,114,347.00    5,710,792    5,682,744      23,937         4,111
MELLON FINL CORP       COM         58551A10     279,086,508.00   10,763,074   10,491,262     222,469        49,343
HARRAHS ENTMT INC      COM         41361910     278,336,047.00    5,773,409    5,768,247       4,962           200
AVON PRODS INC         COM         05430310     274,395,451.00    5,952,179    5,919,785      27,189         5,205
KELLOGG CO             COM         48783610     272,318,896.00    8,190,042    8,169,157      18,125         2,760
SCHWAB CHARLES CORP    COM         80851310     272,290,198.00   31,297,724   31,139,682     127,704        30,338
SAFEWAY INC            COM NEW     78651420     271,417,380.00   12,171,183   12,105,093      47,155        18,935
BURLINGTON NORTHN SA   COM         12189T10     271,206,251.00   11,338,054   11,016,819     259,943        61,292
ENTERGY CORP NEW       COM         29364G10     266,580,995.00    6,408,197    6,228,105     153,457        26,635
CIGNA CORP             COM         12550910     265,975,427.00    3,759,370    3,719,155      23,503        16,712
GUIDANT CORP           COM         40169810     265,270,528.00    8,210,168    8,191,283      17,590         1,295
OMNICOM GROUP INC      COM         68191910     265,100,275.00    4,761,140    4,661,807      83,743        15,590
CARNIVAL CORP          COM         14365810     262,880,106.00   10,473,311   10,436,499      31,262         5,550
HARTFORD FINL SVCS G   COM         41651510     260,827,445.00    6,361,645    6,201,011     100,644        59,990
E M C CORP MASS        COM         26864810     259,036,575.00   56,681,964   55,116,414   1,051,988       513,562
NORTHERN TR CORP       COM         66585910     257,383,966.00    6,823,541    5,197,358   1,256,099       370,084
BAKER HUGHES INC       COM         05722410     254,186,476.00    8,755,993    8,215,685     475,507        64,801
CVS CORP               COM         12665010     254,000,079.00   10,019,727    9,803,887     130,326        85,514
AT&T WIRELESS SVCS I   COM         00209A10     253,085,523.00   61,428,525   61,068,067     300,308        60,150
NEWMONT MINING CORP    COM         65163910     251,778,892.00    9,152,268    9,116,517      14,215        21,536
ALBERTSONS INC         COM         01310410     244,715,311.00   10,128,945   10,073,100      28,148        27,697
FPL GROUP INC          COM         30257110     241,235,487.00    4,483,931    4,379,289      56,732        47,910
INTUIT                 COM         46120210     239,366,599.00    5,257,338    5,240,891      14,427         2,020
XEROX CORP             COM         98412110     236,528,701.00   47,783,576   18,047,649  29,734,627         1,300
CLOROX CO DEL          COM         18905410     232,387,579.00    5,783,663    5,765,533       8,750         9,380
WEYERHAEUSER CO        COM         96216610     232,001,353.00    5,300,465    5,273,238      14,667        12,560
AMERICAN ELEC PWR IN   COM         02553710     231,839,528.00    8,131,867    8,098,716      25,035         8,116
TJX COS INC NEW        COM         87254010     230,355,406.00   13,550,318   13,248,860     279,038        22,420
MASCO CORP             COM         57459910     229,412,231.00   11,734,641   11,685,162      29,520        19,959
COMERICA INC           COM         20034010     228,853,711.00    4,746,033    4,581,309     157,584         7,140
CAMPBELL SOUP CO       COM         13442910     228,371,011.00   10,342,890   10,305,463      26,587        10,840
BED BATH & BEYOND IN   COM         07589610     227,769,305.00    6,993,224    6,880,451      98,718        14,055
ELECTRONIC ARTS INC    COM         28551210     227,327,578.00    3,446,446    3,440,456       5,525           465
AUTOZONE INC           COM         05333210     227,016,174.00    2,878,724    2,874,049       4,475           200
WRIGLEY WM JR CO       COM         98252610     225,820,642.00    4,562,955    4,543,701      14,254         5,000
CHUBB CORP             COM         17123210     224,321,099.00    4,091,211    4,017,390      43,308        30,513
PRAXAIR INC            COM         74005P10     223,532,242.00    4,373,552    4,362,992      10,190           370
GOLDEN WEST FINL COR   COM         38131710     222,657,439.00    3,580,853    3,572,613       8,140           100
NEWELL RUBBERMAID IN   COM         65122910     222,578,318.00    7,210,182    7,163,120      45,162         1,900
Page Total                                    9,974,048,164.00


                                      Voting Authority
     Name of                  Sole         Shared        None
     Issuer
---------------------------------------------------------------
                                           
BOSTON SCIENTIFIC CO        7,507,373      236,066    1,213,693
LEHMAN BROS HLDGS IN        4,896,287       86,629      727,876
MELLON FINL CORP            8,952,568      342,173    1,468,333
HARRAHS ENTMT INC           2,407,901    2,991,984      373,524
AVON PRODS INC              4,950,408      186,612      815,159
KELLOGG CO                  6,958,362      299,096      932,584
SCHWAB CHARLES CORP        25,957,979    1,006,504    4,333,241
SAFEWAY INC                10,387,887      185,452    1,597,844
BURLINGTON NORTHN SA        9,775,154      214,137    1,348,763
ENTERGY CORP NEW            5,527,323      129,540      751,334
CIGNA CORP                  3,216,506       46,834      496,030
GUIDANT CORP                6,866,153      280,609    1,063,406
OMNICOM GROUP INC           3,945,413      150,702      665,025
CARNIVAL CORP               9,085,633      199,750    1,187,928
HARTFORD FINL SVCS G        5,318,515      165,956      877,174
E M C CORP MASS            47,458,564    1,277,223    7,946,177
NORTHERN TR CORP            5,563,597      516,540      743,404
BAKER HUGHES INC            7,594,832      160,355    1,000,806
CVS CORP                    8,426,241      212,174    1,381,312
AT&T WIRELESS SVCS I       52,055,131      882,936    8,490,458
NEWMONT MINING CORP         7,829,581      174,007    1,148,680
ALBERTSONS INC              8,593,092      193,221    1,342,632
FPL GROUP INC               3,797,236      127,697      558,998
INTUIT                      4,434,733      152,183      670,422
XEROX CORP                 15,301,230   29,902,628    2,579,718
CLOROX CO DEL               4,755,351      195,850      832,462
WEYERHAEUSER CO             4,580,006       74,969      645,490
AMERICAN ELEC PWR IN        6,900,175      144,696    1,086,996
TJX COS INC NEW            11,292,706      433,283    1,824,329
MASCO CORP                  9,793,687      174,602    1,766,352
COMERICA INC                3,919,511       58,926      767,596
CAMPBELL SOUP CO            8,397,294      304,547    1,641,049
BED BATH & BEYOND IN        5,962,082      217,540      813,602
ELECTRONIC ARTS INC         2,923,601       99,491      423,354
AUTOZONE INC                2,471,084       95,882      311,758
WRIGLEY WM JR CO            3,898,855      175,760      488,340
CHUBB CORP                  3,440,642      103,296      547,273
PRAXAIR INC                 3,647,175       47,273      679,104
GOLDEN WEST FINL COR        3,006,800       64,565      509,488
NEWELL RUBBERMAID IN        5,970,628      210,934    1,028,620
Page Total


                                                                         5 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                        
APACHE CORP            COM         03741110         221,112,563.00    3,719,303    3,630,546      66,692       22,065
NIKE INC               CL B        65410610         220,653,513.00    5,110,086    5,097,626       5,360        7,100
OWENS ILL INC          COM NEW     69076840         219,563,036.00   19,396,028   11,663,006   7,733,022
MCKESSON CORP          COM         58155Q10         214,087,175.00    7,556,907    7,540,812      15,695          400
DANAHER CORP DEL       COM         23585110         214,086,412.00    3,765,812    3,716,007      48,305        1,500
PAYCHEX INC            COM         70432610         212,529,890.00    8,756,897    8,564,809     107,411       84,677
ARCHER DANIELS MIDLA   COM         03948310         208,937,191.00   16,701,614   16,661,356      29,953       10,305
GAP INC DEL            COM         36476010         208,884,026.00   19,251,984   19,209,477      41,307        1,200
CAPITAL ONE FINL COR   COM         14040H10         207,315,919.00    5,936,882    5,764,428     144,594       27,860
CONSOLIDATED EDISON    COM         20911510         206,912,715.00    5,144,523    5,118,708      17,257        8,558
HANCOCK JOHN FINL SV   COM         41014S10         206,690,609.00    7,434,914    7,403,681      15,699       15,534
BURLINGTON RES INC     COM         12201410         206,506,571.00    5,383,383    5,303,802      68,034       11,547
SUN MICROSYSTEMS INC   COM         86681010         205,404,814.00   79,306,878   78,441,247     616,778      248,853
ANTHEM INC             COM         03674B10         203,044,530.00    3,123,762    3,073,021      49,753          988
FORTUNE BRANDS INC     COM         34963110         201,824,309.00    4,267,801    3,885,161     335,845       46,795
LIBERTY MEDIA CORP N   COM SER A   53071810         201,147,570.00   28,014,982   24,946,469   2,999,257       69,256
MATTEL INC             COM         57708110         200,813,661.00   11,150,120   11,103,446      44,349        2,325
MARATHON OIL CORP      COM         56584910         198,618,761.00    8,757,441    8,732,574      19,527        5,340
PPG INDS INC           COM         69350610         197,759,505.00    4,424,150    4,391,875      23,755        8,520
BLOCK H & R INC        COM         09367110         196,697,667.00    4,682,163    4,641,891      25,572       14,700
KERR MCGEE CORP        COM         49238610         196,470,301.00    4,522,797    4,515,625       5,797        1,375
SOUTHTRUST CORP        COM         84473010         194,598,926.00    8,024,698    8,003,000      21,258          440
NORFOLK SOUTHERN COR   COM         65584410         193,078,363.00    9,563,069    9,459,514      61,635       41,920
ZIMMER HLDGS INC       COM         98956P10         192,608,504.00    5,023,696    4,902,442      58,981       62,273
CONCORD EFS INC        COM         20619710         191,405,022.00   12,053,213   12,030,503      22,190          520
MAXIM INTEGRATED PRO   COM         57772K10         191,301,380.00    7,726,227    7,685,374      28,782       12,071
STARBUCKS CORP         COM         85524410         189,922,324.00    9,201,663    9,161,478      32,065        8,120
ANALOG DEVICES INC     COM         03265410         189,268,301.00    9,607,528    9,116,522     374,049      116,957
ST JUDE MED INC        COM         79084910         188,407,963.00    5,277,534    5,259,736      11,170        6,628
AMSOUTH BANCORPORATI   COM         03216510         186,254,159.00    8,980,432    8,913,615      42,521       24,296
PRINCIPAL FINANCIAL    COM         74251V10         185,312,171.00    7,078,387    7,058,947      18,040        1,400
UNOCAL CORP            COM         91528910         184,968,933.00    5,892,607    5,830,150      22,777       39,680
LIMITED BRANDS INC     COM         53271610         184,170,469.00   12,843,129   12,812,633      29,656          840
LINEAR TECHNOLOGY CO   COM         53567810         184,076,127.00    8,883,983    7,897,060     770,050      216,873
SPRINT CORP            COM FON GR  85206110         184,038,024.00   20,179,608   20,091,924      70,370       17,314
HERSHEY FOODS CORP     COM         42786610         183,062,888.00    2,950,248    2,879,635      40,289       30,324
DEVON ENERGY CORP NE   COM         25179M10         182,950,731.00    3,791,725    3,773,893      10,444        7,388
PITNEY BOWES INC       COM         72447910         182,465,087.00    5,984,424    5,958,293      20,701        5,430
COCA COLA ENTERPRISE   COM         19121910         182,183,487.00    8,577,377    8,564,537      12,210          630
AVERY DENNISON CORP    COM         05361110         181,074,918.00    3,177,868    2,930,967     177,797       69,104
Page Total                                        7,900,208,515.00


                                      Voting Authority
     Name of                  Sole         Shared        None
     Issuer

---------------------------------------------------------------
                                             
APACHE CORP                 3,142,961       57,228      519,114
NIKE INC                    4,451,302       87,749      571,035
OWENS ILL INC                 732,295   18,586,749       76,984
MCKESSON CORP               6,382,753      162,536    1,011,618
DANAHER CORP DEL            3,198,817      108,753      458,242
PAYCHEX INC                 7,185,439      357,098    1,214,360
ARCHER DANIELS MIDLA       13,807,730      349,016    2,544,868
GAP INC DEL                16,270,869      562,541    2,418,574
CAPITAL ONE FINL COR        5,176,393      112,396      648,093
CONSOLIDATED EDISON         4,349,525      111,989      683,009
HANCOCK JOHN FINL SV        6,382,998      116,947      934,969
BURLINGTON RES INC          4,488,589       94,987      799,807
SUN MICROSYSTEMS INC       66,812,143    1,356,656   11,138,079
ANTHEM INC                  2,651,749      136,913      335,100
FORTUNE BRANDS INC          3,324,674      407,031      536,096
LIBERTY MEDIA CORP N       23,642,807      117,256    4,254,919
MATTEL INC                  9,255,218      334,988    1,559,914
MARATHON OIL CORP           7,501,443      185,394    1,070,604
PPG INDS INC                3,831,597       65,077      527,476
BLOCK H & R INC             3,902,740      147,326      632,097
KERR MCGEE CORP             2,106,445    2,117,099      299,253
SOUTHTRUST CORP             6,891,655      100,291    1,032,752
NORFOLK SOUTHERN COR        7,984,198      169,900    1,408,971
ZIMMER HLDGS INC            4,093,575      280,151      649,970
CONCORD EFS INC            10,111,429      367,484    1,574,300
MAXIM INTEGRATED PRO        6,415,478      238,667    1,072,082
STARBUCKS CORP              7,768,330      288,870    1,144,463
ANALOG DEVICES INC          7,910,112      371,601    1,325,815
ST JUDE MED INC             4,442,367      185,032      650,135
AMSOUTH BANCORPORATI        7,835,735      152,172      992,525
PRINCIPAL FINANCIAL         6,287,467      113,100      677,820
UNOCAL CORP                 5,064,988      101,551      726,068
LIMITED BRANDS INC         10,634,548      358,020    1,850,561
LINEAR TECHNOLOGY CO        7,364,463      435,247    1,084,273
SPRINT CORP                17,468,643      302,543    2,408,422
HERSHEY FOODS CORP          2,453,347      128,887      368,014
DEVON ENERGY CORP NE        3,240,782       75,477      475,466
PITNEY BOWES INC            4,933,279      200,370      850,775
COCA COLA ENTERPRISE        7,620,430      138,421      818,526
AVERY DENNISON CORP         2,642,281      141,121      394,466
Page Total


                                                                         6 of 82





                                                                                        Investment Discretion
     Name of          Title of       Cusip           Fair Market      Shares         Sole      Shared as      Shared
     Issuer             Class        Number             Value        Prin Amt                   Defined       Other
---------------------------------------------------------------------------------------------------------------------
                                                                                       
DOW JONES & CO INC     COM         26056110         180,659,629.00    4,703,453    1,855,096      48,447    2,799,910
XL CAP LTD             CL A        G9825510         180,182,310.00    2,451,460    2,451,460
ST PAUL COS INC        COM         79286010         179,194,706.00    6,239,370    6,227,144       9,170        3,056
MAY DEPT STORES CO     COM         57777810         178,971,835.00    7,859,984    7,602,525     173,484       83,975
MICRON TECHNOLOGY IN   COM         59511210         178,366,493.00   14,419,280   14,395,350      22,550        1,380
MOODYS CORP            COM         61536910         177,664,036.00    3,663,176    3,608,298      50,458        4,420
SIMON PPTY GROUP INC   COM         82880610         176,941,069.00    4,952,171    4,880,921      71,250
AMERISOURCEBERGEN CO   COM         03073E10         175,850,966.00    2,462,209    2,456,064       5,860          285
NEW YORK TIMES CO      CL A        65011110         175,713,745.00    3,866,089    3,655,172     210,447          470
ACE LTD                ORD         G0070K10         173,977,493.00    5,875,633    5,875,493         140
FEDERATED DEPT STORE   COM         31410H10         173,914,444.00    5,907,420    5,892,762      14,418          240
TRW INC                COM         87264910         172,193,383.00    2,940,963    2,932,197       6,940        1,826
BIOMET INC             COM         09061310         172,168,116.00    6,465,194    6,434,970      30,044          180
FRANKLIN RES INC       COM         35461310         171,928,699.00    5,528,254    5,265,409     208,893       53,952
EQUITY RESIDENTIAL     SH BEN INT  29476L10         169,816,259.00    7,093,411    7,093,071         340
JOHNSON CTLS INC       COM         47836610         166,787,358.00    2,171,145    2,162,180       5,765        3,200
ROHM & HAAS CO         COM         77537110         164,488,046.00    5,306,066    5,169,618     113,823       22,625
DTE ENERGY CO          COM         23333110         164,469,025.00    4,041,008    4,033,730       6,578          700
NORTH FORK BANCORPOR   COM         65942410         162,922,314.00    4,305,558    4,282,793      10,865       11,900
BEST BUY INC           COM         08651610         160,870,739.00    7,210,701    7,171,014      33,773        5,914
STAPLES INC            COM         85503010         159,269,994.00   12,452,697   12,109,171     237,002      106,524
REGIONS FINL CORP      COM         75894010         158,358,514.00    4,847,215    4,806,771      28,840       11,604
NEXTEL COMMUNICATION   CL A        65332V10         157,501,252.00   20,861,093   20,793,375      45,623       22,095
BEAR STEARNS COS INC   COM         07390210         157,241,508.00    2,787,970    2,780,351       7,414          205
ECOLAB INC             COM         27886510         157,183,431.00    3,766,677    3,275,621     396,527       94,529
ALLERGAN INC           COM         01849010         156,849,616.00    2,883,265    2,876,885       6,080          300
PUBLIC SVC ENTERPRIS   COM         74457310         156,650,348.00    5,136,077    5,116,991      13,551        5,535
AGILENT TECHNOLOGIES   COM         00846U10         155,120,842.00   11,877,553   11,626,438     124,153      126,962
MARRIOTT INTL INC NE   CL A        57190320         155,100,558.00    5,350,140    5,313,795      35,080        1,265
HALLIBURTON CO         COM         40621610         154,795,521.00   11,990,358   11,961,713      25,843        2,802
CINTAS CORP            COM         17290810         154,362,393.00    3,682,309    3,641,997      10,912       29,400
LOEWS CORP             COM         54042410         151,897,465.00    3,541,559    3,531,179       9,180        1,200
CHARTER ONE FINL INC   COM         16090310         151,394,363.00    5,094,023    5,079,132      14,462          429
APOLLO GROUP INC       CL A        03760410         151,044,198.00    3,477,877    3,460,847      16,580          450
CHIRON CORP            COM         17004010         149,207,391.00    4,270,389    4,255,251      12,177        2,961
AMEREN CORP            COM         02360810         148,237,472.00    3,559,123    3,540,994      18,044           85
VERITAS SOFTWARE CO    COM         92343610         147,353,592.00   10,044,553   10,018,803      25,250          500
INTERNATIONAL GAME T   COM         45990210         146,732,226.00    2,122,248    2,119,441       2,507          300
INTERPUBLIC GROUP CO   COM         46069010         145,306,761.00    9,167,619    8,684,570     348,060      134,989
SUNGARD DATA SYS INC   COM         86736310         143,707,705.00    7,388,571    6,776,938     529,733       81,900
Page Total                                        6,514,395,815.00


                                      Voting Authority
     Name of                  Sole         Shared        None
     Issuer
----------------------------------------------------------------
                                            
DOW JONES & CO INC          1,605,454    2,866,603      231,396
XL CAP LTD                  2,146,960       33,800      270,700
ST PAUL COS INC             5,436,410       66,847      736,113
MAY DEPT STORES CO          6,732,541      170,998      956,445
MICRON TECHNOLOGY IN       12,256,825      190,815    1,971,640
MOODYS CORP                 3,058,311      127,330      477,535
SIMON PPTY GROUP INC        4,303,518       48,500      600,153
AMERISOURCEBERGEN CO        2,183,848       74,167      204,194
NEW YORK TIMES CO           3,255,488      106,998      503,603
ACE LTD                     5,373,432       61,400      440,801
FEDERATED DEPT STORE        5,120,440       65,246      721,734
TRW INC                     2,488,043       88,988      363,932
BIOMET INC                  5,442,123      244,318      778,753
FRANKLIN RES INC            4,758,703      144,617      624,934
EQUITY RESIDENTIAL          6,168,428       72,200      852,783
JOHNSON CTLS INC            1,814,358       33,597      323,190
ROHM & HAAS CO              4,591,476       90,181      624,409
DTE ENERGY CO               3,453,892       72,212      514,904
NORTH FORK BANCORPOR        3,605,303      121,650      578,605
BEST BUY INC                6,059,558      233,749      917,394
STAPLES INC                10,452,996      421,628    1,578,073
REGIONS FINL CORP           4,234,149       80,691      532,375
NEXTEL COMMUNICATION       17,539,153      617,727    2,704,213
BEAR STEARNS COS INC        2,417,631       33,121      337,218
ECOLAB INC                  3,222,280      185,603      358,794
ALLERGAN INC                2,438,430      132,446      312,389
PUBLIC SVC ENTERPRIS        4,269,370       94,817      771,890
AGILENT TECHNOLOGIES       10,105,341      286,745    1,485,467
MARRIOTT INTL INC NE        4,603,687       76,163      670,290
HALLIBURTON CO             10,076,703      128,973    1,784,682
CINTAS CORP                 3,102,005      153,473      426,831
LOEWS CORP                  3,376,520       39,352      125,687
CHARTER ONE FINL INC        4,465,218       64,556      564,249
APOLLO GROUP INC            3,047,398      124,850      305,629
CHIRON CORP                 3,687,586      100,487      482,316
AMEREN CORP                 3,014,003       70,533      474,587
VERITAS SOFTWARE CO         8,674,346      138,714    1,231,493
INTERNATIONAL GAME T        1,811,418       32,700      278,130
INTERPUBLIC GROUP CO        7,645,340      409,822    1,112,457
SUNGARD DATA SYS INC        6,304,106      291,900      792,565
Page Total


                                                                         7 of 82





                                                                                         Investment Discretion
     Name of          Title of       Cusip           Fair Market      Shares         Sole      Shared as      Shared
     Issuer             Class        Number             Value        Prin Amt                   Defined       Other
---------------------------------------------------------------------------------------------------------------------
                                                                                         
PPL CORP               COM         69351T10         143,381,229.00    4,406,307    4,391,582      12,345        2,380
JEFFERSON PILOT CORP   COM         47507010         142,841,212.00    3,562,125    3,537,453      11,584       13,088
MBIA INC               COM         55262C10         142,291,433.00    3,561,738    3,540,527      11,536        9,675
DOVER CORP             COM         26000310         140,818,493.00    5,548,404    5,463,529      17,629       67,246
LINCOLN NATL CORP IN   COM         53418710         139,349,670.00    4,561,364    4,536,598      18,715        6,051
LEXMARK INTL NEW       CL A        52977110         138,736,574.00    2,951,842    2,933,286      18,456          100
CSX CORP               COM         12640810         138,164,801.00    5,237,483    5,212,855      19,520        5,108
FISERV INC             COM         33773810         137,103,716.00    4,882,611    4,868,146      13,465        1,000
COUNTRYWIDE CR INDS    COM         22237210         135,732,779.00    2,878,744    2,872,994       5,650          100
STARWOOD HOTELS&RESO   PAIRED CTF  85590A20         134,133,942.00    6,014,975    4,759,004   1,255,971
ITT INDS INC IND       COM         45091110         133,492,721.00    2,141,709    2,127,540       3,200       10,969
TRANSOCEAN INC         ORD         G9007810         132,121,724.00    6,352,006    6,291,652      33,198       27,156
KLA-TENCOR CORP        COM         48248010         131,864,757.00    4,719,569    4,705,467      13,762          340
SYNOVUS FINL CORP      COM         87161C10         131,401,053.00    6,372,505    6,360,205      12,000          300
UNUMPROVIDENT CORP     COM         91529Y10         131,167,369.00    6,445,571    6,412,129      25,382        8,060
XILINX INC             COM         98391910         131,162,872.00    8,281,530    8,229,884      35,526       16,120
COMPUTER ASSOC INTL    COM         20491210         131,129,894.00   13,659,364   13,624,783      33,741          840
CINCINNATI FINL CORP   COM         17206210         130,415,963.00    3,665,429    3,659,294       5,915          220
GENUINE PARTS CO       COM         37246010         129,453,662.00    4,224,989    4,201,843      18,246        4,900
CINERGY CORP           COM         17247410         129,422,642.00    4,117,806    4,107,614       9,412          780
AETNA INC NEW          COM         00817Y10         129,237,896.00    3,608,989    3,601,804       6,835          350
AMBAC FINL GROUP INC   COM         02313910         127,762,304.00    2,370,798    2,362,140       5,291        3,367
YAHOO INC              COM         98433210         127,358,229.00   13,308,070   13,289,385      17,605        1,080
MEDIMMUNE INC          COM         58469910         126,991,408.00    6,070,335    6,025,767      29,695       14,873
AMERADA HESS CORP      COM         02355110         126,894,057.00    1,869,388    1,860,898       5,115        3,375
V F CORP               COM         91820410         126,809,854.00    3,524,454    3,516,039       5,015        3,400
AON CORP               COM         03738910         126,479,401.00    6,172,738    6,146,668      13,274       12,796
BIOGEN INC             COM         09059710         126,242,710.00    4,313,041    3,588,179     723,262        1,600
MARSHALL & ILSLEY CO   COM         57183410         126,210,672.00    4,525,302    4,520,262       4,440          600
APPLE COMPUTER INC     COM         03783310         125,623,925.00    8,663,719    8,633,739      27,300        2,680
SAFECO CORP            COM         78642910         122,825,886.00    3,864,880    3,853,661       4,820        6,399
BLACK & DECKER CORP    COM         09179710         122,811,628.00    2,928,968    2,923,053       5,415          500
UNION PLANTERS CORP    COM         90806810         122,269,357.00    4,452,635    4,439,595      12,590          450
APPLERA CORP           COM AP BIO  03802010         121,943,056.00    6,663,555    6,264,242     346,943       52,370
EL PASO CORP           COM         28336L10         121,929,117.00   14,743,545   14,674,234      35,334       33,977
UNIVISION COMMUNICAT   CL A        91490610         121,354,390.00    5,322,561    4,968,248     302,017       52,296
JONES APPAREL GROUP    COM         48007410         120,021,588.00    3,909,498    3,902,326       6,872          300
HEALTH MGMT ASSOC IN   CL A        42193310         119,972,215.00    5,933,344    5,913,165      19,499          680
COMPUTER SCIENCES CO   COM         20536310         118,389,457.00    4,260,146    4,174,123      42,533       43,490
NABORS INDUSTRIES LT   SHS         G6359F10         117,536,540.00    3,588,902    3,478,416     110,486
Page Total                                        5,182,850,196.00


                                      Voting Authority
     Name of                  Sole         Shared        None
     Issuer
----------------------------------------------------------------
                                             
PPL CORP                    3,838,305       58,645      509,357
JEFFERSON PILOT CORP        2,996,552       55,295      510,278
MBIA INC                    2,975,352       75,955      510,431
DOVER CORP                  4,728,907      139,953      679,544
LINCOLN NATL CORP IN        3,853,471       71,115      636,778
LEXMARK INTL NEW            2,501,747       93,793      356,302
CSX CORP                    4,510,677       79,409      647,397
FISERV INC                  4,104,620      145,881      632,110
COUNTRYWIDE CR INDS         2,478,707       34,230      365,807
STARWOOD HOTELS&RESO        4,067,176    1,346,399      601,400
ITT INDS INC IND            1,808,890       60,121      272,698
TRANSOCEAN INC              5,451,042      146,893      754,071
KLA-TENCOR CORP             3,972,172      129,158      618,239
SYNOVUS FINL CORP           5,397,338      207,364      767,803
UNUMPROVIDENT CORP          5,484,363       93,974      867,234
XILINX INC                  6,898,064      247,394    1,136,072
COMPUTER ASSOC INTL        11,498,634      192,985    1,967,745
CINCINNATI FINL CORP        3,129,801       40,665      494,963
GENUINE PARTS CO            3,599,217       55,049      570,723
CINERGY CORP                3,527,668       67,699      522,439
AETNA INC NEW               3,061,300       30,426      517,263
AMBAC FINL GROUP INC        2,038,103       32,377      300,318
YAHOO INC                  11,116,996      407,940    1,783,134
MEDIMMUNE INC               5,032,743      226,507      811,085
AMERADA HESS CORP           1,651,714       36,210      181,464
V F CORP                    3,114,844       36,625      372,985
AON CORP                    5,246,715       87,251      838,772
BIOGEN INC                  3,695,659      131,506      485,876
MARSHALL & ILSLEY CO        3,998,148       49,200      477,954
APPLE COMPUTER INC          7,334,185      127,812    1,201,722
SAFECO CORP                 3,370,830       50,071      443,979
BLACK & DECKER CORP         2,414,878       66,885      447,205
UNION PLANTERS CORP         3,871,800       66,383      514,452
APPLERA CORP                5,706,057      162,056      795,442
EL PASO CORP               12,742,639      218,502    1,782,404
UNIVISION COMMUNICAT        4,651,857      197,360      473,344
JONES APPAREL GROUP         3,365,997       43,050      500,451
HEALTH MGMT ASSOC IN        5,136,598      142,430      654,316
COMPUTER SCIENCES CO        3,637,523      104,376      518,247
NABORS INDUSTRIES LT        3,254,376       49,900      284,626
Page Total


                                                                         8 of 82





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

--------------------------------------------------------------------------------------------------------------------------
                                                                                             
KNIGHT RIDDER INC      COM         49904010         117,391,297.00    2,081,037    2,072,522       8,235          280
LEAR CORP              COM         52186510         117,172,695.00    2,813,270    2,800,763       9,012        3,495
EATON CORP             COM         27805810         116,227,212.00    1,823,458    1,773,014      50,144          300
TEXTRON INC            COM         88320310         116,131,266.00    3,405,609    3,377,749      21,869        5,991
KEYSPAN CORP           COM         49337W10         115,183,753.00    3,438,321    3,421,733      13,163        3,425
DARDEN RESTAURANTS I   COM         23719410         114,668,822.00    4,730,562    4,719,545       9,667        1,350
INGERSOLL-RAND COMPA   CL A        G4776G10         114,654,582.00    3,329,111    3,314,738       7,163        7,210
OFFICE DEPOT INC       COM         67622010         113,310,199.00    9,182,350    9,163,388      18,142          820
MGIC INVT CORP WIS     COM         55284810         112,995,759.00    2,767,469    2,757,119       6,350        4,000
ADOBE SYS INC          COM         00724F10         112,446,360.00    5,887,244    5,874,634      11,830          780
MAYTAG CORP            COM         57859210         110,965,812.00    4,787,136    2,106,558   2,675,338        5,240
KRAFT FOODS INC        CL A        50075N10         110,907,564.00    3,041,897    2,856,529     151,424       33,944
PARKER HANNIFIN CORP   COM         70109410         109,580,051.00    2,867,837    2,808,169      29,466       30,202
SHERWIN WILLIAMS CO    COM         82434810         108,903,609.00    4,598,970    4,580,310       8,560       10,100
IMS HEALTH INC         COM         44993410         107,982,322.00    7,213,248    7,190,289      19,539        3,420
BJ SVCS CO             COM         05548210         106,688,400.00    4,103,400    4,097,240       5,680          480
FIRST TENN NATL CORP   COM         33716210         105,441,628.00    3,041,293    3,030,993       8,950        1,350
HUNTINGTON BANCSHARE   COM         44615010         104,665,696.00    5,754,024    5,737,164      15,540        1,320
SONOCO PRODS CO        COM         83549510         104,332,460.00    4,895,939    1,202,303   3,691,901        1,735
KING PHARMACEUTICALS   COM         49558210         102,565,089.00    5,644,749    5,637,850       6,566          333
EOG RES INC            COM         26875P10         102,554,611.00    2,851,908    2,770,663      60,980       20,265
NOBLE CORPORATION      SHS         G6542210         102,547,380.00    3,307,980    3,171,298     107,957       28,725
CONSTELLATION ENERGY   COM         21037110         102,224,242.00    4,123,608    4,105,184      14,104        4,320
MONSANTO CO NEW        COM         61166W10         101,663,791.00    6,649,038    6,612,944      26,288        9,806
UST INC                COM         90291110         101,297,624.00    3,590,841    3,573,175      12,586        5,080
AMERICAN STD COS INC   COM         02971210         100,649,257.00    1,582,038    1,579,883       1,855          300
KINDER MORGAN INC KA   COM         49455P10          99,637,436.00    2,810,647    2,802,364       5,833        2,450
SEMPRA ENERGY          COM         81685110          99,576,571.00    5,067,510    5,053,290      13,920          300
FAMILY DLR STORES IN   COM         30700010          99,555,482.00    3,703,701    3,692,461       7,640        3,600
GENZYME CORP           COM GENL D  37291710          99,256,523.00    4,815,940    4,787,053      23,912        4,975
ROCKWELL COLLINS INC   COM         77434110          97,041,409.00    4,423,036    4,389,642      14,379       19,015
DOLLAR GEN CORP        COM         25666910          97,021,715.00    7,229,636    7,213,842      11,447        4,347
TORCHMARK CORP         COM         89102710          95,954,140.00    2,800,763    2,780,713      13,250        6,800
EQUIFAX INC            COM         29442910          94,695,222.00    4,355,806    4,340,816       8,990        6,000
HILTON HOTELS CORP     COM         43284810          94,287,590.00    8,285,377    8,263,304      20,433        1,640
GRAINGER W W INC       COM         38480210          93,053,488.00    2,186,921    2,175,696      10,501          724
RADIOSHACK CORP        COM         75043810          92,971,881.00    4,634,690    4,620,598       7,852        6,240
VULCAN MATLS CO        COM         92916010          92,788,874.00    2,566,064    2,561,518       4,546
MOLEX INC              COM         60855410          92,144,468.00    3,917,707    3,906,857       9,262        1,588
WPS RESOURCES CORP     COM         92931B10          90,357,682.00    2,549,596      485,297   2,064,179          120
Page Total                                        4,171,493,962.00


                                   Voting Authority
     Name of               Sole         Shared         None
     Issuer

-------------------------------------------------------------
                                            
KNIGHT RIDDER INC        1,823,886       25,960      231,191
LEAR CORP                2,659,625       13,595      140,050
EATON CORP               1,505,481       68,128      249,849
TEXTRON INC              2,928,619       61,419      415,571
KEYSPAN CORP             2,929,882       51,516      456,923
DARDEN RESTAURANTS I     4,029,886      133,510      567,166
INGERSOLL-RAND COMPA     2,833,918       55,304      439,889
OFFICE DEPOT INC         6,093,682    2,286,066      802,602
MGIC INVT CORP WIS       2,311,705       55,921      399,843
ADOBE SYS INC            4,971,635      172,234      743,375
MAYTAG CORP              1,731,106    2,723,452      332,578
KRAFT FOODS INC          2,449,500       39,144      553,253
PARKER HANNIFIN CORP     2,428,025       73,606      366,206
SHERWIN WILLIAMS CO      3,941,989       67,892      589,089
IMS HEALTH INC           6,015,648      208,929      988,671
BJ SVCS CO               3,495,629       97,880      509,891
FIRST TENN NATL CORP     2,488,336       34,850      518,107
HUNTINGTON BANCSHARE     4,975,614       59,556      718,854
SONOCO PRODS CO          1,112,276    3,688,606       95,057
KING PHARMACEUTICALS     4,971,497       51,815      621,437
EOG RES INC              2,460,470       44,534      346,904
NOBLE CORPORATION        2,938,859       64,775      304,346
CONSTELLATION ENERGY     3,516,767       60,615      546,226
MONSANTO CO NEW          5,741,781       66,663      840,594
UST INC                  3,232,211      100,598      258,032
AMERICAN STD COS INC     1,327,620       50,900      203,518
KINDER MORGAN INC KA     2,364,410       40,988      405,249
SEMPRA ENERGY            4,361,205       68,384      637,921
FAMILY DLR STORES IN     3,212,314      117,800      373,587
GENZYME CORP             4,154,385      102,075      559,480
ROCKWELL COLLINS INC     3,660,698      194,960      567,378
DOLLAR GEN CORP          6,136,190      226,304      867,142
TORCHMARK CORP           2,423,533       49,353      327,877
EQUIFAX INC              3,784,575      112,321      458,910
HILTON HOTELS CORP       7,139,208       88,172    1,057,997
GRAINGER W W INC         1,867,035       32,628      287,258
RADIOSHACK CORP          3,914,287      122,430      597,973
VULCAN MATLS CO          2,244,206       28,416      293,442
MOLEX INC                3,369,936      135,284      412,487
WPS RESOURCES CORP         410,983    2,063,079       75,534
Page Total


                                                                         9 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                          
TRAVELERS PPTY CAS C   CL A        89420G10          90,346,423.00    6,844,426    1,075,785   5,749,805       18,836
PEOPLESOFT INC         COM         71271310          89,828,960.00    7,261,840    7,242,615      18,865          360
SYMANTEC CORP          COM         87150310          89,683,878.00    2,666,782    2,657,713       8,469          600
ZIONS BANCORPORATION   COM         98970110          89,081,141.00    2,046,431    2,041,155       5,076          200
SIGMA ALDRICH CORP     COM         82655210          88,915,204.00    1,804,652    1,781,600      21,462        1,590
SPDR TR                UNIT SER 1  78462F10          88,561,721.00    1,082,794    1,079,312       3,482
LIZ CLAIBORNE INC      COM         53932010          87,640,318.00    3,512,638    3,504,498       6,140        2,000
BROWN FORMAN CORP      CL B        11563720          87,426,188.00    1,305,843    1,303,743       2,100
NISOURCE INC           COM         65473P10          87,342,832.00    5,069,230    5,055,273      12,257        1,700
LEGGETT & PLATT INC    COM         52466010          86,663,833.00    4,379,173    4,222,755     148,488        7,930
PLUM CREEK TIMBER CO   COM         72925110          85,456,823.00    3,779,603    3,777,816       1,787
DELUXE CORP            COM         24801910          85,057,554.00    1,887,651    1,865,171      10,890       11,590
QWEST COMMUNICATIONS   COM         74912110          84,524,472.00   37,072,137   37,004,955      59,297        7,885
WHIRLPOOL CORP         COM         96332010          84,400,193.00    1,840,388    1,831,033       8,955          400
WENDYS INTL INC        COM         95059010          84,248,295.00    2,544,497    2,538,377       6,120
BMC SOFTWARE INC       COM         05592110          83,557,751.00    6,393,095    6,378,600      13,975          520
BALL CORP              COM         05849810          83,544,251.00    1,657,953    1,653,823       3,930          200
NUCOR CORP             COM         67034610          82,370,647.00    2,173,368    2,128,055      21,226       24,087
PACCAR INC             COM         69371810          82,258,511.00    2,434,404    2,424,949       5,930        3,525
ALTERA CORP            COM         02144110          81,731,855.00    9,426,973    9,269,689     117,334       39,950
CIRCUIT CITY STORE I   CIRCT CITY  17273710          81,019,018.00    5,347,790    5,336,550      11,080          160
GEORGIA PAC CORP       COM         37329810          79,372,929.00    6,063,631    6,042,751      17,232        3,648
WATERS CORP            COM         94184810          79,134,273.00    3,263,269    3,249,139       6,630        7,500
XCEL ENERGY INC        COM         98389B10          78,796,814.00    8,463,675    8,422,221      29,633       11,821
BARD C R INC           COM         06738310          78,617,978.00    1,439,099    1,431,954       7,145
DONNELLEY R R & SONS   COM         25786710          77,059,103.00    3,277,716    3,271,061       6,495          160
MYLAN LABS INC         COM         62853010          76,130,289.00    2,325,299    2,319,189       5,260          850
M & T BK CORP          COM         55261F10          75,154,319.00      953,614      917,165       6,238       30,211
GENENTECH INC          COM NEW     36871040          73,942,320.00    2,266,084    2,253,430      10,319        2,335
RELIANT ENERGY INC     COM         75952J10          73,669,980.00    7,366,998    7,341,388      20,260        5,350
SUNOCO INC             COM         86764P10          73,379,641.00    2,433,012    2,426,125       6,787          100
IDEC PHARMACEUTICALS   COM         44937010          73,327,932.00    1,766,087    1,742,238       6,716       17,133
REYNOLDS R J TOB HLD   COM         76182K10          72,106,151.00    1,788,347    1,779,143       6,858        2,346
COOPER INDS LTD        CL A        G2418210          71,998,212.00    2,372,264    2,362,877       9,287          100
INTERNATIONAL FLAVOR   COM         45950610          71,896,438.00    2,257,345    2,249,270       3,475        4,600
PRICE T ROWE GROUP I   COM         74144T10          71,607,843.00    2,868,904    2,686,377     150,127       32,400
EASTMAN CHEM CO        COM         27743210          71,492,600.00    1,873,005    1,869,094       2,403        1,508
CENTURYTEL INC         COM         15670010          71,453,366.00    3,185,616    2,965,241     158,652       61,723
QLOGIC CORP            COM         74727710          70,987,175.00    2,726,082    2,711,560       8,122        6,400
JABIL CIRCUIT INC      COM         46631310          70,978,038.00    4,802,303    4,738,443      37,335       26,525
Page Total                                        3,214,765,269.00


                                   Voting Authority
     Name of                Sole        Shared         None
     Issuer

--------------------------------------------------------------
                                            
TRAVELERS PPTY CAS C        864,648    5,717,777      262,001
PEOPLESOFT INC            6,188,688       97,799      975,353
SYMANTEC CORP             2,503,682       11,300      151,800
ZIONS BANCORPORATION      1,784,760       23,703      237,968
SIGMA ALDRICH CORP        1,517,786       54,455      232,411
SPDR TR                     556,121                   526,673
LIZ CLAIBORNE INC         3,040,211       27,964      444,463
BROWN FORMAN CORP         1,148,579       38,915      118,349
NISOURCE INC              4,242,025       60,677      766,528
LEGGETT & PLATT INC       3,801,730       56,668      520,775
PLUM CREEK TIMBER CO      3,373,163       44,274      362,166
DELUXE CORP               1,665,056       58,266      164,329
QWEST COMMUNICATIONS     31,974,408      502,839    4,594,890
WHIRLPOOL CORP            1,553,220       21,852      265,316
WENDYS INTL INC           2,154,956       44,129      345,412
BMC SOFTWARE INC          5,502,280       80,678      810,137
BALL CORP                 1,487,577       43,300      127,076
NUCOR CORP                1,803,981       48,913      320,474
PACCAR INC                2,124,613       33,996      275,795
ALTERA CORP               8,199,799      286,076      941,098
CIRCUIT CITY STORE I      4,555,464       57,482      734,844
GEORGIA PAC CORP          5,016,847       77,970      968,814
WATERS CORP               2,757,388      116,350      389,531
XCEL ENERGY INC           7,415,492      139,607      908,576
BARD C R INC              1,224,202       10,816      204,081
DONNELLEY R R & SONS      2,698,601       46,518      532,597
MYLAN LABS INC            2,128,783       11,300      185,216
M & T BK CORP               865,045       31,611       56,958
GENENTECH INC             1,852,750       12,185      401,149
RELIANT ENERGY INC        6,845,958        5,350      515,690
SUNOCO INC                2,135,921       39,433      257,658
IDEC PHARMACEUTICALS      1,552,409       19,133      194,545
REYNOLDS R J TOB HLD      1,722,882       20,696       44,769
COOPER INDS LTD           2,072,708       29,200      270,356
INTERNATIONAL FLAVOR      1,881,140      129,311      246,894
PRICE T ROWE GROUP I      2,511,630      116,868      240,406
EASTMAN CHEM CO           1,599,834       21,954      251,217
CENTURYTEL INC            2,816,075       94,665      274,876
QLOGIC CORP               2,350,916       71,702      303,464
JABIL CIRCUIT INC         4,209,156       91,231      501,916
Page Total


                                                                        10 of 82





                                                                                         Investment Discretion
     Name of          Title of      Cusip            Fair Market      Shares         Sole      Shared as      Shared
     Issuer            Class        Number              Value        Prin Amt                   Defined       Other
----------------------------------------------------------------------------------------------------------------------
                                                                                       
GREENPOINT FINL CORP   COM         39538410          70,337,409.00    1,685,132    1,679,852       4,980          300
ENGELHARD CORP         COM         29284510          70,199,343.00    2,945,839    2,940,824       5,015
TIFFANY & CO NEW       COM         88654710          70,094,315.00    3,270,850    3,258,280       8,200        4,370
NOVELLUS SYS INC       COM         67000810          69,839,296.00    3,356,045    3,347,875       7,970          200
QUEST DIAGNOSTICS IN   COM         74834L10          68,798,846.00    1,118,135    1,113,720       4,215          200
ROCKWELL AUTOMATION    COM         77390310          68,675,539.00    4,220,992    4,184,636      13,799       22,557
SPX CORP               COM         78463510          68,108,912.00      675,014      606,370      52,540       16,104
SUPERVALU INC          COM         86853610          67,953,208.00    4,207,629    4,194,839       4,790        8,000
THERMO ELECTRON CORP   COM         88355610          67,785,663.00    4,202,459    4,183,873      14,142        4,444
OLD REP INTL CORP      COM         68022310          67,414,391.00    2,375,419    2,368,628       6,091          700
GILEAD SCIENCES INC    COM         37555810          67,207,364.00    2,004,395    1,981,836      12,069       10,490
BROADCOM CORP          CL A        11132010          66,194,597.00    6,197,996    6,188,357       8,774          865
ROBERT HALF INTL INC   COM         77032310          65,200,308.00    4,108,400    4,103,260       4,900          240
SABRE HLDGS CORP       CL A        78590510          64,576,561.00    3,337,290    3,326,450       9,416        1,424
STANLEY WKS            COM         85461610          64,153,098.00    1,963,670    1,946,756      16,054          860
SIEBEL SYS INC         COM         82617010          64,129,002.00   11,152,870   11,125,518      26,692          660
POLYONE CORP           COM         73179P10          63,552,333.00    7,398,409    1,149,919   6,248,490
LUCENT TECHNOLOGIES    COM         54946310          63,412,762.00   83,437,845   82,954,018     424,295       59,532
CENTEX CORP            COM         15231210          63,220,747.00    1,425,496    1,421,576       3,820          100
CONVERGYS CORP         COM         21248510          63,130,794.00    4,200,319    4,008,898      99,655       91,766
NATIONAL COMMERCE FI   COM         63545P10          62,958,139.00    2,513,299    2,501,959      10,550          790
WATSON PHARMACEUTICA   COM         94268310          62,920,086.00    2,567,119    2,555,096      10,823        1,200
TEMPLE INLAND INC      COM         87986810          62,810,603.00    1,625,954    1,242,231     383,623          100
BANKNORTH GROUP INC    COM         06646R10          62,246,992.00    2,620,926    1,831,528     751,412       37,986
COX COMMUNICATIONS I   CL A        22404410          62,147,339.00    2,527,342    2,509,184      13,290        4,868
JDS UNIPHASE CORP      COM         46612J10          61,341,415.00   31,489,433   31,326,571     157,534        5,328
PACTIV CORP            COM         69525710          61,196,632.00    3,720,160    3,713,250       6,910
LENNAR CORP            COM         52605710          60,040,253.00    1,076,376    1,070,903       4,788          685
PINNACLE WEST CAP CO   COM         72348410          59,686,609.00    2,150,094    2,147,924       2,170
SCIENTIFIC ATLANTA I   COM         80865510          59,630,766.00    4,766,648    4,751,928      14,400          320
FLUOR CORP NEW         COM         34341210          59,445,925.00    2,432,321    2,428,501       3,820
OXFORD HEALTH PLANS    COM         69147110          58,975,759.00    1,514,529    1,509,554       4,435          540
STILWELL FINL INC      COM         86083110          58,900,211.00    4,879,885    4,854,545      19,240        6,100
GOODRICH CORP          COM         38238810          58,425,702.00    3,091,307    3,085,149       5,598          560
NETWORK APPLIANCE IN   COM         64120L10          58,041,659.00    7,918,371    7,901,861      15,820          690
WILEY JOHN & SONS IN   CL A        96822320          57,817,430.00    2,626,871      341,647     247,920    2,037,304
BEMIS INC              COM         08143710          57,549,962.00    1,164,979    1,150,064       6,215        8,700
KB HOME                COM         48666K10          56,856,841.00    1,164,145    1,162,695       1,450
BOISE CASCADE CORP     COM         09738310          56,424,961.00    2,474,779    1,173,195   1,301,584
MGM MIRAGE             COM         55295310          55,873,236.00    1,497,942    1,494,682       3,160          100
Page Total                                        2,527,275,008.00


                                 Voting Authority
     Name of              Sole         Shared        None
     Issuer
------------------------------------------------------------
                                        
GREENPOINT FINL CORP    1,480,983        9,700      194,449
ENGELHARD CORP          2,518,256       99,881      327,702
TIFFANY & CO NEW        2,810,426       99,215      361,209
NOVELLUS SYS INC        2,917,188       43,214      395,643
QUEST DIAGNOSTICS IN    1,008,189        1,500      108,446
ROCKWELL AUTOMATION     3,594,386       84,403      542,203
SPX CORP                  594,749       19,104       61,161
SUPERVALU INC           3,683,985       61,567      462,077
THERMO ELECTRON CORP    3,530,682       99,046      572,731
OLD REP INTL CORP       2,215,880       14,900      144,639
GILEAD SCIENCES INC     1,865,725       13,690      124,980
BROADCOM CORP           5,434,135       84,117      679,744
ROBERT HALF INTL INC    3,485,904      127,171      495,325
SABRE HLDGS CORP        2,812,637      119,023      405,630
STANLEY WKS             1,639,657       60,660      263,353
SIEBEL SYS INC          9,487,699      335,620    1,329,551
POLYONE CORP              989,769    6,242,430      166,210
LUCENT TECHNOLOGIES    70,956,835    1,175,759   11,305,251
CENTEX CORP             1,225,009       20,966      179,521
CONVERGYS CORP          3,548,244      177,119      474,956
NATIONAL COMMERCE FI    2,218,026        4,390      290,883
WATSON PHARMACEUTICA    2,220,961       23,028      323,130
TEMPLE INLAND INC       1,087,238      392,354      146,362
BANKNORTH GROUP INC     2,467,006       40,486      113,434
COX COMMUNICATIONS I    2,131,407        8,768      387,167
JDS UNIPHASE CORP      27,126,560      400,252    3,962,621
PACTIV CORP             3,333,242       60,463      326,455
LENNAR CORP               974,681        6,385       95,310
PINNACLE WEST CAP CO    1,927,939       29,006      193,149
SCIENTIFIC ATLANTA I    4,186,062       56,347      524,239
FLUOR CORP NEW          2,169,252       21,932      241,137
OXFORD HEALTH PLANS     1,359,056        2,040      153,433
STILWELL FINL INC       4,247,169       72,102      560,614
GOODRICH CORP           2,397,033      285,491      408,783
NETWORK APPLIANCE IN    6,696,881      242,630      978,860
WILEY JOHN & SONS IN      554,607    2,038,404       33,860
BEMIS INC               1,018,373       28,609      117,997
KB HOME                 1,025,441       10,800      127,904
BOISE CASCADE CORP      1,060,382    1,313,334      101,063
MGM MIRAGE              1,386,830       15,800       95,312
Page Total


                                                                        11 of 82





                                                                                          Investment Discretion
     Name of          Title of       Cusip           Fair Market       Shares        Sole      Shared as      Shared
     Issuer            Class         Number             Value         Prin Amt                  Defined       Other
---------------------------------------------------------------------------------------------------------------------
                                                                                        
PROLOGIS               SH BEN INT  74341010          55,808,289.00    2,240,397    2,126,134     114,263
DANA CORP              COM         23581110          55,277,388.00    4,226,100    4,207,002      16,332        2,766
UNISYS CORP            COM         90921410          55,272,728.00    7,896,104    7,883,604      11,625          875
MANOR CARE INC NEW     COM         56405510          55,181,431.00    2,454,690    2,449,475       3,865        1,350
ALBERTO CULVER CO      CL B CONV   01306810          54,993,715.00    1,121,634    1,119,964       1,570          100
EDWARDS LIFESCIENCES   COM         28176E10          54,695,426.00    2,137,375    1,098,932   1,038,003          440
DILLARDS INC           CL A        25406710          54,549,304.00    2,703,137    2,699,727       3,310          100
TECO ENERGY INC        COM         87237510          54,299,023.00    3,419,334    3,245,350      98,687       75,297
WINN DIXIE STORES IN   COM         97428010          54,027,005.00    4,117,912    4,110,272       7,540          100
MICHAELS STORES INC    COM         59408710          54,007,071.00    1,181,774      667,326     514,288          160
COORS ADOLPH CO        CL B        21701610          53,177,939.00      944,546      942,776       1,770
WESTWOOD ONE INC       COM         96181510          53,022,719.00    1,483,153    1,474,853       8,000          300
PHELPS DODGE CORP      COM         71726510          52,282,252.00    2,039,885    2,034,940       4,845          100
PULTE HOMES INC        COM         74586710          52,006,042.00    1,219,940    1,215,786       3,965          189
GENTEX CORP            COM         37190110          51,931,214.00    1,909,938    1,417,196     371,608      121,134
LSI LOGIC CORP         COM         50216110          51,725,156.00    8,145,694    8,113,614      30,700        1,380
CABOT CORP             COM         12705510          51,291,219.00    2,442,439      656,082      41,618    1,744,739
SCHEIN HENRY INC       COM         80640710          51,124,508.00      969,185      968,185         900          100
WASHINGTON POST CO     CL B        93964010          50,845,256.00       78,344       69,185       2,348        6,811
L-3 COMMUNICATIONS H   COM         50242410          50,136,935.00      951,365      949,045       2,120          200
ASHLAND INC            COM         04420410          50,081,226.00    1,869,400    1,863,826       3,680        1,894
TOYS R US INC          COM         89233510          49,929,265.00    4,904,643    4,890,053      14,250          340
AFFILIATED COMPUTER    CL A        00819010          49,795,541.00    1,170,283    1,163,953       5,770          560
MICROCHIP TECHNOLOGY   COM         59501710          48,512,226.00    2,372,236    2,358,361      13,275          600
DST SYS INC DEL        COM         23332610          47,712,519.00    1,619,020    1,573,621       3,250       42,149
NORDSTROM INC          COM         65566410          47,244,021.00    2,633,446    2,624,916       4,450        4,080
ARCHSTONE SMITH TR     COM         03958310          47,075,909.00    1,971,353    1,971,174         179
FREEPORT-MCMORAN COP   CL B        35671D85          47,055,594.00    3,495,958    3,477,051       5,590       13,317
ROSS STORES INC        COM         77829610          46,562,412.00    1,306,465    1,303,995       2,070          400
NATIONAL SEMICONDUCT   COM         63764010          46,423,424.00    3,888,059    3,880,189       6,950          920
SOLECTRON CORP         COM         83418210          45,904,725.00   21,755,794   21,612,563      87,458       55,773
HIBERNIA CORP          CL A        42865610          45,361,447.00    2,269,207    2,219,837      12,670       36,700
BRUNSWICK CORP         COM         11704310          45,262,489.00    2,151,259    2,148,959       2,300
HUMANA INC             COM         44485910          45,232,075.00    3,647,748    3,641,348       6,180          220
ENSCO INTL INC         COM         26874Q10          44,600,171.00    1,781,157    1,772,797       8,060          300
SERVICEMASTER CO       COM         81760N10          44,547,018.00    4,105,716    4,093,556      11,940          220
CITIZENS COMMUNICATI   COM         17453B10          44,502,475.00    6,563,787    6,545,479      17,808          500
SPRINT CORP            PCS COM SE  85206150          44,195,575.00   22,548,763   22,505,359      29,365       14,039
INVITROGEN CORP        COM         46185R10          44,133,085.00    1,295,365    1,107,931     154,444       32,990
MEREDITH CORP          COM         58943310          43,952,672.00    1,020,968    1,018,264         500        2,204
Page Total                                        1,993,738,489.00


                                    Voting Authority
     Name of                Sole         Shared        None
     Issuer
--------------------------------------------------------------
                                           
PROLOGIS                  2,029,410        2,791      208,196
DANA CORP                 3,578,109       36,976      611,015
UNISYS CORP               6,789,060      109,093      997,951
MANOR CARE INC NEW        2,054,405       22,902      377,383
ALBERTO CULVER CO           972,424       48,503      100,707
EDWARDS LIFESCIENCES      1,056,055    1,037,600       43,720
DILLARDS INC              2,411,365       24,700      267,072
TECO ENERGY INC           2,962,060      111,847      345,427
WINN DIXIE STORES IN      3,459,422       58,565      599,925
MICHAELS STORES INC         617,476      514,328       49,970
COORS ADOLPH CO             818,360        7,475      118,711
WESTWOOD ONE INC          1,423,333        1,600       58,220
PHELPS DODGE CORP         1,758,862       22,465      258,558
PULTE HOMES INC           1,074,347       21,296      124,297
GENTEX CORP               1,701,372      122,434       86,132
LSI LOGIC CORP            7,021,032       88,756    1,035,906
CABOT CORP                  621,015    1,745,839       75,585
SCHEIN HENRY INC            917,511        9,600       42,074
WASHINGTON POST CO           65,987        6,911        5,446
L-3 COMMUNICATIONS H        850,515        1,600       99,250
ASHLAND INC               1,680,780       26,343      162,277
TOYS R US INC             4,189,905       59,617      655,121
AFFILIATED COMPUTER       1,088,053        2,260       79,970
MICROCHIP TECHNOLOGY      2,216,496        4,050      151,690
DST SYS INC DEL           1,435,484       44,249      139,287
NORDSTROM INC             2,297,747       31,653      304,046
ARCHSTONE SMITH TR        1,695,691        3,000      272,662
FREEPORT-MCMORAN COP      2,976,528      116,286      403,144
ROSS STORES INC           1,227,821        2,050       76,594
NATIONAL SEMICONDUCT      3,367,537       44,832      475,690
SOLECTRON CORP           18,745,584      306,077    2,704,133
HIBERNIA CORP             2,105,877       39,500      123,830
BRUNSWICK CORP            1,920,679       18,136      212,444
HUMANA INC                3,206,191       36,470      405,087
ENSCO INTL INC            1,623,191        2,600      155,366
SERVICEMASTER CO          3,235,142        7,220      863,354
CITIZENS COMMUNICATI      5,633,306       70,085      860,396
SPRINT CORP              19,415,657      652,666    2,480,440
INVITROGEN CORP           1,163,314       33,890       98,161
MEREDITH CORP               890,585       33,003       97,380
Page Total


                                                                        12 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMERICAN PWR CONVERS   COM         02906610          43,555,379.00    4,556,002    4,546,022       9,740          240
ADVANCED MICRO DEVIC   COM         00790310          43,546,765.00    8,154,825    8,132,585      21,280          960
DEAN FOODS CO NEW      COM         24237010          43,333,030.00    1,089,317    1,087,069       1,880          368
PALL CORP              COM         69642930          43,124,511.00    2,731,128    2,722,843       7,760          525
APARTMENT INVT & MGM   CLA         03748R10          42,974,549.00    1,106,166    1,044,431      61,735
HEALTHSOUTH CORP       COM         42192410          42,769,190.00   10,305,829   10,189,042     116,507          280
HASBRO INC             COM         41805610          42,440,125.00    3,813,129    3,804,372       8,757
ROWAN COS INC          COM         77938210          42,404,546.00    2,274,922    2,268,872       5,690          360
VORNADO RLTY TR        SH BEN INT  92904210          42,068,099.00    1,066,365    1,023,355      43,010
COMPASS BANCSHARES I   COM         20449H10          41,875,623.00    1,419,994    1,414,584       5,010          400
ENERGIZER HLDGS INC    COM         29266R10          41,865,846.00    1,377,166    1,374,911       1,889          366
TERADYNE INC           COM         88077010          41,395,660.00    4,312,048    4,303,923       7,905          220
TELLABS INC            COM         87966410          41,326,043.00   10,153,819   10,127,449      23,010        3,360
RYDER SYS INC          COM         78354910          41,252,020.00    1,654,714    1,653,244       1,470
SEALED AIR CORP NEW    COM         81211K10          41,065,636.00    2,431,358    2,408,724      22,184          450
WORTHINGTON INDS INC   COM         98181110          40,993,279.00    2,192,154    2,173,869       9,085        9,200
ALLEGHENY ENERGY INC   COM         01736110          40,897,007.00    3,121,909    3,102,788       4,788       14,333
MINERALS TECHNOLOGIE   COM         60315810          40,733,553.00    1,098,828    1,098,828
EXPRESS SCRIPTS INC    COM         30218210          40,619,798.00      745,044      742,674       2,170          200
NCR CORP NEW           COM         62886E10          40,516,601.00    2,046,293    2,026,080      19,779          434
GTECH HLDGS CORP       COM         40051810          40,504,055.00    1,631,912    1,631,472         200          240
SYMBOL TECHNOLOGIES    COM         87150810          40,440,381.00    5,272,540    5,253,132      18,908          500
PROVIDIAN FINL CORP    COM         74406A10          40,281,434.00    8,220,701    8,184,331      35,550          820
EDWARDS AG INC         COM         28176010          40,019,164.00    1,251,381    1,229,933      20,255        1,193
PENTAIR INC            COM         70963110          39,858,320.00    1,072,325    1,071,025       1,300
BIG LOTS INC           COM         08930210          39,808,508.00    2,514,751    2,508,451       6,200          100
HILLENBRAND INDS INC   COM         43157310          39,717,572.00      731,447      726,047       4,900          500
AVALONBAY CMNTYS INC   COM         05348410          39,539,999.00      945,933      906,373      39,560
AMAZON COM INC         COM         02313510          39,359,063.00    2,470,751    2,463,201       7,410          140
CAREMARK RX INC        COM         14170510          39,354,065.00    2,314,945    1,717,435     597,350          160
SMITH INTL INC         COM         83211010          38,911,926.00    1,327,599    1,307,679      11,445        8,475
PROTECTIVE LIFE CORP   COM         74367410          38,545,855.00    1,252,709    1,248,884         900        2,925
BAUSCH & LOMB INC      COM         07170710          38,523,206.00    1,161,387    1,159,697       1,590          100
PUBLIC STORAGE INC     COM         74460D10          38,465,083.00    1,205,802    1,192,057      13,745
MARTIN MARIETTA MATL   COM         57328410          38,268,479.00    1,174,961    1,174,161         700          100
CNF INC                COM         12612W10          37,843,438.00    1,205,589    1,204,199       1,290          100
BOSTON PROPERTIES IN   COM         10112110          37,562,811.00    1,009,753      977,018      32,735
MILLIPORE CORP         COM         60107310          37,491,917.00    1,179,362    1,176,992       1,670          700
GENERAL GROWTH PPTYS   COM         37002110          37,221,676.00      722,751      722,201         550
FIDELITY NATL FINL I   COM         31632610          37,199,590.00    1,294,349    1,287,460       2,592        4,297
Page Total                                        1,617,673,802.00


                                    Voting Authority
     Name of                 Sole         Shared        None
     Issuer

---------------------------------------------------------------
                                              
AMERICAN PWR CONVERS       3,870,000       61,745      624,257
ADVANCED MICRO DEVIC       6,936,380      103,216    1,115,229
DEAN FOODS CO NEW            979,871        1,968      107,478
PALL CORP                  2,386,807       30,140      314,181
APARTMENT INVT & MGM         997,469        1,400      107,297
HEALTHSOUTH CORP           9,033,912       82,641    1,189,276
HASBRO INC                 3,357,402       53,651      402,076
ROWAN COS INC              2,030,780       27,953      216,189
VORNADO RLTY TR              956,800        1,200      108,365
COMPASS BANCSHARES I       1,326,594        2,600       90,800
ENERGIZER HLDGS INC        1,288,670        1,966       86,530
TERADYNE INC               3,716,205       44,699      551,144
TELLABS INC                8,690,178      125,879    1,337,762
RYDER SYS INC              1,509,910       18,500      126,304
SEALED AIR CORP NEW        1,979,923       56,157      395,278
WORTHINGTON INDS INC       1,886,391       33,600      272,163
ALLEGHENY ENERGY INC       2,688,340       58,776      374,793
MINERALS TECHNOLOGIE         418,083      627,650       53,095
EXPRESS SCRIPTS INC          694,866        1,300       48,878
NCR CORP NEW               1,800,847       29,875      215,571
GTECH HLDGS CORP           1,534,172        1,540       96,200
SYMBOL TECHNOLOGIES        4,565,953       71,061      635,526
PROVIDIAN FINL CORP        6,928,960       98,060    1,193,681
EDWARDS AG INC             1,070,280        2,793      178,308
PENTAIR INC                  986,225        8,700       77,400
BIG LOTS INC               2,247,998       28,570      238,183
HILLENBRAND INDS INC         642,567        1,500       87,380
AVALONBAY CMNTYS INC         826,436        1,000      118,497
AMAZON COM INC             2,028,686        3,440      438,625
CAREMARK RX INC            1,478,801      596,960      239,184
SMITH INTL INC             1,173,722       10,275      143,602
PROTECTIVE LIFE CORP       1,186,328        4,325       62,056
BAUSCH & LOMB INC            969,598       47,406      144,383
PUBLIC STORAGE INC         1,070,330        1,700      133,772
MARTIN MARIETTA MATL         460,139      681,954       32,868
CNF INC                    1,074,917          900      129,772
BOSTON PROPERTIES IN         907,372        1,100      101,281
MILLIPORE CORP             1,014,643       45,406      119,313
GENERAL GROWTH PPTYS         643,335        1,250       78,166
FIDELITY NATL FINL I       1,216,482        5,942       71,925
Page Total


                                                                        13 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                           
PEPCO HOLDINGS INC     COM         71329110          37,176,745.00    1,863,496    1,842,590      18,223        2,683
GOODYEAR TIRE & RUBR   COM         38255010          36,822,611.00    4,142,026    4,130,710      11,316
CBL & ASSOC PPTYS IN   COM         12483010          36,316,538.00      937,201      883,841      53,360
SYNOPSYS INC           COM         87160710          36,202,785.00      948,959      922,322      18,272        8,365
CORNING INC            COM         21935010          36,117,252.00   22,573,283   22,409,768     123,088       40,427
SOVEREIGN BANCORP IN   COM         84590510          35,922,746.00    2,784,709    2,767,395      11,420        5,894
TYSON FOODS INC        CLA         90249410          35,811,712.00    3,079,253    3,072,052       6,135        1,066
MERCURY INTERACTIVE    COM         58940510          35,668,999.00    2,078,613    2,037,408      35,205        6,000
LINCARE HLDGS INC      COM         53279110          35,661,080.00    1,148,875    1,146,405       2,070          400
DUKE REALTY CORP       COM NEW     26441150          35,466,464.00    1,440,555    1,440,015         540
POPULAR INC            COM         73317410          35,247,177.00    1,115,417    1,115,267         150
MURPHY OIL CORP        COM         62671710          35,187,594.00      428,751      412,576       8,180        7,995
PIONEER NAT RES CO     COM         72378710          34,785,388.00    1,434,449    1,430,587       2,430        1,432
TCF FINL CORP          COM         87227510          34,773,036.00      821,475      805,013       6,665        9,797
OCEAN ENERGY INC DEL   COM         67481E10          34,642,017.00    1,736,442    1,726,272       9,770          400
CADENCE DESIGN SYSTE   COM         12738710          34,333,136.00    3,375,923    3,360,143      13,300        2,480
SANMINA SCI CORP       COM         80090710          34,309,355.00   12,386,049   12,360,117      25,576          356
CDW COMPUTER CTRS IN   COM         12512910          34,130,002.00      805,713      803,663       1,750          300
PAYLESS SHOESOURCE I   COM         70437910          34,032,781.00      630,120      628,755       1,265          100
MID ATLANTIC MED SVC   COM         59523C10          33,970,261.00      938,405      938,385          20
LABORATORY CORP AMER   COM NEW     50540R40          33,835,770.00    1,001,651      997,231       4,340           80
REEBOK INTL LTD        COM         75811010          33,825,365.00    1,350,314    1,346,444       1,970        1,900
NEW YORK CMNTY BANCO   COM         64944510          33,762,956.00    1,198,543    1,198,543
MOHAWK INDS INC        COM         60819010          33,688,865.00      678,527      676,989       1,338          200
MILLENNIUM PHARMACEU   COM         59990210          33,626,112.00    3,607,952    3,597,792       8,962        1,198
WISCONSIN ENERGY COR   COM         97665710          33,571,470.00    1,381,542    1,355,567       4,990       20,985
KIMCO REALTY CORP      COM         49446R10          33,477,657.00    1,076,452    1,076,452
CHOICEPOINT INC        COM         17038810          33,449,850.00      938,548      934,369       3,846          333
UBS AG                 NAMEN AKT   H8920M85          33,336,198.00      813,078      205,124     607,954
AMERICAN WTR WKS INC   COM         03041110          33,231,193.00      744,093      740,483       2,310        1,300
CABOT MICROELECTRONI   COM         12709P10          33,165,832.00      890,597      444,368      21,521      424,708
MCCORMICK & CO INC     COM NON VT  57978020          32,620,188.00    1,430,710    1,408,120      21,990          600
GOLDEN ST BANCORP IN   COM         38119710          32,614,079.00    1,009,099    1,002,869       6,030          200
HOSPITALITY PPTYS TR   COM SH BEN  44106M10          32,447,829.00      979,705      978,885         820
TEKTRONIX INC          COM         87913110          32,421,861.00    1,973,333    1,969,743       3,490          100
INTERSTATE BAKERIES    COM         46072H10          31,925,475.00    1,201,561    1,201,561
LEGG MASON INC         COM         52490110          31,916,808.00      749,925      739,450       4,180        6,295
ENERGY EAST CORP       COM         29266M10          31,493,244.00    1,589,765    1,577,562       9,576        2,627
PIER 1 IMPORTS INC     COM         72027910          30,988,177.00    1,624,970    1,621,610       3,060          300
AUTODESK INC           COM         05276910          30,882,263.00    2,437,432    2,430,402       6,630          400
Page Total                                        1,362,858,871.00


                                  Voting Authority
     Name of               Sole         Shared        None
     Issuer

-------------------------------------------------------------
                                            
PEPCO HOLDINGS INC       1,617,333        6,947      239,216
GOODYEAR TIRE & RUBR     3,388,753       35,286      717,987
CBL & ASSOC PPTYS IN       870,029                    67,172
SYNOPSYS INC               883,606        9,765       55,588
CORNING INC             19,466,953      236,021    2,870,309
SOVEREIGN BANCORP IN     2,585,775       11,194      187,740
TYSON FOODS INC          2,843,863        4,954      230,436
MERCURY INTERACTIVE      1,765,377       63,835      249,401
LINCARE HLDGS INC        1,069,075        2,300       77,500
DUKE REALTY CORP         1,270,180        2,800      167,575
POPULAR INC              1,016,137        2,400       96,880
MURPHY OIL CORP            392,856        8,595       27,300
PIONEER NAT RES CO       1,346,245        3,432       84,772
TCF FINL CORP              751,478       11,597       58,400
OCEAN ENERGY INC DEL     1,602,332        3,900      130,210
CADENCE DESIGN SYSTE     2,894,506        7,380      474,037
SANMINA SCI CORP        10,716,277      177,447    1,492,325
CDW COMPUTER CTRS IN       760,563        1,300       43,850
PAYLESS SHOESOURCE I       583,330          100       46,690
MID ATLANTIC MED SVC       902,305          800       35,300
LABORATORY CORP AMER       896,031        2,580      103,040
REEBOK INTL LTD          1,116,512       19,174      214,628
NEW YORK CMNTY BANCO     1,121,608        1,900       75,035
MOHAWK INDS INC            632,844        1,100       44,583
MILLENNIUM PHARMACEU     3,114,200        6,340      487,412
WISCONSIN ENERGY COR     1,234,304       22,985      124,253
KIMCO REALTY CORP          953,721        1,600      121,131
CHOICEPOINT INC            873,550        1,833       63,165
UBS AG                     365,351      443,927        3,800
AMERICAN WTR WKS INC       679,119        2,200       62,774
CABOT MICROELECTRONI       418,339      424,708       47,550
MCCORMICK & CO INC       1,330,210        4,000       96,500
GOLDEN ST BANCORP IN       957,379        1,700       50,020
HOSPITALITY PPTYS TR       902,414        1,100       76,191
TEKTRONIX INC            1,725,326       29,508      218,499
INTERSTATE BAKERIES      1,103,517                    98,044
LEGG MASON INC             693,780        7,745       48,400
ENERGY EAST CORP         1,465,816        6,737      117,212
PIER 1 IMPORTS INC       1,542,790        1,900       80,280
AUTODESK INC             2,155,394       40,040      241,998
Page Total


                                                                        14 of 82





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

------------------------------------------------------------------------------------------------------------------------
                                                                                           
DUN & BRADSTREET COR   COM         26483E10          30,869,003.00      918,447      913,115       4,157        1,175
FISHER SCIENTIFIC IN   COM NEW     33803220          30,778,299.00    1,014,112    1,013,112         900          100
TELEPHONE & DATA SYS   COM         87943310          30,668,353.00      607,896      604,416       3,400           80
QUINTILES TRANSNATIO   COM         74876710          30,644,672.00    3,222,363    3,213,353       8,710          300
COMVERSE TECHNOLOGY    COM PAR $0  20586240          30,592,748.00    4,376,645    4,360,965      14,720          960
HOST MARRIOTT CORP N   COM         44107P10          30,590,898.00    3,296,433    3,295,663         770
VARIAN MED SYS INC     COM         92220P10          30,560,817.00      710,882      707,462       2,060        1,360
RADIAN GROUP INC       COM         75023610          30,480,173.00      933,257      930,937       2,160          160
REPUBLIC SVCS INC      COM         76075910          30,414,790.00    1,617,808    1,608,808       8,600          400
AES CORP               COM         00130H10          30,388,361.00   12,106,917   12,072,886      32,491        1,540
DENTSPLY INTL INC NE   COM         24903010          30,376,353.00      756,195      741,592       6,143        8,460
DOLLAR TREE STORES I   COM         25674710          30,262,881.00    1,373,089    1,360,221      12,518          350
DIAL CORP NEW          COM         25247D10          30,114,818.00    1,403,300    1,401,510       1,490          300
UNIONBANCAL CORP       COM         90890610          29,900,659.00      711,751      710,651       1,100
USA INTERACTIVE        COM         90298410          29,890,452.00    1,542,335    1,532,811       9,365          159
BRINKER INTL INC       COM         10964110          29,815,354.00    1,151,172    1,118,643      21,444       11,085
ECHOSTAR COMMUNICATI   CL A        27876210          29,599,746.00    1,710,968    1,704,548       6,320          100
CONSTELLATION BRANDS   CL A        21036P10          29,599,462.00    1,281,362    1,220,016      47,931       13,415
GREAT LAKES CHEM COR   COM         39056810          29,474,557.00    1,227,084    1,223,184       1,400        2,500
PATTERSON DENTAL CO    COM         70341210          29,316,774.00      572,817      567,577       4,880          360
CIENA CORP             COM         17177910          29,249,174.00    9,848,207    9,831,164      15,663        1,380
WEATHERFORD INTERNAT   COM         G9508910          29,152,485.00      784,935      768,605      14,605        1,725
VISTEON CORP           COM         92839U10          29,085,154.00    3,071,294    3,058,589      11,178        1,527
NICOR INC              COM         65408610          29,012,921.00    1,028,827    1,027,597       1,230
SMURFIT-STONE CONTAI   COM         83272710          28,933,764.00    2,301,811    2,291,289       9,922          600
COMPUWARE CORP         COM         20563810          28,852,454.00    9,459,821    9,437,281      22,100          440
EXPEDITORS INTL WASH   COM         30213010          28,683,902.00    1,026,625    1,021,005       5,260          360
FIRST HEALTH GROUP C   COM         32096010          28,547,000.00    1,052,618    1,050,238       1,900          480
SCANA CORP NEW         COM         80589M10          28,463,538.00    1,093,910    1,085,800       7,710          400
PMI GROUP INC          COM         69344M10          28,455,728.00    1,045,782    1,042,352       3,230          200
ROUSE CO               COM         77927310          28,401,633.00      888,940      886,120       2,820
PEOPLES ENERGY CORP    COM         71103010          28,379,445.00      842,370      841,073       1,097          200
VALERO ENERGY CORP N   COM         91913Y10          28,320,226.00    1,069,899    1,066,201       3,369          329
WILEY JOHN & SONS IN   CL B        96822330          28,270,678.00    1,287,958                    4,000    1,283,958
FIRST VA BANKS INC     COM         33747710          28,254,227.00      757,486      745,171       9,165        3,150
CARLISLE COS INC       COM         14233910          28,193,715.00      768,640      768,240         400
SNAP ON INC            COM         83303410          28,104,402.00    1,222,994    1,220,754       2,240
LUBRIZOL CORP          COM         54927110          28,061,650.00      992,630      989,870       1,360        1,400
UNIVERSAL HLTH SVCS    CL B        91390310          27,971,121.00      546,845      545,065       1,660          120
PUGET ENERGY INC NEW   COM         74531010          27,861,629.00    1,365,097    1,352,042      12,680          375
Page Total                                        1,174,594,016.00


                                      Voting Authority
     Name of                  Sole         Shared        None
     Issuer

---------------------------------------------------------------
                                               
DUN & BRADSTREET COR         837,492        2,415       78,540
FISHER SCIENTIFIC IN         961,242        6,200       46,670
TELEPHONE & DATA SYS         553,716          980       53,200
QUINTILES TRANSNATIO       2,502,526       44,758      675,079
COMVERSE TECHNOLOGY        3,761,628       53,350      561,667
HOST MARRIOTT CORP N       2,762,528        4,500      529,405
VARIAN MED SYS INC           654,102        2,560       54,220
RADIAN GROUP INC             865,115        1,960       66,182
REPUBLIC SVCS INC          1,504,922        3,100      109,786
AES CORP                  10,486,011      181,201    1,439,705
DENTSPLY INTL INC NE         692,038        9,710       54,447
DOLLAR TREE STORES I       1,289,001        2,350       81,738
DIAL CORP NEW              1,246,890        1,900      154,510
UNIONBANCAL CORP             648,329       17,700       45,722
USA INTERACTIVE            1,398,745        3,159      140,431
BRINKER INTL INC           1,049,737       13,335       88,100
ECHOSTAR COMMUNICATI       1,460,254        4,300      246,414
CONSTELLATION BRANDS       1,197,699       14,715       68,948
GREAT LAKES CHEM COR       1,071,584       13,500      142,000
PATTERSON DENTAL CO          535,283        1,260       36,274
CIENA CORP                 8,467,003      113,950    1,267,254
WEATHERFORD INTERNAT         702,561        1,725       80,649
VISTEON CORP               2,653,416       36,291      381,587
NICOR INC                    920,121       12,021       96,685
SMURFIT-STONE CONTAI       2,028,564       19,900      253,347
COMPUWARE CORP             8,096,583      105,456    1,257,782
EXPEDITORS INTL WASH         959,665        1,960       65,000
FIRST HEALTH GROUP C         976,538        2,480       73,600
SCANA CORP NEW             1,016,870        2,200       74,840
PMI GROUP INC                945,390        1,800       98,592
ROUSE CO                     764,170        2,200      122,570
PEOPLES ENERGY CORP          756,631       10,350       75,389
VALERO ENERGY CORP N         994,593        2,283       73,023
WILEY JOHN & SONS IN           4,000    1,283,958
FIRST VA BANKS INC           677,237        5,100       75,149
CARLISLE COS INC             702,131                    66,509
SNAP ON INC                1,082,045       15,984      124,965
LUBRIZOL CORP                784,378       10,000      198,252
UNIVERSAL HLTH SVCS          510,129        1,020       35,696
PUGET ENERGY INC NEW       1,254,158        1,975      108,964
Page Total


                                                                        15 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                             
AGCO CORP              COM         00108410          27,774,042.00    1,197,157    1,195,217       1,820          120
MANPOWER INC           COM         56418H10          27,764,618.00      946,306      943,526       2,580          200
PARK PL ENTMT CORP     COM         70069010          27,721,705.00    3,487,007    3,472,377      14,030          600
ALLIED WASTE INDS IN   COM PAR$.0  01958930          27,671,213.00    3,764,791    3,753,411      11,380
CERIDIAN CORP NEW      COM         15677910          27,501,231.00    1,929,911    1,923,677       5,934          300
UNITED DOMINION REAL   COM         91019710          27,355,685.00    1,719,402    1,625,977      93,425
WILLIAMS COS INC DEL   COM         96945710          27,311,528.00   12,084,747   12,038,397      42,500        3,850
WILLIAMS SONOMA INC    COM         96990410          27,191,111.00    1,150,703    1,148,683       1,740          280
SMUCKER J M CO         COM NEW     83269640          27,127,465.00      739,168      719,043       7,786       12,339
DPL INC                COM         23329310          27,123,319.00    1,648,834    1,640,309       7,775          750
TRIAD HOSPITALS INC    COM         89579K10          27,083,738.00      713,669      711,346       2,108          215
NAVISTAR INTL CORP N   COM         63934E10          26,983,209.00    1,244,613    1,243,343       1,170          100
FLEXTRONICS INTL LTD   ORD         Y2573F10          26,947,721.00    3,865,135    2,920,587     944,548
ZALE CORP NEW          COM         98885810          26,923,620.00      892,693      891,893         600          200
AMERICAN GREETINGS C   CL A        02637510          26,911,665.00    1,671,532    1,666,172       5,360
MERCANTILE BANKSHARE   COM         58740510          26,738,619.00      700,514      688,844       7,770        3,900
HARRIS CORP DEL        COM         41387510          26,726,962.00      798,058      796,398       1,360          300
MACERICH CO            COM         55438210          26,655,842.00      860,421      860,321         100
ACTIVISION INC NEW     COM NEW     00493020          26,597,166.00    1,111,457    1,109,257       2,200
GREATER BAY BANCORP    COM         39164810          26,570,151.00    1,460,701    1,435,797      18,804        6,100
NVIDIA CORP            COM         67066G10          26,485,924.00    3,094,150    3,087,980       4,990        1,180
CITRIX SYS INC         COM         17737610          26,375,859.00    4,374,106    4,357,951      15,535          620
CHELSEA PPTY GROUP I   COM         16342110          26,344,541.00      780,579      703,104      77,475
RPM INC OHIO           COM         74968510          26,334,914.00    1,873,038    1,867,206       2,620        3,212
BARR LABS INC          COM         06830610          26,226,768.00      421,043      420,053         890          100
EQUITABLE RES INC      COM         29454910          26,142,395.00      756,654      750,830       1,000        4,824
STANCORP FINL GROUP    COM         85289110          26,093,824.00      493,267      493,087         180
WHOLE FOODS MKT INC    COM         96683710          25,941,076.00      605,534      598,790       6,404          340
AMB PROPERTY CORP      COM         00163T10          25,932,461.00      897,317      896,997         320
CRESCENT REAL ESTATE   COM         22575610          25,885,484.00    1,648,757    1,543,097     105,660
COMMERCE BANCORP INC   COM         20051910          25,794,189.00      621,397      617,865       3,332          200
NVR INC                COM         62944T10          25,624,071.00       85,462       84,642         820
DELTA AIR LINES INC    COM         24736110          25,582,328.00    2,753,749    2,750,804       2,645          300
NORTHEAST UTILS        COM         66439710          25,527,957.00    1,510,530    1,477,593      12,527       20,410
LAUDER ESTEE COS INC   CL A        51843910          25,453,466.00      885,646      850,138      32,603        2,905
YORK INTL CORP NEW     COM         98667010          25,402,193.00      900,787      898,437       2,150          200
HEALTH NET INC         COM         42222G10          25,392,402.00    1,183,795    1,180,080       3,450          265
TUPPERWARE CORP        COM         89989610          25,295,008.00    1,521,962    1,520,612       1,350
CENTERPOINT PPTYS TR   SH BEN INT  15189510          25,270,093.00      455,317      411,552      43,765
CRANE CO               COM         22439910          25,043,231.00    1,267,370    1,260,070       2,800        4,500
Page Total                                        1,058,828,794.00


                                     Voting Authority
     Name of                 Sole         Shared        None
     Issuer

---------------------------------------------------------------
                                               
AGCO CORP                  1,145,927        1,420       49,810
MANPOWER INC                 835,803        1,950      108,553
PARK PL ENTMT CORP         3,064,359        5,300      417,348
ALLIED WASTE INDS IN       3,362,916       61,021      340,854
CERIDIAN CORP NEW          1,605,506        3,230      321,175
UNITED DOMINION REAL       1,585,076        1,900      132,426
WILLIAMS COS INC DEL      10,302,961      153,390    1,628,396
WILLIAMS SONOMA INC        1,084,799        1,780       64,124
SMUCKER J M CO               619,931       12,394      106,843
DPL INC                    1,553,984        3,750       91,100
TRIAD HOSPITALS INC          660,344        1,515       51,810
NAVISTAR INTL CORP N       1,116,983       17,962      109,668
FLEXTRONICS INTL LTD       3,696,640                   168,495
ZALE CORP NEW                414,317      453,796       24,580
AMERICAN GREETINGS C       1,443,017       21,483      207,032
MERCANTILE BANKSHARE         645,844        5,400       49,270
HARRIS CORP DEL              731,522        1,400       65,136
MACERICH CO                  769,896                    90,525
ACTIVISION INC NEW         1,012,808        1,000       97,649
GREATER BAY BANCORP        1,385,279       19,300       56,122
NVIDIA CORP                2,714,561      104,430      275,159
CITRIX SYS INC             3,825,239       63,821      485,046
CHELSEA PPTY GROUP I         693,633                    86,946
RPM INC OHIO               1,786,526        5,212       81,300
BARR LABS INC                392,498          700       27,845
EQUITABLE RES INC            687,606        5,924       63,124
STANCORP FINL GROUP          458,767        8,200       26,300
WHOLE FOODS MKT INC          545,660        1,240       58,634
AMB PROPERTY CORP            789,908        2,600      104,809
CRESCENT REAL ESTATE       1,473,160        1,900      173,697
COMMERCE BANCORP INC         578,669        1,200       41,528
NVR INC                       80,982          100        4,380
DELTA AIR LINES INC        2,411,677       27,618      314,454
NORTHEAST UTILS            1,355,115       22,610      132,805
LAUDER ESTEE COS INC         782,756        4,705       98,185
YORK INTL CORP NEW           872,187        1,100       27,500
HEALTH NET INC             1,102,572        2,365       78,858
TUPPERWARE CORP            1,256,454       43,600      221,908
CENTERPOINT PPTYS TR         425,289          500       29,528
CRANE CO                   1,122,779       21,329      123,262
Page Total


                                                                        16 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                         
AMR CORP               COM         00176510          24,957,484.00    5,970,690    3,684,389   2,285,961          340
COOPER TIRE & RUBR C   COM         21683110          24,828,678.00    1,538,332    1,533,857       3,675          800
LIBERTY PPTY TR        SH BEN INT  53117210          24,779,819.00      799,349      798,949         400
OVERTURE SVCS INC      COM         69039R10          24,723,044.00    1,048,920    1,048,100         820
DIEBOLD INC            COM         25365110          24,708,797.00      750,571      734,097       6,050       10,424
COVANCE INC            COM         22281610          24,636,144.00    1,258,873    1,193,513      59,685        5,675
HORMEL FOODS CORP      COM         44045210          24,627,515.00    1,125,572    1,121,730       3,430          412
MERCURY GENL CORP NE   COM         58940010          24,607,260.00      574,936      200,531     365,805        8,600
PETSMART INC           COM         71676810          24,528,234.00    1,377,217    1,372,617       4,600
LEE ENTERPRISES INC    COM         52376810          24,469,626.00      744,663      743,803         860
COACH INC              COM         18975410          24,455,731.00      955,302      938,042      10,132        7,128
UNITED STATES STL CO   COM         91290910          24,443,450.00    2,105,379    2,097,999       7,280          100
HELMERICH & PAYNE IN   COM         42345210          24,431,799.00      713,754      711,734       1,320          700
FOX ENTMT GROUP INC    CL A        35138T10          24,414,086.00    1,108,220    1,100,930       5,240        2,050
COOPER COS INC         COM NEW     21664840          24,381,210.00      464,404      462,904       1,500
ASTORIA FINL CORP      COM         04626510          24,321,895.00      996,799      989,009       7,190          600
GALLAGHER ARTHUR J &   COM         36357610          24,267,900.00      984,499      917,709      40,625       26,165
MANDALAY RESORT GROU   COM         56256710          24,172,842.00      720,502      707,742      12,560          200
ASSOCIATED BANC CORP   COM         04548710          24,004,411.00      756,521      754,301       2,022          198
SEI INVESTMENTS CO     COM         78411710          23,978,218.00    1,004,113      988,039      13,939        2,135
BECKMAN COULTER INC    COM         07581110          23,778,518.00      614,432      600,522       1,610       12,300
TECH DATA CORP         COM         87823710          23,653,740.00      895,975      893,125       2,550          300
INTERSIL CORP          CL A        46069S10          23,597,334.00    1,820,782    1,816,918       3,360          504
CBRL GROUP INC         COM         12489V10          23,529,998.00    1,031,113    1,026,953       3,960          200
CMS ENERGY CORP        COM         12589610          23,499,292.00    2,915,545    2,911,393       3,952          200
FASTENAL CO            COM         31190010          23,302,503.00      737,888      728,518       1,170        8,200
PAN PACIFIC RETAIL P   COM         69806L10          23,201,902.00      672,909      624,608      48,301
BRITISH AMERN TOB PL   SPONSORED   11044810          23,129,782.00    1,120,629       31,395   1,089,234
OUTBACK STEAKHOUSE I   COM         68989910          23,069,927.00      839,517      816,077      19,190        4,250
BELO CORP              COM SER A   08055510          23,047,101.00    1,053,341    1,049,931       3,010          400
NEW PLAN EXCEL RLTY    COM         64805310          23,007,495.00    1,247,695    1,247,485         210
ALLIANT TECHSYSTEMS    COM         01880410          22,987,260.00      331,946      330,466       1,360          120
WEBSTER FINL CORP CO   COM         94789010          22,971,540.00      684,084      677,155       6,675          254
QUESTAR CORP           COM         74835610          22,930,789.00    1,003,975      984,810       7,655       11,510
AGL RES INC            COM         00120410          22,874,835.00    1,035,529    1,034,879         650
D R HORTON INC         COM         23331A10          22,837,467.00    1,226,502    1,221,273       4,969          260
ENTERCOM COMMUNICATI   CL A        29363910          22,586,584.00      476,812      474,967       1,545          300
ALEXANDRIA REAL ESTA   COM         01527110          22,460,875.00      528,740      466,455      62,285
SL GREEN RLTY CORP     COM         78440X10          22,308,602.00      725,719      660,209      65,510
PATTERSON UTI ENERGY   COM         70348110          22,291,199.00      873,822      841,872      25,845        6,105
Page Total                                          950,804,886.00


                                   Voting Authority
     Name of                Sole         Shared        None
     Issuer

-------------------------------------------------------------
                                           
AMR CORP                  3,250,348    2,333,746      386,596
COOPER TIRE & RUBR C      1,341,024       24,000      173,308
LIBERTY PPTY TR             701,411        1,300       96,638
OVERTURE SVCS INC           938,970                   109,950
DIEBOLD INC                 687,047       11,624       51,900
COVANCE INC               1,125,098        5,675      128,100
HORMEL FOODS CORP         1,069,534        1,712       54,326
MERCURY GENL CORP NE        183,437      374,045       17,454
PETSMART INC              1,276,287        2,300       98,630
LEE ENTERPRISES INC         584,553          800      159,310
COACH INC                   885,138        8,628       61,536
UNITED STATES STL CO      1,889,278       20,600      195,501
HELMERICH & PAYNE IN        664,648        1,600       47,506
FOX ENTMT GROUP INC         961,890        4,650      141,680
COOPER COS INC              432,943                    31,461
ASTORIA FINL CORP           929,207        2,100       65,492
GALLAGHER ARTHUR J &        894,034       27,665       62,800
MANDALAY RESORT GROU        683,410          900       36,192
ASSOCIATED BANC CORP        698,184        2,128       56,209
SEI INVESTMENTS CO          944,168        3,435       56,510
BECKMAN COULTER INC         558,232       13,300       42,900
TECH DATA CORP              856,441        1,200       38,334
INTERSIL CORP             1,725,562        2,904       92,316
CBRL GROUP INC              990,413        1,100       39,600
CMS ENERGY CORP           2,585,642       33,839      296,064
FASTENAL CO                 665,688        9,200       63,000
PAN PACIFIC RETAIL P        573,894                    99,015
BRITISH AMERN TOB PL         31,395    1,089,234
OUTBACK STEAKHOUSE I        790,267        5,250       44,000
BELO CORP                   986,141        2,200       65,000
NEW PLAN EXCEL RLTY       1,125,225        1,600      120,870
ALLIANT TECHSYSTEMS         286,801          720       44,425
WEBSTER FINL CORP CO        639,499        6,854       37,731
QUESTAR CORP                916,455       12,810       74,710
AGL RES INC                 909,829                   125,700
D R HORTON INC            1,138,510        2,260       85,732
ENTERCOM COMMUNICATI        451,612        1,000       24,200
ALEXANDRIA REAL ESTA        480,045                    48,695
SL GREEN RLTY CORP          643,332                    82,387
PATTERSON UTI ENERGY        813,493        7,305       53,024
Page Total


                                                                        17 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                        
A D C TELECOMMUNICAT   COM         00088610          22,269,965.00   19,365,187   19,338,711      24,366        2,110
HUBBELL INC            CL B        44351020          22,267,067.00      765,981      747,583      13,470        4,928
DOLE FOOD INC          COM         25660510          22,055,832.00      759,760      758,890         520          350
NSTAR                  COM         67019E10          21,926,164.00      554,391      538,945       8,751        6,695
ALLIANT ENERGY CORP    COM         01880210          21,857,585.00    1,135,459    1,122,179       7,510        5,770
IVAX CORP              COM         46582310          21,797,470.00    1,776,485    1,768,663       5,822        2,000
COMMERCE BANCSHARES    COM         20052510          21,795,160.00      557,849      515,259      40,196        2,394
XTO ENERGY CORP        COM         98385X10          21,794,209.00    1,057,458    1,054,998       2,160          300
RENT A CTR INC NEW     COM         76009N10          21,770,115.00      419,059      417,899       1,060          100
ANNTAYLOR STORES COR   COM         03611510          21,752,825.00      944,543      943,653         740          150
AUTONATION INC         COM         05329W10          21,714,382.00    1,884,929    1,871,409      12,880          640
IMATION CORP           COM         45245A10          21,699,335.00      765,949      763,649       1,400          900
MIRANT CORP            COM         60467510          21,542,319.00    9,747,656    9,650,519      67,264       29,873
CALPINE CORP           COM         13134710          21,448,645.00    8,683,662    8,641,457      31,005       11,200
PRENTISS PPTYS TR      SH BEN INT  74070610          21,441,125.00      740,882      690,332      50,550
STERIS CORP            COM         85915210          21,376,665.00      858,156      856,856       1,300
TMP WORLDWIDE INC      COM         87294110          21,305,286.00    2,367,254    2,359,574       7,280          400
BANTA CORP             COM         06682110          21,305,183.00      600,146      590,926       4,120        5,100
COOPER CAMERON CORP    COM         21664010          21,297,558.00      509,999      509,599         300          100
RATIONAL SOFTWARE CO   COM NEW     75409P20          21,287,465.00    4,927,654    4,793,914     108,100       25,640
BLOCKBUSTER INC        CL A        09367910          21,213,994.00      855,403      855,203         200
SCRIPPS E W CO OHIO    CL A        81105420          21,200,394.00      305,922      304,982         940
HILB ROGAL & HAMILTO   COM         43129410          21,160,177.00      512,974      500,969      12,005
CEPHALON INC           COM         15670810          21,049,445.00      515,665      495,602      16,288        3,775
CITY NATL CORP         COM         17856610          20,985,511.00      448,696      446,236       2,460
NATIONAL FUEL GAS CO   COM         63618010          20,885,873.00    1,051,126    1,035,046      15,280          800
HERCULES INC           COM         42705610          20,723,706.00    2,250,131    2,243,092       7,039
DREYERS GRAND ICE CR   COM         26187810          20,700,286.00      296,311      268,386      20,775        7,150
HONDA MOTOR LTD        AMERN SHS   43812830          20,653,474.00    1,039,430      366,519     672,911
FEDERATED INVS INC P   CL B        31421110          20,645,082.00      764,916      764,656         260
CUMMINS INC            COM         23102110          20,600,277.00      872,154      870,534       1,620
PNM RES INC            COM         69349H10          20,589,386.00    1,039,868    1,039,828          40
THOMAS & BETTS CORP    COM         88431510          20,582,601.00    1,460,795    1,458,291       1,704          800
TECHNE CORP            COM         87837710          20,527,818.00      626,039      625,059         820          160
FIRSTMERIT CORP        COM         33791510          20,444,468.00      954,457      917,117      36,940          400
MDU RES GROUP INC      COM         55269010          20,433,512.00      895,029      756,244     112,010       26,775
BOWATER INC            COM         10218310          20,407,353.00      578,112      575,932       2,080          100
DEVELOPERS DIVERSIFI   COM         25159110          20,404,854.00      927,072      858,317      68,755
NOBLE ENERGY INC       COM         65504410          20,355,367.00      599,216      574,840       5,995       18,381
INVESTORS FINL SERVI   COM         46191510          20,343,159.00      751,502      749,982       1,320          200
Page Total                                          847,611,092.00


                                     Voting Authority
     Name of                  Sole         Shared        None
     Issuer

----------------------------------------------------------------
                                            
A D C TELECOMMUNICAT       16,572,773      270,055    2,522,359
HUBBELL INC                   712,193        6,328       47,460
DOLE FOOD INC                 662,910        1,050       95,800
NSTAR                         510,896        7,595       35,900
ALLIANT ENERGY CORP         1,066,239        7,920       61,300
IVAX CORP                   1,607,941        4,600      163,944
COMMERCE BANCSHARES           512,035        3,422       42,392
XTO ENERGY CORP               973,744        2,300       81,414
RENT A CTR INC NEW            348,809          700       69,550
ANNTAYLOR STORES COR          855,998          150       88,395
AUTONATION INC              1,589,497       16,840      278,592
IMATION CORP                  675,549          900       89,500
MIRANT CORP                 8,410,592      165,354    1,171,710
CALPINE CORP                7,470,374      127,994    1,085,294
PRENTISS PPTYS TR             647,059                    93,823
STERIS CORP                   772,036        1,600       84,520
TMP WORLDWIDE INC           2,088,054       32,502      246,698
BANTA CORP                    537,428        5,100       57,618
COOPER CAMERON CORP           460,595          900       48,504
RATIONAL SOFTWARE CO        4,295,140       83,440      549,074
BLOCKBUSTER INC               809,545        7,100       38,758
SCRIPPS E W CO OHIO           273,862          500       31,560
HILB ROGAL & HAMILTO          451,674                    61,300
CEPHALON INC                  477,526        4,575       33,564
CITY NATL CORP                421,316        1,150       26,230
NATIONAL FUEL GAS CO          981,802        2,000       67,324
HERCULES INC                1,996,032       65,309      188,790
DREYERS GRAND ICE CR          275,361        7,550       13,400
HONDA MOTOR LTD             1,026,450                    12,980
FEDERATED INVS INC P          702,016        1,400       61,500
CUMMINS INC                   777,585       13,218       81,351
PNM RES INC                   961,668                    78,200
THOMAS & BETTS CORP         1,262,351       16,550      181,894
TECHNE CORP                   537,749          160       88,130
FIRSTMERIT CORP               889,010        1,900       63,547
MDU RES GROUP INC             813,754       27,975       53,300
BOWATER INC                   521,619        1,300       55,193
DEVELOPERS DIVERSIFI          854,116          900       72,056
NOBLE ENERGY INC              524,945       19,781       54,490
INVESTORS FINL SERVI          644,482        1,300      105,720
Page Total


                                                                        18 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                        
NOVELL INC             COM         67000610          20,342,332.00    9,686,825    9,672,535      14,050          240
THQ INC                COM NEW     87244340          20,306,852.00      976,291      976,191                      100
BANK HAWAII CORP       COM         06254010          20,259,836.00      726,159      719,749       6,410
APPLIED MICRO CIRCUI   COM         03822W10          20,235,518.00    7,075,356    7,047,595      17,581       10,180
C H ROBINSON WORLDWI   COM         12541W10          20,111,607.00      744,323      741,122       2,901          300
PRIDE INTL INC DEL     COM         74153Q10          20,088,055.00    1,545,235    1,539,945       4,730          560
VIAD CORP              COM         92552R10          20,075,478.00      982,647      967,667       1,780       13,200
ARVINMERITOR INC       COM         04335310          19,972,366.00    1,068,041    1,066,382       1,260          399
PITTSTON CO            COM BRINKS  72570110          19,917,520.00      889,175      887,505       1,470          200
CHARLES RIV LABS INT   COM         15986410          19,904,852.00      507,130      485,830      21,300
TELEFLEX INC           COM         87936910          19,902,279.00      436,645      435,925         520          200
PENNZOIL-QUAKER STAT   COM         70932310          19,831,506.00      902,663      900,393       1,610          660
READERS DIGEST ASSN    CL A NON V  75526710          19,808,643.00    1,265,728    1,258,918       6,210          600
PRECISION CASTPARTS    COM         74018910          19,641,234.00      905,961      904,699         850          412
APOGENT TECHNOLOGIES   COM         03760A10          19,576,504.00    1,049,116    1,042,036       5,980        1,100
TRINITY INDS INC       COM         89652210          19,547,583.00    1,187,581    1,186,781         500          300
SHURGARD STORAGE CTR   COM         82567D10          19,513,081.00      617,112      617,012         100
LOUISIANA PAC CORP     COM         54634710          19,469,789.00    3,009,241    3,000,536       5,315        3,390
IDEXX LABS INC         COM         45168D10          19,446,082.00      628,347      618,479         900        8,968
ALLMERICA FINL CORP    COM         01975410          19,437,216.00    1,619,768      537,357   1,081,980          431
APTARGROUP INC         COM         03833610          19,429,347.00      723,087      471,211     163,611       88,265
CACI INTL INC          CL A        12719030          19,392,000.00      547,024      547,024
CORINTHIAN COLLEGES    COM         21886810          19,310,576.00      511,674      511,474                      200
DQE INC                COM         23329J10          19,300,695.00    1,286,713    1,283,138       2,975          600
ALLIED CAP CORP NEW    COM         01903Q10          19,299,318.00      881,650      863,636       9,750        8,264
YELLOW CORP            COM         98550910          19,292,418.00      653,803      460,253     193,110          440
UNITRIN INC            COM         91327510          19,282,178.00      628,084      626,364         520        1,200
JACOBS ENGR GROUP IN   COM         46981410          19,207,977.00      622,020      619,900       1,920          200
ALLETE INC             COM         01852210          19,206,136.00      889,173      887,033         340        1,800
OMNICARE INC           COM         68190410          19,143,315.00      906,407      902,267       3,740          400
HEALTHCARE RLTY TR     COM         42194610          19,055,001.00      612,701      612,701
TIDEWATER INC          COM         88642310          19,026,762.00      704,956      701,446       3,210          300
HON INDS INC           COM         43809210          18,998,017.00      746,484      744,084       2,200          200
BEA SYS INC            COM         07332510          18,924,549.00    3,653,388    3,633,329      18,504        1,555
WEINGARTEN RLTY INVS   SH BEN INT  94874110          18,905,400.00      516,541      516,541
COMMERCIAL FEDERAL C   COM         20164710          18,850,512.00      865,894      865,794                      100
WILMINGTON TRUST COR   COM         97180710          18,820,441.00      650,776      640,776       5,400        4,600
GLOBALSANTAFE CORP     SHS         G3930E10          18,805,424.00      841,406      817,524       2,073       21,809
RENAL CARE GROUP INC   COM         75993010          18,799,726.00      571,594      570,574         900          120
ONEOK INC NEW          COM         68268010          18,610,300.00      984,672      984,402          70          200
Page Total                                          779,048,425.00


                                 Voting Authority
     Name of             Sole         Shared        None
     Issuer

----------------------------------------------------------
                                        
NOVELL INC             8,331,674       73,740    1,281,411
THQ INC                  897,191          100       79,000
BANK HAWAII CORP         676,215        1,300       48,644
APPLIED MICRO CIRCUI   6,111,706      100,053      863,597
C H ROBINSON WORLDWI     693,735        1,500       49,088
PRIDE INTL INC DEL     1,466,029        3,260       75,946
VIAD CORP                875,031       14,700       92,916
ARVINMERITOR INC         985,422       17,399       65,220
PITTSTON CO              849,355        1,100       38,720
CHARLES RIV LABS INT     455,560          800       50,770
TELEFLEX INC             409,413          800       26,432
PENNZOIL-QUAKER STAT     844,043        2,060       56,560
READERS DIGEST ASSN    1,100,152        2,300      163,276
PRECISION CASTPARTS      865,835        1,312       38,814
APOGENT TECHNOLOGIES     976,152        2,800       70,164
TRINITY INDS INC       1,111,781          300       75,500
SHURGARD STORAGE CTR     524,046                    93,066
LOUISIANA PAC CORP     2,637,701       28,990      342,550
IDEXX LABS INC           543,429        8,968       75,950
ALLMERICA FINL CORP      503,017    1,079,701       37,050
APTARGROUP INC           609,010       89,065       25,012
CACI INTL INC            485,524                    61,500
CORINTHIAN COLLEGES      431,724          200       79,750
DQE INC                  945,904      193,900      146,909
ALLIED CAP CORP NEW      796,352       10,064       75,234
YELLOW CORP              580,813          440       72,550
UNITRIN INC              571,660        2,000       54,424
JACOBS ENGR GROUP IN     587,612        1,200       33,208
ALLETE INC               834,065        3,100       52,008
OMNICARE INC             846,001        1,800       58,606
HEALTHCARE RLTY TR       518,401                    94,300
TIDEWATER INC            665,694        1,200       38,062
HON INDS INC             683,928        1,200       61,356
BEA SYS INC            2,986,200       10,155      657,033
WEINGARTEN RLTY INVS     456,889          800       58,852
COMMERCIAL FEDERAL C     756,836          100      108,958
WILMINGTON TRUST COR     595,176        6,500       49,100
GLOBALSANTAFE CORP       601,767       21,809      217,830
RENAL CARE GROUP INC     535,174        1,020       35,400
ONEOK INC NEW            868,112          200      116,360
Page Total


                                                           19 of 82





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

----------------------------------------------------------------------------------------------------------------------
                                                                                         
SUPERIOR INDS INTL I   COM         86816810          18,583,794.00      394,728      394,628         100
AIRGAS INC             COM         00936310          18,577,860.00    1,414,917    1,414,867          50
SONY CORP              ADR NEW     83569930          18,559,362.00      451,566      198,834     252,732
BISYS GROUP INC        COM         05547210          18,552,110.00    1,110,240    1,104,790       5,050          400
GATEWAY INC            COM         36762610          18,539,179.00    6,242,148    6,230,605       9,665        1,878
ABERCROMBIE & FITCH    CL A        00289620          18,505,004.00      940,773      933,713       4,910        2,150
LANCASTER COLONY COR   COM         51384710          18,497,292.00      439,157      438,997         160
VALSPAR CORP           COM         92035510          18,475,920.00      495,333      493,653       1,180          500
WGL HLDGS INC          COM         92924F10          18,321,611.00      766,274      762,139       3,815          320
HSBC HLDGS PLC         SPON ADR N  40428040          18,262,890.00      354,757      195,090     159,667
INGRAM MICRO INC       CL A        45715310          18,207,394.00    1,368,977    1,366,367       2,610
ADVANCEPCS             COM         00790K10          18,132,324.00      804,808      802,558       2,030          220
VALLEY NATL BANCORP    COM         91979410          18,093,160.00      680,194      674,441       5,647          106
VALASSIS COMMUNICATI   COM         91886610          18,069,151.00      515,231      513,291       1,740          200
LYONDELL CHEMICAL CO   COM         55207810          18,034,020.00    1,510,387    1,504,227       5,860          300
OGE ENERGY CORP        COM         67083710          18,033,895.00    1,068,992    1,062,312       5,130        1,550
PEPSIAMERICAS INC      COM         71343P20          17,895,422.00    1,260,241    1,255,711       4,130          400
COLONIAL BANCGROUP I   COM         19549330          17,793,566.00    1,434,965    1,425,647       9,318
FULTON FINL CORP PA    COM         36027110          17,716,311.00      942,357      938,963       3,394
EATON VANCE CORP       COM NON VT  27826510          17,692,225.00      640,095      638,815       1,240           40
PATINA OIL & GAS COR   COM         70322410          17,645,376.00      619,136      619,136
HEALTH CARE PPTY INV   COM         42191510          17,622,810.00      413,681      413,601          80
REYNOLDS & REYNOLDS    CL A        76169510          17,621,189.00      785,258      783,438       1,620          200
CATELLUS DEV CORP      COM         14911110          17,620,690.00      955,051      839,726     115,325
CROMPTON CORP          COM         22711610          17,594,886.00    1,750,735    1,740,798       8,190        1,747
COMMUNITY FIRST BANK   COM         20390210          17,585,700.00      630,764      630,764
BROCADE COMMUNICATIO   COM         11162110          17,459,374.00    2,318,642    2,288,422      10,200       20,020
SMITHFIELD FOODS INC   COM         83224810          17,420,044.00    1,109,557    1,107,287       1,870          400
CAMDEN PPTY TR         SH BEN INT  13313110          17,394,534.00      524,722      491,582      33,140
EDUCATION MGMT CORP    COM         28139T10          17,389,078.00      392,796      392,596         200
MACK CALI RLTY CORP    COM         55448910          17,297,924.00      538,373      537,893         480
FEDERAL REALTY INVT    SH BEN INT  31374720          17,279,244.00      639,972      639,972
NETWORKS ASSOCS INC    COM         64093810          17,229,965.00    1,620,881    1,615,241       5,140          500
UGI CORP NEW           COM         90268110          17,220,594.00      473,744      472,544       1,200
INVISION TECHNOLOGIE   COM         46185110          17,121,732.00      534,887      534,887
NEUBERGER BERMAN INC   COM         64123410          17,110,743.00      634,907      633,867       1,040
KENNAMETAL INC         COM         48917010          17,096,030.00      532,255      532,195          60
SOUTHWEST BANCORPORA   COM         84476R10          16,927,445.00      464,912      442,472      19,010        3,430
CAPITAL AUTOMOTIVE R   COM SH BEN  13973310          16,922,051.00      677,424      677,324         100
ANNALY MTG MGMT INC    COM         03571040          16,894,701.00      915,702      915,082         620
Page Total                                          710,996,600.00


                                   Voting Authority
     Name of                Sole        Shared        None
     Issuer

----------------------------------------------------------------------
                                            
SUPERIOR INDS INTL I       348,328                    46,400
AIRGAS INC               1,299,197                   115,720
SONY CORP                  446,266                     5,300
BISYS GROUP INC          1,027,340      2,300         80,600
GATEWAY INC              5,575,679     92,688        573,781
ABERCROMBIE & FITCH        873,559      3,650         63,564
LANCASTER COLONY COR       417,920        500         20,737
VALSPAR CORP               456,793      1,400         37,140
WGL HLDGS INC              650,256        320        115,698
HSBC HLDGS PLC             351,447                     3,310
INGRAM MICRO INC         1,168,503      1,700        198,774
ADVANCEPCS                 754,318      1,520         48,970
VALLEY NATL BANCORP        612,765      1,724         65,705
VALASSIS COMMUNICATI       477,215      1,100         36,916
LYONDELL CHEMICAL CO     1,386,275      2,700        121,412
OGE ENERGY CORP            994,750      2,850         71,392
PEPSIAMERICAS INC        1,137,841      2,500        119,900
COLONIAL BANCGROUP I     1,343,645      2,100         89,220
FULTON FINL CORP PA        866,712      1,775         73,870
EATON VANCE CORP           599,307      1,040         39,748
PATINA OIL & GAS COR       572,836                    46,300
HEALTH CARE PPTY INV       372,857      1,000         39,824
REYNOLDS & REYNOLDS        737,358      1,400         46,500
CATELLUS DEV CORP          895,019      1,400         58,632
CROMPTON CORP            1,501,028      1,747        247,960
COMMUNITY FIRST BANK       540,614                    90,150
BROCADE COMMUNICATIO     1,884,689     24,520        409,433
SMITHFIELD FOODS INC     1,026,765      2,300         80,492
CAMDEN PPTY TR             476,562        800         47,360
EDUCATION MGMT CORP        373,096        600         19,100
MACK CALI RLTY CORP        477,491        700         60,182
FEDERAL REALTY INVT        527,209                   112,763
NETWORKS ASSOCS INC      1,507,531      3,200        110,150
UGI CORP NEW               410,194                    63,550
INVISION TECHNOLOGIE       508,687                    26,200
NEUBERGER BERMAN INC       593,135      1,000         40,772
KENNAMETAL INC             462,655                    69,600
SOUTHWEST BANCORPORA       390,432      3,430         71,050
CAPITAL AUTOMOTIVE R       636,574                    40,850
ANNALY MTG MGMT INC        854,802      1,400         59,500
Page Total


                                                                        20 of 82





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

--------------------------------------------------------------------------------------------------------------------------
                                                                                             
PERKINELMER INC        COM         71404610          16,829,616.00    3,088,003    3,079,163       8,420          420
CERTEGY INC            COM         15688010          16,805,831.00      836,111      833,479       2,632
CANON INC              ADR         13800630          16,798,358.00      527,090      204,390     322,700
ROPER INDS INC NEW     COM         77669610          16,750,405.00      485,519      484,659         660          200
TOTAL FINA ELF S A     SPONSORED   89151E10          16,651,818.00      252,875      173,404      79,471
UNITED STATIONERS IN   COM         91300410          16,643,297.00      632,825      629,960       2,765          100
CORN PRODS INTL INC    COM         21902310          16,607,840.00      577,664      571,332       1,390        4,942
REGIS CORP MINN        COM         75893210          16,599,468.00      586,761      586,741          20
LAMAR ADVERTISING CO   CL A        51281510          16,585,121.00      546,462      544,712       1,650          100
NATIONAL-OILWELL INC   COM         63707110          16,580,074.00      855,525      828,164      19,771        7,590
APRIA HEALTHCARE GRO   COM         03793310          16,549,439.00      702,438      702,358          80
AVNET INC              COM         05380710          16,470,136.00    1,526,426    1,516,790       8,564        1,072
CAREER EDUCATION COR   COM         14166510          16,418,399.00      341,993      340,713       1,280
MILLS CORP             COM         60114810          16,376,086.00      552,127      526,347      25,780
PROVIDENT FINL GROUP   COM         74386610          16,370,422.00      652,468      651,068       1,400
ARDEN RLTY INC         COM         03979310          16,343,190.00      691,044      690,924         120
SCIOS INC              COM         80890510          16,332,257.00      641,739      608,779      32,960
FAIR ISAAC & CO INC    COM         30325010          16,325,311.00      499,245      497,765       1,330          150
LIFEPOINT HOSPITALS    COM         53219L10          16,276,143.00      521,872      521,164         693           15
STATEN IS BANCORP IN   COM         85755010          16,263,292.00      934,672      934,672
COVENTRY HEALTH CARE   COM         22286210          16,175,445.00      497,706      495,526       1,940          240
TAKE-TWO INTERACTIVE   COM         87405410          16,128,002.00      556,138      554,578       1,560
HRPT PPTYS TR          COM SH BEN  40426W10          16,127,091.00    1,954,799    1,954,799
VARCO INTL INC DEL     COM         92212210          16,124,337.00      952,975      886,620      66,295           60
NBTY INC               COM         62878210          16,102,507.00    1,240,563    1,240,403                      160
ELECTRONICS FOR IMAG   COM         28608210          16,030,719.00    1,074,445    1,071,745       2,600          100
POGO PRODUCING CO      COM         73044810          16,006,462.00      469,949      468,159       1,290          500
HAWAIIAN ELEC INDUST   COM         41987010          15,996,392.00      371,146      369,106       2,040
APOGEE ENTERPRISES I   COM         03759810          15,938,584.00    1,456,909    1,456,809                      100
VODAFONE GROUP PLC N   SPONSORED   92857W10          15,863,153.00    1,236,411      473,733     762,678
LANDAMERICA FINL GRO   COM         51493610          15,830,746.00      481,324      481,324
JUNIPER NETWORKS INC   COM         48203R10          15,783,307.00    3,288,189    3,249,127      38,882          180
EVEREST RE GROUP LTD   COM         G3223R10          15,780,204.00      287,645      287,645
THORNBURG MTG INC      COM         88521810          15,761,653.00      838,832      838,832
PANERA BREAD CO        CL A        69840W10          15,738,678.00      582,914      582,804                      110
CHEESECAKE FACTORY I   COM         16307210          15,698,753.00      526,274      508,512       3,912       13,850
MEDICIS PHARMACEUTIC   CL A NEW    58469030          15,693,916.00      383,996      383,346         550          100
VARIAN INC             COM         92220610          15,689,023.00      568,237      567,937         300
3COM CORP              COM         88553510          15,681,172.00    3,979,993    3,956,258      22,375        1,360
DEVRY INC DEL          COM         25189310          15,650,482.00      840,520      837,400       2,820          300
Page Total                                          648,377,129.00


                                     Voting Authority
     Name of                  Sole         Shared        None
     Issuer

---------------------------------------------------------------
                                              
PERKINELMER INC            2,672,400       59,501      356,102
CERTEGY INC                  714,406        1,120      120,585
CANON INC                    518,044                     9,046
ROPER INDS INC NEW           419,712          200       65,607
TOTAL FINA ELF S A           250,875                     2,000
UNITED STATIONERS IN         567,271          100       65,454
CORN PRODS INTL INC          503,872        4,942       68,850
REGIS CORP MINN              498,861                    87,900
LAMAR ADVERTISING CO         461,012        1,500       83,950
NATIONAL-OILWELL INC         789,437        8,990       57,098
APRIA HEALTHCARE GRO         611,448                    90,990
AVNET INC                  1,405,190        3,072      118,164
CAREER EDUCATION COR         304,443          800       36,750
MILLS CORP                   481,180                    70,947
PROVIDENT FINL GROUP         534,310          700      117,458
ARDEN RLTY INC               616,635        1,000       73,409
SCIOS INC                    542,539                    99,200
FAIR ISAAC & CO INC          459,913          950       38,382
LIFEPOINT HOSPITALS          493,957          915       27,000
STATEN IS BANCORP IN         814,222                   120,450
COVENTRY HEALTH CARE         471,016        1,140       25,550
TAKE-TWO INTERACTIVE         473,538                    82,600
HRPT PPTYS TR              1,676,649                   278,150
VARCO INTL INC DEL           896,977        1,760       54,238
NBTY INC                   1,141,203          160       99,200
ELECTRONICS FOR IMAG         956,043          100      118,302
POGO PRODUCING CO            426,011        1,400       42,538
HAWAIIAN ELEC INDUST         342,246          800       28,100
APOGEE ENTERPRISES I         501,185      890,424       65,300
VODAFONE GROUP PLC N       1,199,766                    36,645
LANDAMERICA FINL GRO         440,474                    40,850
JUNIPER NETWORKS INC       2,710,856        6,280      571,053
EVEREST RE GROUP LTD         287,065                       580
THORNBURG MTG INC            748,332                    90,500
PANERA BREAD CO              532,676          110       50,128
CHEESECAKE FACTORY I         477,374       14,750       34,150
MEDICIS PHARMACEUTIC         353,476          800       29,720
VARIAN INC                   501,687                    66,550
3COM CORP                  3,416,315       93,094      470,584
DEVRY INC DEL                779,736        1,600       59,184
Page Total


                                                                        21 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                             
CLAIRES STORES INC     COM         17958410          15,650,176.00      717,898      716,918         780          200
ENGINEERED SUPPORT S   COM         29286610          15,649,380.00      274,358      274,358
COGNIZANT TECHNOLOGY   CL A        19244610          15,633,679.00      272,032      272,032
NEWFIELD EXPL CO       COM         65129010          15,620,021.00      465,020      432,685      27,090        5,245
ESSEX PPTY TR INC      COM         29717810          15,612,410.00      315,785      303,480      12,305
ARROW ELECTRS INC      COM         04273510          15,557,583.00    1,231,796    1,224,496       5,850        1,450
INDEPENDENCE CMNTY B   COM         45341410          15,544,208.00      619,538      619,488          50
BLYTH INC              COM         09643P10          15,498,338.00      555,496      552,334       3,162
PMC-SIERRA INC         COM         69344F10          15,402,963.00    3,969,836    3,966,436       3,280          120
PHARMACEUTICAL PROD    COM         71712410          15,374,081.00      794,937      794,117         680          140
PERFORMANCE FOOD GRO   COM         71375510          15,365,371.00      452,455      450,175       2,100          180
RESPIRONICS INC        COM         76123010          15,287,527.00      477,586      475,259       2,327
WADDELL & REED FINL    CL A        93005910          15,287,290.00      865,645      859,449       2,920        3,276
BRE PROPERTIES INC     CL A        05564E10          15,276,969.00      496,812      496,812
WASHINGTON REAL ESTA   SH BEN INT  93965310          15,254,598.00      601,048      600,828         220
PIEDMONT NAT GAS INC   COM         72018610          15,241,388.00      429,698      429,148         550
HOLLYWOOD ENTMT CORP   COM         43614110          15,228,663.00    1,048,806    1,048,806
GREAT PLAINS ENERGY    COM         39116410          15,218,409.00      794,695      791,925       2,070          700
TRANSATLANTIC HLDGS    COM         89352110          15,211,933.00      228,923      228,373         550
UNITED BANKSHARES IN   COM         90990710          15,207,042.00      524,200      523,600                      600
BRIGGS & STRATTON CO   COM         10904310          15,121,825.00      402,819      402,419         400
HOME PPTYS N Y INC     COM         43730610          15,119,000.00      465,200      465,200
VECTREN CORP           COM         92240G10          15,104,452.00      686,566      682,632       3,934
WESTERN DIGITAL CORP   COM         95810210          15,092,343.00    3,211,137    3,203,937       7,200
BORG WARNER INC        COM         09972410          15,086,688.00      303,922      303,032         690          200
DAVITA INC             COM         23918K10          15,068,600.00      638,500      636,820       1,580          100
AMETEK INC NEW         COM         03110010          15,032,384.00      516,222      513,872       2,100          250
OSHKOSH TRUCK CORP     COM         68823920          15,022,083.00      266,349      241,487      20,892        3,970
CHITTENDEN CORP        COM         17022810          15,020,372.00      507,445      491,900       6,672        8,873
INVESTMENT TECHNOLOG   COM         46145F10          14,982,641.00      512,052      511,012         740          300
CHESAPEAKE ENERGY CO   COM         16516710          14,938,935.00    2,263,475    2,255,675       6,800        1,000
HCC INS HLDGS INC      COM         40413210          14,914,435.00      621,176      615,090       6,086
LA QUINTA CORP         PAIRED CTF  50419U20          14,913,926.00    3,107,068    2,809,523     297,545
LA Z BOY INC           COM         50533610          14,895,049.00      642,028      641,288         600          140
INTERNATIONAL SPEEDW   CL A        46033520          14,844,121.00      373,625      366,599       1,200        5,826
FIRST BANCORP P R      COM         31867210          14,830,890.00      389,058      388,958         100
NEUROCRINE BIOSCIENC   COM         64125C10          14,823,386.00      361,546      360,926         620
KRISPY KREME DOUGHNU   COM         50101410          14,800,453.00      473,463      472,213       1,250
SCHOLASTIC CORP        COM         80706610          14,778,356.00      330,760      329,940         620          200
E TRADE GROUP INC      COM         26924610          14,771,472.00    3,319,432    3,310,502       6,650        2,280
Page Total                                          607,283,440.00


                                     Voting Authority
     Name of                 Sole         Shared        None
     Issuer

--------------------------------------------------------------
                                              
CLAIRES STORES INC          617,748          200       99,950
ENGINEERED SUPPORT S        254,308                    20,050
COGNIZANT TECHNOLOGY        251,932                    20,100
NEWFIELD EXPL CO            429,147        6,145       29,728
ESSEX PPTY TR INC           273,145                    42,640
ARROW ELECTRS INC         1,082,332        3,150      146,314
INDEPENDENCE CMNTY B        582,038          900       36,600
BLYTH INC                   484,296                    71,200
PMC-SIERRA INC            3,380,192      107,320      482,324
PHARMACEUTICAL PROD         763,251        1,040       30,646
PERFORMANCE FOOD GRO        354,181          980       97,294
RESPIRONICS INC             408,536                    69,050
WADDELL & REED FINL         810,235        4,576       50,834
BRE PROPERTIES INC          442,476          800       53,536
WASHINGTON REAL ESTA        487,226                   113,822
PIEDMONT NAT GAS INC        364,598                    65,100
HOLLYWOOD ENTMT CORP        935,351                   113,455
GREAT PLAINS ENERGY         718,245        2,100       74,350
TRANSATLANTIC HLDGS         208,087          450       20,386
UNITED BANKSHARES IN        445,946          600       77,654
BRIGGS & STRATTON CO        355,542                    47,277
HOME PPTYS N Y INC          396,216                    68,984
VECTREN CORP                639,234        1,200       46,132
WESTERN DIGITAL CORP      2,793,477                   417,660
BORG WARNER INC             248,472          700       54,750
DAVITA INC                  568,396        8,640       61,464
AMETEK INC NEW              445,172          250       70,800
OSHKOSH TRUCK CORP          233,479        3,970       28,900
CHITTENDEN CORP             425,677        8,873       72,895
INVESTMENT TECHNOLOG        477,384        1,150       33,518
CHESAPEAKE ENERGY CO      1,947,725        1,000      314,750
HCC INS HLDGS INC           578,754        1,200       41,222
LA QUINTA CORP            2,811,718                   295,350
LA Z BOY INC                600,778        1,040       40,210
INTERNATIONAL SPEEDW        349,021        6,426       18,178
FIRST BANCORP P R           344,308                    44,750
NEUROCRINE BIOSCIENC        299,946                    61,600
KRISPY KREME DOUGHNU        443,843          700       28,920
SCHOLASTIC CORP             300,210          900       29,650
E TRADE GROUP INC         3,112,768        7,680      198,984
Page Total


                                                                        22 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                             
CULLEN FROST BANKERS   COM         22989910          14,748,292.00      431,868      430,608       1,160          100
CARRAMERICA RLTY COR   COM         14441810          14,737,613.00      585,523      585,423         100
SENSIENT TECHNOLOGIE   COM         81725T10          14,733,822.00      697,294      696,994         300
BJS WHOLESALE CLUB I   COM         05548J10          14,708,303.00      773,714      755,181       8,553        9,980
POST PPTYS INC         COM         73746410          14,702,030.00      565,898      565,798         100
STERICYCLE INC         COM         85891210          14,612,634.00      430,797      430,497         300
BOB EVANS FARMS INC    COM         09676110          14,608,371.00      616,387      616,387
ITT EDUCATIONAL SERV   COM         45068B10          14,593,449.00      777,488      777,288                      200
CREE INC               COM         22544710          14,578,687.00    1,166,295    1,156,685       9,490          120
AIRBORNE INC           COM         00926910          14,556,148.00    1,283,611    1,282,111       1,500
CYTEC INDS INC         COM         23282010          14,530,614.00      661,987      660,977       1,010
HISPANIC BROADCASTIN   CL A        43357B10          14,524,993.00      778,820      772,610       5,910          300
LEUCADIA NATL CORP     COM         52728810          14,498,688.00      426,432      426,232         200
CAMBREX CORP           COM         13201110          14,497,764.00      393,961      365,471      24,085        4,405
PEP BOYS MANNY MOE &   COM         71327810          14,436,441.00    1,178,485    1,178,485
ENERGEN CORP           COM         29265N10          14,435,254.00      570,338      569,538         500          300
VISHAY INTERTECHNOLO   COM         92829810          14,415,922.00    1,638,173    1,635,127       1,752        1,294
ZEBRA TECHNOLOGIES C   CL A        98920710          14,389,533.00      273,098      272,128         770          200
HEALTH CARE REIT INC   COM         42217K10          14,384,841.00      525,954      525,954
ROSLYN BANCORP INC     COM         77816210          14,361,561.00      824,903      821,513       3,390
NOVARTIS A G           SPONSORED   66987V10          14,349,721.00      361,181      125,530     235,651
FIRST AMERN CORP CAL   COM         31852230          14,345,986.00      702,202      701,102         940          160
WOLVERINE WORLD WIDE   COM         97809710          14,343,000.00      956,200      948,484       7,716
DONALDSON INC          COM         25765110          14,195,763.00      413,509      407,584       5,925
MILLER HERMAN INC      COM         60054410          14,165,038.00      797,581      794,991       2,290          300
FIRST MIDWEST BANCOR   COM         32086710          14,097,578.00      524,854      524,829          25
LANDSTAR SYS INC       COM         51509810          14,085,078.00      287,304      287,304
FIRST INDUSTRIAL REA   COM         32054K10          14,063,478.00      453,807      453,707         100
POLARIS INDS INC       COM         73106810          13,995,012.00      225,726      224,586         960          180
TRIZEC PROPERTIES IN   COM         89687P10          13,985,208.00    1,232,177    1,232,177
IKON OFFICE SOLUTION   COM         45171310          13,958,474.00    1,771,380    1,761,860       3,520        6,000
SICOR INC              COM         82584610          13,923,340.00      915,407      914,147       1,260
AUTOLIV INC            COM         05280010          13,921,484.00      660,412      634,944      17,170        8,298
ARBITRON INC           COM         03875Q10          13,875,221.00      406,898      405,079       1,819
WASHINGTON FED INC     COM         93882410          13,842,463.00      620,321      614,221       1,700        4,400
SAKS INC               COM         79377W10          13,841,126.00    1,314,447    1,308,617       5,210          620
ALEXANDER & BALDWIN    COM         01448210          13,827,017.00      621,439      621,339         100
OHIO CAS CORP          COM         67724010          13,733,596.00      843,587      839,137       4,450
RECKSON ASSOCS RLTY    COM         75621K10          13,724,184.00      602,731      602,731
HARTE-HANKS INC        COM         41619610          13,705,892.00      736,480      735,880         300          300
Page Total                                          571,033,619.00


                                       Voting Authority
     Name of                   Sole         Shared        None
     Issuer

----------------------------------------------------------------
                                                
CULLEN FROST BANKERS          395,781        1,000       35,087
CARRAMERICA RLTY COR          522,115          900       62,508
SENSIENT TECHNOLOGIE          604,930                    92,364
BJS WHOLESALE CLUB I          714,840       11,180       47,694
POST PPTYS INC                478,249                    87,649
STERICYCLE INC                361,247                    69,550
BOB EVANS FARMS INC           522,439                    93,948
ITT EDUCATIONAL SERV          682,821          200       94,467
CREE INC                    1,010,775          120      155,400
AIRBORNE INC                1,167,961                   115,650
CYTEC INDS INC                582,217                    79,770
HISPANIC BROADCASTIN          738,018        1,300       39,502
LEUCADIA NATL CORP            399,940          800       25,692
CAMBREX CORP                  341,256        4,405       48,300
PEP BOYS MANNY MOE &        1,066,435                   112,050
ENERGEN CORP                  488,288          300       81,750
VISHAY INTERTECHNOLO        1,497,977        4,094      136,102
ZEBRA TECHNOLOGIES C          254,698          700       17,700
HEALTH CARE REIT INC          436,177                    89,777
ROSLYN BANCORP INC            773,243        1,250       50,410
NOVARTIS A G                  356,526                     4,655
FIRST AMERN CORP CAL          648,482        1,360       52,360
WOLVERINE WORLD WIDE          866,350                    89,850
DONALDSON INC                 374,009          700       38,800
MILLER HERMAN INC             724,331        1,600       71,650
FIRST MIDWEST BANCOR          488,529        1,100       35,225
LANDSTAR SYS INC              253,654                    33,650
FIRST INDUSTRIAL REA          405,611          900       47,296
POLARIS INDS INC              187,046          680       38,000
TRIZEC PROPERTIES IN        1,057,005        1,600      173,572
IKON OFFICE SOLUTION        1,618,700        9,300      143,380
SICOR INC                     864,331        1,300       49,776
AUTOLIV INC                   575,114        9,998       75,300
ARBITRON INC                  337,644                    69,254
WASHINGTON FED INC            572,940        6,500       40,881
SAKS INC                    1,229,757        2,720       81,970
ALEXANDER & BALDWIN           534,418                    87,021
OHIO CAS CORP                 731,803                   111,784
RECKSON ASSOCS RLTY           540,324        1,200       61,207
HARTE-HANKS INC               688,266        1,650       46,564
Page Total


                                                                        23 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                           
REALTY INCOME CORP     COM         75610910          13,642,515.00      399,488      399,388         100
SANDISK CORP           COM         80004C10          13,631,240.00    1,039,759    1,035,799       3,500          460
SUN COMMUNITIES INC    COM         86667410          13,610,525.00      370,859      333,084      37,775
HARLAND JOHN H CO      COM         41269310          13,609,643.00      501,276      501,156         120
HUMAN GENOME SCIENCE   COM         44490310          13,584,022.00    1,126,370    1,124,345       1,925          100
ANDREW CORP            COM         03442510          13,574,573.00    2,072,454    2,065,624       6,530          300
ETHAN ALLEN INTERIOR   COM         29760210          13,565,991.00      419,221      417,045       2,076          100
RAYONIER INC           COM         75490710          13,525,781.00      322,734      322,134         500          100
PROTEIN DESIGN LABS    COM         74369L10          13,524,941.00    1,629,511    1,627,271       2,240
PROVIDENT BANKSHARES   COM         74385910          13,479,968.00      624,651      624,651
CORPORATE EXECUTIVE    COM         21988R10          13,429,206.00      470,375      468,175       2,200
HIGHWOODS PPTYS INC    COM         43128410          13,428,651.00      573,874      573,574         300
BENCHMARK ELECTRS IN   COM         08160H10          13,425,353.00      637,784      622,729      15,055
HUGHES SUPPLY INC      COM         44448210          13,380,767.00      459,189      459,168          21
WESTAMERICA BANCORPO   COM         95709010          13,323,214.00      330,765      330,675          90
VERTEX PHARMACEUTICA   COM         92532F10          13,304,867.00      719,571      716,351       2,020        1,200
LEVEL 3 COMMUNICATIO   COM         52729N10          13,290,741.00    3,416,643    3,394,863      18,960        2,820
PAPA JOHNS INTL INC    COM         69881310          13,285,930.00      456,091      453,316       2,775
OLIN CORP              COM PAR $1  68066520          13,252,976.00      809,095      808,995         100
SYBASE INC             COM         87113010          13,203,259.00    1,136,253    1,130,978       4,975          300
CYTYC CORP             COM         23294610          13,166,722.00    1,228,239    1,218,269       9,870          100
F M C CORP             COM NEW     30249130          13,145,968.00      509,139      508,299         640          200
STORAGE TECHNOLOGY C   COM PAR $0  86211120          13,139,496.00    1,250,190    1,245,510       4,280          400
WALLACE COMPUTER SER   COM         93227010          13,092,169.00      741,766      741,166         600
KT CORP                SPONSORED   48268K10          13,071,627.00      589,343      589,343
FEDERAL SIGNAL CORP    COM         31385510          13,060,240.00      709,025      696,705      12,120          200
GRACO INC              COM         38410910          13,054,744.00      526,401      521,549       4,342          510
SUSQUEHANNA BANCSHAR   COM         86909910          13,038,885.00      602,258      601,598                      660
CHURCH & DWIGHT INC    COM         17134010          13,024,104.00      392,884      392,784         100
FLOWERS FOODS INC      COM         34349810          12,958,350.00      570,099      295,964     274,045           90
FERRO CORP             COM         31540510          12,904,768.00      558,648      558,068         580
BORDERS GROUP INC      COM         09970910          12,896,607.00      816,241      814,301       1,640          300
SERVICE CORP INTL      COM         81756510          12,879,254.00    3,679,787    3,654,973      24,594          220
PARAMETRIC TECHNOLOG   COM         69917310          12,847,168.00    7,137,316    7,125,216      11,320          780
WASTE CONNECTIONS IN   COM         94105310          12,815,244.00      368,360      368,260                      100
AMYLIN PHARMACEUTICA   COM         03234610          12,811,360.00      770,840      770,640         100          100
POTLATCH CORP          COM         73762810          12,809,377.00      446,631      444,879         400        1,352
FLIR SYS INC           COM         30244510          12,770,230.00      364,968      364,968
EAST WEST BANCORP IN   COM         27579R10          12,767,289.00      378,178      378,178
IMC GLOBAL INC         COM         44966910          12,752,756.00    1,058,320    1,055,005       2,295        1,020
Page Total                                          528,080,521.00


                                      Voting Authority
     Name of                  Sole         Shared        None
     Issuer

---------------------------------------------------------------
                                               
REALTY INCOME CORP            324,732                    74,756
SANDISK CORP                  904,299          460      135,000
SUN COMMUNITIES INC           324,111                    46,748
HARLAND JOHN H CO             433,126                    68,150
HUMAN GENOME SCIENCE          957,505        2,200      166,665
ANDREW CORP                 1,805,459       31,737      235,258
ETHAN ALLEN INTERIOR          398,399          800       20,022
RAYONIER INC                  303,334          700       18,700
PROTEIN DESIGN LABS         1,452,661                   176,850
PROVIDENT BANKSHARES          564,566                    60,085
CORPORATE EXECUTIVE           383,843                    86,532
HIGHWOODS PPTYS INC           508,751        1,200       63,923
BENCHMARK ELECTRS IN          588,734                    49,050
HUGHES SUPPLY INC             407,312                    51,877
WESTAMERICA BANCORPO          306,265          600       23,900
VERTEX PHARMACEUTICA          664,617        2,400       52,554
LEVEL 3 COMMUNICATIO        2,782,280        9,520      624,843
PAPA JOHNS INTL INC           418,772                    37,319
OLIN CORP                     707,189                   101,906
SYBASE INC                  1,064,818        2,600       68,835
CYTYC CORP                  1,134,943        2,900       90,396
F M C CORP                    450,134          200       58,805
STORAGE TECHNOLOGY C        1,177,096        2,200       70,894
WALLACE COMPUTER SER          657,316                    84,450
KT CORP                       429,427      104,245       55,671
FEDERAL SIGNAL CORP           605,160          200      103,665
GRACO INC                     480,048        1,610       44,743
SUSQUEHANNA BANCSHAR          522,049          660       79,549
CHURCH & DWIGHT INC           356,144          800       35,940
FLOWERS FOODS INC             259,790      271,329       38,980
FERRO CORP                    480,073                    78,575
BORDERS GROUP INC             758,021        1,700       56,520
SERVICE CORP INTL           3,083,267        1,220      595,300
PARAMETRIC TECHNOLOG        6,234,421       64,580      838,315
WASTE CONNECTIONS IN          312,990          100       55,270
AMYLIN PHARMACEUTICA          631,240          100      139,500
POTLATCH CORP                 380,645        1,352       64,634
FLIR SYS INC                  333,568                    31,400
EAST WEST BANCORP IN          315,470                    62,708
IMC GLOBAL INC                978,080        3,520       76,720
Page Total


                                                                        24 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UICI                    COM  90273710    12,728,132.00    782,788     782,668                   120      697,018      120    85,650
PANAMSAT CORP NEW       COM  69793310    12,711,911.00    732,675     731,075      1,600                 704,487      500    27,688
VARIAN SEMICONDUCTOR    COM  92220710    12,708,859.00    773,045     771,105      1,440        500      705,625      500    66,920
PACKAGING CORP AMER     COM  69515610    12,706,604.00    725,677     725,397        280                 686,843    1,200    37,634
INVACARE CORP           COM  46120310    12,693,872.00    370,624     370,164        460                 306,987             63,637
LINENS N THINGS INC     COM  53567910    12,692,788.00    690,952     636,252     41,790     12,910      601,970   12,910    76,072
PROVINCE HEALTHCARE     COM  74397710    12,690,605.00    739,977     704,100     29,547      6,330      646,297    6,330    87,350
COMMERCE GROUP INC M    COM  20064110    12,686,155.00    392,032     355,532     36,500                 339,956             52,076
ALLEGHENY TECHNOLOGI    COM  01741R10    12,661,115.00  1,829,641   1,823,271      6,370               1,653,702   25,846   150,093
CLARCOR INC             COM  17989510    12,602,534.00    410,506     409,966        100        440      351,166      440    58,900
CHICOS FAS INC          COM  16861510    12,589,861.00    790,324     725,915     51,639     12,770      721,154   14,370    54,800
RUDDICK CORP            COM  78125810    12,581,239.00    828,258     828,058        100        100      750,395      100    77,763
PHARMACEUTICAL RES I    COM  71712510    12,578,828.00    449,565     447,565      1,900        100      405,805      100    43,660
PACIFICARE HEALTH SY    COM  69511210    12,522,445.00    542,332     542,272         60                 465,313             77,019
BROWN & BROWN INC       COM  11523610    12,521,610.00    417,387     417,387                            384,287      800    32,300
CATALINA MARKETING C    COM  14886710    12,497,930.00    445,083     442,683        500      1,900      417,891    2,700    24,492
HARMAN INTL INDS INC    COM  41308610    12,491,001.00    241,372     240,652        620        100      214,512      700    26,160
UNIVERSAL CORP VA       COM  91345610    12,447,149.00    354,923     353,673      1,250                 354,573                350
FMC TECHNOLOGIES INC    COM  30249U10    12,441,735.00    742,347     741,142      1,120         85      699,424    1,366    41,557
RUBY TUESDAY INC        COM  78118210    12,393,053.00    659,907     605,718     54,189                 597,807    1,100    61,000
NORTHWEST NAT GAS CO    COM  66765510    12,384,018.00    421,799     421,199        600                 360,249             61,550
IDEX CORP               COM  45167R10    12,340,965.00    432,258     415,858     11,230      5,170      365,230    5,170    61,858
INTERNATIONAL RECTIF    COM  46025410    12,257,217.00    784,713     776,888      7,265        560      737,681    1,660    45,372
ACXIOM CORP             COM  00512510    12,226,619.00    862,244     857,744      4,100        400      799,656    1,800    60,788
SONIC CORP              COM  83545110    12,222,371.00    529,107     529,107                            448,021             81,086
LAFARGE NORTH AMERIC    COM  50586210    12,219,488.00    421,798     420,138      1,660                 399,472      700    21,626
MARKEL CORP             COM  57053510    12,164,520.00     61,073      60,503        570                  54,903      100     6,070
SWIFT TRANSN CO         COM  87075610    12,147,642.00    778,695     776,585      1,910        200      734,975    1,600    42,120
MERISTAR HOSPITALITY    COM  58984Y10    12,140,934.00  1,413,380   1,268,365    145,015               1,311,047            102,333
RESMED INC              COM  76115210    12,125,542.00    423,970     423,510        360        100      356,420      100    67,450
ENZON INC               COM  29390410    12,098,419.00    628,816     582,261     45,555      1,000      537,346    1,000    90,470
NEW JERSEY RES          COM  64602510    12,085,584.00    367,343     363,274        300      3,769      305,248    3,769    58,326
SOUTH FINL GROUP INC    COM  83784110    12,063,037.00    571,979     570,962      1,017                 485,229             86,750
ACCREDO HEALTH INC      COM  00437V10    12,062,324.00    252,985     251,655      1,230        100      231,299      600    21,086
LONGS DRUG STORES CO    COM  54316210    12,028,943.00    520,959     520,599        360                 440,475             80,484
ATMOS ENERGY CORP       COM  04956010    12,026,089.00    559,353     559,053        300                 473,283             86,070
REGENCY CTRS CORP       COM  75884910    12,010,733.00    387,443     387,443                            340,590      100    46,753
PEDIATRIX MED GROUP     COM  70532410    11,979,153.00    386,549     386,549                            341,499             45,050
CLAYTON HOMES INC       COM  18419010    11,931,219.00  1,086,632   1,083,762      1,950        920    1,022,068    2,520    62,044
PACIFIC CAP BANCORP     COM  69404P10    11,925,050.00    439,099     439,046         53                 367,665             71,434
Page Total                              494,387,293.00


                                                                       25 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
INTERNATIONAL BANCSH   COM         45904410   11,875,061.00    305,350    304,999       351             255,326              50,024
ARCH COAL INC          COM         03938010   11,848,773.00    715,938    715,338       159      441    619,247        441   96,250
BANCORPSOUTH INC       COM         05969210   11,845,885.00    601,314    600,984       330             542,764      1,400   57,150
CORPORATE OFFICE PPT   SH BEN INT  22002T10   11,843,553.00    874,063    702,628   171,435             806,737              67,326
WERNER ENTERPRISES I   COM         95075510   11,774,172.00    640,597    639,971        26      600    550,772        600   89,225
NORTHWEST AIRLS CORP   CL A        66728010   11,769,618.00  1,761,919    401,113 1,360,806             370,850  1,354,709   36,360
HUNT J B TRANS SVCS    COM         44565810   11,753,145.00    499,072    499,032        40             451,372              47,700
EMULEX CORP            COM NEW     29247520   11,746,623.00  1,043,217    948,468    68,094   26,655    960,498     28,055   54,664
LAM RESEARCH CORP      COM         51280710   11,746,576.00  1,319,840  1,316,290     3,050      500  1,227,850      2,700   89,290
INTEGRATED DEVICE TE   COM         45811810   11,735,029.00  1,124,045  1,114,735     8,470      840  1,014,492      2,640  106,913
FULLER H B CO          COM         35969410   11,734,137.00    441,133    440,333       600      200    379,323        200   61,610
AVAYA INC              COM         05349910   11,685,429.00  8,171,629  8,131,876    35,913    3,840  7,144,575     68,984  958,070
TRANSKARYOTIC THERAP   COM         89373510   11,641,996.00    359,210    358,510       700             295,310              63,900
KANSAS CITY SOUTHERN   COM NEW     48517030   11,591,396.00    934,790    891,183     3,430   40,177    743,763     40,177  150,850
FURNITURE BRANDS INT   COM         36092110   11,588,786.00    504,958    503,258     1,700             470,158        900   33,900
CERNER CORP            COM         15678210   11,565,287.00    328,466    326,434     1,832      200    309,220        800   18,446
HUDSON UNITED BANCOR   COM         44416510   11,554,268.00    434,371    432,646     1,725             401,231      1,900   31,240
JACK IN THE BOX INC    COM         46636710   11,529,800.00    505,693    504,913       780             426,351              79,342
NATIONWIDE HEALTH PP   COM         63862010   11,509,773.00    675,060    675,060                       572,760             102,300
APPLEBEES INTL INC     COM         03789910   11,484,567.00    523,931    498,431    25,500             449,481      1,300   73,150
HERITAGE PPTY INVT T   COM         42725M10   11,471,491.00    459,595    459,595                       411,395              48,200
IRON MTN INC PA        COM         46284610   11,411,533.00    456,644    449,073     7,421      150    411,226      1,450   43,968
ADVANCED FIBRE COMMU   COM         00754A10   11,408,816.00    859,745    856,925     2,520      300    771,219      1,700   86,826
BARNES & NOBLE INC     COM         06777410   11,405,853.00    539,029    532,929     3,400    2,700    504,881      3,500   30,648
INDYMAC BANCORP INC    COM         45660710   11,379,127.00    590,510    590,450        60             548,570      1,000   40,940
OLD NATL BANCORP IND   COM         68003310   11,376,557.00    457,625    452,585     5,040             412,145      1,023   44,457
DELTA & PINE LD CO     COM         24735710   11,361,499.00    606,270    605,990       280             525,770              80,500
AMERICAN FINL GROUP    COM         02593210   11,359,219.00    493,450    492,030     1,420             445,464        500   47,486
AMERUS GROUP CO        COM         03072M10   11,305,628.00    398,647    398,607        40             367,837        900   29,910
VERISIGN INC           COM         92343E10   11,297,743.00  2,237,177  2,223,089    13,855      233  1,842,030      4,133  391,014
99 CENTS ONLY STORES   COM         65440K10   11,268,562.00    544,375    544,255                120    514,355      1,120   28,900
SANGSTAT MED CORP      COM         80100310   11,222,262.00    537,980    537,980                       487,880              50,100
DYCOM INDS INC         COM         26747510   11,166,131.00  1,219,010  1,215,990     3,020           1,128,750              90,260
USFREIGHTWAYS CORP     COM         91690610   11,163,862.00    389,256    389,136        20      100    331,599        100   57,557
COMMUNITY HEALTH SYS   COM         20366810   11,126,546.00    417,820    405,515     3,095    9,210    375,332     10,210   32,278
WESTERN GAS RES INC    COM         95825910   11,120,531.00    355,857    355,857                       307,586              48,271
BRANDYWINE RLTY TR     SH BEN INT  10536820   11,114,714.00    492,892    492,872        20             403,767              89,125
FOOT LOCKER INC        COM         34484910   11,103,835.00  1,111,495  1,102,495     6,920    2,080    975,565      4,480  131,450
GATX CORP              COM         36144810   11,084,792.00    559,838    526,143    24,085    9,610    509,300     10,310   40,228
TEXAS REGL BANCSHARE   CL A VTG    88267310   11,081,104.00    330,878    330,878                       282,523              48,355
Page Total                                   459,053,679.00


                                                                        26 of 82





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

----------------------------------------------------------------------------------------------------------------------
                                                                                       
MONY GROUP INC         COM         61533710         11,079,543.00      449,110      446,917       2,193
BLACK HILLS CORP       COM         09211310         11,062,525.00      422,395      421,455         840          100
HARSCO CORP            COM         41586410         11,018,747.00      405,250      405,050                      200
SKY FINL GROUP INC     COM         83080P10         11,016,063.00      553,293      551,243       2,050
NOKIA CORP             SPONSORED   65490220         10,989,020.00      829,360      320,434     508,926
PERRIGO CO             COM         71429010         10,981,789.00    1,033,094    1,030,194       2,900
FIRSTFED FINL CORP     COM         33790710         10,969,422.00      425,997      425,897         100
WEBMD CORP             COM         94769M10         10,955,985.00    2,169,502    2,159,002      10,300          200
KILROY RLTY CORP       COM         49427F10         10,948,448.00      461,765      461,765
CROWN CORK & SEAL IN   COM         22825510         10,945,389.00    2,084,836    2,079,536       5,300
GABLES RESIDENTIAL T   SH BEN INT  36241810         10,939,855.00      409,579      409,479         100
DORAL FINL CORP        COM         25811P10         10,936,095.00      453,028      453,028
BERKLEY W R CORP       COM         08442310         10,900,604.00      320,606      320,606
COLONIAL PPTYS TR      COM SH BEN  19587210         10,876,105.00      300,611      300,611
WPP GROUP PLC          SPON ADR N  92930930         10,869,238.00      318,746      173,734     145,012
AGERE SYS INC          CL B        00845V20         10,857,740.00   10,967,415   10,834,868     120,225       12,322
MUELLER INDS INC       COM         62475610         10,823,169.00      417,883      417,383         300          200
CLECO CORP NEW         COM         12561W10         10,804,004.00      802,079      797,369       3,310        1,400
SIERRA PAC RES NEW     COM         82642810         10,796,304.00    1,769,886    1,764,695       4,511          680
KRONOS INC             COM         50105210         10,791,314.00      438,137      437,377         760
BROWN TOM INC          COM NEW     11566020         10,746,397.00      469,275      468,815         360          100
PLANTRONICS INC NEW    COM         72749310         10,743,460.00      659,108      657,408       1,300          400
MCCLATCHY CO           CL A        57948910         10,690,264.00      175,394      172,894       2,400          100
O REILLY AUTOMOTIVE    COM         68609110         10,667,475.00      372,728      372,248         120          360
WHITNEY HLDG CORP      COM         96661210         10,628,104.00      331,300      331,260          40
FAIRCHILD SEMICONDUC   CL A        30372610         10,620,197.00    1,121,457    1,119,357       2,100
FELCOR LODGING TR IN   COM         31430F10         10,616,337.00      827,462      827,462
RYLAND GROUP INC       COM         78376410         10,601,032.00      285,204      285,144          60
IDACORP INC            COM         45110710         10,596,128.00      435,517      430,122       1,870        3,525
TEVA PHARMACEUTICAL    ADR         88162420         10,577,357.00      157,871      157,871
TECUMSEH PRODS CO      CL A        87889520         10,558,898.00      251,642      251,042         500          100
EVERGREEN RES INC      COM NO PAR  29990030         10,553,210.00      257,521      257,521
STONE ENERGY CORP      COM         86164210         10,535,785.00      324,178      324,078                      100
LLOYDS TSB GROUP PLC   SPONSORED   53943910         10,514,990.00      347,603       95,395     252,208
INTERMUNE INC          COM         45884X10         10,500,824.00      319,952      319,952
CHATEAU CMNTYS INC     COM         16172610         10,499,797.00      397,569      397,569
CABLEVISION SYS CORP   CL A NY CA  12686C10         10,497,677.00    1,158,684    1,145,730       8,925        4,029
TOOTSIE ROLL INDS IN   COM         89051610         10,493,834.00      353,090      351,639       1,239          212
UCBH HOLDINGS INC      COM         90262T30         10,492,708.00      267,058      262,558       4,500
JEFFERIES GROUP INC    COM         47231910         10,462,136.00      274,165      272,765       1,400
Page Total                                         430,157,969.00


                                   Voting Authority
     Name of                  Sole      Shared        None
     Issuer

------------------------------------------------------------
                                          
MONY GROUP INC                419,556       800       28,754
BLACK HILLS CORP              354,859       100       67,436
HARSCO CORP                   375,250       900       29,100
SKY FINL GROUP INC            506,467     1,200       45,626
NOKIA CORP                    818,035                 11,325
PERRIGO CO                    893,768                139,326
FIRSTFED FINL CORP            382,207                 43,790
WEBMD CORP                  1,968,786     5,400      195,316
KILROY RLTY CORP              392,323                 69,442
CROWN CORK & SEAL IN        1,696,453                388,383
GABLES RESIDENTIAL T          329,058                 80,521
DORAL FINL CORP               409,178     1,050       42,800
BERKLEY W R CORP              295,166       700       24,740
COLONIAL PPTYS TR             249,919                 50,692
WPP GROUP PLC                 315,828                  2,918
AGERE SYS INC               9,413,908    41,353    1,512,154
MUELLER INDS INC              350,492       200       67,191
CLECO CORP NEW                677,999     1,400      122,680
SIERRA PAC RES NEW          1,550,986       680      218,220
KRONOS INC                    398,737                 39,400
BROWN TOM INC                 394,800       100       74,375
PLANTRONICS INC NEW           580,408       400       78,300
MCCLATCHY CO                  160,230       400       14,764
O REILLY AUTOMOTIVE           342,868     1,260       28,600
WHITNEY HLDG CORP             303,300       900       27,100
FAIRCHILD SEMICONDUC        1,041,857     2,300       77,300
FELCOR LODGING TR IN          704,757                122,705
RYLAND GROUP INC              263,954     1,000       20,250
IDACORP INC                   396,576     4,425       34,516
TEVA PHARMACEUTICAL            70,349    51,904       35,618
TECUMSEH PRODS CO             218,492       100       33,050
EVERGREEN RES INC             213,556                 43,965
STONE ENERGY CORP             272,899       100       51,179
LLOYDS TSB GROUP PLC          342,353                  5,250
INTERMUNE INC                 262,402                 57,550
CHATEAU CMNTYS INC            324,165                 73,404
CABLEVISION SYS CORP          965,719     7,339      185,626
TOOTSIE ROLL INDS IN          326,269       668       26,153
UCBH HOLDINGS INC             217,849                 49,209
JEFFERIES GROUP INC           231,015                 43,150
Page Total


                                                                        27 of 82





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

------------------------------------------------------------------------------------------------------------------
                                                                                     
CH ENERGY GROUP INC    COM         12541M10       10,458,021.00      222,843      221,857         886          100
WEIGHT WATCHERS INTL   COM         94862610       10,445,424.00      240,900      240,800         100
COUSINS PPTYS INC      COM         22279510       10,408,328.00      452,536      452,536
OM GROUP INC           COM         67087210       10,385,248.00      242,646      237,490       1,621        3,535
TOO INC                COM         89033310       10,380,202.00      445,885      445,296         561           28
NEIMAN MARCUS GROUP    CL A        64020420       10,356,963.00      394,551      391,909       2,342          300
INTERGRAPH CORP        COM         45868310       10,356,557.00      606,001      605,301         700
BRADY CORP             CL A        10467410       10,325,026.00      320,653      317,213       3,340          100
HENRY JACK & ASSOC I   COM         42628110       10,321,026.00      830,332      828,692       1,240          400
UNIT CORP              COM         90921810       10,309,977.00      538,380      537,922                      458
ANDRX GROUP            COM         03455310       10,309,296.00      465,431      463,731       1,700
STERLING BANCSHARES    COM         85890710       10,267,360.00      785,567      785,567
EARTHLINK INC          COM         27032110       10,254,519.00    1,920,322    1,910,502       6,490        3,330
P F CHANGS CHINA BIS   COM         69333Y10       10,238,242.00      352,678      292,158      35,385       25,135
AMERICAN EAGLE OUTFI   COM         02553E10       10,222,297.00      847,620      844,210       3,220          190
TRUSTCO BK CORP N Y    COM         89834910       10,197,477.00      964,027      963,912         115
SEACOR SMIT INC        COM         81190410       10,192,081.00      248,648      248,158         490
EMCOR GROUP INC        COM         29084Q10       10,189,295.00      205,016      205,016
LABRANCHE & CO INC     COM         50544710       10,169,509.00      502,198      500,878       1,020          300
CHARMING SHOPPES INC   COM         16113310       10,168,098.00    1,506,385    1,506,385
STANDARD PAC CORP NE   COM         85375C10       10,137,170.00      433,583      433,343         240
EXTENDED STAY AMER I   COM         30224P10       10,105,034.00      795,672      790,692       4,900           80
G & K SVCS INC         CL A        36126810       10,078,600.00      297,743      297,548          75          120
REPUBLIC BANCORP INC   COM         76028210       10,074,779.00      774,983      774,553         430
CAL DIVE INTL INC      COM         12791410       10,074,162.00      499,537      494,337       5,200
J D EDWARDS & CO       COM         28166710       10,038,858.00    1,085,282    1,082,082       3,100          100
PS BUSINESS PKS INC    COM         69360J10        9,963,938.00      293,057      292,977          80
PHILADELPHIA SUBN CO   COM PAR $0  71800960        9,960,560.00      490,668      488,613         937        1,118
GLOBAL PMTS INC        COM         37940X10        9,913,984.00      387,265      386,645         460          160
KIRBY CORP             COM         49726610        9,911,201.00      438,161      438,141          20
ADVANCED AUTO PARTS    COM         00751Y10        9,898,559.00      187,686      187,686
SOUTHWEST GAS CORP     COM         84489510        9,890,948.00      444,537      442,637       1,900
LNR PPTY CORP          COM         50194010        9,879,604.00      296,240      296,240
MOVIE GALLERY INC      COM         62458110        9,869,090.00      657,501      657,501
ICOS CORP              COM         44929510        9,854,495.00      469,933      442,123      22,210        5,600
HUDSON CITY BANCORP    COM         44368310        9,851,723.00      607,007      604,087       2,920
AMERICAN CAPITAL STR   COM         02493710        9,850,851.00      522,869      522,369                      500
MANITOWOC INC          COM         56357110        9,824,967.00      359,231      358,871         260          100
R H DONNELLEY CORP     COM NEW     74955W30        9,814,610.00      377,485      376,916         569
VENTAS INC             COM         92276F10        9,809,401.00      731,499      731,379         120
Page Total                                       404,757,480.00


                                 Voting Authority
     Name of               Sole       Shared        None
     Issuer

----------------------------------------------------------
                                          
CH ENERGY GROUP INC        185,837        100       36,906
WEIGHT WATCHERS INTL       213,600        600       26,700
COUSINS PPTYS INC          401,541        100       50,895
OM GROUP INC               218,781      4,135       19,730
TOO INC                    384,207         28       61,650
NEIMAN MARCUS GROUP        369,753      1,100       23,698
INTERGRAPH CORP            491,651                 114,350
BRADY CORP                 274,303        100       46,250
HENRY JACK & ASSOC I       780,538      1,900       47,894
UNIT CORP                  461,372        458       76,550
ANDRX GROUP                422,423      1,400       41,608
STERLING BANCSHARES        698,867                  86,700
EARTHLINK INC            1,663,642      3,330      253,350
P F CHANGS CHINA BIS       292,543     25,135       35,000
AMERICAN EAGLE OUTFI       809,394      1,290       36,936
TRUSTCO BK CORP N Y        800,682                 163,345
SEACOR SMIT INC            210,398                  38,250
EMCOR GROUP INC            175,750                  29,266
LABRANCHE & CO INC         467,900      1,300       32,998
CHARMING SHOPPES INC     1,198,335                 308,050
STANDARD PAC CORP NE       363,443                  70,140
EXTENDED STAY AMER I       748,652      1,480       45,540
G & K SVCS INC             248,673        120       48,950
REPUBLIC BANCORP INC       679,043                  95,940
CAL DIVE INTL INC          417,887                  81,650
J D EDWARDS & CO         1,010,182      2,400       72,700
PS BUSINESS PKS INC        246,390                  46,667
PHILADELPHIA SUBN CO       451,504      2,418       36,746
GLOBAL PMTS INC            361,265        960       25,040
KIRBY CORP                 398,261                  39,900
ADVANCED AUTO PARTS        123,646                  64,040
SOUTHWEST GAS CORP         369,537                  75,000
LNR PPTY CORP              239,039                  57,201
MOVIE GALLERY INC          621,601                  35,900
ICOS CORP                  422,413      6,700       40,820
HUDSON CITY BANCORP        550,071      1,800       55,136
AMERICAN CAPITAL STR       439,846        500       82,523
MANITOWOC INC              303,281        100       55,850
R H DONNELLEY CORP         310,255                  67,230
VENTAS INC                 617,249                 114,250
Page Total


                                                                        28 of 82





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

------------------------------------------------------------------------------------------------------------------------
                                                                                        
MAF BANCORP INC        COM         55261R10         9,799,965.00      317,151      316,711                      440
ENCANA CORP            COM         29250510         9,784,938.00      325,081       44,321     280,760
BLACK BOX CORP DEL     COM         09182610         9,690,681.00      291,888      291,368         520
CABOT OIL & GAS CORP   COM         12709710         9,682,761.00      450,361      403,508       6,985       39,868
TORO CO                COM         89109210         9,680,512.00      172,098      171,798         300
PSS WORLD MED INC      COM         69366A10         9,653,226.00    1,451,613    1,451,453         160
ISTAR FINL INC         COM         45031U10         9,643,260.00      345,389      345,389
M D C HLDGS INC        COM         55267610         9,637,888.00      273,028      272,917          11          100
DIAMOND OFFSHORE DRI   COM         25271C10         9,569,077.00      479,653      477,143       2,370          140
UMB FINL CORP          COM         90278810         9,557,148.00      244,804      240,699       4,000          105
KEY ENERGY SVCS INC    COM         49291410         9,555,910.00    1,212,679    1,211,529       1,150
AFFILIATED MANAGERS    COM         00825210         9,543,060.00      213,922      186,942      20,390        6,590
WESTAR ENERGY INC      COM         95709T10         9,542,573.00      948,566      940,426       8,140
PRIORITY HEALTHCARE    CLB         74264T10         9,537,318.00      378,465      378,445          20
HARLEYSVILLE GROUP I   COM         41282410         9,470,711.00      360,789      360,389                      400
NORDSON CORP           COM         65566310         9,468,912.00      398,859      398,499         360
EMMIS COMMUNICATIONS   CLA         29152510         9,460,955.00      497,945      497,425         420          100
RAYMOND JAMES FINANC   COM         75473010         9,442,773.00      348,828      346,983       1,445          400
NATIONAL INSTRS CORP   COM         63651810         9,424,651.00      430,546      430,156          50          340
ANIXTER INTL INC       COM         03529010         9,416,342.00      457,104      456,784         320
MITSUBISHI TOKYO FIN   SPONSORED   60681610         9,392,983.00    1,279,698      345,856     933,842
MERCURY COMPUTER SYS   COM         58937810         9,375,052.00      397,248      397,208          40
BIO RAD LABS INC       CL A        09057220         9,364,723.00      248,665      248,665
PHOENIX COS INC NEW    COM         71902E10         9,341,345.00      685,855      682,077       1,206        2,572
LINCOLN ELEC HLDGS I   COM         53390010         9,336,936.00      421,894      421,814          80
SILICON VY BANCSHARE   COM         82706410         9,332,967.00      551,268      547,864       2,404        1,000
IRT PPTY CO            COM         45005810         9,285,249.00      790,234      790,234
RF MICRODEVICES INC    COM         74994110         9,257,388.00    1,542,898    1,531,338      11,460          100
FOREST OIL CORP        COM PAR $0  34609170         9,243,826.00      362,503      361,473         630          400
ST MARY LD & EXPL CO   COM         79222810         9,243,325.00      386,750      383,545       3,205
AMERICAN FINL HLDGS    COM         02607510         9,240,139.00      303,852      303,437                      415
DYNEGY INC NEW         CL A        26816Q10         9,224,074.00    7,951,788    7,941,683       8,445        1,660
SHAW GROUP INC         COM         82028010         9,207,223.00      648,396      646,776       1,440          180
GEORGIA GULF CORP      COM PAR $0  37320020         9,195,363.00      402,071      401,971         100
NDCHEALTH CORP         COM         63948010         9,181,419.00      590,445      590,145         300
GLIMCHER RLTY TR       SH BEN INT  37930210         9,175,347.00      489,613      489,593          20
GREY WOLF INC          COM         39788810         9,130,161.00    2,536,156    2,299,196     236,960
TOLL BROTHERS INC      COM         88947810         9,113,777.00      419,217      418,917                      300
TOWN & CTRY TR         SH BEN INT  89208110         9,112,256.00      433,298      374,808      58,490
CNA FINL CORP          COM         12611710         9,107,850.00      364,314      363,484         830
Page Total                                        376,424,064.00


                                    Voting Authority
     Name of                Sole         Shared        None
     Issuer

--------------------------------------------------------------
                                             
MAF BANCORP INC             264,111          440       52,600
ENCANA CORP                 318,534                     6,547
BLACK BOX CORP DEL          249,488                    42,400
CABOT OIL & GAS CORP        348,563       39,868       61,930
TORO CO                     142,998                    29,100
PSS WORLD MED INC         1,321,163                   130,450
ISTAR FINL INC              314,795        1,000       29,594
M D C HLDGS INC             230,680          100       42,248
DIAMOND OFFSHORE DRI        420,148        1,340       58,165
UMB FINL CORP               210,959          105       33,740
KEY ENERGY SVCS INC       1,034,879                   177,800
AFFILIATED MANAGERS         190,832        7,090       16,000
WESTAR ENERGY INC           805,665                   142,901
PRIORITY HEALTHCARE         337,777                    40,688
HARLEYSVILLE GROUP I        299,939          400       60,450
NORDSON CORP                336,759                    62,100
EMMIS COMMUNICATIONS        460,265          800       36,880
RAYMOND JAMES FINANC        319,828        1,300       27,700
NATIONAL INSTRS CORP        410,408        1,040       19,098
ANIXTER INTL INC            384,254                    72,850
MITSUBISHI TOKYO FIN      1,261,248                    18,450
MERCURY COMPUTER SYS        343,918                    53,330
BIO RAD LABS INC            212,815                    35,850
PHOENIX COS INC NEW         610,783        4,272       70,800
LINCOLN ELEC HLDGS I        341,394                    80,500
SILICON VY BANCSHARE        514,818        1,800       34,650
IRT PPTY CO                 669,809                   120,425
RF MICRODEVICES INC       1,427,242        3,200      112,456
FOREST OIL CORP             340,517          900       21,086
ST MARY LD & EXPL CO        329,350                    57,400
AMERICAN FINL HLDGS         238,387          415       65,050
DYNEGY INC NEW            6,968,566      119,569      863,653
SHAW GROUP INC              554,916        1,080       92,400
GEORGIA GULF CORP           336,921                    65,150
NDCHEALTH CORP              519,745                    70,700
GLIMCHER RLTY TR            412,044                    77,569
GREY WOLF INC             2,231,656                   304,500
TOLL BROTHERS INC           387,917        1,300       30,000
TOWN & CTRY TR              398,312                    34,986
CNA FINL CORP               317,694          700       45,920
Page Total


                                                                        29 of 82





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

--------------------------------------------------------------------------------------------------------------------------
                                                                                          
FIRST CTZNS BANCSHAR   CLA         31946M10           9,083,792.00       88,122       88,122
CYPRESS SEMICONDUCTO   COM         23280610           9,083,651.00    1,384,703    1,382,443       2,040          220
CELGENE CORP           COM         15102010           9,072,617.00      538,754      537,354       1,300          100
MPS GROUP INC          COM         55340910           9,070,788.00    1,563,929    1,555,149       8,480          300
FREDS INC              CLA         35610810           9,062,291.00      303,513      303,363                      150
OCEANEERING INTL INC   COM         67523210           9,056,713.00      355,863      355,863
PINNACLE SYS INC       COM         72348110           9,047,203.00      837,704      836,804         900
TELEFONICA S A         SPONSORED   87938220           9,043,254.00      404,801      114,287     290,514
BANKATLANTIC BANCORP   CLA         06590850           9,019,969.00    1,004,451    1,004,451
GRANITE CONSTR INC     COM         38732810           8,997,799.00      545,983      545,983
GLENBOROUGH RLTY TR    COM         37803P10           8,979,014.00      442,316      442,316
ICN PHARMACEUTICALS    COM         44892410           8,971,221.00      990,201      989,119         982          100
KAYDON CORP            COM         48658710           8,962,228.00      447,217      446,277         940
MEDIA GEN INC          CLA         58440410           8,962,109.00      176,246      175,686         360          200
CHARTER MUN MTG ACCE   SH BEN INT  16090810           8,935,313.00      507,112      501,592       3,500        2,020
AVOCENT CORP           COM         05389310           8,915,214.00      666,309      664,509       1,600          200
INTERNET SEC SYS INC   COM         46060X10           8,895,705.00      722,054      695,129      26,825          100
MODINE MFG CO          COM         60782810           8,881,160.00      466,938      466,418         420          100
VINTAGE PETE INC       COM         92746010           8,865,493.00      820,879      820,879
CV THERAPEUTICS INC    COM         12666710           8,853,461.00      423,408      391,523      24,985        6,900
FTI CONSULTING INC     COM         30294110           8,851,848.00      222,632      222,632
BROOKLINE BANCORP IN   COM         11373M10           8,849,807.00      753,111      753,111
FIRST COMWLTH FINL C   COM         31982910           8,842,891.00      713,712      713,712
LENNOX INTL INC        COM         52610710           8,837,587.00      667,996      667,796         200
BEDFORD PPTY INVS IN   COM PAR $0  07644630           8,831,991.00      356,704      356,704
KELLWOOD CO            COM         48804410           8,823,068.00      385,961      385,901          60
NETBANK INC            COM         64093310           8,812,314.00      846,524      842,524       4,000
MENTOR CORP MINN       COM         58718810           8,812,142.00      276,416      276,376          40
FNB CORP PA            COM         30252010           8,810,496.00      314,436      312,820       1,616
LATTICE SEMICONDUCTO   COM         51841510           8,805,734.00    1,415,713    1,403,513       7,900        4,300
FINANCIAL FED CORP     COM         31749210           8,797,543.00      276,218      276,098                      120
PRICE COMMUNICATIONS   COM NEW     74143730           8,796,598.00      778,460      777,660         700          100
SKYWORKS SOLUTIONS I   COM         83088M10           8,788,281.00    1,940,018    1,925,397       9,801        4,820
AZTAR CORP             COM         05480210           8,773,064.00      664,123      664,103          20
BEAZER HOMES USA INC   COM         07556Q10           8,768,916.00      143,635      143,635
PLAINS RES INC         COM PAR $0  72654050           8,767,494.00      340,089      339,989                      100
EL PASO ELEC CO        COM NEW     28367785           8,761,404.00      737,492      736,672         820
HYPERION SOLUTIONS C   COM         44914M10           8,736,471.00      476,102      476,102
INTEGRATED CIRCUIT S   COM         45811K20           8,733,627.00      556,282      554,522       1,760
US ONCOLOGY INC        COM         90338W10           8,733,237.00    1,076,848    1,075,448       1,300          100
Page Total                                          355,693,508.00


                                      Voting Authority
     Name of                 Sole          Shared        None
     Issuer

---------------------------------------------------------------
                                              
FIRST CTZNS BANCSHAR          71,192                    16,930
CYPRESS SEMICONDUCTO       1,253,802        2,820      128,081
CELGENE CORP                 486,916        1,800       50,038
MPS GROUP INC              1,394,179          300      169,450
FREDS INC                    260,313          150       43,050
OCEANEERING INTL INC         304,773                    51,090
PINNACLE SYS INC             699,504                   138,200
TELEFONICA S A               397,474                     7,327
BANKATLANTIC BANCORP         883,401                   121,050
GRANITE CONSTR INC           474,208                    71,775
GLENBOROUGH RLTY TR          390,835                    51,481
ICN PHARMACEUTICALS          923,929        1,500       64,772
KAYDON CORP                  385,517                    61,700
MEDIA GEN INC                160,196          400       15,650
CHARTER MUN MTG ACCE         417,542        2,020       87,550
AVOCENT CORP                 570,059          200       96,050
INTERNET SEC SYS INC         639,955          100       81,999
MODINE MFG CO                390,442          100       76,396
VINTAGE PETE INC             738,879                    82,000
CV THERAPEUTICS INC          358,128        6,900       58,380
FTI CONSULTING INC           186,632                    36,000
BROOKLINE BANCORP IN         629,633                   123,478
FIRST COMWLTH FINL C         601,812                   111,900
LENNOX INTL INC              582,396                    85,600
BEDFORD PPTY INVS IN         301,606                    55,098
KELLWOOD CO                  328,539                    57,422
NETBANK INC                  731,424                   115,100
MENTOR CORP MINN             237,016                    39,400
FNB CORP PA                  282,291        1,000       31,145
LATTICE SEMICONDUCTO       1,218,813        4,300      192,600
FINANCIAL FED CORP           246,998          120       29,100
PRICE COMMUNICATIONS         658,780          100      119,580
SKYWORKS SOLUTIONS I       1,627,263        4,960      307,795
AZTAR CORP                   598,523                    65,600
BEAZER HOMES USA INC         119,973                    23,662
PLAINS RES INC               275,739          100       64,250
EL PASO ELEC CO              631,442                   106,050
HYPERION SOLUTIONS C         402,752                    73,350
INTEGRATED CIRCUIT S         521,372        1,100       33,810
US ONCOLOGY INC              917,098          100      159,650
Page Total


                                                                        30 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                        
ALLEGHANY CORP DEL     COM         01717510           8,711,504.00       45,971       43,831       2,140
GRANT PRIDECO INC      COM         38821G10           8,705,872.00    1,019,423    1,015,818       3,305          300
SPINNAKER EXPL CO      COM         84855W10           8,681,262.00      302,483      281,283         200       21,000
DIAGNOSTIC PRODS COR   COM         25245010           8,674,128.00      188,568      188,468                      100
GRUPO TELEVISA SA DE   SP ADR REP  40049J20           8,672,794.00      340,243      340,243
ARGOSY GAMING CO       COM         04022810           8,669,994.00      377,613      377,513                      100
ABM INDS INC           COM         00095710           8,651,435.00      613,577      613,377         200
RALCORP HLDGS INC NE   COM         75102810           8,622,092.00      405,364      405,264         100
W HLDG CO INC          COM         92925110           8,595,935.00      527,358      527,178         180
TEREX CORP NEW         COM         88077910           8,543,541.00      505,535      505,515          20
FACTSET RESH SYS INC   COM         30307510           8,540,949.00      321,693      304,893       1,700       15,100
CARAUSTAR INDS INC     COM         14090910           8,527,293.00      912,010      386,746     525,264
PACIFIC SUNWEAR CALI   COM         69487310           8,521,718.00      418,552      415,892       2,560          100
CURTISS WRIGHT CORP    COM         23156110           8,520,373.00      142,505      140,805       1,700
RIO TINTO PLC          SPONSORED   76720410           8,499,517.00      129,172       77,956      51,216
DOWNEY FINL CORP       COM         26101810           8,496,808.00      248,082      248,082
TIMBERLAND CO          CL A        88710010           8,491,919.00      268,053      267,033         800          220
VERITAS DGC INC        COM         92343P10           8,484,941.00      784,916      784,891          25
MACROVISION CORP       COM         55590410           8,445,047.00      690,519      690,469          10           40
FLORIDA ROCK INDS IN   COM         34114010           8,443,422.00      276,290      275,510         630          150
SCHULMAN A INC         COM         80819410           8,442,326.00      487,151      487,051         100
IOMEGA CORP            COM NEW     46203030           8,435,810.00      789,131      786,371       2,760
AMERICREDIT CORP       COM         03060R10           8,432,278.00    1,044,892    1,044,352         440          100
ARKANSAS BEST CORP D   COM         04079010           8,412,775.00      293,220      293,220
CHECKFREE CORP NEW     COM         16281310           8,410,150.00      739,029      734,804       4,025          200
BIOSITE INC            COM         09094510           8,389,184.00      289,382      288,382       1,000
SOLUTIA INC            COM         83437610           8,382,135.00    1,605,773    1,598,523       6,850          400
MANUFACTURED HOME CM   COM         56468210           8,381,698.00      262,914      262,914
CREDENCE SYS CORP      COM         22530210           8,380,515.00      967,727      967,517          10          200
TRIQUINT SEMICONDUCT   COM         89674K10           8,379,040.00    2,373,666    2,360,325      11,640        1,701
OSI PHARMACEUTICALS    COM         67104010           8,374,627.00      493,496      478,526      14,970
AMERICAN MGMT SYS IN   COM         02735210           8,373,373.00      657,767      655,667       2,100
ADVO INC               COM         00758510           8,369,649.00      263,611      263,611
AQUILA INC             COM         03840P10           8,350,088.00    2,036,607    2,003,552      24,795        8,260
AXCELIS TECHNOLOGIES   COM         05454010           8,342,023.00    1,709,431    1,591,842     117,249          340
TECHNITROL INC         COM         87855510           8,315,369.00      556,212      554,192       1,520          500
DOUBLECLICK INC        COM         25860930           8,304,327.00    1,615,628    1,610,658       4,870          100
CONMED CORP            COM         20741010           8,300,711.00      411,946      411,406         540
HEARTLAND EXPRESS IN   COM         42234710           8,289,582.00      442,347      442,347
AMSURG CORP            COM         03232P40           8,288,030.00      274,711      274,711
Page Total                                          338,854,234.00


                                         Voting Authority
     Name of                           Sole         Shared        None
     Issuer

--------------------------------------------------------------------------------
                                                         
ALLEGHANY CORP DEL                        39,990        1,732        4,249
GRANT PRIDECO INC                        958,286        2,350       58,787
SPINNAKER EXPL CO                        238,933       21,000       42,550
DIAGNOSTIC PRODS COR                     173,268          600       14,700
GRUPO TELEVISA SA DE                     295,376       32,416       12,451
ARGOSY GAMING CO                         324,203          100       53,310
ABM INDS INC                             546,227                    67,350
RALCORP HLDGS INC NE                     345,514                    59,850
W HLDG CO INC                            441,983                    85,375
TEREX CORP NEW                           420,185                    85,350
FACTSET RESH SYS INC                     261,593       15,100       45,000
CARAUSTAR INDS INC                       857,460                    54,550
PACIFIC SUNWEAR CALI                     352,902          100       65,550
CURTISS WRIGHT CORP                      116,704                    25,801
RIO TINTO PLC                            128,282                       890
DOWNEY FINL CORP                         231,892          500       15,690
TIMBERLAND CO                            246,455          720       20,878
VERITAS DGC INC                          714,366                    70,550
MACROVISION CORP                         595,729           40       94,750
FLORIDA ROCK INDS IN                     233,800          150       42,340
SCHULMAN A INC                           409,301                    77,850
IOMEGA CORP                              685,661                   103,470
AMERICREDIT CORP                         985,846        1,800       57,246
ARKANSAS BEST CORP D                     251,920                    41,300
CHECKFREE CORP NEW                       687,997        1,600       49,432
BIOSITE INC                              261,882                    27,500
SOLUTIA INC                            1,401,233          400      204,140
MANUFACTURED HOME CM                     212,572                    50,342
CREDENCE SYS CORP                        839,407          200      128,120
TRIQUINT SEMICONDUCT                   2,093,336        1,701      278,629
OSI PHARMACEUTICALS                      411,296                    82,200
AMERICAN MGMT SYS IN                     559,667                    98,100
ADVO INC                                 222,161                    41,450
AQUILA INC                             1,884,897       11,560      140,150
AXCELIS TECHNOLOGIES                   1,439,192       59,900      210,339
TECHNITROL INC                           468,962          500       86,750
DOUBLECLICK INC                        1,342,548          400      272,680
CONMED CORP                              347,896                    64,050
HEARTLAND EXPRESS IN                     378,402                    63,945
AMSURG CORP                              231,161                    43,550
Page Total


                                                                        31 of 82





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

--------------------------------------------------------------------------------------------------------------------------
                                                                                         
JONES LANG LASALLE I   COM         48020Q10           8,269,663.00      402,221      402,221
SYNCOR INTL CORP DEL   COM         87157J10           8,247,967.00      256,866      256,866
HORACE MANN EDUCATOR   COM         44032710           8,243,524.00      560,784      560,608         176
SIMPSON MANUFACTURIN   COM         82907310           8,215,202.00      261,714      261,714
COPART INC             COM         21720410           8,204,531.00      756,178      755,008       1,170
OTTER TAIL CORP        COM         68964810           8,193,504.00      311,067      308,602         465        2,000
THOR INDS INC          COM         88516010           8,189,038.00      235,588      235,588
BALDOR ELEC CO         COM         05774110           8,178,887.00      428,214      427,934          20          260
NAUTILUS GROUP INC     COM         63910B10           8,178,202.00      419,395      418,613         782
ALLIANCE GAMING CORP   COM NEW     01859P60           8,177,551.00      528,949      528,149         800
S & T BANCORP INC      COM         78385910           8,102,823.00      321,796      321,796
CHRISTOPHER & BANKS    COM         17104610           8,083,013.00      321,776      321,226         450          100
TOYOTA MOTOR CORP      SP ADR REP  89233130           8,078,756.00      158,097       79,795      78,302
DRS TECHNOLOGIES INC   COM         23330X10           8,073,874.00      216,923      216,323         500          100
FEI CO                 COM         30241L10           8,065,816.00      558,188      558,068          20          100
ESTERLINE TECHNOLOGI   COM         29742510           8,063,178.00      484,566      484,526          40
MATTHEWS INTL CORP     CL A        57712810           8,033,998.00      343,774      343,774
WESBANCO INC           COM         95081010           8,028,231.00      337,179      333,779       3,400
MCDATA CORP            CL A        58003120           8,024,296.00    1,477,771    1,472,789       4,259          723
TAUBMAN CTRS INC       COM         87666410           8,018,363.00      563,483      563,483
SCOTTS CO              CL A        81018610           8,018,029.00      192,325      188,925       3,300          100
FIRST FINL BANCORP O   COM         32020910           8,007,126.00      449,586      446,881       2,705
FBR ASSET INVT CORP    COM         30241E30           8,005,435.00      256,092      256,092
COMMERCIAL NET LEASE   COM         20221810           7,976,337.00      494,810      494,790          20
AMERICAN ITALIAN PAS   CL A        02707010           7,961,189.00      223,065      223,045          20
PARK NATL CORP         COM         70065810           7,953,068.00       84,878       84,778         100
NTT DOCOMO INC         SPONS ADR   62942M20           7,950,283.00      460,619      120,522     340,097
DELPHI FINL GROUP IN   CL A        24713110           7,945,714.00      218,169      203,833         300       14,036
CHEMICAL FINL CORP     COM         16373110           7,942,762.00      275,217      275,217
CHIQUITA BRANDS INTL   COM         17003280           7,936,325.00      513,678      513,678
AMPHENOL CORP NEW      CL A        03209510           7,930,823.00      255,833      255,413         320          100
MILLENNIUM CHEMICALS   COM         59990310           7,925,755.00      802,202      802,102         100
ALBEMARLE CORP         COM         01265310           7,907,879.00      312,688      312,138                      550
CITIZENS BKG CORP MI   COM         17442010           7,878,332.00      325,955      324,955       1,000
LIBERTY CORP S C       COM         53037010           7,854,985.00      219,413      218,313       1,100
SELECTIVE INS GROUP    COM         81630010           7,853,113.00      361,395      361,195         100          100
CATHAY BANCORP INC     COM         14915010           7,843,056.00      201,104      193,104                    8,000
ERIE INDTY CO          CL A        29530P10           7,831,996.00      187,998      187,198         800
LONE STAR STEAKHOUSE   COM         54230710           7,810,316.00      372,097      372,097
SYCAMORE NETWORKS IN   COM         87120610           7,802,072.00    3,320,031    2,773,560     544,921        1,550
Page Total                                          321,005,012.00


                                                Voting Authority
     Name of                              Sole         Shared        None
     Issuer

----------------------------------------------------------------------------
                                                            
JONES LANG LASALLE I                      332,221                    70,000
SYNCOR INTL CORP DEL                      216,514                    40,352
HORACE MANN EDUCATOR                      483,749                    77,035
SIMPSON MANUFACTURIN                      223,814                    37,900
COPART INC                                702,508        1,500       52,170
OTTER TAIL CORP                           252,239        2,000       56,828
THOR INDS INC                             202,788                    32,800
BALDOR ELEC CO                            348,704          260       79,250
NAUTILUS GROUP INC                        354,470                    64,925
ALLIANCE GAMING CORP                      447,699                    81,250
S & T BANCORP INC                         273,096                    48,700
CHRISTOPHER & BANKS                       273,276          100       48,400
TOYOTA MOTOR CORP                         156,337                     1,760
DRS TECHNOLOGIES INC                      184,873          100       31,950
FEI CO                                    502,188          100       55,900
ESTERLINE TECHNOLOGI                      451,766                    32,800
MATTHEWS INTL CORP                        275,024                    68,750
WESBANCO INC                              294,329                    42,850
MCDATA CORP                             1,342,317          723      134,731
TAUBMAN CTRS INC                          468,799                    94,684
SCOTTS CO                                 176,945          200       15,180
FIRST FINL BANCORP O                      373,751                    75,835
FBR ASSET INVT CORP                       214,242                    41,850
COMMERCIAL NET LEASE                      408,460                    86,350
AMERICAN ITALIAN PAS                      186,365                    36,700
PARK NATL CORP                             75,928          200        8,750
NTT DOCOMO INC                            452,694                     7,925
DELPHI FINL GROUP IN                      168,712       14,036       35,421
CHEMICAL FINL CORP                        225,892                    49,325
CHIQUITA BRANDS INTL                      429,378                    84,300
AMPHENOL CORP NEW                         241,851          500       13,482
MILLENNIUM CHEMICALS                      665,462                   136,740
ALBEMARLE CORP                            294,738          650       17,300
CITIZENS BKG CORP MI                      292,755        1,000       32,200
LIBERTY CORP S C                          176,913                    42,500
SELECTIVE INS GROUP                       298,196          100       63,099
CATHAY BANCORP INC                        157,704        8,000       35,400
ERIE INDTY CO                             172,598          400       15,000
LONE STAR STEAKHOUSE                      314,531                    57,566
SYCAMORE NETWORKS IN                    2,956,561        1,550      361,920
Page Total


                                                                        32 of 82





                                                                                      Investment Discretion
     Name of            Title of       Cusip     Fair Market          Shares       Sole      Shared as      Shared
     Issuer              Class         Number       Value            Prin Amt                 Defined       Other
-----------------------------------------------------------------------------------------------------------------------
                                                                                       
SEACOAST FINL SVCS C   COM         81170Q10           7,798,479.00      388,564      385,588       1,876        1,100
CEC ENTMT INC          COM         12513710           7,788,336.00      228,330      227,810         520
BORLAND SOFTWARE COR   COM         09984910           7,755,435.00      995,563      995,563
TRIMERIS INC           COM         89626310           7,753,740.00      173,656      172,996         660
GARTNER INC            COM         36665110           7,744,693.00      956,135      950,056       6,079
WINNEBAGO INDS INC     COM         97463710           7,734,479.00      195,661      195,561         100
MENS WEARHOUSE INC     COM         58711810           7,719,719.00      525,151      523,551       1,500          100
STATION CASINOS INC    COM         85768910           7,687,550.00      451,943      451,943
KONINKLIJKE PHILIPS    NY REG SH   50047230           7,667,481.00      527,700      117,273     410,427
HANCOCK HLDG CO        COM         41012010           7,658,610.00      163,022      163,022
BOYD GAMING CORP       COM         10330410           7,656,044.00      410,072      410,072
SCP POOL CORP          COM         78402810           7,634,644.00      278,535      276,080       2,085          370
UNITED STATES CELLUL   COM         91168410           7,633,651.00      258,068      253,878       3,790          400
TRUSTMARK CORP         COM         89840210           7,624,320.00      334,400      330,650       3,750
ALBANY INTL CORP       CL A        01234810           7,599,440.00      400,392      400,392
SUMMIT PPTYS INC       COM         86623910           7,589,590.00      391,216      391,216
WAYPOINT FINL CORP     COM         94675610           7,578,030.00      449,468      449,468
CELESTICA INC          SUB VTG SH  15101Q10           7,569,966.00      577,860      392,016     185,844
ATLANTIC COAST AIRLI   COM         04839610           7,534,800.00      814,573      814,573
RYANS FAMILY STEAK H   COM         78351910           7,522,021.00      618,079      612,559       4,080        1,440
SMITH A O              COM         83186520           7,517,146.00      264,502      264,482          20
PIXAR                  COM         72581110           7,517,116.00      156,281      154,581       1,640           60
ESS TECHNOLOGY INC     COM         26915110           7,509,758.00    1,221,099    1,220,999         100
TRUST CO NJ JERSEY C   COM         89830410           7,503,525.00      294,834      229,740      65,094
NETIQ CORP             COM         64115P10           7,474,924.00      515,512      515,412                      100
EGL INC                COM         26848410           7,463,535.00      677,887      570,627     107,260
UNISOURCE ENERGY COR   COM         90920510           7,447,795.00      488,380      488,040         100          240
TELEDYNE TECHNOLOGIE   COM         87936010           7,438,390.00      409,603      409,080         509           14
HOT TOPIC INC          COM         44133910           7,437,230.00      412,492      412,432          60
HAEMONETICS CORP       COM         40502410           7,391,562.00      311,486      311,226         260
COMMONWEALTH TEL ENT   COM         20334910           7,378,576.00      212,211      211,711         500
RELIANCE STEEL & ALU   COM         75950910           7,362,641.00      336,963      336,963
ST JOE CO              COM         79014810           7,347,589.00      266,217      265,117       1,100
KELLY SVCS INC         CL A        48815220           7,347,473.00      339,062      335,139       3,923
CALLAWAY GOLF CO       COM         13119310           7,343,502.00      706,106      704,176       1,730          200
NEW CENTURY FINANCIA   COM         64352D10           7,333,255.00      313,387      281,387                   32,000
COINSTAR INC           COM         19259P30           7,329,486.00      284,309      284,269          40
AVISTA CORP            COM         05379B10           7,298,524.00      651,654      651,614          40
WAUSAU-MOSINEE PAPER   COM         94331510           7,292,745.00      791,829      791,429         400
PENN NATL GAMING INC   COM         70756910           7,278,221.00      385,499      385,499
Page Total                                          301,264,021.00


                                         Voting Authority
     Name of                        Sole         Shared        None
     Issuer
-----------------------------------------------------------------------
                                                      
SEACOAST FINL SVCS C                 338,164        1,100       49,300
CEC ENTMT INC                        209,030          600       18,700
BORLAND SOFTWARE COR                 845,563                   150,000
TRIMERIS INC                         144,306                    29,350
GARTNER INC                          798,735                   157,400
WINNEBAGO INDS INC                   168,906                    26,755
MENS WEARHOUSE INC                   444,651          100       80,400
STATION CASINOS INC                  376,393                    75,550
KONINKLIJKE PHILIPS                  519,000                     8,700
HANCOCK HLDG CO                      130,522                    32,500
BOYD GAMING CORP                     345,972                    64,100
SCP POOL CORP                        221,357          370       56,808
UNITED STATES CELLUL                 244,658          900       12,510
TRUSTMARK CORP                       302,298        1,000       31,102
ALBANY INTL CORP                     353,842                    46,550
SUMMIT PPTYS INC                     326,849                    64,367
WAYPOINT FINL CORP                   370,318                    79,150
CELESTICA INC                        571,256                     6,604
ATLANTIC COAST AIRLI                 722,323                    92,250
RYANS FAMILY STEAK H                 521,214        1,440       95,425
SMITH A O                            224,253                    40,249
PIXAR                                144,543          360       11,378
ESS TECHNOLOGY INC                 1,156,949                    64,150
TRUST CO NJ JERSEY C                 191,440       65,094       38,300
NETIQ CORP                           429,994          100       85,418
EGL INC                              497,047      105,390       75,450
UNISOURCE ENERGY COR                 423,840          240       64,300
TELEDYNE TECHNOLOGIE                 356,554          299       52,750
HOT TOPIC INC                        347,392                    65,100
HAEMONETICS CORP                     271,686                    39,800
COMMONWEALTH TEL ENT                 186,311                    25,900
RELIANCE STEEL & ALU                 287,013                    49,950
ST JOE CO                            233,309          700       32,208
KELLY SVCS INC                       287,637                    51,425
CALLAWAY GOLF CO                     661,236        1,400       43,470
NEW CENTURY FINANCIA                 246,187       32,000       35,200
COINSTAR INC                         232,559                    51,750
AVISTA CORP                          563,804                    87,850
WAUSAU-MOSINEE PAPER                 718,529                    73,300
PENN NATL GAMING INC                 320,699                    64,800
Page Total


                                                                        33 of 82





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

-------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ADOLOR CORP            COM         00724X10               7,274,627.00      518,875       460,526      58,349
COST PLUS INC CALIF    COM         22148510               7,266,415.00      270,630       270,590          40
CUNO INC               COM         12658310               7,258,850.00      235,295       235,255          40
SYLVAN LEARNING SYS    COM         87139910               7,255,283.00      530,357       530,257         100
PLEXUS CORP            COM         72913210               7,243,221.00      783,051       733,881      48,970          200
AK STL HLDG CORP       COM         00154710               7,225,598.00      988,454       980,824       7,250          380
DIONEX CORP            COM         25454610               7,220,265.00      282,483       282,343          40          100
TIMKEN CO              COM         88738910               7,189,368.00      429,216       424,426       4,450          340
ROYAL DUTCH PETE CO    NY REG EUR  78025780               7,185,087.00      178,867       176,827       2,040
BARRA INC              COM         06831310               7,173,412.00      262,570       262,145         325          100
JDN RLTY CORP          COM         46591710               7,149,632.00      591,857       591,857
AFFYMETRIX INC         COM         00826T10               7,142,803.00      343,404       342,084       1,220          100
AMERICAN NATL INS CO   COM         02859110               7,141,292.00      103,482       102,722         760
SIERRA HEALTH SVCS I   COM         82632210               7,124,817.00      397,147       397,147
TEXAS INDS INC         COM         88249110               7,110,762.00      292,865       292,825          40
KEMET CORP             COM         48836010               7,098,321.00      830,213       829,173         440          600
ASCENTIAL SOFTWARE C   COM         04362P10               7,097,288.00    3,819,854     3,803,567      13,687        2,600
NPS PHARMACEUTICALS    COM         62936P10               7,096,103.00      345,007       344,607         400
MID-AMER APT CMNTYS    COM         59522J10               7,088,588.00      284,568       284,568
PHILADELPHIA CONS HL   COM         71752810               7,071,032.00      239,696       239,696
TITAN CORP             COM         88826610               7,069,814.00      736,439       733,319       3,020          100
MACDERMID INC          COM         55427310               7,063,915.00      354,081       353,881         200
IRWIN FINL CORP        COM         46411910               7,054,048.00      414,944       414,944
APPLERA CORP           COM CE GEN  03802020               7,039,407.00      885,460       881,820       2,840          800
CUMULUS MEDIA INC      CL A        23108210               7,033,630.00      398,506       335,416      49,855       13,235
BROOK-PRI AUTOMATION   COM         11442E10               7,012,541.00      612,449       574,324      29,885        8,240
COHERENT INC           COM         19247910               7,005,937.00      383,887       383,577         110          200
RED HAT INC            COM         75657710               7,004,212.00    1,474,571     1,468,571       4,300        1,700
ALASKA AIR GROUP INC   COM         01165910               6,993,287.00      395,101       393,541          60        1,500
COLUMBIA SPORTSWEAR    COM         19851610               6,991,774.00      201,376       200,826         550
CVB FINL CORP          COM         12660010               6,986,529.00      318,438       318,438
SOVRAN SELF STORAGE    COM         84610H10               6,968,552.00      229,078       229,078
MOOG INC               CL A        61539420               6,966,287.00      246,507       246,507
VISX INC DEL           COM         92844S10               6,963,656.00      754,459       754,149         110          200
COGNEX CORP            COM         19242210               6,953,553.00      499,896       485,576       2,060       12,260
TELEFONOS DE MEXICO    SPON ADR O  87940378               6,948,151.00      246,826       246,826
PRG-SCHULTZ INTERNAT   COM         69357C10               6,947,717.00      561,205       561,205
WILSON GREATBATCH TE   COM         97223210               6,945,718.00      249,846       249,746         100
MCDERMOTT INTL INC     COM         58003710               6,942,605.00    1,132,562     1,132,562
MAXTOR CORP            COM NEW     57772920               6,939,441.00    2,658,790     2,648,068      10,380          342
Page Total                                              283,243,538.00


                                     Voting Authority
     Name of                   Sole          Shared       None
     Issuer

------------------------------------------------------------------
                                                 
ADOLOR CORP                     455,675                    63,200
COST PLUS INC CALIF             220,970                    49,660
CUNO INC                        191,245                    44,050
SYLVAN LEARNING SYS             466,207                    64,150
PLEXUS CORP                     693,251          200       89,600
AK STL HLDG CORP                924,302        2,580       61,572
DIONEX CORP                     229,933          100       52,450
TIMKEN CO                       391,586        1,440       36,190
ROYAL DUTCH PETE CO             177,557                     1,310
BARRA INC                       226,770          100       35,700
JDN RLTY CORP                   505,609                    86,248
AFFYMETRIX INC                  309,904        1,000       32,500
AMERICAN NATL INS CO             95,782          200        7,500
SIERRA HEALTH SVCS I            339,347                    57,800
TEXAS INDS INC                  251,765                    41,100
KEMET CORP                      769,933        2,100       58,180
ASCENTIAL SOFTWARE C          3,288,354        2,600      528,900
NPS PHARMACEUTICALS             284,007                    61,000
MID-AMER APT CMNTYS             242,647                    41,921
PHILADELPHIA CONS HL            200,846                    38,850
TITAN CORP                      685,839        1,800       48,800
MACDERMID INC                   297,131                    56,950
IRWIN FINL CORP                 380,734                    34,210
APPLERA CORP                    732,590          800      152,070
CUMULUS MEDIA INC               362,771       13,335       22,400
BROOK-PRI AUTOMATION            534,177        8,240       70,032
COHERENT INC                    323,037          200       60,650
RED HAT INC                   1,225,371        1,700      247,500
ALASKA AIR GROUP INC            338,949        1,500       54,652
COLUMBIA SPORTSWEAR             193,576          400        7,400
CVB FINL CORP                   270,413                    48,025
SOVRAN SELF STORAGE             185,348                    43,730
MOOG INC                        218,857                    27,650
VISX INC DEL                    650,259          200      104,000
COGNEX CORP                     410,386       12,260       77,250
TELEFONOS DE MEXICO             119,841      119,861        7,124
PRG-SCHULTZ INTERNAT            484,405                    76,800
WILSON GREATBATCH TE            208,296                    41,550
MCDERMOTT INTL INC            1,046,353       11,900       74,309
MAXTOR CORP                   2,245,286          342      413,162
Page Total


                                                                        34 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                          
SYBRON DENTAL SPECIA   COM         87114210           6,920,433.00      494,670      493,701         816          153
RUSSELL CORP           COM         78235210           6,918,079.00      461,513      461,345         168
QUANEX CORP            COM         74762010           6,911,372.00      199,175      199,175
LANDRYS RESTAURANTS    COM         51508L10           6,908,338.00      305,814      305,594         120          100
FLORIDA EAST COAST I   CL A        34063210           6,901,135.00      292,421      288,181         240        4,000
NATIONAL HEALTH INVS   COM         63633D10           6,888,089.00      451,678      451,678
REHABCARE GROUP INC    COM         75914810           6,881,868.00      297,530      297,530
LANDAUER INC           COM         51476K10           6,878,923.00      207,509      165,487      42,022
EXTREME NETWORKS INC   COM         30226D10           6,876,820.00    1,633,449    1,512,609      96,450       24,390
FOSSIL INC             COM         34988210           6,859,606.00      342,125      342,125
SOUTHERN UN CO NEW     COM         84403010           6,855,088.00      606,645      600,255                    6,390
BANDAG INC             COM         05981510           6,841,180.00      224,301      224,151         150
ANWORTH MORTGAGE ASS   COM         03734710           6,833,470.00      560,580      557,580                    3,000
AMCORE FINL INC        COM         02391210           6,824,619.00      310,775      310,775
ELECTRO SCIENTIFIC I   COM         28522910           6,806,184.00      458,947      458,067         660          220
SEMTECH CORP           COM         81685010           6,768,563.00      697,790      696,850         740          200
CHOICE HOTELS INTL I   COM         16990510           6,766,376.00      292,790      290,840       1,800          150
MONACO COACH CORP      COM         60886R10           6,764,070.00      337,697      337,687          10
INTER TEL INC          COM         45837210           6,754,755.00      331,929      331,829         100
LIBBEY INC             COM         52989810           6,750,847.00      211,891      211,271         300          320
FOUNDRY NETWORKS INC   COM         35063R10           6,747,310.00    1,231,261    1,222,881       8,280          100
E ON AG                SPONSORED   26878010           6,739,756.00      142,279       44,446      97,833
OVERSEAS SHIPHOLDING   COM         69036810           6,704,375.00      438,768      438,748          20
REGENERON PHARMACEUT   COM         75886F10           6,700,846.00      496,359      494,859       1,500
CONSOLIDATED GRAPHIC   COM         20934110           6,692,218.00      381,323      167,810     213,513
RADIO ONE INC          CL A        75040P10           6,671,863.00      400,472      324,537      61,045       14,890
POLYCOM INC            COM         73172K10           6,670,136.00      982,347      977,567       4,680          100
PAXAR CORP             COM         70422710           6,666,459.00      458,491      458,451          40
HANOVER COMPRESSOR C   COM         41076810           6,664,402.00      802,940      802,640         200          100
ACUITY BRANDS INC      COM         00508Y10           6,641,389.00      541,712      541,692          20
ROADWAY CORP           COM         76974210           6,638,896.00      180,995      180,895         100
CORUS BANKSHARES INC   COM         22087310           6,630,818.00      151,354      151,354
WELLMAN INC            COM         94970210           6,621,219.00      485,071      485,071
FOREST CITY ENTERPRI   CL A        34555010           6,618,430.00      203,644      202,044       1,600
BARCLAYS PLC           ADR         06738E20           6,613,336.00      278,222      116,261     161,961
NEWPORT CORP           COM         65182410           6,612,279.00      586,195      583,455       2,720           20
FLOWSERVE CORP         COM         34354P10           6,590,990.00      659,099      658,444         655
AMLI RESIDENTIAL PPT   SH BEN INT  00173510           6,578,824.00      297,954      297,954
IHOP CORP              COM         44962310           6,569,780.00      272,605      272,605
CASEYS GEN STORES IN   COM         14752810           6,566,313.00      568,512      567,052         720          740
Page Total                                          269,849,454.00


                                     Voting Authority
     Name of                  Sole        Shared        None
      Issuer

--------------------------------------------------------------
                                              
SYBRON DENTAL SPECIA         424,644          153       69,873
RUSSELL CORP                 395,207                    66,306
QUANEX CORP                  165,125                    34,050
LANDRYS RESTAURANTS          262,314          100       43,400
FLORIDA EAST COAST I         247,621        4,000       40,800
NATIONAL HEALTH INVS         405,028                    46,650
REHABCARE GROUP INC          261,030                    36,500
LANDAUER INC                 138,179       42,022       27,308
EXTREME NETWORKS INC       1,390,233       24,390      218,826
FOSSIL INC                   285,784                    56,341
SOUTHERN UN CO NEW           515,727        6,390       84,528
BANDAG INC                   193,001                    31,300
ANWORTH MORTGAGE ASS         504,380        3,000       53,200
AMCORE FINL INC              256,625                    54,150
ELECTRO SCIENTIFIC I         399,077          220       59,650
SEMTECH CORP                 649,586        1,300       46,904
CHOICE HOTELS INTL I         253,440          150       39,200
MONACO COACH CORP            293,147                    44,550
INTER TEL INC                283,979                    47,950
LIBBEY INC                   177,571          320       34,000
FOUNDRY NETWORKS INC       1,039,711          100      191,450
E ON AG                      140,169                     2,110
OVERSEAS SHIPHOLDING         381,568                    57,200
REGENERON PHARMACEUT         430,959                    65,400
CONSOLIDATED GRAPHIC         138,860      213,513       28,950
RADIO ONE INC                340,727       14,890       44,855
POLYCOM INC                  913,420        2,400       66,527
PAXAR CORP                   391,391                    67,100
HANOVER COMPRESSOR C         694,640          100      108,200
ACUITY BRANDS INC            470,193                    71,519
ROADWAY CORP                 149,945                    31,050
CORUS BANKSHARES INC         129,004                    22,350
WELLMAN INC                  423,771                    61,300
FOREST CITY ENTERPRI         187,544          100       16,000
BARCLAYS PLC                 273,892                     4,330
NEWPORT CORP                 496,925           20       89,250
FLOWSERVE CORP               618,767        1,000       39,332
AMLI RESIDENTIAL PPT         248,338                    49,616
IHOP CORP                    227,905                    44,700
CASEYS GEN STORES IN         475,622          740       92,150
Page Total


                                                                        35 of 82





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

----------------------------------------------------------------------------------------------------------------------
                                                                                           
DIME CMNTY BANCSHARE   COM         25392210           6,565,894.00      306,531      306,531
COX RADIO INC          CL A        22405110           6,558,704.00      250,715      246,175       4,540
USEC INC               COM         90333E10           6,555,184.00    1,047,154    1,047,154
MB FINANCIAL INC NEW   COM         55264U10           6,553,404.00      195,624      191,524       4,100
MICROS SYS INC         COM         59490110           6,540,739.00      282,050      282,010          40
NBT BANCORP INC        COM         62877810           6,528,474.00      378,024      378,024
ODYSSEY RE HLDGS COR   COM         67612W10           6,526,417.00      392,921      392,921
ANCHOR BANCORP WIS I   COM         03283910           6,505,773.00      322,068      322,048          20
AEROFLEX INC           COM         00776810           6,503,772.00    1,290,431    1,290,031         300          100
SILICON LABORATORIES   COM         82691910           6,502,530.00      354,748      354,048         700
HUTCHINSON TECHNOLOG   COM         44840710           6,491,201.00      401,932      400,812       1,120
C&D TECHNOLOGIES INC   COM         12466110           6,491,066.00      442,774      442,674         100
CELL GENESYS INC       COM         15092110           6,484,972.00      538,172      537,572         500          100
STANDARD REGISTER CO   COM         85388710           6,480,096.00      270,004      269,954          50
ABGENIX INC            COM         00339B10           6,477,260.00      998,037      994,597       3,340          100
ENTEGRIS INC           COM         29362U10           6,470,529.00      832,758      832,758
METTLER TOLEDO INTER   COM         59268810           6,465,524.00      248,674      247,414       1,160          100
ANTHRACITE CAP INC     COM         03702310           6,465,136.00      572,136      563,536       8,600
WOODWARD GOVERNOR CO   COM         98074510           6,463,807.00      136,373      136,353          20
FILENET CORP           COM         31686910           6,456,619.00      623,828      622,088       1,740
UNITED NAT FOODS INC   COM         91116310           6,434,535.00      279,398      278,698         700
WABTEC CORP            COM         92974010           6,434,123.00      456,969      456,969
HOVNANIAN ENTERPRISE   CL A        44248720           6,419,228.00      189,918      189,918
UIL HLDG CORP          COM         90274810           6,409,501.00      180,804      180,004         700          100
KEANE INC              COM         48666510           6,406,276.00      949,078      944,418       3,160        1,500
NU SKIN ENTERPRISES    CL A        67018T10           6,404,560.00      524,964      524,964
TOTAL SYS SVCS INC     COM         89190610           6,395,173.00      486,325      484,475       1,850
DSP GROUP INC          COM         23332B10           6,369,352.00      396,622      395,622         800          200
POSCO                  SPONSORED   69348310           6,353,972.00      294,438      294,438
KROLL INC              COM         50104910           6,351,092.00      320,277      320,277
WD-40 CO               COM         92923610           6,344,243.00      219,524      219,124                      400
JOURNAL REGISTER CO    COM         48113810           6,340,122.00      336,346      332,741       3,605
DRESS BARN INC         COM         26157010           6,317,157.00      405,987      405,907          80
FLAGSTAR BANCORP INC   COM         33793010           6,316,625.00      305,151      302,676       2,475
CORNERSTONE RLTY INC   COM         21922V10           6,301,369.00      708,019      708,019
OWENS & MINOR INC NE   COM         69073210           6,286,442.00      439,919      439,839          80
HOLLINGER INTL INC     CL A        43556910           6,270,427.00      689,816      688,776       1,040
COMMERCIAL METALS CO   COM         20172310           6,266,050.00      349,668      349,668
ADTRAN INC             COM         00738A10           6,260,607.00      401,321      400,221       1,000          100
RARE HOSPITALITY INT   COM         75382010           6,235,317.00      266,239      266,239
Page Total                                          257,003,272.00


                                   Voting Authority
     Name of               Sole         Shared        None
      Issuer

-----------------------------------------------------------
                                          
DIME CMNTY BANCSHARE      252,881                    53,650
COX RADIO INC             227,901          900       21,914
USEC INC                  899,804                   147,350
MB FINANCIAL INC NEW      171,524                    24,100
MICROS SYS INC            247,600                    34,450
NBT BANCORP INC           328,042                    49,982
ODYSSEY RE HLDGS COR      358,371                    34,550
ANCHOR BANCORP WIS I      261,818                    60,250
AEROFLEX INC            1,157,661          100      132,670
SILICON LABORATORIES      299,248                    55,500
HUTCHINSON TECHNOLOG      344,082                    57,850
C&D TECHNOLOGIES INC      393,474                    49,300
CELL GENESYS INC          463,472          100       74,600
STANDARD REGISTER CO      220,554                    49,450
ABGENIX INC               824,447          100      173,490
ENTEGRIS INC              734,358                    98,400
METTLER TOLEDO INTER      224,742          900       23,032
ANTHRACITE CAP INC        453,549                   118,587
WOODWARD GOVERNOR CO      117,973                    18,400
FILENET CORP              549,328                    74,500
UNITED NAT FOODS INC      238,748                    40,650
WABTEC CORP               397,219                    59,750
HOVNANIAN ENTERPRISE      161,868                    28,050
UIL HLDG CORP             146,378          100       34,326
KEANE INC                 850,228        1,500       97,350
NU SKIN ENTERPRISES       441,314                    83,650
TOTAL SYS SVCS INC        441,611          600       44,114
DSP GROUP INC             334,872          200       61,550
POSCO                     290,000                     4,438
KROLL INC                 273,024                    47,253
WD-40 CO                  182,274          400       36,850
JOURNAL REGISTER CO       284,596                    51,750
DRESS BARN INC            346,637                    59,350
FLAGSTAR BANCORP INC      287,651                    17,500
CORNERSTONE RLTY INC      574,939                   133,080
OWENS & MINOR INC NE      379,819                    60,100
HOLLINGER INTL INC        576,766                   113,050
COMMERCIAL METALS CO      287,458                    62,210
ADTRAN INC                346,371          100       54,850
RARE HOSPITALITY INT      227,489                    38,750
Page Total


                                                                        36 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UTSTARCOM INC          COM         91807610    6,227,396.00     407,819    405,698     2,000      121     361,644    1,021    45,154
SKYWEST INC            COM         83087910    6,220,574.00     474,853    474,563       190      100     434,971    1,200    38,682
STEWART INFORMATION    COM         86037210    6,217,525.00     291,219    291,219                        258,769             32,450
ARACRUZ CELULOSE S A   SPON ADR C  03849620    6,203,862.00     423,183    423,183                        395,207   21,614     6,362
SENIOR HSG PPTYS TR    SH BEN INT  81721M10    6,194,191.00     552,067    552,007        60              456,650             95,417
FIRST CHARTER CORP     COM         31943910    6,193,252.00     373,763    373,763                        319,113             54,650
MGE ENERGY INC         COM         55277P10    6,187,036.00     241,116    237,866     2,800      450     194,117      450    46,549
YANKEE CANDLE INC      COM         98475710    6,184,977.00     360,220    358,764     1,000      456     305,314      456    54,450
ALLIANCE DATA SYSTEM   COM         01858110    6,180,412.00     407,948    407,948                        366,248    1,400    40,300
HEARST-ARGYLE TELEVI   COM         42231710    6,176,937.00     248,669    248,369       300              237,769      100    10,800
ANSYS INC              COM         03662Q10    6,162,137.00     357,640    357,640                        329,490             28,150
ZORAN CORP             COM         98975F10    6,158,834.00     559,894    558,424     1,470              505,394             54,500
GEMSTAR-TV GUIDE INT   COM         36866W10    6,157,012.00   2,443,259  2,432,159    11,100            1,928,419    4,400   510,440
POWER-ONE INC          COM         73930810    6,153,127.00   2,064,808  2,064,028       680      100   1,816,099   23,500   225,209
EXAR CORP              COM         30064510    6,151,414.00     532,590    527,650     4,940              449,940             82,650
QUIKSILVER INC         COM         74838C10    6,149,291.00     272,213    270,013     2,200              231,663             40,550
IGEN INC               COM         44953610    6,148,822.00     209,286    202,966        20    6,300     166,936    6,300    36,050
KOGER EQUITY INC       COM         50022810    6,142,335.00     363,667    363,667                        289,121             74,546
STEEL DYNAMICS INC     COM         85811910    6,139,327.00     469,009    465,939     3,070              400,659             68,350
NATIONAL PENN BANCSH   COM         63713810    6,137,303.00     219,503    219,503                        184,735             34,768
CENTRAL VT PUB SVC C   COM         15577110    6,129,721.00     347,687    347,047                640     313,647      640    33,400
REED ELSEVIER P L C    SPONSORED   75820510    6,127,542.00     173,831    104,624    69,207               89,658   82,723     1,450
ALFA CORP              COM         01538510    6,125,318.00     500,026    499,826       200              391,486            108,540
SEPRACOR INC           COM         81731510    6,122,662.00   1,168,447  1,107,207     2,240   59,000     947,747   59,000   161,700
LACLEDE GROUP INC      COM         50559710    6,120,327.00     262,675    262,075       600              226,775             35,900
ALBANY MOLECULAR RES   COM         01242310    6,080,323.00     357,036    356,736       300              305,836             51,200
ATWOOD OCEANICS INC    COM         05009510    6,075,927.00     207,724    206,124     1,600              184,424             23,300
TREDEGAR CORP          COM         89465010    6,065,543.00     362,122    362,122                        305,022             57,100
STEWART ENTERPRISES    CL A        86037010    6,059,508.00   1,188,139  1,188,139                        995,649            192,490
ADVANTEST CORP         SPONSORED   00762U10    6,053,476.00     617,072     50,575   566,497              605,047             12,025
IDENTIX INC            COM         45190610    6,046,663.00   1,016,246  1,014,146     2,100              842,441            173,805
GYMBOREE CORP          COM         40377710    6,030,557.00     369,746    369,746                        309,646             60,100
CARBO CERAMICS INC     COM         14078110    6,028,825.00     168,215    167,815       400              147,615             20,600
METRO GOLDWYN MAYER    COM         59161010    6,025,942.00     504,263    490,503     3,660   10,100     467,913   11,000    25,350
PROQUEST COMPANY       COM         74346P10    6,017,676.00     198,276    198,276                        165,926             32,350
BROADWING INC          COM         11162010    6,017,243.00   3,039,012  3,034,036     2,740    2,236   2,559,808    3,236   475,968
PRIME HOSPITALITY CO   COM         74191710    6,016,126.00     733,674    732,934       100      640     637,984      640    95,050
EFUNDS CORP            COM         28224R10    6,004,280.00     640,047    633,072     3,452    3,523     549,624    3,523    86,900
TOWER AUTOMOTIVE INC   COM         89170710    5,994,195.00     894,656    894,656                        770,506            124,150
TALBOTS INC            COM         87416110    5,993,232.00     214,044    213,004       540      500     195,296    1,100    17,648
Page Total                                   244,620,850.00


                                                                        37 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GREY GLOBAL GROUP IN   COM         39787M10    5,975,520.00      10,128     10,128                          8,528              1,600
ACTION PERFORMANCE C   COM         00493310    5,949,550.00     231,500    231,100                400     197,730      400    33,370
RAMCO-GERSHENSON PPT   COM SH BEN  75145220    5,949,469.00     302,618    248,118    54,500              295,918              6,700
GRAFTECH INTL LTD      COM         38431310    5,939,664.00     819,264    818,564       700              720,214             99,050
SINCLAIR BROADCAST G   CL A        82922610    5,933,004.00     433,066    412,106    20,960              356,866             76,200
ISHARES TR             RUSSELL100  46428759    5,916,251.00     139,798    134,658     5,140              139,798
IMPAC MTG HLDGS INC    COM         45254P10    5,914,762.00     530,472    530,472                        444,522             85,950
SUEZ                   SPONSORED   86468610    5,913,167.00     373,778    150,630   223,148              369,398              4,380
MYRIAD GENETICS INC    COM         62855J10    5,911,345.00     373,191    350,711    22,480              323,741             49,450
DIANON SYS INC         COM         25282610    5,875,807.00     124,198    124,198                        101,158             23,040
RADIO ONE INC          CL D NON V  75040P40    5,870,951.00     356,031    349,551     6,480              351,329    1,600     3,102
OFFICEMAX INC          COM         67622M10    5,869,018.00   1,438,485  1,438,485                      1,209,585            228,900
FIRST SENTINEL BANCO   COM         33640T10    5,866,553.00     433,596    433,596                        384,096             49,500
SCHOOL SPECIALTY INC   COM         80786310    5,865,595.00     234,530    234,290       240              202,530             32,000
MEDQUIST INC           COM         58494910    5,846,887.00     249,143    248,099     1,044              228,893             20,250
SURMODICS INC          COM         86887310    5,844,695.00     183,969    183,669       300              156,569             27,400
KIMBALL INTL INC       CL B        49427410    5,837,733.00     422,412    422,412                        348,762             73,650
INTERDIGITAL COMMUNI   COM         45866A10    5,824,815.00     669,519    668,819       600      100     548,619      100   120,800
UNITED DEFENSE INDS    COM         91018B10    5,821,718.00     246,683    246,683                        199,683             47,000
PFF BANCORP INC        COM         69331W10    5,819,758.00     209,948    209,948                        172,748             37,200
ISIS PHARMACEUTICALS   COM         46433010    5,819,243.00     590,187    590,187                        477,137            113,050
PURE RES INC           COM         74622E10    5,810,268.00     259,387    259,037       350              212,187             47,200
WATSON WYATT & CO HL   CL A        94271210    5,806,440.00     290,322    290,322                        248,172             42,150
MASSEY ENERGY CORP     COM         57620610    5,786,069.00     897,065    895,865     1,020      180     770,204      180   126,681
BOSTON PRIVATE FINL    COM         10111910    5,772,385.00     271,004    252,354       150   18,500     219,454   18,500    33,050
ADVENT SOFTWARE INC    COM         00797410    5,765,899.00     503,572    502,535     1,037              470,162      700    32,710
HARLEYSVILLE NATL CO   COM         41285010    5,762,604.00     238,716    238,716                        196,139             42,577
IMCLONE SYS INC        COM         45245W10    5,758,911.00     738,322    736,533     1,711       78     622,046       78   116,198
INSIGHT COMMUNICATIO   CL A        45768V10    5,743,718.00     622,288    620,748     1,540              528,451             93,837
SEQUA CORPORATION      CL A        81732010    5,735,220.00     110,081    110,081                         93,231             16,850
WEBSENSE INC           COM         94768410    5,726,528.00     493,241    493,241                        447,391             45,850
DOCUMENTUM INC         COM         25615910    5,710,770.00     494,439    493,019     1,420              407,389             87,050
RITE AID CORP          COM         76775410    5,699,135.00   2,713,874  2,697,934    15,720      220   2,449,726    7,220   256,928
IONICS INC             COM         46221810    5,687,994.00     238,891    237,941       550      400     198,991      400    39,500
JARDEN CORP            COM         47110910    5,681,273.00     209,255    208,155     1,100              176,005             33,250
VIASYS HEALTHCARE IN   COM NEW     92553Q20    5,676,732.00     368,619    367,046     1,272      301     305,875      395    62,349
INSIGHT ENTERPRISES    COM         45765U10    5,671,231.00     558,742    558,682        60              468,452             90,290
LITHIA MTRS INC        CL A        53679710    5,668,463.00     333,243    176,632   156,611              152,632  156,611    24,000
CAPITOL FED FINL       COM         14057C10    5,658,024.00     255,326    251,986     3,340              242,526      100    12,700
EASTGROUP PPTY INC     COM         27727610    5,638,767.00     227,829    227,829                        181,527             46,302
Page Total                                   232,325,936.00


                                                                        38 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                          
GROUP 1 AUTOMOTIVE I   COM         39890510           5,631,484.00      251,968      251,688         180          100
BANCO SANTANDER CENT   ADR         05964H10           5,622,703.00    1,085,464      303,688     781,776
JO-ANN STORES INC      CL A        47758P10           5,619,804.00      200,421      200,421
GENESIS HEALTH VENTU   COM         37183F10           5,607,404.00      341,083      340,788                      295
ATMEL CORP             COM         04951310           5,587,279.00    5,271,018    5,267,638       3,080          300
EXPEDIA INC            CL A        30212510           5,586,543.00      110,297      110,084         160           53
COMMSCOPE INC          COM         20337210           5,584,618.00      823,690      823,260         130          300
PROGRESS SOFTWARE CO   COM         74331210           5,584,258.00      461,509      461,429          80
GENLYTE GROUP INC      COM         37230210           5,571,605.00      157,168      156,868         300
REGAL BELOIT CORP      COM         75875010           5,566,413.00      325,331      325,031         300
DIGITAL INSIGHT CORP   COM         25385P10           5,563,370.00      353,904      353,884          20
CENTRAL PKG CORP       COM         15478510           5,555,961.00      275,867      275,767         100
CSG SYS INTL INC       COM         12634910           5,552,710.00      509,423      507,123       2,200          100
ALKERMES INC           COM         01642T10           5,549,691.00      703,383      701,663       1,620          100
PACIFIC NORTHWEST BA   COM         69466M10           5,546,832.00      203,703      203,703
GUCCI GROUP N V        COM NY REG  40156610           5,540,165.00       65,634        8,097      57,537
RUSS BERRIE & CO       COM         78223310           5,539,846.00      184,600      184,600
PENNSYLVANIA RL ESTA   SH BEN INT  70910210           5,530,594.00      214,697      214,597         100
SUNRISE ASSISTED LIV   COM         86768K10           5,523,589.00      257,510      257,210         300
CROWN CASTLE INTL CO   COM         22822710           5,514,052.00    2,541,038    2,525,308      15,630          100
AMERIPATH INC          COM         03071D10           5,512,329.00      369,955      369,915          40
ALABAMA NATL BANCORP   COM         01031710           5,503,285.00      121,539      121,539
CITY HLDG CO           COM         17783510           5,500,972.00      213,713      213,413         300
ITRON INC              COM         46574110           5,500,688.00      299,113      299,113
ARAMARK CORP           CL B        03852110           5,482,743.00      261,083      260,823         260
TEKELEC                COM         87910110           5,482,259.00      635,256      632,156       3,100
TRIUMPH GROUP INC NE   COM         89681810           5,476,436.00      195,587      195,587
LONGVIEW FIBRE CO      COM         54321310           5,467,096.00      787,766      771,416       1,350       15,000
ENTERTAINMENT PPTYS    COM SH BEN  29380T10           5,463,363.00      247,211      247,211
SHOPKO STORES INC      COM         82491110           5,459,341.00      418,020      417,920                      100
ATMI INC               COM         00207R10           5,436,057.00      385,536      380,696       4,840
HUDSON RIV BANCORP I   COM         44412810           5,426,070.00      224,682      222,582       2,100
SANDY SPRING BANCORP   COM         80036310           5,425,235.00      176,144      176,144
RYANAIR HLDGS PLC      SPONSORED   78351310           5,419,654.00      159,919       94,643      65,276
CROSS CTRY INC         COM         22748P10           5,418,253.00      383,729      383,729
THOMAS INDS INC        COM         88442510           5,410,690.00      218,173      218,173
TETRA TECH INC NEW     COM         88162G10           5,409,965.00      677,092      676,780         312
WESCO FINL CORP        COM         95081710           5,409,847.00       17,593       16,893                      700
HARBOR FLA BANCSHARE   COM         41190110           5,408,370.00      264,468      264,388          80
FLEMING COS INC        COM         33913010           5,400,835.00    1,080,167    1,080,167
Page Total                                          220,392,409.00


                                    Voting Authority
     Name of                Sole         Shared        None
     Issuer

-------------------------------------------------------------
                                              
GROUP 1 AUTOMOTIVE I        214,818          100       37,050
BANCO SANTANDER CENT      1,044,581                    40,883
JO-ANN STORES INC           172,671                    27,750
GENESIS HEALTH VENTU        276,988          295       63,800
ATMEL CORP                4,516,338        8,050      746,630
EXPEDIA INC                  85,220          253       24,824
COMMSCOPE INC               732,040          300       91,350
PROGRESS SOFTWARE CO        395,274                    66,235
GENLYTE GROUP INC           127,018                    30,150
REGAL BELOIT CORP           271,781                    53,550
DIGITAL INSIGHT CORP        299,754                    54,150
CENTRAL PKG CORP            238,317                    37,550
CSG SYS INTL INC            473,679        1,200       34,544
ALKERMES INC                586,133          100      117,150
PACIFIC NORTHWEST BA        159,703                    44,000
GUCCI GROUP N V              64,384                     1,250
RUSS BERRIE & CO            156,905                    27,695
PENNSYLVANIA RL ESTA        175,635                    39,062
SUNRISE ASSISTED LIV        217,360                    40,150
CROWN CASTLE INTL CO      2,121,738        1,000      418,300
AMERIPATH INC               312,264                    57,691
ALABAMA NATL BANCORP         96,289                    25,250
CITY HLDG CO                183,288                    30,425
ITRON INC                   260,563                    38,550
ARAMARK CORP                228,383          500       32,200
TEKELEC                     540,531                    94,725
TRIUMPH GROUP INC NE        162,926                    32,661
LONGVIEW FIBRE CO           662,916       15,000      109,850
ENTERTAINMENT PPTYS         210,261                    36,950
SHOPKO STORES INC           358,670          100       59,250
ATMI INC                    326,986                    58,550
HUDSON RIV BANCORP I        200,532                    24,150
SANDY SPRING BANCORP        146,194                    29,950
RYANAIR HLDGS PLC           155,629                     4,290
CROSS CTRY INC              316,079                    67,650
THOMAS INDS INC             175,673                    42,500
TETRA TECH INC NEW          571,742                   105,350
WESCO FINL CORP              13,893          700        3,000
HARBOR FLA BANCSHARE        229,669                    34,799
FLEMING COS INC             975,167                   105,000
Page Total


                                                                        39 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                         
CORRECTIONS CORP AME   COM NEW     22025Y40           5,397,518.00      384,165      384,165
SPHERION CORP          COM         84842010           5,394,681.00      765,203      763,803         900          500
FIRST FINL BANKSHARE   COM         32020R10           5,387,070.00      147,834      147,834
STRAYER ED INC         COM         86323610           5,374,564.00       90,344       90,344
CYMER INC              COM         23257210           5,370,668.00      288,126      287,226         800          100
UNITED RENTALS INC     COM         91136310           5,369,502.00      636,197      635,736         321          140
NEXTEL PARTNERS INC    CL A        65333F10           5,361,675.00      996,594      990,324       6,270
OCULAR SCIENCES INC    COM         67574410           5,359,695.00      229,439      229,399          40
HAIN CELESTIAL GROUP   COM         40521710           5,357,387.00      365,692      359,437       1,755        4,500
RLI CORP               COM         74960710           5,355,235.00       99,818       99,318         500
DIAGEO P L C           SPON ADR N  25243Q20           5,347,057.00      107,134       60,951      46,183
NATIONWIDE FINL SVCS   CL A        63861210           5,339,252.00      199,972      198,962         910          100
NOVEN PHARMACEUTICAL   COM         67000910           5,335,624.00      435,917      435,917
ANTEON INTL CORP       COM         03674E10           5,316,978.00      195,621      195,621
EMPIRE DIST ELEC CO    COM         29164110           5,315,675.00      314,537      313,637         800          100
HANCOCK FABRICS INC    COM         40990010           5,312,720.00      328,961      328,961
MAXIMUS INC            COM         57793310           5,306,089.00      236,879      236,879
AMERICAN MED SYS HLD   COM         02744M10           5,295,503.00      255,205      254,480         725
ROLLINS INC            COM         77571110           5,291,272.00      272,746      272,706          40
NORTEK INC             COM         65655910           5,287,334.00      122,194      122,194
IDT CORP               COM         44894710           5,265,926.00      323,063      322,323         740
SOTHEBYS HLDGS INC     CL A        83589810           5,252,436.00      750,348      750,148                      200
TRACTOR SUPPLY CO      COM         89235610           5,241,983.00      164,946      164,946
PHILLIPS VAN HEUSEN    COM         71859210           5,231,394.00      415,190      415,190
W-H ENERGY SVCS INC    COM         92925E10           5,222,402.00      301,873      301,873
GRIFFON CORP           COM         39843310           5,218,212.00      489,973      489,973
AMERIGROUP CORP        COM         03073T10           5,217,192.00      155,505      155,505
MONDAVI ROBERT CORP    CL A        60920010           5,216,488.00      171,257      171,257
PERICOM SEMICONDUCTO   COM         71383110           5,213,729.00      604,841      604,821          20
AMERICAN STS WTR CO    COM         02989910           5,211,172.00      198,748      198,748
SOUTH JERSEY INDS IN   COM         83851810           5,211,098.00      159,556      159,556
WEIS MKTS INC          COM         94884910           5,203,629.00      155,425      155,165         260
ICU MED INC            COM         44930G10           5,199,133.00      142,364      142,364
C D I CORP             COM         12507110           5,181,387.00      198,141      198,141
BURLINGTON COAT FACT   COM         12157910           5,178,402.00      287,689      287,689
CHECKPOINT SYS INC     COM         16282510           5,176,416.00      419,143      418,143       1,000
PARK ELECTROCHEMICAL   COM         70041620           5,171,455.00      309,668      309,378         290
UNIZAN FINANCIAL COR   COM         91528W10           5,168,931.00      269,524      269,524
WESTPOINT STEVENS IN   COM         96123810           5,161,481.00    5,266,818      453,948   4,812,870
ACTUANT CORP           CL A NEW    00508X20           5,155,114.00      139,705      139,565         140
Page Total                                          210,973,479.00


                                 Voting Authority
     Name of            Sole         Shared        None
     Issuer

---------------------------------------------------------
                                       
CORRECTIONS CORP AME    326,115                    58,050
SPHERION CORP           659,953          500      104,750
FIRST FINL BANKSHARE    122,384                    25,450
STRAYER ED INC           74,694                    15,650
CYMER INC               264,626          900       22,600
UNITED RENTALS INC      601,717        1,040       33,440
NEXTEL PARTNERS INC     825,594                   171,000
OCULAR SCIENCES INC     200,739                    28,700
HAIN CELESTIAL GROUP    306,642        4,500       54,550
RLI CORP                 81,924                    17,894
DIAGEO P L C            102,934                     4,200
NATIONWIDE FINL SVCS    183,430          500       16,042
NOVEN PHARMACEUTICAL    388,967                    46,950
ANTEON INTL CORP        162,421                    33,200
EMPIRE DIST ELEC CO     244,937          100       69,500
HANCOCK FABRICS INC     297,111                    31,850
MAXIMUS INC             197,779                    39,100
AMERICAN MED SYS HLD    215,305                    39,900
ROLLINS INC             233,046                    39,700
NORTEK INC              100,594                    21,600
IDT CORP                288,013        1,100       33,950
SOTHEBYS HLDGS INC      639,048          200      111,100
TRACTOR SUPPLY CO       135,996                    28,950
PHILLIPS VAN HEUSEN     344,590                    70,600
W-H ENERGY SVCS INC     263,873                    38,000
GRIFFON CORP            444,993                    44,980
AMERIGROUP CORP         135,505                    20,000
MONDAVI ROBERT CORP     149,977                    21,280
PERICOM SEMICONDUCTO    572,891                    31,950
AMERICAN STS WTR CO     168,398                    30,350
SOUTH JERSEY INDS IN    126,128                    33,428
WEIS MKTS INC           128,064                    27,361
ICU MED INC             124,214                    18,150
C D I CORP              167,041                    31,100
BURLINGTON COAT FACT    250,489                    37,200
CHECKPOINT SYS INC      364,693                    54,450
PARK ELECTROCHEMICAL    276,318                    33,350
UNIZAN FINANCIAL COR    230,552                    38,972
WESTPOINT STEVENS IN    372,578    4,812,870       81,370
ACTUANT CORP            115,895                    23,810
Page Total


                                                                        40 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                        
OSHKOSH B GOSH INC     CL A        68822220           5,149,361.00      149,865      149,865
STAGE STORES INC       COM NEW     85254C30           5,147,752.00      237,333      237,333
PEOPLES BK BRIDGEPOR   COM         71019810           5,145,935.00      229,422      217,992       5,180        6,250
AMDOCS LTD             ORD         G0260210           5,138,592.00      802,905      624,129     151,276       27,500
RFS HOTEL INVS INC     COM         74955J10           5,093,832.00      463,497      463,477          20
CROWN AMERN RLTY TR    SH BEN INT  22818610           5,092,702.00      554,157      554,157
EXPRESSJET HOLDINGS    CL A        30218U10           5,076,440.00      551,787      551,787
APEX MORTGAGE CAPITA   COM         03756410           5,069,215.00      453,013      453,013
KINDRED HEALTHCARE I   COM         49458010           5,069,110.00      136,892      136,756         136
SEROLOGICALS CORP      COM         81752310           5,067,097.00      378,424      330,639      47,785
IMAGISTICS INTERNATI   COM         45247T10           5,066,512.00      292,018      289,750       1,978          290
STEAK N SHAKE CO       COM         85787310           5,060,979.00      460,089      460,089
WINTRUST FINANCIAL C   COM         97650W10           5,057,727.00      176,535      176,535
CONNECTICUT BANCSHAR   COM         20754010           5,057,557.00      136,580      136,580
WATSCO INC             COM         94262220           5,053,920.00      353,421      353,421
AVX CORP NEW           COM         00244410           5,041,141.00      582,118      582,118
JOHN NUVEEN CO         CL A        47803510           5,039,671.00      221,524      221,364         160
PULITZER INC           COM         74576910           5,021,740.00      120,570      119,670         800          100
FRONTIER FINL CORP W   COM         35907K10           5,016,324.00      196,873      196,873
HOUSTON EXPL CO        COM         44212010           5,002,191.00      160,584      160,584
RAMBUS INC DEL         COM         75091710           4,997,175.00    1,151,423    1,148,343       3,000           80
WATTS INDS INC         CL A        94274910           4,981,122.00      303,727      303,727
GAYLORD ENTMT CO NEW   COM         36790510           4,972,857.00      262,836      262,586         150          100
UNIFI INC              COM         90467710           4,966,097.00      792,041      791,239         802
PALM INC               COM         69664210           4,962,651.00    6,706,286    6,534,109     160,868       11,309
ARCH CHEMICALS INC     COM         03937R10           4,958,552.00      279,828      279,828
DOLLAR THRIFTY AUTOM   COM         25674310           4,946,433.00      308,189      306,849       1,340
BERRY PETE CO          CL A        08578910           4,941,082.00      290,823      290,823
FRONTIER OIL CORP      COM         35914P10           4,926,408.00      397,291      397,291
LEXINGTON CORP PPTYS   COM         52904310           4,922,848.00      305,767      305,767
QUEST SOFTWARE INC     COM         74834T10           4,921,210.00      523,533      521,053       2,480
AGERE SYS INC          CL A        00845V10           4,915,471.00    4,468,610    4,463,359       4,676          575
R & G FINANCIAL CORP   CL B        74913610           4,901,775.00      224,646      224,646
FIRST ESSEX BANCORP    COM         32010310           4,899,298.00      148,239      145,239       3,000
INFOSYS TECHNOLOGIES   SPONSORED   45678810           4,898,162.00       90,372       90,372
OFFSHORE LOGISTICS I   COM         67625510           4,897,656.00      272,698      271,378       1,320
NASH FINCH CO          COM         63115810           4,888,465.00      359,446      359,446
PEROT SYS CORP         CL A        71426510           4,879,617.00      524,690      521,540       3,150
MENTOR GRAPHICS CORP   COM         58720010           4,876,813.00      999,347      998,857          90          400
AMERITRADE HLDG CORP   COM         03074K10           4,875,453.00    1,307,092    1,306,892         200
Page Total                                          199,996,943.00


                              Voting Authority
     Name of            Sole         Shared        None
     Issuer

---------------------------------------------------------
                                       
OSHKOSH B GOSH INC      118,519                    31,346
STAGE STORES INC        203,033                    34,300
PEOPLES BK BRIDGEPOR    206,732        6,650       16,040
AMDOCS LTD              703,512       27,500       71,893
RFS HOTEL INVS INC      382,625                    80,872
CROWN AMERN RLTY TR     452,701                   101,456
EXPRESSJET HOLDINGS     483,987                    67,800
APEX MORTGAGE CAPITA    396,863                    56,150
KINDRED HEALTHCARE I    113,392                    23,500
SEROLOGICALS CORP       339,124                    39,300
IMAGISTICS INTERNATI    240,754          290       50,974
STEAK N SHAKE CO        409,250                    50,839
WINTRUST FINANCIAL C    145,785                    30,750
CONNECTICUT BANCSHAR    116,780                    19,800
WATSCO INC              312,621                    40,800
AVX CORP NEW            547,194        1,200       33,724
JOHN NUVEEN CO          203,944        1,100       16,480
PULITZER INC             95,820          100       24,650
FRONTIER FINL CORP W    162,123                    34,750
HOUSTON EXPL CO         137,233                    23,351
RAMBUS INC DEL          966,433           80      184,910
WATTS INDS INC          273,277                    30,450
GAYLORD ENTMT CO NEW    227,986          100       34,750
UNIFI INC               692,691                    99,350
PALM INC              5,360,919      142,291    1,203,076
ARCH CHEMICALS INC      240,928                    38,900
DOLLAR THRIFTY AUTOM    247,389                    60,800
BERRY PETE CO           248,173                    42,650
FRONTIER OIL CORP       332,221                    65,070
LEXINGTON CORP PPTYS    244,817                    60,950
QUEST SOFTWARE INC      438,513                    85,020
AGERE SYS INC         3,519,317        2,044      947,249
R & G FINANCIAL CORP    193,146                    31,500
FIRST ESSEX BANCORP     129,089                    19,150
INFOSYS TECHNOLOGIES     12,572                    77,800
OFFSHORE LOGISTICS I    231,398                    41,300
NASH FINCH CO           334,396                    25,050
PEROT SYS CORP          474,090        1,200       49,400
MENTOR GRAPHICS CORP    858,697          400      140,250
AMERITRADE HLDG CORP  1,086,467                   220,625
Page Total


                                                                        41 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                        
BLACKROCK INC          CL A        09247X10           4,870,660.00      117,592      117,592
DATASCOPE CORP         COM         23811310           4,864,819.00      179,779      179,379         400
NUI CORP               COM         62943110           4,860,064.00      225,003      225,003
UNITED CMNTY BKS BLA   CAP STK     90984P10           4,850,401.00      199,605      199,605
M/I SCHOTTENSTEIN HO   COM         55305B10           4,841,518.00      153,699      153,699
NORTHWESTERN CORP      COM         66807410           4,835,767.00      495,468      494,962          40          466
INTERMAGNETICS GEN C   COM         45877110           4,821,421.00      282,450      282,450
QUANTUM CORP           COM DSSG    74790620           4,815,713.00    2,179,056    2,174,736       4,320
ING GROUP N V          SPONSORED   45683710           4,812,392.00      342,763      103,395     239,368
ARMOR HOLDINGS INC     COM         04226010           4,804,684.00      320,526      320,526
APPLIED INDL TECHNOL   COM         03820C10           4,800,901.00      283,239      283,239
DUANE READE INC        COM         26357810           4,798,832.00      299,927      299,807          20          100
COMMUNITY BK SYS INC   COM         20360710           4,798,667.00      161,953      161,953
PMA CAP CORP           CL A        69341920           4,798,575.00      319,905      319,905
AMERICAN AXLE & MFG    COM         02406110           4,797,683.00      192,061      191,221         640          200
PRECISION DRILLING C   COM         74022D10           4,795,110.00      159,306       14,525     144,781
ORTHODONTIC CTRS AME   COM         68750P10           4,793,054.00      447,949      439,229          20        8,700
ROGERS CORP            COM         77513310           4,787,380.00      205,027      204,987          40
SOURCECORP             COM         83616710           4,784,165.00      234,403      234,303                      100
CALIFORNIA WTR SVC G   COM         13078810           4,776,356.00      187,088      187,088
METHODE ELECTRS INC    CL A        59152020           4,774,793.00      520,130      518,430       1,700
INCYTE GENOMICS INC    COM         45337C10           4,773,228.00    1,028,713    1,024,883       3,730          100
TAIWAN SEMICONDUCTOR   SPONSORED   87403910           4,770,678.00      751,288      751,288
ELKCORP                COM         28745610           4,762,069.00      278,973      278,973
POLO RALPH LAUREN CO   CL A        73157210           4,759,388.00      229,037      228,177         760          100
PEABODY ENERGY CORP    COM         70454910           4,746,340.00      186,131      186,131
CYBERONICS INC         COM         23251P10           4,728,843.00      274,773      268,513       6,260
CHEMFIRST INC          COM         16361A10           4,723,513.00      164,239      163,819                      420
S1 CORPORATION         COM         78463B10           4,721,023.00      880,788      879,988         700          100
RAYOVAC CORP           COM         75508110           4,720,582.00      386,933      386,873          60
MID-STATE BANCSHARES   COM         59544010           4,720,362.00      287,827      287,827
FEDERAL AGRIC MTG CO   CL C        31314830           4,711,596.00      159,661      159,561                      100
FORWARD AIR CORP       COM         34985310           4,702,742.00      259,820      220,130      39,690
SUREWEST COMMUNICATI   COM         86873310           4,699,122.00      160,544      160,544
VALMONT INDS INC       COM         92025310           4,697,693.00      201,186      201,186
EDO CORP               COM         28134710           4,671,386.00      208,451      208,451
WESTPORT RES CORP NE   COM         96141810           4,670,617.00      255,225      255,225
CRH PLC                ADR         12626K20           4,659,606.00      398,291       46,109     352,182
BELDEN INC             COM         07745910           4,657,330.00      347,044      345,584       1,360          100
VERITY INC             COM         92343C10           4,653,784.00      467,717      467,717
Page Total                                          190,632,857.00


                                Voting Authority
     Name of              Sole         Shared        None
     Issuer

-----------------------------------------------------------
                                          
BLACKROCK INC             105,800          300       11,492
DATASCOPE CORP            150,479                    29,300
NUI CORP                  179,704                    45,299
UNITED CMNTY BKS BLA      164,955                    34,650
M/I SCHOTTENSTEIN HO      124,824                    28,875
NORTHWESTERN CORP         423,502          466       71,500
INTERMAGNETICS GEN C      253,034                    29,416
QUANTUM CORP            1,937,506                   241,550
ING GROUP N V             337,463                     5,300
ARMOR HOLDINGS INC        270,426                    50,100
APPLIED INDL TECHNOL      243,289                    39,950
DUANE READE INC           252,927          100       46,900
COMMUNITY BK SYS INC      131,133                    30,820
PMA CAP CORP              266,355                    53,550
AMERICAN AXLE & MFG       175,261          300       16,500
PRECISION DRILLING C      156,306                     3,000
ORTHODONTIC CTRS AME      409,117        9,600       29,232
ROGERS CORP               177,811                    27,216
SOURCECORP                205,653          100       28,650
CALIFORNIA WTR SVC G      147,688                    39,400
METHODE ELECTRS INC       451,480                    68,650
INCYTE GENOMICS INC       881,763          100      146,850
TAIWAN SEMICONDUCTOR      265,040                   486,248
ELKCORP                   231,473                    47,500
POLO RALPH LAUREN CO      207,917          600       20,520
PEABODY ENERGY CORP       171,631          400       14,100
CYBERONICS INC            224,973                    49,800
CHEMFIRST INC             129,769          420       34,050
S1 CORPORATION            733,288          100      147,400
RAYOVAC CORP              310,633                    76,300
MID-STATE BANCSHARES      241,427                    46,400
FEDERAL AGRIC MTG CO      150,361          100        9,200
FORWARD AIR CORP          231,070                    28,750
SUREWEST COMMUNICATI      133,044                    27,500
VALMONT INDS INC          169,436                    31,750
EDO CORP                  176,051                    32,400
WESTPORT RES CORP NE      220,914                    34,311
CRH PLC                   359,667       32,224        6,400
BELDEN INC                310,394          100       36,550
VERITY INC                409,067                    58,650
Page Total


                                                                        42 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CIMA LABS INC          COM         17179610     4,649,455.00    184,869    184,849                20     150,799       20     34,050
LITTELFUSE INC         COM         53700810     4,642,219.00    275,994    266,554       40    9,400     218,440    9,400     48,154
STRATTEC SEC CORP      COM         86311110     4,637,105.00     90,888     90,888                        78,388              12,500
WMS INDS INC           COM         92929710     4,630,863.00    328,430    328,430                       271,180              57,250
UNILEVER N V           N Y SHS NE  90478470     4,630,203.00     77,884     77,884                        77,414                 470
ESCO TECHNOLOGIES IN   COM         29631510     4,623,260.00    143,135    143,134        1              122,040              21,095
PHOTRONICS INC         COM         71940510     4,622,046.00    459,448    455,228    4,220              404,098              55,350
MANHATTAN ASSOCS INC   COM         56275010     4,621,852.00    341,853    341,753               100     299,903      100     41,850
INDEPENDENT BANK COR   COM         45383810     4,603,978.00    139,093    139,093                       116,088              23,005
ARGONAUT GROUP INC     COM         04015710     4,572,940.00    265,098    264,978      120              224,198              40,900
PRESIDENTIAL LIFE CO   COM         74088410     4,562,020.00    316,807    311,967    4,400      440     262,298      440     54,069
HOOPER HOLMES INC      COM         43910410     4,561,377.00    735,706    735,566      140              634,056             101,650
STERLING FINL CORP     COM         85931710     4,558,891.00    195,409    195,409                       166,909              28,500
HOLLY CORP             COM PAR $0  43575830     4,550,911.00    268,016    267,816      200              236,566              31,450
BOWNE & CO INC         COM         10304310     4,543,210.00    454,321    454,161      160              391,621              62,700
SPEEDWAY MOTORSPORTS   COM         84778810     4,539,851.00    192,775    192,775                       164,275              28,500
GENCORP INC            COM         36868210     4,535,832.00    450,878    447,678    3,200              374,478              76,400
ENZO BIOCHEM INC       COM         29410010     4,531,355.00    316,878    315,129    1,749              272,982              43,896
MICREL INC             COM         59479310     4,528,899.00    735,211    723,231   10,740    1,240     687,061    2,740     45,410
SHUFFLE MASTER INC     COM         82554910     4,524,947.00    243,146    243,146                       201,946              41,200
GETTY IMAGES INC       COM         37427610     4,523,028.00    225,475    225,475                       206,575      100     18,800
MAVERICK TUBE CORP     COM         57791410     4,521,517.00    509,754    509,654               100     427,254      100     82,400
SAUL CTRS INC          COM         80439510     4,521,514.00    194,725    194,725                       161,255              33,470
INTERNATIONAL MULTIF   COM         46004310     4,508,333.00    230,017    229,917      100              184,767              45,250
LONE STAR TECHNOLOGI   COM         54231210     4,504,398.00    380,118    380,018               100     320,968      100     59,050
ARIBA INC              COM         04033V10     4,502,119.00  3,334,903  3,329,883    4,900      120   2,783,613      120    551,170
TICKETMASTER           CL B        88633P20     4,493,199.00    294,636    294,436      200              273,176      900     20,560
TIBCO SOFTWARE INC     COM         88632Q10     4,478,658.00  1,194,309  1,182,681   11,528      100   1,002,114      100    192,095
FIRST MERCHANTS CORP   COM         32081710     4,472,750.00    181,083    181,083                       151,400              29,683
BANKUNITED FINL CORP   CL A        06652B10     4,466,542.00    280,034    280,034                       215,884              64,150
MFA MTG INVTS INC      COM         55272X10     4,464,396.00    551,160    549,160             2,000     472,910    2,000     76,250
PROASSURANCE CORP      COM         74267C10     4,459,504.00    263,876    263,876                       217,352              46,524
KRAMONT RLTY TR        COM SH BEN  50075Q10     4,445,594.00    300,378    300,378                       242,178              58,200
CLEVELAND CLIFFS INC   COM         18589610     4,442,660.00    184,726    184,626      100              153,126              31,600
SUFFOLK BANCORP        COM         86473910     4,439,575.00    137,875    137,875                       120,075              17,800
REDWOOD TR INC         COM         75807540     4,429,919.00    162,090    162,090                       137,704              24,386
PIONEER STD ELECTRS    COM         72387710     4,428,403.00    611,658    611,638       20              541,358              70,300
ARRIS GROUP INC        COM         04269Q10     4,415,927.00  1,193,494  1,193,094      200      200   1,067,044      200    126,250
INSITUFORM TECHNOLOG   CL A        45766710     4,414,570.00    307,657    307,557               100     257,907      100     49,650
THORATEC CORP          COM NEW     88517530     4,408,220.00    562,273    562,273                       475,723              86,550
Page Total                                    181,012,040.00


                                                                        43 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
JLG INDS INC           COM         46621010     4,406,747.00  547,422    547,402         20               468,582             78,840
SPS TECHNOLOGIES INC   COM         78462610     4,404,582.00  176,678    176,258        420               153,428             23,250
INTEGRATED DEFENSE T   COM         45819B10     4,401,905.00  223,447    175,802     40,395      7,250    198,197     7,250   18,000
TRIMBLE NAVIGATION L   COM         89623910     4,399,787.00  444,423    444,163        260               389,023             55,400
FIRST FED CAP CORP     COM         31996010     4,399,651.00  226,436    226,436                          187,886             38,550
TRIARC COS INC         CL A        89592710     4,396,890.00  193,781    193,281                   500    157,550       500   35,731
KNIGHT TRANSN INC      COM         49906410     4,392,979.00  283,418    283,418                          240,168             43,250
ALPHARMA INC           CL A        02081310     4,391,932.00  457,493    456,483      1,010               392,943             64,550
BAY VIEW CAP CORP DE   COM         07262L10     4,382,705.00  772,964    769,964      3,000               658,964            114,000
STEWART & STEVENSON    COM         86034210     4,374,768.00  446,724    445,514      1,210               389,074             57,650
ANALOGIC CORP          COM PAR $0  03265720     4,372,520.00  104,381    103,981        400                86,031             18,350
STRIDE RITE CORP       COM         86331410     4,348,245.00  549,715    549,715                          468,615             81,100
FIRST FINL HLDGS INC   COM         32023910     4,339,591.00  160,310    160,310                          135,660             24,650
KORN FERRY INTL        COM NEW     50064320     4,324,990.00  551,657    551,497        160               478,507             73,150
FIRST NIAGARA FINL G   COM         33582U10     4,315,952.00  136,624    136,624                          105,274             31,350
RESOURCES CONNECTION   COM         76122Q10     4,313,691.00  299,354    299,354                          270,804             28,550
MACROMEDIA INC         COM         55610010     4,313,092.00  557,968    557,188        520        260    519,788       460   37,720
CIBER INC              COM         17163B10     4,312,617.00  742,275    742,275                          639,675            102,600
HANDLEMAN CO DEL       COM         41025210     4,300,765.00  470,029    470,029                          406,129             63,900
CARPENTER TECHNOLOGY   COM         14428510     4,297,865.00  330,605    330,605                          276,955             53,650
AARON RENTS INC        COM         00253520     4,288,810.00  186,470    186,470                          159,520             26,950
NCO GROUP INC          COM         62885810     4,288,380.00  376,504    376,284        220               325,804             50,700
COMMONWEALTH BANCORP   COM         20268X10     4,287,430.00   93,205     93,205                           77,405             15,800
CPB INC                COM         12590310     4,285,083.00   92,811     92,811                           74,411             18,400
REINSURANCE GROUP AM   COM         75935110     4,283,135.00  165,756    165,576        180               150,944       300   14,512
UNITED NATL BANCORP    COM         91090910     4,281,380.00  208,036    208,036                          172,808             35,228
INFOCUS CORP           COM         45665B10     4,280,154.00  561,700    559,500      2,000        200    486,600       200   74,900
NCI BUILDING SYS INC   COM         62885210     4,279,669.00  227,642    227,542        100               193,842             33,800
DUPONT PHOTOMASKS IN   COM         26613X10     4,276,512.00  187,731    187,731                          161,731             26,000
FREEMARKETS INC        COM         35660210     4,275,475.00  861,991    529,512    146,936    185,543    588,348   185,543   88,100
CHEMED CORP            COM         16359610     4,270,691.00  138,794    138,794                          113,194             25,600
TELIK INC              COM         87959M10     4,261,220.00  344,202    342,702      1,500               272,352             71,850
ARROW INTL INC         COM         04276410     4,253,453.00  132,218    130,218      2,000               108,241             23,977
GULFMARK OFFSHORE IN   COM         40262910     4,253,239.00  245,852    245,852                          215,952             29,900
CARMAX INC             COM         14313010     4,247,413.00  262,186    262,186                          260,586       100    1,500
POWER INTEGRATIONS I   COM         73927610     4,243,704.00  348,130    344,310      3,820               292,280             55,850
LANCE INC              COM         51460610     4,235,282.00  332,179    331,459                   720    273,034       720   58,425
J JILL GROUP INC       COM         46618910     4,227,903.00  242,704    242,554                   150    202,679       150   39,875
STUDENT LN CORP        COM         86390210     4,225,596.00   46,702     46,002        700                44,002              2,700
PARKWAY PPTYS INC      COM         70159Q10     4,215,990.00  124,586    124,586                          101,223             23,363
Page Total                                    172,451,793.00


                                                                        44 of 82





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

--------------------------------------------------------------------------------------------------------------------------
                                                                                          
CATO CORP NEW          CL A        14920510           4,215,685.00      222,112      222,112
WET SEAL INC           CL A        96184010           4,206,930.00      420,693      420,693
WALTER INDS INC        COM         93317Q10           4,200,791.00      342,084      340,184       1,900
VEECO INSTRS INC DEL   COM         92241710           4,199,936.00      388,883      385,198       3,685
PHOTON DYNAMICS INC    COM         71936410           4,199,816.00      225,433      223,848       1,485          100
PRE PAID LEGAL SVCS    COM         74006510           4,195,614.00      211,047      211,047
HANGER ORTHOPEDIC GR   COM NEW     41043F20           4,194,340.00      263,795      263,795
BARNES GROUP INC       COM         06780610           4,184,927.00      208,309      207,809         500
SPARTECH CORP          COM NEW     84722020           4,179,967.00      197,541      197,541
CSK AUTO CORP          COM         12596510           4,179,739.00      334,915      334,835          80
KNIGHT TRADING GROUP   COM         49906310           4,177,275.00    1,113,940    1,109,340       4,500          100
CABLE DESIGN TECHNOL   COM         12692410           4,174,445.00      682,099      681,999         100
HEADWATERS INC         COM         42210P10           4,173,363.00      301,980      301,980
ENTRAVISION COMMUNIC   CL A        29382R10           4,170,119.00      314,726      314,726
HARDINGE INC           COM         41232430           4,168,627.00      547,064      547,064
FRANKLIN ELEC INC      COM         35351410           4,163,251.00       97,386       97,386
GLACIER BANCORP INC    COM         37637Q10           4,161,928.00      182,701      182,701
INAMED CORP            COM         45323510           4,149,614.00      180,418      180,398          20
LIGAND PHARMACEUTICA   CL B        53220K20           4,140,683.00      608,924      608,874          50
CT COMMUNICATIONS IN   COM NEW     12642640           4,139,982.00      285,516      285,476          40
ODYSSEY HEALTHCARE I   COM         67611V10           4,130,524.00      137,914      137,914
CALIFORNIA PIZZA KIT   COM         13054D10           4,112,117.00      178,710      178,610                      100
FREMONT GEN CORP       COM         35728810           4,110,967.00      838,973      838,973
ROCK-TENN CO           CL A        77273920           4,107,055.00      266,346      210,114      56,232
FIRST FINL CORP IND    COM         32021810           4,106,670.00       84,761       84,761
BALLY TOTAL FITNESS    COM         05873K10           4,102,561.00      413,982      413,922          60
PORT FINL CORP         COM         73411910           4,101,905.00      102,522      102,022                      500
BOK FINL CORP          COM NEW     05561Q20           4,100,427.00      126,167      125,987         180
GENESCO INC            COM         37153210           4,099,731.00      297,082      297,082
LEGATO SYS INC         COM         52465110           4,089,156.00    1,482,653    1,476,953       5,600          100
JOY GLOBAL INC         COM         48116510           4,072,336.00      490,643      490,643
RAIT INVT TR           COM         74922710           4,062,711.00      197,219      197,219
BROWN SHOE INC NEW     COM         11573610           4,061,169.00      226,881      226,721          60          100
MID-ATLANTIC RLTY TR   SH BEN INT  59523210           4,057,144.00      253,097      253,097
STEPAN CO              COM         85858610           4,042,079.00      150,543      150,543
MAGNUM HUNTER RES IN   COM PAR $0  55972F20           4,027,296.00      767,104      671,619      95,485
DIVERSA CORP           COM         25506410           4,025,818.00      471,960      471,953           7
UNITED SURGICAL PART   COM         91301630           4,022,708.00      182,023      182,023
PEOPLES HLDG CO        COM         71114810           4,015,505.00       98,540       98,540
ZENITH NATL INS CORP   COM         98939010           4,013,330.00      151,905      151,905
Page Total                                          165,038,241.00


                                   Voting Authority
     Name of                Sole         Shared        None
     Issuer

-------------------------------------------------------------
                                             
CATO CORP NEW              192,412                    29,700
WET SEAL INC               366,418                    54,275
WALTER INDS INC            293,434                    48,650
VEECO INSTRS INC DEL       337,984                    50,899
PHOTON DYNAMICS INC        193,383          100       31,950
PRE PAID LEGAL SVCS        177,897                    33,150
HANGER ORTHOPEDIC GR       224,345                    39,450
BARNES GROUP INC           182,959                    25,350
SPARTECH CORP              163,941                    33,600
CSK AUTO CORP              288,915                    46,000
KNIGHT TRADING GROUP       916,441          100      197,399
CABLE DESIGN TECHNOL       604,349                    77,750
HEADWATERS INC             253,630                    48,350
ENTRAVISION COMMUNIC       289,090          900       24,736
HARDINGE INC                 7,700      539,364
FRANKLIN ELEC INC           82,636                    14,750
GLACIER BANCORP INC        158,501                    24,200
INAMED CORP                148,918                    31,500
LIGAND PHARMACEUTICA       503,974                   104,950
CT COMMUNICATIONS IN       253,216                    32,300
ODYSSEY HEALTHCARE I       117,064                    20,850
CALIFORNIA PIZZA KIT       145,060          100       33,550
FREMONT GEN CORP           734,623                   104,350
ROCK-TENN CO               240,946                    25,400
FIRST FINL CORP IND         68,161                    16,600
BALLY TOTAL FITNESS        357,782                    56,200
PORT FINL CORP              84,322          500       17,700
BOK FINL CORP              116,759                     9,408
GENESCO INC                249,382                    47,700
LEGATO SYS INC           1,287,612          100      194,941
JOY GLOBAL INC             413,793                    76,850
RAIT INVT TR               168,069                    29,150
BROWN SHOE INC NEW         192,781          100       34,000
MID-ATLANTIC RLTY TR       204,531                    48,566
STEPAN CO                  137,343                    13,200
MAGNUM HUNTER RES IN       670,305                    96,799
DIVERSA CORP               417,260                    54,700
UNITED SURGICAL PART       155,373                    26,650
PEOPLES HLDG CO             90,240                     8,300
ZENITH NATL INS CORP       118,936                    32,969
Page Total


                                                                        45 of 82





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

----------------------------------------------------------------------------------------------------------------------------
                                                                                          
SOUTHWESTERN ENERGY    COM         84546710           4,004,976.00      333,748      333,748
MINE SAFETY APPLIANC   COM         60272010           3,990,325.00      101,820      101,820
TANOX INC              COM         87588Q10           3,987,732.00      379,784      377,684       2,100
FORRESTER RESH INC     COM         34656310           3,983,442.00      266,095      266,095
IMPATH INC             COM         45255G10           3,977,274.00      308,077      308,067          10
UMPQUA HLDGS CORP      COM         90421410           3,975,731.00      241,980      241,980
SUPERIOR ENERGY SVCS   COM         86815710           3,975,666.00      611,641      610,671         450          520
GREIF BROS CORP        CL A        39762410           3,974,414.00      162,221      162,221
O CHARLEYS INC         COM         67082310           3,956,937.00      211,138      211,138
TOPPS INC              COM         89078610           3,955,123.00      458,831      458,731         100
BOSTON COMMUNICATION   COM         10058210           3,946,182.00      382,382      381,382                    1,000
REMINGTON OIL & GAS    COM         75959430           3,938,313.00      279,313      279,313
MISSISSIPPI VY BANCS   COM         60572010           3,920,036.00       78,684       78,684
TETRA TECHNOLOGIES I   COM         88162F10           3,912,384.00      194,163      194,163
BRIGHT HORIZON FAMIL   COM         10919510           3,906,708.00      139,875      136,355       3,520
SCHWEITZER-MAUDUIT I   COM         80854110           3,902,715.00      182,797      182,797
ALLOS THERAPEUTICS I   COM         01977710           3,899,858.00      459,889      459,889
NAUTICA ENTERPRISES    COM         63908910           3,898,180.00      374,825      374,725         100
TENNANT CO             COM         88034510           3,897,366.00      120,475      120,475
KAMAN CORP             CL A        48354810           3,892,658.00      317,768      317,748          20
MARTEK BIOSCIENCES C   COM         57290110           3,880,880.00      236,928      236,928
ADAPTEC INC            COM         00651F10           3,879,291.00      879,658      871,518       7,880          260
FIRST REP BK SAN FRA   COM         33615810           3,877,568.00      178,279      178,219                       60
THERASENSE INC         COM         88338110           3,875,421.00      277,609      277,609
GABELLI ASSET MGMT I   CL A        36239Y10           3,874,217.00      130,665      130,665
SILICON STORAGE TECH   COM         82705710           3,872,765.00      990,477      989,347       1,130
F&M BANCORP MD         COM         30236710           3,863,637.00      122,267      122,267
ASTRAZENECA PLC        SPONSORED   04635310           3,862,733.00      126,357       99,473      26,884
BUCKLE INC             COM         11844010           3,860,647.00      192,072      192,072
FARMER BROS CO         COM         30767510           3,860,048.00       11,877       11,777         100
HEIDRICK & STRUGGLES   COM         42281910           3,858,153.00      253,993      252,993       1,000
AVID TECHNOLOGY INC    COM         05367P10           3,858,081.00      374,571      374,471                      100
EQUITY INNS INC        COM         29470310           3,854,881.00      621,755      621,755
COMMUNITY TR BANCORP   COM         20414910           3,845,166.00      142,943      142,943
KOPIN CORP             COM         50060010           3,845,149.00    1,104,928      947,638       6,090      151,200
UNIVERSAL FST PRODS    COM         91354310           3,838,828.00      203,976      203,716         260
SCANSOURCE INC         COM         80603710           3,834,144.00       66,049       66,049
EPIQ SYS INC           COM         26882D10           3,832,114.00      216,994      216,994
UNITED ONLINE INC      COM         91126810           3,825,566.00      398,912      398,912
HOTELS COM             COM         44147T10           3,818,284.00       75,490       75,470          20
Page Total                                          156,013,593.00


                                     Voting Authority
     Name of                 Sole         Shared        None
     Issuer

--------------------------------------------------------------
                                             
SOUTHWESTERN ENERGY         288,098                    45,650
MINE SAFETY APPLIANC         85,720                    16,100
TANOX INC                   332,022                    47,762
FORRESTER RESH INC          228,545                    37,550
IMPATH INC                  272,227                    35,850
UMPQUA HLDGS CORP           198,230                    43,750
SUPERIOR ENERGY SVCS        508,821          520      102,300
GREIF BROS CORP             137,971                    24,250
O CHARLEYS INC              179,165                    31,973
TOPPS INC                   389,631                    69,200
BOSTON COMMUNICATION        347,132        1,000       34,250
REMINGTON OIL & GAS         240,111                    39,202
MISSISSIPPI VY BANCS         62,557                    16,127
TETRA TECHNOLOGIES I        162,863                    31,300
BRIGHT HORIZON FAMIL        108,525                    31,350
SCHWEITZER-MAUDUIT I        182,797
ALLOS THERAPEUTICS I        398,339                    61,550
NAUTICA ENTERPRISES         312,965                    61,860
TENNANT CO                   90,935                    29,540
KAMAN CORP                  263,871                    53,897
MARTEK BIOSCIENCES C        198,428                    38,500
ADAPTEC INC                 784,855        2,760       92,043
FIRST REP BK SAN FRA        164,869           60       13,350
THERASENSE INC              226,309                    51,300
GABELLI ASSET MGMT I        113,165                    17,500
SILICON STORAGE TECH        830,487                   159,990
F&M BANCORP MD              104,017                    18,250
ASTRAZENECA PLC             124,325                     2,032
BUCKLE INC                  178,273                    13,799
FARMER BROS CO                9,977                     1,900
HEIDRICK & STRUGGLES        208,273                    45,720
AVID TECHNOLOGY INC         317,271          100       57,200
EQUITY INNS INC             549,102                    72,653
COMMUNITY TR BANCORP        120,143                    22,800
KOPIN CORP                  801,528      151,200      152,200
UNIVERSAL FST PRODS         179,126                    24,850
SCANSOURCE INC               53,299                    12,750
EPIQ SYS INC                192,294                    24,700
UNITED ONLINE INC           357,602                    41,310
HOTELS COM                   66,870          300        8,320
Page Total


                                                                        46 of 82





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

--------------------------------------------------------------------------------------------------------------------
                                                                                        
UNIFIRST CORP MASS     COM         90470810           3,816,640.00      160,094      160,094
R O C TAIWAN FD        SH BEN INT  74965110           3,809,400.00    1,088,400    1,088,400
ELECTRONICS BOUTIQUE   COM         28604510           3,796,252.00      138,297      138,297
WEST PHARMACEUTICAL    COM         95530610           3,793,160.00      177,085      177,065          20
POLYMEDICA CORP        COM         73173810           3,790,028.00      143,453      143,253         200
MERITAGE CORP          COM         59001A10           3,786,485.00      106,812      106,812
K-SWISS INC            CL A        48268610           3,786,037.00      177,166      177,166
GUITAR CTR MGMT INC    COM         40204010           3,760,619.00      200,246      200,146         100
INTEGRA LIFESCIENCES   COM NEW     45798520           3,722,995.00      234,298      234,298
ORIENTAL FINL GROUP    COM         68618W10           3,721,806.00      169,173      169,173
ASML HLDG NV           N Y SHS     N0705911           3,719,385.00      600,870       68,094     532,776
WRIGHT MED GROUP INC   COM         98235T10           3,716,178.00      195,280      195,090                      190
HAVERTY FURNITURE IN   COM         41959610           3,712,475.00      296,998      296,998
OMEGA FINL CORP        COM         68209210           3,711,858.00      109,981      109,981
PER-SE TECHNOLOGIES    COM NEW     71356930           3,709,870.00      375,493      375,493
INHALE THERAPEUTIC S   COM         45719110           3,708,310.00      737,532      732,832       4,500          200
GLATFELTER             COM         37731610           3,704,188.00      320,709      320,569         140
GOLD BANC CORP INC     COM         37990710           3,697,484.00      381,184      377,884       3,300
RIGHT MGMT CONSULTAN   COM         76657310           3,689,347.00      149,730      149,730
AMERICA MOVIL S A DE   SPON ADR L  02364W10           3,688,048.00      305,302      305,302
TRANSACTION SYS ARCH   CL A        89341610           3,687,865.00      594,817      594,637          80          100
ADVANCED NEUROMODULA   COM         00757T10           3,683,130.00      110,671      110,671
APOLLO GROUP INC       COM UNV PH  03760420           3,671,980.00      114,214      113,981         233
RIGGS NATL CORP WASH   COM         76657010           3,666,228.00      256,559      256,239         200          120
KADANT INC             COM         48282T10           3,655,908.00      270,808      270,222         459          127
MIDWEST BANC HOLDING   COM         59825110           3,653,425.00      191,379      191,379
TAIWAN FD INC          COM         87403610           3,653,129.00      458,360      458,360
MARCUS CORP            COM         56633010           3,647,616.00      278,444      278,444
RENAISSANCE LEARNING   COM         75968L10           3,641,596.00      256,270      256,270
ADVANCED DIGITAL INF   COM         00752510           3,638,054.00      757,928      754,308       3,520          100
STILLWATER MNG CO      COM         86074Q10           3,633,198.00      605,533      603,993       1,440          100
ATRIX LABS INC         COM         04962L10           3,630,617.00      245,312      245,312
GORMAN RUPP CO         COM         38308210           3,630,256.00      155,805      155,805
ON ASSIGNMENT INC      COM         68215910           3,614,370.00      437,046      399,356      24,355       13,335
NATURES SUNSHINE PRO   COM         63902710           3,607,104.00      333,066      333,066
SAXON CAPITAL INC      COM         80556P30           3,605,919.00      325,738      325,738
HYDRIL CO              COM         44877410           3,593,791.00      144,445      144,445
OLD SECOND BANCORP I   COM         68027710           3,582,505.00       93,832       93,832
BOCA RESORTS INC       CL A        09688T10           3,582,454.00      351,221      351,181          40
OAKLEY INC             COM         67366210           3,577,418.00      355,962      355,762         200
Page Total                                          147,497,128.00


                                Voting Authority
     Name of            Sole         Shared        None
     Issuer

---------------------------------------------------------
                                       
UNIFIRST CORP MASS      132,794                    27,300
R O C TAIWAN FD                                 1,088,400
ELECTRONICS BOUTIQUE    113,497                    24,800
WEST PHARMACEUTICAL     136,507                    40,578
POLYMEDICA CORP         121,253                    22,200
MERITAGE CORP            88,612                    18,200
K-SWISS INC             154,466                    22,700
GUITAR CTR MGMT INC     163,446                    36,800
INTEGRA LIFESCIENCES    192,948                    41,350
ORIENTAL FINL GROUP     126,203                    42,970
ASML HLDG NV            589,875                    10,995
WRIGHT MED GROUP INC    164,590          190       30,500
HAVERTY FURNITURE IN    277,748                    19,250
OMEGA FINL CORP          82,231                    27,750
PER-SE TECHNOLOGIES     315,793                    59,700
INHALE THERAPEUTIC S    622,332          200      115,000
GLATFELTER              301,910                    18,799
GOLD BANC CORP INC      326,681                    54,503
RIGHT MGMT CONSULTAN    131,380                    18,350
AMERICA MOVIL S A DE    143,890      137,321       24,091
TRANSACTION SYS ARCH    509,067          100       85,650
ADVANCED NEUROMODULA     90,771                    19,900
APOLLO GROUP INC        101,881          300       12,033
RIGGS NATL CORP WASH    217,789          120       38,650
KADANT INC              222,881          166       47,761
MIDWEST BANC HOLDING    178,987                    12,392
TAIWAN FD INC                                     458,360
MARCUS CORP             233,609                    44,835
RENAISSANCE LEARNING    233,720                    22,550
ADVANCED DIGITAL INF    625,508          100      132,320
STILLWATER MNG CO       524,333          100       81,100
ATRIX LABS INC          200,662                    44,650
GORMAN RUPP CO          133,155                    22,650
ON ASSIGNMENT INC       370,861       13,335       52,850
NATURES SUNSHINE PRO    303,366                    29,700
SAXON CAPITAL INC       270,388                    55,350
HYDRIL CO               116,945                    27,500
OLD SECOND BANCORP I     77,032                    16,800
BOCA RESORTS INC        307,921                    43,300
OAKLEY INC              299,762                    56,200
Page Total


                                                                        47 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                         
JAKKS PAC INC          COM         47012E10           3,576,682.00      321,673      321,673
TOMPKINSTRUSTCO INC    COM         89011010           3,575,028.00       83,334       83,334
SILGAN HOLDINGS INC    COM         82704810           3,574,794.00      125,696      125,696
GREAT LAKES REIT INC   COM         39075210           3,573,610.00      204,557      204,557
K V PHARMACEUTICAL C   CL A        48274020           3,572,137.00      189,002      189,002
LOCAL FINL CORP        COM         53955310           3,564,250.00      258,092      258,092
JDA SOFTWARE GROUP I   COM         46612K10           3,560,845.00      509,420      509,420
INFORMATION HLDGS IN   COM         45672710           3,558,112.00      164,347      162,597       1,500          250
WIND RIVER SYSTEMS I   COM         97314910           3,556,341.00    1,104,454    1,098,754       5,600          100
MICROSEMI CORP         COM         59513710           3,553,822.00      633,480      633,480
ARTHROCARE CORP        COM         04313610           3,545,281.00      292,515      292,515
MEDIACOM COMMUNICATI   CL A        58446K10           3,542,615.00      659,705      659,505         200
DENDRITE INTL INC      COM         24823910           3,541,632.00      561,273      561,213          60
BUILDING MATLS HLDG    COM         12011310           3,538,220.00      302,412      302,412
GLOBAL INDS LTD        COM         37933610           3,532,174.00      855,248      850,723       4,525
HELIX TECHNOLOGY COR   COM         42331910           3,523,157.00      365,094      356,054       8,440          600
CUBIC CORP             COM         22966910           3,522,944.00      207,232      206,332         900
ISLE OF CAPRI CASINO   COM         46459210           3,522,115.00      211,158      211,078          80
NACCO INDS INC         CL A        62957910           3,519,792.00       88,437       73,888      14,549
SIMMONS 1ST NATL COR   CL A $5 PA  82873020           3,516,075.00       94,569       94,569
URS CORP NEW           COM         90323610           3,513,370.00      212,032      212,032
LINDSAY MFG CO         COM         53555510           3,512,865.00      144,980      144,540                      440
AFC ENTERPRISES INC    COM         00104Q10           3,512,232.00      173,959      173,959
ENDESA S A             SPONSORED   29258N10           3,509,042.00      384,342      144,634     239,708
INVESTORS REAL ESTAT   SH BEN INT  46173010           3,504,474.00      330,923      323,223       7,700
GLOBESPANVIRATA INC    COM         37957V10           3,503,337.00    1,484,465    1,484,201         264
WESTCORP INC           COM         95790710           3,500,260.00      175,013      175,013
QUAKER CHEM CORP       COM         74731610           3,498,774.00      181,849      181,309                      540
ENDO PHARMACEUTICALS   COM         29264F20           3,493,930.00      409,605      409,605
NEW ENGLAND BUSINESS   COM         64387210           3,487,381.00      164,888      160,368                    4,520
HECLA MNG CO           COM         42270410           3,476,826.00      973,901      973,901
INNKEEPERS USA TR      COM         4576J010           3,471,223.00      434,446      434,446
ISHARES TR             S&P 500 IN  46428720           3,470,498.00       42,380       42,380
INTEGRA BK CORP        COM         45814P10           3,468,255.00      192,467      192,467
MATRIXONE INC          COM         57685P30           3,455,477.00      796,193      575,748     220,327          118
MCG CAPITAL CORP       COM         58047P10           3,452,632.00      261,960      261,960
ACTEL CORP             COM         00493410           3,450,969.00      331,824      331,804          20
SWIFT ENERGY CO        COM         87073810           3,448,858.00      331,621      331,621
SAGA COMMUNICATIONS    CL A        78659810           3,448,122.00      186,385      186,385
COMPANHIA VALE DO RI   SPONSORED   20441220           3,444,645.00      151,413      151,413
Page Total                                          140,592,796.00


                                 Voting Authority
     Name of             Sole         Shared        None
     Issuer

----------------------------------------------------------
                                         
JAKKS PAC INC            268,723                    52,950
TOMPKINSTRUSTCO INC       72,234                    11,100
SILGAN HOLDINGS INC      105,146                    20,550
GREAT LAKES REIT INC     173,159                    31,398
K V PHARMACEUTICAL C     161,852                    27,150
LOCAL FINL CORP          220,742                    37,350
JDA SOFTWARE GROUP I     452,920                    56,500
INFORMATION HLDGS IN     138,947          250       25,150
WIND RIVER SYSTEMS I     956,854          100      147,500
MICROSEMI CORP           561,980                    71,500
ARTHROCARE CORP          240,633                    51,882
MEDIACOM COMMUNICATI     569,855                    89,850
DENDRITE INTL INC        481,673                    79,600
BUILDING MATLS HLDG      277,962                    24,450
GLOBAL INDS LTD          711,148                   144,100
HELIX TECHNOLOGY COR     317,794          600       46,700
CUBIC CORP               174,332                    32,900
ISLE OF CAPRI CASINO     171,408                    39,750
NACCO INDS INC            72,097                    16,340
SIMMONS 1ST NATL COR      77,069                    17,500
URS CORP NEW             184,582                    27,450
LINDSAY MFG CO           116,440          440       28,100
AFC ENTERPRISES INC      145,659                    28,300
ENDESA S A               379,462                     4,880
INVESTORS REAL ESTAT     277,473                    53,450
GLOBESPANVIRATA INC    1,232,299                   252,166
WESTCORP INC             146,431                    28,582
QUAKER CHEM CORP         160,509          540       20,800
ENDO PHARMACEUTICALS     367,755                    41,850
NEW ENGLAND BUSINESS     132,018        4,520       28,350
HECLA MNG CO             803,801                   170,100
INNKEEPERS USA TR        373,887                    60,559
ISHARES TR                42,380
INTEGRA BK CORP          162,357                    30,110
MATRIXONE INC            706,675          118       89,400
MCG CAPITAL CORP         216,560                    45,400
ACTEL CORP               282,874                    48,950
SWIFT ENERGY CO          283,171                    48,450
SAGA COMMUNICATIONS      152,460                    33,925
COMPANHIA VALE DO RI     145,200                     6,213
Page Total


                                                                        48 of 82





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

----------------------------------------------------------------------------------------------------------------------
                                                                                         
SONIC AUTOMOTIVE INC   CL A        83545G10           3,443,658.00      194,557      194,497          60
MTS SYS CORP           COM         55377710           3,438,260.00      363,107      363,107
TRC COS INC            COM         87262510           3,436,791.00      200,396      200,396
ANGELICA CORP          COM         03466310           3,435,649.00      159,872      159,292                      580
FLEETWOOD ENTERPRISE   COM         33909910           3,432,776.00      509,314      509,314
UNIVERSAL COMPRESSIO   COM         91343110           3,431,710.00      211,834      211,334         500
PRACTICEWORKS INC      COM         73941910           3,430,607.00      198,301      198,301
TRIAD GTY INC          COM         89592510           3,423,920.00       98,332       98,332
TRAMMELL CROW CO       COM         89288R10           3,414,379.00      346,286      346,206          80
COMSTOCK RES INC       COM NEW     20576820           3,411,442.00      494,412      494,312         100
TULARIK INC            COM         89916510           3,410,293.00      497,853      497,773                       80
UNITED FIRE & CAS CO   COM         91033110           3,404,796.00      100,200       92,263       7,937
POWERWAVE TECHNOLOGI   COM         73936310           3,399,115.00    1,002,689    1,002,059          30          600
UNITED CMNTY FINL CO   COM         90983910           3,399,037.00      384,072      384,072
PEGASUS SOLUTIONS IN   COM         70590610           3,392,500.00      321,564      321,524          40
GETTY RLTY CORP NEW    COM         37429710           3,392,233.00      177,790      177,790
IMMUCOR INC            COM         45252610           3,390,773.00      208,663      208,063         600
LIN TV CORP            CL A        53277410           3,390,675.00      136,997      122,713      14,284
STURM RUGER & CO INC   COM         86415910           3,389,099.00      277,795      277,775          20
ULTRATECH STEPPER IN   COM         90403410           3,383,326.00      418,211      418,171          40
WEBEX INC              COM         94767L10           3,378,014.00      301,878      301,878
INTERACTIVE DATA COR   COM         45840J10           3,374,948.00      275,506      275,506
MYERS INDS INC         COM         62846410           3,372,913.00      269,187      269,187
SCIENTIFIC GAMES COR   CL A        80874P10           3,370,723.00      503,018      503,018
LTX CORP               COM         50239210           3,368,923.00      738,799      710,214         300       28,285
NORTH PITTSBURGH SYS   COM         66156210           3,367,491.00      252,625      252,565          60
ENDOCARE INC           COM         29264P10           3,362,077.00      234,946      234,846                      100
SEACOAST BKG CORP FL   COM         81170730           3,352,836.00      174,809      174,809
NEWPARK RES INC        COM PAR $.  65171850           3,351,070.00      846,230      842,380       3,850
SERENA SOFTWARE INC    COM         81749210           3,343,440.00      278,620      278,610          10
STANDARD MICROSYSTEM   COM         85362610           3,342,229.00      218,718      218,718
LABOR READY INC        COM NEW     50540120           3,335,348.00      527,745      527,745
STANDEX INTL CORP      COM         85423110           3,330,077.00      164,205      161,685                    2,520
ALLIANCE CAP MGMT HL   UNIT LTD P  01855A10           3,329,346.00      120,063      117,488         300        2,275
PENN VA CORP           COM         70788210           3,322,944.00      102,560      102,560
CONNETICS CORP         COM         20819210           3,320,851.00      359,011      359,011
VALUEVISION MEDIA IN   CL A        92047K10           3,320,353.00      282,343      281,963         380
FIDELITY BANKSHARES    COM         31604Q10           3,312,269.00      185,043      185,043
GENTA INC              COM NEW     37245M20           3,312,071.00      515,899      514,899       1,000
A C MOORE ARTS & CRA   COM         00086T10           3,307,943.00      156,552      156,552
Page Total                                          135,126,905.00


                                 Voting Authority
     Name of             Sole         Shared        None
     Issuer

-----------------------------------------------------------
                                         
SONIC AUTOMOTIVE INC     178,057          100       16,400
MTS SYS CORP             321,699                    41,408
TRC COS INC              190,046                    10,350
ANGELICA CORP            127,842          580       31,450
FLEETWOOD ENTERPRISE     429,164                    80,150
UNIVERSAL COMPRESSIO     167,184                    44,650
PRACTICEWORKS INC        169,301                    29,000
TRIAD GTY INC             82,432                    15,900
TRAMMELL CROW CO         298,386                    47,900
COMSTOCK RES INC         447,662                    46,750
TULARIK INC              414,848           80       82,925
UNITED FIRE & CAS CO      85,000                    15,200
POWERWAVE TECHNOLOGI     869,669          600      132,420
UNITED CMNTY FINL CO     317,172                    66,900
PEGASUS SOLUTIONS IN     270,314                    51,250
GETTY RLTY CORP NEW      153,640                    24,150
IMMUCOR INC              195,763                    12,900
LIN TV CORP              126,297          100       10,600
STURM RUGER & CO INC     237,195                    40,600
ULTRATECH STEPPER IN     356,161                    62,050
WEBEX INC                246,678                    55,200
INTERACTIVE DATA COR     251,606          100       23,800
MYERS INDS INC           239,355                    29,832
SCIENTIFIC GAMES COR     425,018                    78,000
LTX CORP                 609,664       28,285      100,850
NORTH PITTSBURGH SYS     220,876                    31,749
ENDOCARE INC             191,696          100       43,150
SEACOAST BKG CORP FL     156,609                    18,200
NEWPARK RES INC          714,610                   131,620
SERENA SOFTWARE INC      244,970                    33,650
STANDARD MICROSYSTEM     184,818                    33,900
LABOR READY INC          456,405                    71,340
STANDEX INTL CORP        134,485        2,520       27,200
ALLIANCE CAP MGMT HL     117,288        2,275          500
PENN VA CORP              79,063                    23,497
CONNETICS CORP           299,611                    59,400
VALUEVISION MEDIA IN     228,743                    53,600
FIDELITY BANKSHARES      159,443                    25,600
GENTA INC                428,349                    87,550
A C MOORE ARTS & CRA     123,852                    32,700
Page Total


                                                                        49 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                         
CENTEX CONSTRUCTION    COM         15231R10           3,307,854.00       92,657       92,457         200
UNIVERSAL HEALTH RLT   SH BEN INT  91359E10           3,304,576.00      127,344      127,344
MEDICINES CO           COM         58468810           3,298,691.00      300,482      299,732         750
PATHMARK STORES INC    COM         70322A10           3,289,342.00      359,491      359,491
AMERICAN WOODMARK CO   COM         03050610           3,288,662.00       64,814       64,703          11          100
KEY PRODTN INC         COM         49313810           3,287,158.00      202,911      202,911
CIRCUIT CITY STORE I   CARMAX GRO  17273730           3,281,839.00      204,476      204,476
CCBT FINL COS INC      COM         12500Q10           3,270,386.00      124,967      105,928      11,039        8,000
IMMUNOMEDICS INC       COM         45290710           3,266,238.00      544,373      544,373
TIER TECHNOLOGIES IN   CL B        88650Q10           3,264,324.00      172,533      172,533
COHU INC               COM         19257610           3,262,705.00      288,735      284,615       4,120
CONCEPTUS INC          COM         20601610           3,261,623.00      213,178      213,178
STONERIDGE INC         COM         86183P10           3,252,899.00      191,347      191,247         100
VECTOR GROUP LTD       COM         92240M10           3,248,005.00      257,983      241,443      16,540
RTI INTL METALS INC    COM         74973W10           3,244,279.00      308,979      307,739         720          520
ARCTIC CAT INC         COM         03967010           3,238,412.00      231,978      231,958          20
MTR GAMING GROUP INC   COM         55376910           3,217,716.00      349,372      349,372
LASALLE HOTEL PPTYS    COM SH BEN  51794210           3,216,237.00      257,299      257,219          80
UNITED THERAPEUTICS    COM         91307C10           3,211,352.00      195,219      195,219
SKECHERS U S A INC     CL A        83056610           3,210,305.00      336,510      336,510
CORIXA CORP            COM         21887F10           3,209,708.00      507,063      506,943          20          100
J & J SNACK FOODS CO   COM         46603210           3,206,613.00       87,018       87,018
SELECT MEDICAL CORP    COM         81619610           3,206,417.00      224,225      224,225
FIRST CMNTY BANCORP    COM         31983B10           3,203,455.00      110,693      110,693
SIX FLAGS INC          COM         83001P10           3,203,006.00      909,945      909,255         390          300
AMERICAN TOWER CORP    CL A        02991220           3,199,192.00    2,012,071    1,966,451      36,800        8,820
EON LABS INC           COM         29412E10           3,195,415.00      148,073      148,073
SYMYX TECHNOLOGIES     COM         87155S10           3,195,192.00      305,176      305,136          40
WASHINGTON TR BANCOR   COM         94061010           3,188,839.00      161,542      161,542
4 KIDS ENTMT INC       COM         35086510           3,187,271.00      134,314      134,294          20
METRO ONE TELECOMMUN   COM         59163F10           3,182,281.00      374,386      373,786         600
ROYAL GOLD INC         COM         78028710           3,182,172.00      166,868      166,368         500
U S RESTAURANT PPTYS   COM         90297110           3,175,085.00      222,813      222,813
ZOLL MED CORP          COM         98992210           3,157,587.00      103,868      103,868
RAILAMERICA INC        COM         75075310           3,157,375.00      435,500      435,500
7-ELEVEN INC           COM NEW     81782620           3,150,623.00      367,634      367,634
COACHMEN INDS INC      COM         18987310           3,147,657.00      209,704      209,704
BANK OF GRANITE CORP   COM         06240110           3,146,832.00      174,824      174,824
NATIONAL WESTN LIFE    CL A        63852210           3,141,192.00       30,796       30,796
ESPEED INC             CL A        29664310           3,140,334.00      309,088      308,788                      300
Page Total                                          128,798,849.00


                               Voting Authority
     Name of             Sole         Shared        None
     Issuer

----------------------------------------------------------
                                           
CENTEX CONSTRUCTION       77,657                    15,000
UNIVERSAL HEALTH RLT     108,694                    18,650
MEDICINES CO             257,032                    43,450
PATHMARK STORES INC      308,641                    50,850
AMERICAN WOODMARK CO      50,564          100       14,150
KEY PRODTN INC           160,211                    42,700
CIRCUIT CITY STORE I     181,076                    23,400
CCBT FINL COS INC         93,167        8,000       23,800
IMMUNOMEDICS INC         447,823                    96,550
TIER TECHNOLOGIES IN     145,683                    26,850
COHU INC                 242,685                    46,050
CONCEPTUS INC            162,861                    50,317
STONERIDGE INC           170,497                    20,850
VECTOR GROUP LTD         256,828                     1,155
RTI INTL METALS INC      258,559          520       49,900
ARCTIC CAT INC           189,579                    42,399
MTR GAMING GROUP INC     313,322                    36,050
LASALLE HOTEL PPTYS      205,840                    51,459
UNITED THERAPEUTICS      160,057                    35,162
SKECHERS U S A INC       301,360                    35,150
CORIXA CORP              427,081          100       79,882
J & J SNACK FOODS CO      75,718                    11,300
SELECT MEDICAL CORP      193,225                    31,000
FIRST CMNTY BANCORP       97,993                    12,700
SIX FLAGS INC            851,545        2,300       56,100
AMERICAN TOWER CORP    1,692,301        9,620      310,150
EON LABS INC             129,073                    19,000
SYMYX TECHNOLOGIES       254,576                    50,600
WASHINGTON TR BANCOR     128,642                    32,900
4 KIDS ENTMT INC         109,614                    24,700
METRO ONE TELECOMMUN     330,686                    43,700
ROYAL GOLD INC           138,818                    28,050
U S RESTAURANT PPTYS     191,013                    31,800
ZOLL MED CORP             85,668                    18,200
RAILAMERICA INC          376,950                    58,550
7-ELEVEN INC             301,084                    66,550
COACHMEN INDS INC        181,504                    28,200
BANK OF GRANITE CORP     138,474                    36,350
NATIONAL WESTN LIFE       27,446                     3,350
ESPEED INC               261,688          300       47,100
Page Total


                                                                        50 of 82





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

------------------------------------------------------------------------------------------------------------------------
                                                                                        
PLAYTEX PRODS INC      COM         72813P10           3,137,611.00      368,697      366,397       2,200          100
IBERIABANK CORP        COM         45082810           3,137,514.00       83,378       83,378
TELETECH HOLDINGS IN   COM         87993910           3,127,393.00      500,383      500,383
KEITHLEY INSTRS INC    COM         48758410           3,126,450.00      257,321      257,321
GARDNER DENVER INC     COM         36555810           3,125,834.00      198,971      198,896          75
UNITED AUTO GROUP IN   COM         90944010           3,125,813.00      223,113      223,053          60
VITALWORKS INC         COM         92848310           3,117,739.00      428,850      428,850
VALHI INC NEW          COM         91890510           3,115,139.00      317,224      316,984         240
BEI TECHNOLOGIES INC   COM         05538P10           3,111,537.00      282,867      282,867
BOYKIN LODGING CO      COM         10343010           3,107,086.00      322,982      322,882         100
ALCAN INC              COM         01371610           3,099,980.00      125,607      125,607
HANMI FINL CORP        COM         41049510           3,091,500.00      206,100      183,992                   22,108
BANCFIRST CORP         COM         05945F10           3,081,270.00       62,602       62,602
DIMON INC              COM         25439410           3,079,926.00      493,578      492,978         600
HIBBETT SPORTING GOO   COM         42856510           3,079,341.00      148,402      148,402
AGILE SOFTWARE CORP    COM         00846X10           3,073,447.00      479,477      476,577       2,900
PTEK HLDGS INC         COM         69366M10           3,068,377.00      658,450      563,450      95,000
DENBURY RES INC        COM NEW     24791620           3,067,760.00      301,648      301,648
FIDELITY NATIONAL SO   COM         31620P10           3,062,801.00      200,314      200,171         143
STARTEK INC            COM         85569C10           3,060,710.00      139,060      139,060
UNOVA INC              COM         91529B10           3,059,315.00      621,812      619,252       2,560
FIRST CMNTY BANCSHAR   COM         31983A10           3,055,355.00      103,712      103,712
MYKROLIS CORP          COM         62852P10           3,051,562.00      496,189      491,286       4,497          406
PRIMA ENERGY CORP      COM PAR $0  74190120           3,050,967.00      145,492      145,492
ROBBINS & MYERS INC    COM         77019610           3,047,372.00      163,398      163,398
OCEANFIRST FINL CORP   COM         67523410           3,044,577.00      147,795      147,795
SYSTEMS & COMPUTER T   COM         87187310           3,042,466.00      434,638      434,458         100           80
RAYTECH CORP DEL       COM         75510310           3,032,265.00      497,909      497,909
COSTAR GROUP INC       COM         22160N10           3,024,252.00      168,014      168,014
CENTRAL GARDEN & PET   COM         15352710           3,019,692.00      176,487      176,487
DEL MONTE FOODS CO     COM         24522P10           3,013,128.00      368,804      366,464       2,340
SILICON IMAGE INC      COM         82705T10           3,012,002.00      736,431      735,011       1,420
INDEPENDENT BANK COR   COM         45383610           2,992,615.00      150,534      147,113       3,421
GENESIS MICROCHIP IN   COM         37184C10           2,984,389.00      389,099      389,099
EXELIXIS INC           COM         30161Q10           2,972,767.00      600,559      596,859       3,600          100
MEDAREX INC            COM         58391610           2,972,203.00      887,225      884,225       2,900          100
CLARK / BARDES INC     COM         18066810           2,965,984.00      166,722      166,722
DELTIC TIMBER CORP     COM         24785010           2,961,585.00      134,740      134,740
CNA SURETY CORP        COM         12612L10           2,958,978.00      224,165      224,165
CURAGEN CORP           COM         23126R10           2,955,861.00      700,441      519,992     180,149          300
Page Total                                          122,214,563.00


                                     Voting Authority
     Name of            Sole              Shared        None
     Issuer

--------------------------------------------------------------
                                             
PLAYTEX PRODS INC       303,267               100       65,330
IBERIABANK CORP          59,728                         23,650
TELETECH HOLDINGS IN    432,383                         68,000
KEITHLEY INSTRS INC     251,421                          5,900
GARDNER DENVER INC      169,871                         29,100
UNITED AUTO GROUP IN    185,413                         37,700
VITALWORKS INC          349,900                         78,950
VALHI INC NEW           273,324                         43,900
BEI TECHNOLOGIES INC    253,167                         29,700
BOYKIN LODGING CO       267,475                         55,507
ALCAN INC               125,377                            230
HANMI FINL CORP         178,192            22,108        5,800
BANCFIRST CORP           54,445                          8,157
DIMON INC               489,578                          4,000
HIBBETT SPORTING GOO    131,077                         17,325
AGILE SOFTWARE CORP     396,887                         82,590
PTEK HLDGS INC          564,350                         94,100
DENBURY RES INC         246,048                         55,600
FIDELITY NATIONAL SO    164,241                         36,073
STARTEK INC             120,010                         19,050
UNOVA INC               545,562                         76,250
FIRST CMNTY BANCSHAR     82,112                         21,600
MYKROLIS CORP           420,422               406       75,361
PRIMA ENERGY CORP       123,892                         21,600
ROBBINS & MYERS INC     136,260                         27,138
OCEANFIRST FINL CORP    114,595                         33,200
SYSTEMS & COMPUTER T    357,758                80       76,800
RAYTECH CORP DEL        419,259                         78,650
COSTAR GROUP INC        130,914                         37,100
CENTRAL GARDEN & PET    139,087                         37,400
DEL MONTE FOODS CO      306,424                         62,380
SILICON IMAGE INC       608,331                        128,100
INDEPENDENT BANK COR    128,343                         22,191
GENESIS MICROCHIP IN    320,749                         68,350
EXELIXIS INC            477,652            39,057       83,850
MEDAREX INC             735,975               100      151,150
CLARK / BARDES INC      134,572                         32,150
DELTIC TIMBER CORP      113,190                         21,550
CNA SURETY CORP         191,065                         33,100
CURAGEN CORP            437,442           177,749       85,250
Page Total


                                                                        51 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                        
ROYAL CARIBBEAN CRUI   COM         V7780T10           2,952,921.00      185,485      179,485       6,000
ALDERWOODS GROUP INC   COM         01438310           2,941,919.00      452,603      452,603
BEVERLY ENTERPRISES    COM NEW     08785130           2,939,963.00    1,214,861    1,214,861
INTUITIVE SURGICAL I   COM         46120E10           2,937,787.00      367,683      367,493         190
SPANISH BROADCASTING   CL A        84642588           2,937,386.00      448,456      448,256         200
ALLOY INC              COM         01985510           2,935,740.00      353,278      353,278
FBL FINL GROUP INC     CL A        30239F10           2,931,723.00      158,901      158,901
CHESAPEAKE CORP        COM         16515910           2,928,449.00      196,014      195,834         100           80
CASCADE NAT GAS CORP   COM         14733910           2,925,095.00      148,482      147,782                      700
AXA                    SPONSORED   05453610           2,920,040.00      292,004      152,080     139,924
WILD OATS MARKETS IN   COM         96808B10           2,918,375.00      321,407      321,237         170
ONEIDA LTD             COM         68250510           2,910,408.00      208,931      208,931
STERLING BANCORP       COM         85915810           2,910,394.00      109,702      109,702
RANGE RES CORP         COM         75281A10           2,908,657.00      621,508      621,508
SHELL TRANS & TRADIN   ADR NY SHS  82270360           2,908,036.00       81,412       81,412
CHATTEM INC            COM         16245610           2,907,300.00       71,205       71,205
ECHELON CORP           COM         27874N10           2,904,582.00      333,860      333,190         670
INTERLAND INC          COM         45872710           2,892,603.00    1,411,026    1,410,706         320
GENESEE & WYO INC      CL A        37155910           2,891,454.00      129,953      129,953
AVENTIS                SPONSORED   05356110           2,887,097.00       54,940       36,394      18,546
VENTANA MED SYS INC    COM         92276H10           2,886,293.00      154,100      154,100
WEST COAST BANCORP O   COM         95214510           2,880,475.00      190,256      190,256
TANGER FACTORY OUTLE   COM         87546510           2,879,169.00      102,901      102,901
CHURCHILL DOWNS INC    COM         17148410           2,865,724.00       78,513       78,513
GARTNER INC            CL B        36665120           2,858,200.00      357,275      356,616         359          300
LAWSON PRODS INC       COM         52077610           2,856,175.00       97,982       97,982
CERUS CORP             COM         15708510           2,850,803.00      171,014      171,014
CIRRUS LOGIC INC       COM         17275510           2,845,726.00    1,115,971    1,114,601         200        1,170
SOLA INTL INC          COM         83409210           2,841,165.00      282,703      282,703
RETEK INC              COM         76128Q10           2,840,392.00      788,998      788,548         250          200
FIRST IND CORP         COM         32054R10           2,836,475.00      154,745      154,745
BE AEROSPACE INC       COM         07330210           2,830,205.00      594,581      590,681       3,900
BANNER CORP            COM         06652V10           2,810,769.00      139,147      139,147
K MART CORP            COM         48258410           2,810,491.00    5,735,696    5,730,676       4,660          360
FUELCELL ENERGY INC    COM         35952H10           2,809,491.00      445,951      413,451         200       32,300
INPUT/OUTPUT INC       COM         45765210           2,804,722.00      585,537      585,537
WFS FINL INC           COM         92923B10           2,804,317.00      135,213      135,213
AMCOL INTL CORP        COM         02341W10           2,803,903.00      500,697      500,697
ASYST TECHNOLOGY COR   COM         04648X10           2,801,267.00      463,786      462,966         820
BANK MUT CORP          COM         06374810           2,800,264.00      138,353      138,353
Page Total                                          115,105,955.00


                                    Voting Authority
     Name of                 Sole         Shared        None
     Issuer

---------------------------------------------------------------
                                             
ROYAL CARIBBEAN CRUI         184,285                     1,200
ALDERWOODS GROUP INC         369,953                    82,650
BEVERLY ENTERPRISES        1,029,461                   185,400
INTUITIVE SURGICAL I         300,233                    67,450
SPANISH BROADCASTING         377,856                    70,600
ALLOY INC                    301,978                    51,300
FBL FINL GROUP INC           123,451                    35,450
CHESAPEAKE CORP              168,634           80       27,300
CASCADE NAT GAS CORP         121,732          700       26,050
AXA                          278,761                    13,243
WILD OATS MARKETS IN         276,007                    45,400
ONEIDA LTD                   158,931                    50,000
STERLING BANCORP              85,962                    23,740
RANGE RES CORP               532,458                    89,050
SHELL TRANS & TRADIN          81,412
CHATTEM INC                   59,105                    12,100
ECHELON CORP                 278,210                    55,650
INTERLAND INC              1,178,196                   232,830
GENESEE & WYO INC            113,653                    16,300
AVENTIS                       53,640                     1,300
VENTANA MED SYS INC          130,450                    23,650
WEST COAST BANCORP O         166,106                    24,150
TANGER FACTORY OUTLE          92,907                     9,994
CHURCHILL DOWNS INC           63,813                    14,700
GARTNER INC                  356,975          300
LAWSON PRODS INC              71,483                    26,499
CERUS CORP                   140,514                    30,500
CIRRUS LOGIC INC             968,094        1,170      146,707
SOLA INTL INC                242,153                    40,550
RETEK INC                    681,848          200      106,950
FIRST IND CORP               124,395                    30,350
BE AEROSPACE INC             512,881                    81,700
BANNER CORP                  115,947                    23,200
K MART CORP                4,832,819          360      902,517
FUELCELL ENERGY INC          344,101       32,300       69,550
INPUT/OUTPUT INC             505,087                    80,450
WFS FINL INC                 117,613                    17,600
AMCOL INTL CORP              466,497                    34,200
ASYST TECHNOLOGY COR         391,886                    71,900
BANK MUT CORP                115,953                    22,400
Page Total


                                                                        52 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BHP BILLITON LTD      SPONSORED   08860610    2,796,612.00     286,832    126,127   160,705              277,322               9,510
PAREXEL INTL CORP     COM         69946210    2,793,542.00     328,652    328,652                        276,152              52,500
KEYSTONE PPTY TR COR  COM         49359610    2,793,290.00     167,866    167,866                        137,666              30,200
IDX SYS CORP          COM         44949110    2,788,651.00     224,710    224,710                        194,460              30,250
VITAL SIGNS INC       COM         92846910    2,778,627.00      93,525     93,425       100               80,925              12,600
INTERTRUST TECHNOLOG  COM         46113Q10    2,776,952.00     870,518    870,518                        729,693             140,825
SONOSITE INC          COM         83568G10    2,776,564.00     241,861    241,761                 100    210,311       100    31,450
PHOENIX TECHNOLOGY L  COM         71915310    2,773,502.00     382,552    382,552                        331,052              51,500
HERLEY INDS INC DEL   COM         42739810    2,762,603.00     148,767    148,767                        123,767              25,000
BRUSH ENGINEERED MAT  COM         11742110    2,756,847.00     353,442    353,442                        316,142              37,300
POPE & TALBOT INC     COM         73282710    2,748,859.00     213,919    213,479                 440    173,579       440    39,900
WEBMETHODS INC        COM         94768C10    2,742,314.00     567,767    567,767                        472,637              95,130
E PIPHANY INC         COM         26881V10    2,739,394.00     760,943    760,743       100       100    628,858       100   131,985
ALEXION PHARMACEUTIC  COM         01535110    2,732,817.00     235,791    232,891     2,900              202,941              32,850
MEMBERWORKS INC       COM         58600210    2,728,808.00     156,648    156,648                        125,098              31,550
STEELCASE INC         CL A        85815520    2,722,796.00     260,057    257,997     2,060              226,847       500    32,710
VCA ANTECH INC        COM         91819410    2,722,771.00     220,646    220,646                        189,946              30,700
RYERSON TULL INC NEW  COM         78375P10    2,718,057.00     422,715    422,715                        378,565              44,150
CONTINENTAL AIRLS IN  CL B        21079530    2,716,818.00     504,048    502,988     1,060              461,524     1,700    40,824
STANLEY FURNITURE IN  COM NEW     85430520    2,714,684.00     127,810    127,810                        120,210               7,600
WORLD FUEL SVCS CORP  COM         98147510    2,710,395.00     140,435    140,435                        111,485              28,950
UNITED INDL CORP      COM         91067110    2,706,648.00     134,325    134,325                        103,525              30,800
PLANAR SYS INC        COM         72690010    2,705,703.00     169,743    169,743                        141,293              28,450
CITY BK LYNNWOOD WAS  COM         17770A10    2,702,069.00      93,368     93,368                         79,868              13,500
CONSOL ENERGY INC     COM         20854P10    2,701,808.00     213,413    213,413                        199,913       700    12,800
COMMUNITY BKS INC MI  COM         20362810    2,700,667.00     100,621    100,621                         80,806              19,815
FIRST BUSEY CORP      COM         31938310    2,700,427.00     119,119    119,119                         93,519              25,600
JETBLUE AWYS CORP     COM         47714310    2,696,423.00      66,859     66,624       235               63,359               3,500
MEDFORD BANCORP INC   COM         58413110    2,696,147.00      77,143     74,143     3,000               65,993              11,150
1ST SOURCE CORP       COM         33690110    2,694,120.00     191,208    191,208                        170,693              20,515
CENTURY BANCORP INC   CL A NON V  15643210    2,690,120.00     101,361     47,361              54,000     38,161    54,000     9,200
ENTERASYS NETWORKS I  COM         29363710    2,687,321.00   2,067,170  2,060,090     6,960       120  1,707,753       120   359,297
XM SATELLITE RADIO H  CL A        98375910    2,685,107.00     688,489    688,389       100              551,789             136,700
DURA AUTOMOTIVE SYST  CL A        26590310    2,679,234.00     218,713    218,713                        186,713              32,000
SECOND BANCORP INC    COM         81311410    2,678,078.00     100,190    100,190                         85,840              14,350
3TEC ENERGY CORP      COM NEW     88575R30    2,675,029.00     187,065    186,965                 100    156,553       100    30,412
MAGNA ENTMT CORP      CL A        55921110    2,671,558.00     491,276    491,276                        385,676             105,600
NAVIGANT CONSULTING   COM         63935N10    2,669,681.00     483,638    482,338     1,300              399,188              84,450
FLUSHING FINL CORP    COM         34387310    2,669,233.00     160,026    160,026                        128,326              31,700
FISHER COMMUNICATION  COM         33775620    2,666,968.00      56,744     56,744                         49,744               7,000
Page Total                                  108,871,244.00


                                                                        53 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SALEM COMMUNICATIONS  CL A        79409310    2,665,894.00     118,907    118,907                         99,357              19,550
ADVANCED MARKETING S  COM         00753T10    2,648,493.00     192,059    192,059                        159,609              32,450
YOUNG BROADCASTING I  CL A        98743410    2,645,225.00     305,101    305,101                        272,901              32,200
FINANCIAL INSTNS INC  COM         31758540    2,644,545.00      97,405     97,405                         78,505              18,900
CAPSTEAD MTG CORP     COM NO PAR  14067E50    2,644,333.00     127,931    127,881                 50     107,781        50    20,100
ENNIS BUSINESS FORMS  COM         29338910    2,623,193.00     201,011    195,711   5,300                167,511              33,500
CIT GROUP INC         COM         12558110    2,621,484.00     145,800    145,800                        145,800
21ST CENTY INS GROUP  COM         90130N10    2,619,502.00     254,074    253,974     100                231,236       600    22,238
OIL STS INTL INC      COM         67802610    2,617,950.00     261,795    261,795                        214,945              46,850
CAPITAL CITY BK GROU  COM         13967410    2,614,517.00      79,084     79,084                         70,634               8,450
STATE AUTO FINL CORP  COM         85570710    2,612,119.00     172,531    172,531                        147,906              24,625
U S B HLDG INC        COM         90291010    2,610,277.00     141,632    141,632                        121,412              20,220
PEC SOLUTIONS INC     COM         70510710    2,600,123.00     116,807    116,807                         98,007              18,800
NABI BIOPHARMACEUTIC  COM         62951910    2,599,639.00     479,373    477,444   1,929                384,373              95,000
AEROPOSTALE           COM         00786510    2,590,480.00     168,213    168,213                        136,683              31,530
MSC SOFTWARE CORP     COM         55353110    2,590,003.00     303,991    303,991                        260,741              43,250
SKYLINE CORP          COM         83083010    2,586,394.00      95,123     95,123                         81,923              13,200
REED ELSEVIER N V     SPONSORED   75820410    2,583,977.00     105,814    105,814                         22,858    82,956
CAMDEN NATL CORP      COM         13303410    2,582,450.00      99,325     99,325                         77,825              21,500
URBAN OUTFITTERS INC  COM         91704710    2,582,318.00     106,312    106,312                         90,212              16,100
NATIONAL PROCESSING   COM         63722910    2,580,662.00     151,893    151,893                        147,293               4,600
MERIT MED SYS INC     COM         58988910    2,579,024.00     133,559    133,559                        115,659              17,900
NOVASTAR FINL INC     COM         66994740    2,578,649.00     118,016    117,816     200                102,066              15,950
INTERWOVEN INC        COM         46114T10    2,574,290.00   1,282,017  1,280,617   1,300        100   1,032,567       100   249,350
FARMERS CAP BK CORP   COM         30956210    2,571,959.00      77,074     77,074                         64,624              12,450
DAISYTEK INTL CORP    COM         23405310    2,569,346.00     197,642    197,602                 40     164,602        40    33,000
LOEWS CORP            CAROLNA GP  54042420    2,566,210.00     136,428    134,068   2,360                131,408               5,020
INTERFACE INC         CL A        45866510    2,558,888.00     646,184    646,184                        535,354             110,830
SJW CORP              COM         78430510    2,557,386.00      32,787     32,787                         31,387               1,400
MCGRATH RENTCORP      COM         58058910    2,554,825.00     125,421    125,421                         93,371              32,050
BUCKEYE TECHNOLOGIES  COM         11825510    2,546,275.00     346,432    345,932     500                275,382              71,050
ARENA PHARMACEUTICAL  COM         04004710    2,539,028.00     453,398    453,398                        394,948              58,450
CORVEL CORP           COM         22100610    2,537,649.00      84,673     84,673                         67,823              16,850
TEEKAY SHIPPING MARS  COM         Y8564W10    2,531,227.00      88,815     50,000  32,350      6,465      82,350     6,465
GENE LOGIC INC        COM         36868910    2,530,277.00     325,647    325,547     100                266,222              59,425
BASSETT FURNITURE IN  COM         07020310    2,526,781.00     183,499    183,499                        158,249              25,250
TROY FINL CORP        COM         89732910    2,524,909.00      96,814     96,814                         83,919              12,895
CENTENE CORP DEL      COM         15135B10    2,517,427.00      94,321     94,321                         91,221               3,100
BRYN MAWR BK CORP     COM         11766510    2,507,927.00      63,524     63,524                         57,824               5,700
DIGITAL RIV INC       COM         25388B10    2,507,184.00     326,882    326,882                        279,782              47,100
Page Total                                  103,242,839.00


                                                                        54 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CENTURY BUSINESS SVC   COM       15649010    2,501,637.00     944,014    894,014     50,000                798,664           145,350
AIRTRAN HLDGS INC      COM       00949P10    2,499,715.00     803,767    803,767                           659,097           144,670
STERLING FINL CORP W   COM       85931910    2,498,785.00     137,826    137,826                           111,326            26,500
GRANITE ST BANKSHARE   COM       38747210    2,494,952.00      73,837     59,457     12,807      1,573      64,064   1,573     8,200
AMC ENTMT INC          COM       00166910    2,491,594.00     336,702    336,702                           278,152            58,550
CKE RESTAURANTS INC    COM       12561E10    2,487,668.00     621,917    621,917                           535,417            86,500
CITIZENS INC           CL A      17474010    2,483,832.00     276,596    276,596                           234,666            41,930
PHARMACOPEIA INC       COM       71713B10    2,483,254.00     280,277    280,277                           229,227            51,050
AMERISTAR CASINOS IN   COM       03070Q10    2,480,043.00     130,804    130,804                           110,454            20,350
CELLTECH GROUP PLC     SPONSORED 15115810    2,479,189.00     262,626     25,962    236,664                258,506             4,120
MIM CORP               COM       55304410    2,475,843.00     261,994    261,994                           220,444            41,550
BEL FUSE INC           CL B      07734730    2,474,514.00     115,362    115,342         20                100,962            14,400
WSFS FINL CORP         COM       92932810    2,472,428.00      88,301     88,301                            73,401            14,900
BIO TECHNOLOGY GEN C   COM       09057810    2,471,526.00     834,975    834,592        383                721,875           113,100
RSA SEC INC            COM       74971910    2,466,045.00     733,942    733,742        200                647,392            86,550
GENTIVA HEALTH SERVI   COM       37247A10    2,458,439.00     297,272    297,272                           230,455            66,817
TREX INC               COM       89531P10    2,457,838.00      89,899     89,899                            72,499            17,400
MAXYGEN INC            COM       57777610    2,456,744.00     395,611    395,273        307         31     336,830      31    58,750
VIGNETTE CORP          COM       92673410    2,454,633.00   3,064,461  3,025,401     38,900        160   2,543,351     960   520,150
ARROW FINL CORP        COM       04274410    2,454,273.00      85,664     85,664                            77,109             8,555
UNIVERSAL ELECTRS IN   COM       91348310    2,450,778.00     273,830    273,830                           240,730            33,100
PALM HARBOR HOMES      COM       69663910    2,449,921.00     211,000    211,000                           173,950            37,050
MULTIMEDIA GAMES INC   COM       62545310    2,449,068.00     124,375    124,375                           100,975            23,400
SOUTHERN PERU COPPER   COM       84361110    2,444,506.00     178,301    178,301                           140,122            38,179
MIDWAY GAMES INC       COM       59814810    2,443,526.00     445,899    444,939        960                380,449            65,450
PROXIM CORP            CL A      74428310    2,442,686.00   1,395,821  1,395,821                         1,178,366           217,455
CASH AMER INTL INC     COM       14754D10    2,442,446.00     298,223    298,223                           246,823            51,400
ELECTRO RENT CORP      COM       28521810    2,428,905.00     250,920    250,920                           225,319            25,601
PEOPLES BANCORP INC    COM       70978910    2,419,295.00      94,136     94,136                            80,426            13,710
AVIALL INC NEW         COM       05366B10    2,418,657.00     237,356    237,356                           190,806            46,550
SWS GROUP INC          COM       78503N10    2,418,113.00     197,397    197,397                           157,748            39,649
GBC BANCORP CALIF      COM       36147510    2,414,294.00     124,320    117,820                 6,500     102,170   6,500    15,650
CHOLESTECH CORP        COM       17039310    2,412,507.00     232,643    232,643                           212,193            20,450
BIOMARIN PHARMACEUTI   COM       09061G10    2,410,342.00     416,294    416,294                           359,994            56,300
ADVANCED MEDICAL OPT   COM       00763M10    2,408,911.00     253,303    251,954      1,283         66     232,726     742    19,835
NUEVO ENERGY CO        COM       67050910    2,407,613.00     220,882    220,882                           183,032            37,850
FIRST PL FINL CORP     COM       33610T10    2,405,063.00     172,036    172,036                           128,386            43,650
LEARNING TREE INTL I   COM       52201510    2,398,333.00     163,263    163,243         20                133,913            29,350
WOODHEAD INDS INC      COM       97943810    2,396,717.00     217,488    217,488                           197,988            19,500
CALGON CARBON CORP     COM       12960310    2,395,468.00     414,441    414,441                           331,742            82,699
Page Total                                  98,000,101.00


                                                                        55 of 82





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

----------------------------------------------------------------------------------------------------------------------------
                                                                                          
PENNROCK FINL SVCS C   COM         70835210              2,394,037.00       82,553       82,553
BSB BANCORP            COM         05565210              2,389,976.00      120,039      119,919         120
GREAT SOUTHN BANCORP   COM         39090510              2,385,040.00       63,669       63,669
REALNETWORKS INC       COM         75605L10              2,377,921.00      658,704      654,164       4,440          100
CIRCOR INTL INC        COM         17273K10              2,376,905.00      177,381      177,381
FALCONSTOR SOFTWARE    COM         30613710              2,376,764.00      488,042      488,042
TBC CORP               COM         87218010              2,375,404.00      229,065      229,065
OMNOVA SOLUTIONS INC   COM         68212910              2,374,962.00      517,421      517,321         100
MOLECULAR DEVICES CO   COM         60851C10              2,373,935.00      189,763      189,763
ADVISORY BRD CO        COM         00762W10              2,373,095.00       80,118       80,118
COLE KENNETH PRODTNS   CL A        19329410              2,371,547.00      116,825      116,825
UNION BANKSHARES COR   COM         90539910              2,370,394.00       95,082       95,082
HOLOGIC INC            COM         43644010              2,366,856.00      241,516      241,516
GAMESTOP CORP          CL A        36466R10              2,355,165.00      115,167      115,167
COBALT CORP            COM         19074W10              2,349,973.00      140,717      140,717
CFS BANCORP INC        COM         12525D10              2,349,666.00      166,643      166,643
CONNECTICUT WTR SVC    COM         20779710              2,349,072.00       91,689       91,689
MICROMUSE INC          COM         59509410              2,341,178.00      929,039      923,349       5,630           60
SPORTS AUTH INC        COM         84917610              2,340,783.00      392,091      391,091       1,000
TEJON RANCH CO DEL     COM         87908010              2,330,513.00       95,552       95,552
AMERON INTL INC        COM         03071010              2,330,179.00       47,371       47,321          50
CITIZENS FIRST BANCO   COM         17461R10              2,329,199.00      129,616      129,616
NATIONAL PRESTO INDS   COM         63721510              2,326,774.00       80,567       80,467         100
LIGHTBRIDGE INC        COM         53222610              2,325,888.00      344,525      344,525
PRICELINE COM INC      COM         74150310              2,322,331.00    1,590,638    1,582,738       7,800          100
OCTEL CORP             COM         67572710              2,322,072.00      122,926      122,926
CHECK POINT SOFTWARE   ORD         M2246510              2,316,811.00      168,618      168,618
TALX CORP              COM         87491810              2,316,392.00      175,884      175,884
PRIMEDIA INC           COM         74157K10              2,314,931.00    1,665,418    1,662,648       2,650          120
REGENT COMMUNICATION   COM         75886510              2,314,498.00      455,610      455,610
VIRGINIA FINL CORP     COM         92781010              2,311,649.00       76,978       76,978
TUESDAY MORNING CORP   COM NEW     89903550              2,309,537.00      126,828      126,828
MAIN STR BKS INC NEW   COM         56034R10              2,308,059.00      124,558      124,558
ADVANCED ENERGY INDS   COM         00797310              2,306,755.00      259,186      259,086                      100
VICOR CORP             COM         92581510              2,305,674.00      322,472      322,352                      120
PROSPERITY BANCSHARE   COM         74360610              2,305,589.00      135,384      135,384
ANAREN MICROWAVE INC   COM         03274410              2,299,865.00      279,789      279,789
WEST CORP              COM         95235510              2,294,558.00      163,897      163,897
ECLIPSYS CORP          COM         27885610              2,291,024.00      450,989      447,889          60        3,040
GIBRALTAR STL CORP     COM         37476F10              2,289,129.00      102,836      102,836
Page Total                                              93,564,100.00


                                        Voting Authority
     Name of                     Sole        Shared        None
     Issuer

-----------------------------------------------------------------
                                              
PENNROCK FINL SVCS C            69,628                    12,925
BSB BANCORP                     95,039                    25,000
GREAT SOUTHN BANCORP            54,419                     9,250
REALNETWORKS INC               600,604        2,100       56,000
CIRCOR INTL INC                154,631                    22,750
FALCONSTOR SOFTWARE            397,242                    90,800
TBC CORP                       198,465                    30,600
OMNOVA SOLUTIONS INC           452,121                    65,300
MOLECULAR DEVICES CO           157,063                    32,700
ADVISORY BRD CO                 68,768                    11,350
COLE KENNETH PRODTNS            97,375                    19,450
UNION BANKSHARES COR            81,682                    13,400
HOLOGIC INC                    209,016                    32,500
GAMESTOP CORP                  103,967                    11,200
COBALT CORP                    120,317                    20,400
CFS BANCORP INC                128,743                    37,900
CONNECTICUT WTR SVC             75,639                    16,050
MICROMUSE INC                  768,839           60      160,140
SPORTS AUTH INC                334,041                    58,050
TEJON RANCH CO DEL              77,552                    18,000
AMERON INTL INC                 36,411                    10,960
CITIZENS FIRST BANCO            89,579                    40,037
NATIONAL PRESTO INDS            67,017                    13,550
LIGHTBRIDGE INC                281,625                    62,900
PRICELINE COM INC            1,324,348          100      266,190
OCTEL CORP                     100,776                    22,150
CHECK POINT SOFTWARE           100,671       38,021       29,926
TALX CORP                      141,694                    34,190
PRIMEDIA INC                 1,413,337          120      251,961
REGENT COMMUNICATION           394,410                    61,200
VIRGINIA FINL CORP              64,278                    12,700
TUESDAY MORNING CORP           108,078                    18,750
MAIN STR BKS INC NEW           103,108                    21,450
ADVANCED ENERGY INDS           220,486          100       38,600
VICOR CORP                     277,702          120       44,650
PROSPERITY BANCSHARE           111,084                    24,300
ANAREN MICROWAVE INC           230,739                    49,050
WEST CORP                      151,643          600       11,654
ECLIPSYS CORP                  371,049        3,040       76,900
GIBRALTAR STL CORP              88,986                    13,850
Page Total


                                                                        56 of 82





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

---------------------------------------------------------------------------------------------------------------------------
                                                                                           
OMNIVISION TECHNOLOG   COM         68212810              2,288,792.00      347,313      347,313
VALUE LINE INC         COM         92043710              2,286,804.00       58,636       58,636
PARKER DRILLING CO     COM         70108110              2,282,447.00    1,037,476      936,176       1,300      100,000
TESORO PETE CORP       COM         88160910              2,280,661.00      814,522      802,522                   12,000
CENTENNIAL BANCORP     COM         15133T10              2,279,819.00      262,652      262,652
URSTADT BIDDLE PPTYS   CL A        91728620              2,278,423.00      192,272      192,272
BALDWIN & LYONS INC    CL B        05775520              2,275,822.00      104,109      104,109
CCC INFORMATION SVCS   COM         12487Q10              2,275,395.00      174,093      174,093
PEAPACK-GLADSTONE FI   COM         70469910              2,268,500.00       34,900       34,900
LYDALL INC DEL         COM         55081910              2,267,853.00      192,191      192,191
INFORMATICA CORP       COM         45666Q10              2,267,141.00      731,336      731,236                      100
BANK NOVA SCOTIA HAL   COM         06414910              2,266,739.00       80,495       80,495
FIRST NATL CORP ORAN   COM         32094210              2,264,966.00       82,064       82,064
PLATO LEARNING INC     COM         72764Y10              2,258,758.00      339,663      339,663
ARRAY BIOPHARMA INC    COM         04269X10              2,258,126.00      289,875      289,875
U S G CORP             COM NEW     90329340              2,251,756.00      562,939      562,839         100
REGAL ENTMT GROUP      CL A        75876610              2,251,646.00      126,497      126,497
AMN HEALTHCARE SERVI   COM         00174410              2,250,266.00      121,636      121,636
GREAT ATLANTIC & PAC   COM         39006410              2,248,773.00      268,350      268,350
FRIEDMAN BILLINGS RA   CL A        35843310              2,248,708.00      221,985      221,985
ALLEGIANT BANCORP IN   COM         01747610              2,248,561.00      138,373      138,373
AMERICAN PHYSICIANS    COM         02888410              2,247,893.00      133,327      133,327
S Y BANCORP INC        COM         78506010              2,247,482.00       64,713       64,713
ASTEC INDS INC         COM         04622410              2,245,646.00      208,316      208,156         100           60
BERKSHIRE HILLS BANC   COM         08468010              2,234,826.00       95,099       95,099
RELIANT RES INC        COM         75952B10              2,230,975.00    1,274,843    1,272,493       2,350
ST FRANCIS CAP CORP    COM         78937410              2,220,971.00       96,522       96,522
ELIZABETH ARDEN INC    COM         28660G10              2,218,389.00      185,020      185,020
INSURANCE AUTO AUCTI   COM         45787510              2,215,438.00      146,611      146,511         100
SILICONIX INC          COM NEW     82707920              2,215,314.00      124,666      124,666
ALLEN TELECOM INC      COM         01809110              2,210,124.00      413,881      407,121       6,760
MOBILE MINI INC        COM         60740F10              2,208,195.00      170,517      170,517
MGI PHARMA INC         COM         55288010              2,206,988.00      315,284      315,184                      100
CONEXANT SYSTEMS INC   COM         20714210              2,206,300.00    1,987,658    1,966,374      11,080       10,204
PINNACLE ENTMT INC     COM         72345610              2,205,008.00      302,056      301,796          40          220
NEW FOCUS INC          COM         64438310              2,204,928.00      816,640      816,640
ANTIGENICS INC DEL     COM         03703210              2,191,174.00      271,185      271,185
GLOBAL IMAGING SYSTE   COM         37934A10              2,189,381.00      115,963      115,963
OAK TECHNOLOGY INC     COM         67180210              2,186,129.00      687,462      683,862       3,600
MONOLITHIC SYS TECHN   COM         60984210              2,184,660.00      218,466      218,466
Page Total                                              89,669,777.00


                                           Voting Authority
     Name of                       Sole         Shared        None
     Issuer

--------------------------------------------------------------------
                                                 
OMNIVISION TECHNOLOG              298,563                    48,750
VALUE LINE INC                     43,565                    15,071
PARKER DRILLING CO                789,126      100,000      148,350
TESORO PETE CORP                  662,022       12,000      140,500
CENTENNIAL BANCORP                209,624                    53,028
URSTADT BIDDLE PPTYS              154,822                    37,450
BALDWIN & LYONS INC                71,910                    32,199
CCC INFORMATION SVCS              129,493                    44,600
PEAPACK-GLADSTONE FI               29,100                     5,800
LYDALL INC DEL                    160,281                    31,910
INFORMATICA CORP                  602,631          100      128,605
BANK NOVA SCOTIA HAL                                         80,495
FIRST NATL CORP ORAN               66,114                    15,950
PLATO LEARNING INC                302,180                    37,483
ARRAY BIOPHARMA INC               257,125                    32,750
U S G CORP                        481,339                    81,600
REGAL ENTMT GROUP                 115,047          100       11,350
AMN HEALTHCARE SERVI              112,936                     8,700
GREAT ATLANTIC & PAC              240,500                    27,850
FRIEDMAN BILLINGS RA              180,585                    41,400
ALLEGIANT BANCORP IN              117,873                    20,500
AMERICAN PHYSICIANS               102,977                    30,350
S Y BANCORP INC                    57,813                     6,900
ASTEC INDS INC                    179,556           60       28,700
BERKSHIRE HILLS BANC               62,399                    32,700
RELIANT RES INC                 1,240,631        1,200       33,012
ST FRANCIS CAP CORP                83,172                    13,350
ELIZABETH ARDEN INC               149,520                    35,500
INSURANCE AUTO AUCTI              118,711                    27,900
SILICONIX INC                     120,866                     3,800
ALLEN TELECOM INC                 345,831                    68,050
MOBILE MINI INC                   139,317                    31,200
MGI PHARMA INC                    272,084          100       43,100
CONEXANT SYSTEMS INC            1,735,874       16,427      235,357
PINNACLE ENTMT INC                256,836          220       45,000
NEW FOCUS INC                     649,590                   167,050
ANTIGENICS INC DEL                228,885                    42,300
GLOBAL IMAGING SYSTE               89,363                    26,600
OAK TECHNOLOGY INC                573,362                   114,100
MONOLITHIC SYS TECHN              184,866                    33,600
Page Total


                                                                        57 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INTEGRAL SYS INC MD    COM         45810H10    2,183,795.00   114,275  114,275                         94,025               20,250
OXFORD INDS INC        COM         69149730    2,183,714.00    99,713   99,553               160       80,603        160    18,950
PETROLEO BRASILEIRO    SPONSORED   71654V10    2,182,824.00   228,568  228,568                        101,183    106,234    21,151
MEMC ELECTR MATLS IN   COM         55271510    2,182,478.00   657,373  657,273     100                596,123               61,250
ENERGY CONVERSION DE   COM         29265910    2,174,231.00   200,390  200,390                        166,740               33,650
ERESEARCHTECHNOLOGY    COM         29481V10    2,172,210.00   117,735  117,735                         89,460               28,275
CRAWFORD & CO          CL B        22463310    2,171,914.00   344,202  344,202                        293,042               51,160
CHAMPION ENTERPRISES   COM         15849610    2,165,004.00   736,396  736,296               100      599,796        100   136,500
MIDDLESEX WATER CO     COM         59668010    2,159,572.00    95,981   95,981                         78,581               17,400
THREE RIVS BANCORP I   COM         88562Q10    2,158,976.00   134,936  134,936                         90,986               43,950
TENNECO AUTOMOTIVE I   COM         88034910    2,157,646.00   512,505  512,485      20                436,605               75,900
LAKELAND BANCORP INC   COM         51163710    2,140,593.00   125,548  125,548                        102,553               22,995
MOVADO GROUP INC       COM         62458010    2,139,068.00   131,635  131,635                        107,035               24,600
MRO SOFTWARE INC       COM         55347W10    2,134,049.00   245,293  245,293                        199,893               45,400
QUICKSILVER RESOURCE   COM         74837R10    2,134,008.00   118,556  118,556                        100,456               18,100
GRAPHIC PACKAGING IN   COM         38869010    2,133,484.00   267,354  267,354                        228,304               39,050
ENERGY PARTNERS LTD    COM         29270U10    2,129,228.00   261,576  261,576                        221,076               40,500
F5 NETWORKS INC        COM         31561610    2,128,609.00   281,935  281,935                        227,835               54,100
PREMCOR INC            COM         74045Q10    2,122,260.00   135,262  134,902     360                123,962        100    11,200
ARQULE INC             COM         04269E10    2,119,487.00   411,551  408,851   2,700                374,301               37,250
POSSIS MEDICAL INC     COM         73740710    2,118,748.00   207,517  207,517                        177,717               29,800
OREGON STL MLS INC     COM         68607910    2,117,342.00   345,971  345,971                        291,121               54,850
SHENANDOAH TELECOMMU   COM         82312B10    2,111,240.00    41,609   41,609                         31,909                9,700
SRA INTL INC           CL A        78464R10    2,104,534.00    73,508   73,508                         59,858               13,650
SCANSOFT INC           COM         80603P10    2,103,288.00   637,360  637,360                        514,760              122,600
HARVEST NATURAL RESO   COM         41754V10    2,100,454.00   386,824  386,824                        337,574               49,250
LA JOLLA PHARMACEUTI   COM         50345910    2,099,979.00   492,953  492,953                        414,253               78,700
AMERICAN HEALTHWAYS    COM         02649V10    2,089,584.00   129,226  129,226                        110,176               19,050
GENERAL COMMUNICATIO   CL A        36938510    2,089,375.00   555,685  555,685                        490,035               65,650
FIRSTFED AMER BANCOR   COM         33792910    2,089,373.00    86,732   86,732                         70,232               16,500
GRAY TELEVISION INC    CL A        38937520    2,087,332.00   155,192  155,192                        101,837               53,355
HICKORY TECH CORP      COM         42906010    2,084,039.00   157,286  157,286                        133,786               23,500
EXCEL TECHNOLOGY INC   COM         30067T10    2,083,094.00   110,744  110,634     110                 94,494               16,250
STEIN MART INC         COM         85837510    2,080,593.00   356,266  356,266                        319,266               37,000
HAWTHORNE FINL CORP    COM         42054210    2,080,372.00    78,802   78,802                         68,402               10,400
NBC CAP CORP           COM         62872910    2,078,807.00    82,821   82,821                         61,289               21,532
SEMCO ENERGY INC       COM         78412D10    2,074,482.00   266,643  266,643                        232,743               33,900
VERSICOR INC           COM         92531410    2,073,708.00   243,393  243,293               100      209,432        100    33,861
VIB CORP               COM         91823H10    2,070,725.00   138,325  138,325                        113,909               24,416
MSC INDL DIRECT INC    CL A        55353010    2,066,938.00   194,627  192,427   2,200                176,227               18,400
Page Total                                    84,877,157.00


                                                                        58 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
FOOTSTAR INC           COM         34491210   2,065,993.00     264,871    264,851        20              224,571             40,300
KULICKE & SOFFA INDS   COM         50124210   2,065,629.00     688,543    688,443       100              582,893            105,650
INSIGNIA FINL GROUP    COM         45767A10   2,062,595.00     262,751    262,751                        219,801             42,950
CRAY INC               COM         22522310   2,060,596.00     521,670    521,670                        415,670            106,000
FINISH LINE INC        CL A        31792310   2,050,291.00     227,305    227,305                        190,505             36,800
NEOPHARM INC           COM         64091910   2,049,350.00     145,344    145,344                        112,654             32,690
CSS INDS INC           COM         12590610   2,044,746.00      56,704     56,704                         39,104             17,600
EXACT SCIENCES CORP    COM         30063P10   2,043,363.00     152,832    152,632       200              118,382             34,450
SIZELER PPTY INVS IN   COM         83013710   2,037,773.00     202,562    202,562                        195,462              7,100
TERAYON COMMUNICATIO   COM         88077510   2,036,579.00     877,836    877,636       200              681,236            196,600
FIRST BANCORP N C      COM         31891010   2,034,868.00      82,350     81,450       900               71,150             11,200
PRAECIS PHARMACEUTIC   COM         73942110   2,025,790.00     677,522    669,722     7,200      600     550,122      600   126,800
INTERTAN INC           COM         46112010   2,021,896.00     289,670    289,670                        218,220             71,450
MANUGISTICS GROUP IN   COM         56501110   2,013,735.00     721,769    721,123       586       60     598,409       60   123,300
PRIME MED SVCS INC N   COM         74156D10   2,012,355.00     217,811    217,811                        196,061             21,750
VOLT INFORMATION SCI   COM         92870310   2,010,768.00     132,724    132,724                        109,074             23,650
U S INDS INC NEW       COM         91208010   2,004,174.00     852,840    852,800        40              719,010            133,830
STANDARD COML CORP     COM         85325810   2,003,677.00     119,694    119,694                        112,694              7,000
KEYNOTE SYS INC        COM         49330810   2,002,767.00     305,766    305,746        20              242,216             63,550
GREAT AMERN FINL RES   COM         38991510   1,999,185.00     128,565    128,565                        123,945              4,620
KANSAS CITY LIFE INS   COM         48483610   1,998,406.00      52,812     52,272       540               49,312              3,500
ESPERION THERAPEUTIC   COM         29664R10   1,990,697.00     348,024    348,024                        292,874             55,150
CASCADE BANCORP        COM         14715410   1,987,279.00     145,695    145,695                        123,795             21,900
GREEN MTN COFFEE INC   COM         39312210   1,984,454.00     153,953    153,953                        150,253              3,700
CORRECTIONAL PPTYS T   COM         22025E10   1,983,819.00      86,253     86,253                         81,353              4,900
F N B CORP VA          COM         30293010   1,981,532.00      64,503     64,503                         53,153             11,350
ULTIMATE ELECTRS INC   COM         90384910   1,978,659.00     155,189    155,189                        125,539             29,650
PETCO ANIMAL SUPPLIE   COM NEW     71601620   1,972,119.00      90,923     90,923                         81,923              9,000
GERMAN AMERN BANCORP   COM         37386510   1,965,472.00     115,616    115,616                         95,856             19,760
AAIPHARMA INC          COM         00252W10   1,962,171.00     163,637    163,637                        135,087             28,550
RADIANT SYSTEMS INC    COM         75025N10   1,961,856.00     245,232    245,212        20              205,682             39,550
ASSOCIATED ESTATES R   COM         04560410   1,955,186.00     241,381    241,381                        224,549             16,832
REMEC INC              COM         75954310   1,952,968.00     572,718    568,218     4,500              473,368             99,350
PIXELWORKS INC         COM         72581M10   1,952,740.00     379,173    379,173                        323,723             55,450
KOREA ELECTRIC PWR     SPONSORED   50063110   1,948,262.00     208,817    208,817                         59,712  132,864    16,241
CHILDRENS PL RETAIL    COM         16890510   1,946,876.00     192,760    192,560       200              163,560             29,200
MAGMA DESIGN AUTOMAT   COM         55918110   1,946,486.00     218,216    218,216                        190,166             28,050
BLAIR CORP             COM         09282810   1,943,588.00      95,041     95,041                         76,891             18,150
LIBERATE TECHNOLOGIE   COM         53012910   1,941,689.00   1,244,673  1,244,473       100      100   1,041,493      100   203,080
NL INDS INC            COM NEW     62915640   1,940,610.00     133,743    133,743                        127,743              6,000
Page Total                                   79,940,999.00


                                                                        59 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                          
MANTECH INTL CORP      CLA         56456310           1,939,309.00       82,661       82,661
CELL THERAPEUTICS IN   COM         15093410           1,938,076.00      440,472      440,472
ATHEROGENICS INC       COM         04743910           1,936,111.00      309,283      309,283
QUAKER CITY BANCORP    COM         74731K10           1,933,877.00       58,302       58,302
ALEXANDERS INC         COM         01475210           1,933,761.00       31,701       31,701
FRONTIER AIRLINES IN   COM         35906510           1,931,757.00      395,852      395,852
ALLIANCE IMAGING INC   COM NEW     01860620           1,922,629.00      160,755      160,755
INFONET SVCS CORP      CLB         45666T10           1,921,140.00      857,652      856,652       1,000
ENTRUST INC            COM         29384810           1,908,174.00      607,699      607,599                      100
EXULT INC DEL          COM         30228410           1,903,965.00      645,412      645,212         100          100
PLAYBOY ENTERPRISES    CLB         72811730           1,902,573.00      199,014      199,014
NORTHWEST BANCORP IN   COM         66732810           1,898,412.00      149,129      149,129
AAON INC               COM PAR $0  00036020           1,896,545.00      112,089      112,089
ILEX ONCOLOGY INC      COM         45192310           1,896,342.00      399,230      399,230
COMPUTER NETWORK TEC   COM         20492510           1,875,602.00      373,626      369,266       4,360
TOUCH AMERICA HLDGS    COM         89153910           1,871,294.00    3,018,217    1,299,543   1,718,674
WABASH NATL CORP       COM         92956610           1,871,010.00      345,843      345,843
WESTERN WIRELESS COR   CLA         95988E20           1,870,109.00      692,633      688,033       4,500          100
MAXWELL SHOE INC       CLA         57776610           1,869,072.00      164,676      164,676
HEICO CORP NEW         COM         42280610           1,863,056.00      164,581      164,581
INTERCEPT INC          COM         45845L10           1,862,376.00      188,309      188,209                      100
K2 INC                 COM         48273210           1,860,497.00      235,506      235,459          47
KEYSTONE AUTOMOTIVE    COM         49338N10           1,857,652.00      112,585      112,585
X-RITE INC             COM         98385710           1,857,627.00      240,314      240,314
SPSS INC               COM         78462K10           1,855,700.00      160,389      160,389
RACING CHAMPIONS ERT   COM         75006910           1,852,155.00      113,351      113,351
PENN ENGR & MFG CORP   COM NON VT  70738930           1,847,417.00      164,948      164,948
VALUECLICK INC         COM         92046N10           1,841,199.00      844,587      844,587
ALLIANZ AKTIENGESELL   SP ADR 1/1  01880510           1,839,671.00      213,419      109,559     103,860
CTS CORP               COM         12650110           1,838,224.00      399,614      399,594          20
SILICON GRAPHICS INC   COM         82705610           1,836,339.00    2,239,438    2,239,038         400
COCA COLA BOTTLING C   COM         19109810           1,834,399.00       39,113       38,913                      200
ENTERPRISE PRODS PAR   COM         29379210           1,832,574.00       93,930       93,930
PETROLEO BRASILEIRO    SPONSORED   71654V40           1,831,149.00      170,657      170,657
CASCADE CORP           COM         14719510           1,828,804.00      130,164      130,164
CHARTER COMMUNICATIO   CLA         16117M10           1,827,637.00      982,601      971,811      10,790
AVIGEN INC             COM         05369010           1,825,795.00      230,239      230,239
II VI INC              COM         90210410           1,823,810.00      136,615      136,615
CONCURRENT COMPUTER    COM         20671020           1,815,700.00      796,360      794,260       2,100
TALK AMERICA HLDGS I   COM         87426R10           1,814,655.00      782,179      782,179
Page Total                                           74,866,194.00


                                     Voting Authority
     Name of                  Sole        Shared        None
     Issuer

---------------------------------------------------------------
                                              
MANTECH INTL CORP             68,861                    13,800
CELL THERAPEUTICS IN         361,622                    78,850
ATHEROGENICS INC             248,433                    60,850
QUAKER CITY BANCORP           49,752                     8,550
ALEXANDERS INC                23,341                     8,360
FRONTIER AIRLINES IN         332,002                    63,850
ALLIANCE IMAGING INC         133,705                    27,050
INFONET SVCS CORP            816,652        1,200       39,800
ENTRUST INC                  501,299          100      106,300
EXULT INC DEL                534,813          100      110,499
PLAYBOY ENTERPRISES          152,264                    46,750
NORTHWEST BANCORP IN         138,529                    10,600
AAON INC                      96,339                    15,750
ILEX ONCOLOGY INC            334,480                    64,750
COMPUTER NETWORK TEC         308,026                    65,600
TOUCH AMERICA HLDGS        1,048,091    1,713,876      256,250
WABASH NATL CORP             286,643                    59,200
WESTERN WIRELESS COR         586,683          100      105,850
MAXWELL SHOE INC             135,326                    29,350
HEICO CORP NEW               133,781                    30,800
INTERCEPT INC                153,659          100       34,550
K2 INC                       201,856                    33,650
KEYSTONE AUTOMOTIVE          100,335                    12,250
X-RITE INC                   201,214                    39,100
SPSS INC                     133,689                    26,700
RACING CHAMPIONS ERT         107,751                     5,600
PENN ENGR & MFG CORP         122,998                    41,950
VALUECLICK INC               661,487                   183,100
ALLIANZ AKTIENGESELL         206,319                     7,100
CTS CORP                     349,414                    50,200
SILICON GRAPHICS INC       1,889,388                   350,050
COCA COLA BOTTLING C          38,053          200          860
ENTERPRISE PRODS PAR          93,930
PETROLEO BRASILEIRO           65,305       85,487       19,865
CASCADE CORP                 123,964                     6,200
CHARTER COMMUNICATIO         898,057        2,600       81,944
AVIGEN INC                   193,589                    36,650
II VI INC                    104,915                    31,700
CONCURRENT COMPUTER          620,310                   176,050
TALK AMERICA HLDGS I         637,279                   144,900
Page Total


                                                                        60 of 82





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

--------------------------------------------------------------------------------------------------------------------------
                                                                                             
CNET NETWORKS INC      COM         12613R10           1,814,056.00    1,649,142    1,648,942         100          100
TELECOM ITALIA SPA     SPON ADR O  87927W10           1,809,079.00       25,355       25,355
SYKES ENTERPRISES IN   COM         87123710           1,808,961.00      429,682      429,682
COLUMBIA BKG SYS INC   COM         19723610           1,806,491.00      163,188      163,188
PILGRIMS PRIDE CORP    CL B        72146710           1,803,186.00      193,891      193,891
DEPARTMENT 56 INC      COM         24950910           1,803,178.00      172,553      172,553
AKSYS LTD              COM         01019610           1,794,313.00      319,842      298,442      21,400
STAMPS COM INC         COM         85285710           1,793,105.00      423,902      423,902
TRIZETTO GROUP INC     COM         89688210           1,788,855.00      359,208      359,168          40
SPECTRALINK CORP       COM         84758010           1,785,356.00      313,771      313,621         150
SHARPER IMAGE CORP     COM         82001310           1,784,010.00       93,306       93,306
ASIAINFO HLDGS INC     COM         04518A10           1,780,759.00      533,961      533,861         100
FSI INTL INC           COM         30263310           1,780,017.00      581,705      578,605       3,100
WCI CMNTYS INC         COM         92923C10           1,778,393.00      140,031      139,431                      600
TYLER TECHNOLOGIES I   COM         90225210           1,776,508.00      403,752      403,752
DRIL-QUIP INC          COM         26203710           1,776,343.00      105,421      105,421
ASTROPOWER INC         COM         04644A10           1,776,249.00      250,176      249,708                      468
ARTISAN COMPONENTS I   COM         04292310           1,770,142.00      194,329      194,329
MKS INSTRUMENT INC     COM         55306N10           1,768,024.00      161,907      161,907
AMERICAN NATL BANKSH   COM         02774510           1,765,952.00       64,310       64,310
BUNGE LIMITED          COM         G1696210           1,761,760.00       72,800       72,800
INFORMATION RES INC    COM         45690510           1,758,766.00      474,061      474,061
AMVESCAP PLC           SPONSORED   03235E10           1,757,268.00      181,536       39,411     142,125
LSI INDS INC           COM         50216C10           1,755,872.00      173,163      173,163
INSTINET GROUP INC     COM         45775010           1,753,533.00      565,656      558,056       7,600
VAIL RESORTS INC       COM         91879Q10           1,751,053.00      123,662      123,662
CAPITOL BANCORP LTD    COM         14056D10           1,745,762.00      100,216      100,216
PENNFED FINL SVCS IN   COM         70816710           1,743,965.00       63,440       63,440
BRADLEY PHARMACEUTIC   COM         10457610           1,742,162.00      198,877      198,877
COURIER CORP           COM         22266010           1,733,628.00       45,623       45,623
WINSTON HOTELS INC     COM         97563A10           1,729,556.00      238,889      238,889
SEACHANGE INTL INC     COM         81169910           1,722,659.00      250,751      250,751
UNITED MICROELECTRON   SPONSORED   91087320           1,722,251.00      487,890      487,890
KOSAN BIOSCIENCES IN   COM         50064W10           1,720,432.00      263,063      263,063
AMERICAN MED SEC GRO   COM         02744P10           1,720,046.00      121,644       75,370      46,274
SANTANDER BANCORP      COM         80280910           1,718,348.00      124,518      124,518
SALIX PHARMACEUTICAL   COM         79543510           1,717,928.00      203,546      203,546
CUBIST PHARMACEUTICA   COM         22967810           1,717,915.00      336,187      336,187
CREDIT ACCEP CORP MI   COM         22531010           1,713,299.00      208,939      208,939
TWEETER HOME ENTMT G   COM         90116710           1,711,469.00      248,039      247,619         420
Page Total                                           70,460,649.00


                                       Voting Authority
     Name of                   Sole         Shared        None
     Issuer

----------------------------------------------------------------
                                               
CNET NETWORKS INC           1,398,092          100      250,950
TELECOM ITALIA SPA             25,355
SYKES ENTERPRISES IN          380,632                    49,050
COLUMBIA BKG SYS INC          128,363                    34,825
PILGRIMS PRIDE CORP           165,341                    28,550
DEPARTMENT 56 INC             139,953                    32,600
AKSYS LTD                     272,004                    47,838
STAMPS COM INC                351,302                    72,600
TRIZETTO GROUP INC            305,496                    53,712
SPECTRALINK CORP              258,321                    55,450
SHARPER IMAGE CORP             79,256                    14,050
ASIAINFO HLDGS INC            459,811                    74,150
FSI INTL INC                  535,555                    46,150
WCI CMNTYS INC                135,131          600        4,300
TYLER TECHNOLOGIES I          328,602                    75,150
DRIL-QUIP INC                  92,821                    12,600
ASTROPOWER INC                211,958          468       37,750
ARTISAN COMPONENTS I          158,879                    35,450
MKS INSTRUMENT INC            149,007          100       12,800
AMERICAN NATL BANKSH           53,910                    10,400
BUNGE LIMITED                  72,800
INFORMATION RES INC           423,211                    50,850
AMVESCAP PLC                  177,676                     3,860
LSI INDS INC                  145,863                    27,300
INSTINET GROUP INC            459,256                   106,400
VAIL RESORTS INC              118,762                     4,900
CAPITOL BANCORP LTD            81,366                    18,850
PENNFED FINL SVCS IN           54,940                     8,500
BRADLEY PHARMACEUTIC          196,777                     2,100
COURIER CORP                   38,573                     7,050
WINSTON HOTELS INC            217,446                    21,443
SEACHANGE INTL INC            212,151                    38,600
UNITED MICROELECTRON          138,346                   349,544
KOSAN BIOSCIENCES IN          214,363                    48,700
AMERICAN MED SEC GRO           60,570       46,274       14,800
SANTANDER BANCORP             117,940                     6,578
SALIX PHARMACEUTICAL          174,796                    28,750
CUBIST PHARMACEUTICA          277,337                    58,850
CREDIT ACCEP CORP MI          202,239                     6,700
TWEETER HOME ENTMT G          208,939                    39,100
Page Total


                                                                        61 of 82





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

-------------------------------------------------------------------------------------------------------------------------
                                                                                             
MAINSOURCE FINANCIAL   COM         56062Y10        1,707,693.00           71,782       71,782
B A S F  A G           SPONSORED   05526250        1,707,621.00           48,102       48,102
ORBITAL SCIENCES COR   COM         68556410        1,707,197.00          502,117      502,117
CHARLES RIVER ASSOCI   COM         15985210        1,705,650.00          102,750      102,750
NARA BANCORP INC       COM         63080P10        1,703,391.00           98,633       98,633
PROBUSINESS SERVICES   COM         74267410        1,701,212.00          268,754      268,754
INTERCHANGE FINL SVC   COM         45844710        1,695,315.00          102,436      102,436
INTRADO INC            COM         46117A10        1,694,933.00          175,459      175,459
SONICWALL INC          COM         83547010        1,691,904.00          615,238      611,418        3,820
NATIONAL HEALTHCARE    COM         63590610        1,687,210.00           93,995       93,995
AAR CORP               COM         00036110        1,685,409.00          354,823      354,723          100
LEXICON GENETICS INC   COM         52887210        1,684,897.00          420,174      418,474        1,700
NAVIGANT INTL INC      COM         63935R10        1,683,139.00          160,299      160,299
QRS CORP               COM         74726X10        1,682,137.00          253,716      250,516        3,200
FOAMEX INTL INC        COM         34412310        1,673,930.00          304,351      304,351
COORSTEK INC           COM         21702010        1,672,575.00          111,505      111,505
ENCORE ACQUISITION C   COM         29255W10        1,660,512.00          100,943      100,943
THERAGENICS CORP       COM         88337510        1,658,448.00          376,920      376,920
MISSION WEST PPTYS I   COM         60520310        1,657,811.00          149,622      149,622
ATLAS AIR WORLDWIDE    COM         04916410        1,655,638.00          686,987      685,247        1,740
COLE NATIONAL CORP N   CL A        19329010        1,651,203.00          131,570      131,570
GOLDEN TELECOM INC     COM         38122G10        1,644,089.00          136,439      136,439
MESA AIR GROUP INC     COM         59047910        1,638,127.00          448,802      448,802
VIASAT INC             COM         92552V10        1,632,739.00          259,165      259,125           40
SAFEGUARD SCIENTIFIC   COM         78644910        1,632,696.00        1,470,898    1,469,928          870           100
FOMENTO ECONOMICO ME   SPON ADR U  34441910        1,630,309.00           48,234       48,234
ERICSSON L M TEL CO    ADR CL B S  29482140        1,626,699.00        4,518,609      135,488    4,383,121
INTERPORE INTL         COM         46062W10        1,625,483.00          200,677      200,677
RAINDANCE COMM         COM         75086X10        1,625,142.00          525,936      494,536       31,400
MADDEN STEVEN LTD      COM         55626910        1,623,441.00          112,739      112,739
RIVIANA FOODS INC      COM         76953610        1,623,129.00           70,879       70,879
MATSUSHITA ELEC INDL   ADR         57687920        1,621,722.00          156,386      155,116        1,270
NATIONAL AUSTRALIA B   SPONSORED   63252540        1,619,635.00           17,861       17,861
CENTRAL COAST BANCOR   COM         15314510        1,615,896.00           87,393       87,393
CARREKER CORP          COM         14443310        1,608,646.00          262,422      262,422
MEDICAL STAFFING NET   COM         58463F10        1,607,716.00          105,980      105,980
AUDIOVOX CORP          CL A        05075710        1,606,606.00          229,548      229,548
GENENCOR INTL INC      COM         36870910        1,606,143.00          168,890      168,890
C COR NET CORP         COM         12501010        1,603,903.00          432,319      432,259           60
DAKTRONICS INC         COM         23426410        1,601,961.00          167,045      167,045
Page Total                                        66,161,907.00


     Name of                                    Voting Authority
     Issuer                            Sole          Shared        None

-------------------------------------------------------------------------
                                                        
MAINSOURCE FINANCIAL                    51,482                    20,300
B A S F  A G                            48,102
ORBITAL SCIENCES COR                   417,917                    84,200
CHARLES RIVER ASSOCI                    85,550                    17,200
NARA BANCORP INC                        93,133                     5,500
PROBUSINESS SERVICES                   226,354                    42,400
INTERCHANGE FINL SVC                    90,386                    12,050
INTRADO INC                            144,409                    31,050
SONICWALL INC                          506,988                   108,250
NATIONAL HEALTHCARE                     76,695                    17,300
AAR CORP                               297,023                    57,800
LEXICON GENETICS INC                   333,774                    86,400
NAVIGANT INTL INC                      131,549                    28,750
QRS CORP                               225,516                    28,200
FOAMEX INTL INC                        244,701                    59,650
COORSTEK INC                            89,355                    22,150
ENCORE ACQUISITION C                    97,843                     3,100
THERAGENICS CORP                       332,170                    44,750
MISSION WEST PPTYS I                   139,222                    10,400
ATLAS AIR WORLDWIDE                    676,487                    10,500
COLE NATIONAL CORP N                   108,670                    22,900
GOLDEN TELECOM INC                     104,139                    32,300
MESA AIR GROUP INC                     376,252                    72,550
VIASAT INC                             223,315                    35,850
SAFEGUARD SCIENTIFIC                 1,247,449          100      223,349
FOMENTO ECONOMICO ME                    22,000       18,700        7,534
ERICSSON L M TEL CO                  4,518,609
INTERPORE INTL                         164,877                    35,800
RAINDANCE COMM                         446,786                    79,150
MADDEN STEVEN LTD                       95,489                    17,250
RIVIANA FOODS INC                       66,479                     4,400
MATSUSHITA ELEC INDL                   156,386
NATIONAL AUSTRALIA B                    17,861
CENTRAL COAST BANCOR                    75,118                    12,275
CARREKER CORP                          213,072                    49,350
MEDICAL STAFFING NET                    92,780                    13,200
AUDIOVOX CORP                          200,835                    28,713
GENENCOR INTL INC                      162,690                     6,200
C COR NET CORP                         360,069                    72,250
DAKTRONICS INC                         137,445                    29,600
Page Total


                                                                        62 of 82





                                                                                               Investment Discretion
     Name of            Title of         Cusip         Fair Market           Shares        Sole        Shared as     Shared
     Issuer              Class           Number           Value             Prin Amt                    Defined      Other
------------------------------------------------------------------------------------------------------------------------------
                                                                                                
INTL SPECIALTY PRODS   COM         46033710            1,595,061.00      164,609          164,509         100
SBS TECHNOLOGIES INC   COM         78387P10            1,594,496.00      222,695          222,695
VIVUS INC              COM         92855110            1,589,928.00      368,039          368,039
LTC PPTYS INC          COM         50217510            1,588,945.00      195,683          195,683
POWELL INDS INC        COM         73912810            1,584,351.00       84,274           84,274
MATERIAL SCIENCES CO   COM         57667410            1,583,572.00      130,121          129,221                     900
VITESSE SEMICONDUCTO   COM         92849710            1,582,848.00    2,327,718        2,324,068       1,560       2,090
GENERAL CABLE CORP D   COM         36930010            1,582,307.00      410,989          410,989
LUMINEX CORP DEL       COM         55027E10            1,579,860.00      224,412          224,412
SUPERIOR FINANCIAL C   COM         86816110            1,576,304.00       83,846           83,846
AO TATNEFT             SPON ADR R  03737P30            1,575,883.00      101,083          101,083
AMKOR TECHNOLOGY INC   COM         03165210            1,572,518.00      660,722          660,222         400         100
ITLA CAP CORP          COM         45056510            1,571,298.00       52,047           52,047
GART SPORTS CO         COM         36663010            1,568,625.00       83,128           83,128
HUMBOLDT BANCORP       COM         44506910            1,564,576.00      130,599          130,599
TEXAS BIOTECHNOLOGY    COM         88221T10            1,564,455.00      511,260          511,260
IDINE REWARDS NETWOR   COM         45168A10            1,560,641.00      168,718          168,718
OSMONICS INC           COM         68835010            1,555,520.00      130,716          130,716
BUTLER MFG CO DEL      COM         12365510            1,552,413.00       71,871           71,871
TASTY BAKING CO        COM         87655330            1,550,629.00      121,618           81,618                  40,000
OCWEN FINL CORP        COM         67574610            1,549,890.00      534,445          491,845                  42,600
CHARTER FINL CORP WE   COM         16122M10            1,546,863.00       55,127           55,127
WEST MARINE INC        COM         95423510            1,545,599.00      121,605          121,105                     500
L S B BANCSHARES N C   COM         50215810            1,541,397.00       93,759           93,759
PRIVATEBANCORP INC     COM         74296210            1,538,343.00       50,322           50,322
UNITIL CORP            COM         91325910            1,534,925.00       56,535           55,269                   1,266
DAIMLERCHRYSLER AG     ORD         D1668R12            1,534,590.00       45,795           45,795
DUCOMMUN INC DEL       COM         26414710            1,534,553.00       87,141           87,141
SUPERTEX INC           COM         86853210            1,531,150.00      147,226          147,226
PC-TEL INC             COM         69325Q10            1,529,103.00      293,494          293,494
IMPAX LABORATORIES I   COM         45256B10            1,525,971.00      313,986          313,986
DAVE & BUSTERS INC     COM         23833N10            1,525,154.00      136,053          136,053
MERIX CORP             COM         59004910            1,522,941.00      186,864          186,364         500
MIDLAND CO             COM         59748610            1,514,952.00       90,015           90,015
SYNPLICITY INC         COM         87160Y10            1,511,736.00      350,751          350,751
DEL LABS INC           COM         24509110            1,511,397.00       83,595           83,595
BKF CAP GROUP INC      COM         05548G10            1,504,732.00       71,382           71,382
COLUMBIA LABS INC      COM         19777910            1,503,490.00      334,109          334,109
UAL CORP               COM PAR $0  90254950            1,502,087.00      701,910          699,379       2,531
SUN BANCORP INC        COM         86663410            1,501,686.00       66,801           56,601      10,200
Page Total                                            62,004,789.00


     Name of                                Voting Authority
     Issuer                    Sole              Shared        None

---------------------------------------------------------------------
                                                     
INTL SPECIALTY PRODS               155,809                      8,800
SBS TECHNOLOGIES INC               188,895                     33,800
VIVUS INC                          311,114                     56,925
LTC PPTYS INC                      182,883                     12,800
POWELL INDS INC                     66,774                     17,500
MATERIAL SCIENCES CO               119,021          900        10,200
VITESSE SEMICONDUCTO             1,911,748        2,090       413,880
GENERAL CABLE CORP D               355,839                     55,150
LUMINEX CORP DEL                   180,912                     43,500
SUPERIOR FINANCIAL C                75,546                      8,300
AO TATNEFT                          55,892       30,900        14,291
AMKOR TECHNOLOGY INC               599,622        1,600        59,500
ITLA CAP CORP                       50,847                      1,200
GART SPORTS CO                      68,328                     14,800
HUMBOLDT BANCORP                   100,599                     30,000
TEXAS BIOTECHNOLOGY                431,460                     79,800
IDINE REWARDS NETWOR               143,768                     24,950
OSMONICS INC                       107,866                     22,850
BUTLER MFG CO DEL                   62,071                      9,800
TASTY BAKING CO                     76,618       40,000         5,000
OCWEN FINL CORP                    434,845       42,600        57,000
CHARTER FINL CORP WE                52,627                      2,500
WEST MARINE INC                     96,355          500        24,750
L S B BANCSHARES N C                82,109                     11,650
PRIVATEBANCORP INC                  44,322                      6,000
UNITIL CORP                         52,269        1,266         3,000
DAIMLERCHRYSLER AG                  45,795
DUCOMMUN INC DEL                    80,641                      6,500
SUPERTEX INC                       133,476                     13,750
PC-TEL INC                         257,621                     35,873
IMPAX LABORATORIES I               261,671                     52,315
DAVE & BUSTERS INC                 115,703                     20,350
MERIX CORP                         145,964                     40,900
MIDLAND CO                          85,415                      4,600
SYNPLICITY INC                     320,089                     30,662
DEL LABS INC                        81,095                      2,500
BKF CAP GROUP INC                   53,182                     18,200
COLUMBIA LABS INC                  258,009                     76,100
UAL CORP                           567,929        2,223       131,758
SUN BANCORP INC                     57,101                      9,700
Page Total


                                                                        63 of 82





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

------------------------------------------------------------------------------------------------------------------
                                                                                      
ABN AMRO HLDG NV       SPONSORED   00093710        1,499,552.00      134,489      134,489
MERIDIAN GOLD INC      COM         58997510        1,496,940.00       81,800       81,800
WATER PIK TECHNOLOGI   COM         94113U10        1,496,262.00      147,415      147,300         115
AMERCO                 COM         02358610        1,495,258.00      148,634      148,634
UNIVERSAL AMERN FINL   COM         91337710        1,490,452.00      304,112      304,112
FIRST LONG IS CORP     COM         32073410        1,489,766.00       44,805       44,805
ENCORE WIRE CORP       COM         29256210        1,485,457.00      168,802      156,502      12,300
OMEGA HEALTHCARE INV   COM         68193610        1,485,346.00      259,676      259,676
DEB SHOPS INC          COM         24272810        1,484,157.00       59,533       59,533
GUILFORD PHARMACEUTI   COM         40182910        1,483,581.00      306,525      306,525
PENFORD CORP           COM         70705110        1,483,123.00      109,861      109,281                      580
ABC BANCORP            COM         00040010        1,482,415.00      115,633      115,633
CONCORD CAMERA CORP    COM         20615610        1,481,111.00      317,835      317,835
SUREBEAM CORP          CL A        86866R10        1,479,144.00      821,747      821,665          13           69
KINDER MORGAN ENERGY   UT LTD PAR  49455010        1,476,219.00       46,233       30,097      14,036        2,100
IMMUNOGEN INC          COM         45253H10        1,475,939.00      455,537      455,537
INFOUSA INC NEW        COM         45681830        1,475,871.00      340,848      340,848
OSI SYSTEMS INC        COM         67104410        1,474,801.00       85,224       85,224
FIRST HORIZON PHARMA   COM         32051K10        1,472,261.00      272,641      272,641
RADIOLOGIX INC         COM         75040K10        1,471,712.00      229,955      229,955
INTEGRATED ELECTRICA   COM         45811E10        1,471,301.00      393,396      389,656       3,740
WHITEHALL JEWELLERS    COM         96506310        1,470,990.00      139,828      139,788          40
COMPUCREDIT CORP       COM         20478N10        1,470,442.00      277,442      277,442
CASELLA WASTE SYS IN   CL A        14744810        1,470,438.00      228,684      228,664                       20
AMERICAN PHARMACEUTI   COM         02886P10        1,469,716.00       90,001       90,001
MACATAWA BK CORP       COM         55422510        1,466,604.00       79,577       79,577
WHITE ELECTR DESIGNS   COM         96380110        1,466,586.00      195,806      195,806
LAKELAND FINL CORP     COM         51165610        1,466,529.00       61,905       61,905
PENWEST PHARMACEUTIC   COM         70975410        1,464,389.00      175,797      175,797
FRIEDMANS INC          CL A        35843810        1,463,200.00      188,072      188,072
ALLIANCE SEMICONDUCT   COM         01877H10        1,461,252.00      384,540      384,540
DREXLER TECHNOLOGY C   COM         26187610        1,460,761.00      100,465       94,115         950        5,400
BOYDS COLLECTION LTD   COM         10335410        1,458,157.00      226,422      226,422
ACADIA RLTY TR         COM SH BEN  00423910        1,457,208.00      196,920      196,920
MERIDIAN MED TECHNOL   COM         58965810        1,446,807.00       40,245       40,245
ZOMAX INC MINN         COM         98992910        1,445,733.00      370,701      370,701
RUDOLPH TECHNOLOGIES   COM         78127010        1,443,604.00      140,292      140,192                      100
COMPUCOM SYS INC       COM         20478010        1,438,899.00      249,809      249,809
WIRELESS FACILITIES    COM         97653A10        1,438,899.00      324,808      322,028       2,780
BOSTON BEER INC        CL A        10055710        1,433,103.00      103,101      101,901       1,000          200
Page Total                                        58,843,985.00


                                   Voting Authority
     Name of                  Sole      Shared      None
     Issuer

----------------------------------------------------------
                                          
ABN AMRO HLDG NV              134,489
MERIDIAN GOLD INC              81,800
WATER PIK TECHNOLOGI          106,465       100     40,850
AMERCO                        123,284               25,350
UNIVERSAL AMERN FINL          251,062               53,050
FIRST LONG IS CORP             36,955                7,850
ENCORE WIRE CORP              145,302               23,500
OMEGA HEALTHCARE INV          254,676                5,000
DEB SHOPS INC                  50,033                9,500
GUILFORD PHARMACEUTI          256,575               49,950
PENFORD CORP                   80,181       580     29,100
ABC BANCORP                   101,933               13,700
CONCORD CAMERA CORP           269,885               47,950
SUREBEAM CORP                 703,569     1,256    116,922
KINDER MORGAN ENERGY           42,433     2,100      1,700
IMMUNOGEN INC                 380,680               74,857
INFOUSA INC NEW               294,373               46,475
OSI SYSTEMS INC                72,924               12,300
FIRST HORIZON PHARMA          223,791               48,850
RADIOLOGIX INC                184,205               45,750
INTEGRATED ELECTRICA          316,196               77,200
WHITEHALL JEWELLERS           118,428               21,400
COMPUCREDIT CORP              236,442               41,000
CASELLA WASTE SYS IN          188,864        20     39,800
AMERICAN PHARMACEUTI           87,801                2,200
MACATAWA BK CORP               60,527               19,050
WHITE ELECTR DESIGNS          172,206               23,600
LAKELAND FINL CORP             54,805                7,100
PENWEST PHARMACEUTIC          145,398               30,399
FRIEDMANS INC                 163,372               24,700
ALLIANCE SEMICONDUCT          291,690               92,850
DREXLER TECHNOLOGY C           79,965     5,400     15,100
BOYDS COLLECTION LTD          215,422               11,000
ACADIA RLTY TR                172,520               24,400
MERIDIAN MED TECHNOL           36,395                3,850
ZOMAX INC MINN                301,451               69,250
RUDOLPH TECHNOLOGIES          116,442       100     23,750
COMPUCOM SYS INC              235,709               14,100
WIRELESS FACILITIES           271,908               52,900
BOSTON BEER INC               101,001       200      1,900
Page Total


                                                                        64 of 82





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

------------------------------------------------------------------------------------------------------------------
                                                                                      
ORTHOLOGIC CORP        COM         68750J10        1,432,550.00      370,168      370,168
NU HORIZONS ELECTRS    COM         66990810        1,431,450.00      238,575      238,575
FIRST ST BANCORPORAT   COM         33645310        1,430,636.00       58,038       58,038
HOLLYWOOD CASINO COR   CL A        43613220        1,430,139.00      118,389      118,389
TARO PHARMACEUTICAL    ORD         M8737E10        1,425,532.00       42,238       42,238
STATE BANCORP INC N.   COM         85571610        1,423,053.00       80,172       80,172
POZEN INC              COM         73941U10        1,422,596.00      280,591      280,591
HARMONIC INC           COM         41316010        1,419,678.00      811,245      811,045         200
RESOURCE AMERICA INC   CL A        76119520        1,418,760.00      177,345      177,345
BUCA INC               COM         11776910        1,418,168.00      177,271      177,131         140
OPTION CARE INC        COM         68394810        1,417,911.00      160,216      160,216
CURATIVE HEALTH SVCS   COM         23126410        1,416,738.00      130,575      130,575
NEUROGEN CORP          COM         64124E10        1,415,504.00      176,277      176,277
VIACOM INC             CL A        92552410        1,414,992.00       34,895       33,995         700          200
U S CONCRETE INC       COM         90333L10        1,413,588.00      269,255      269,255
YOUNG INNOVATIONS IN   COM         98752010        1,413,279.00       52,695       52,695
ORASURE TECHNOLOGIES   COM         68554V10        1,411,242.00      317,919      317,919
AFTERMARKET TECHNOLO   COM         00831810        1,405,516.00      108,702      108,702
APPLICA INC            COM         03815A10        1,405,379.00      265,166      265,166
INTERMET CORP          COM         45881K10        1,395,154.00      290,053      290,053
GLADSTONE CAPITAL CO   COM         37653510        1,393,882.00       82,576       82,576
AEP INDS INC           COM         00103110        1,393,342.00       51,548       51,548
GROUPE DANONE          SPONSORED   39944910        1,391,822.00       57,848       57,848
PACIFIC UN BK CALIF    COM         69502510        1,391,048.00      124,090      124,090
RIBAPHARM INC          COM         76253710        1,389,663.00      308,814      308,814
COASTAL BANCORP INC    COM         19041P10        1,389,296.00       50,264       50,264
MASSBANK CORP READ M   COM         57615210        1,387,509.00       46,343       46,343
METRIS COS INC         COM         59159810        1,386,732.00      600,317      600,187          30          100
VIRAGE LOGIC CORP      COM         92763R10        1,385,380.00      146,912      146,912
UNILEVER PLC           SPON ADR N  90476770        1,381,564.00       37,903       34,014       3,889
QUIXOTE CORP           COM         74905610        1,376,480.00       74,606       74,606
LYON WILLIAM HOMES     COM         55207410        1,374,714.00       60,005       60,005
THREE FIVE SYS INC     COM         88554L10        1,374,122.00      296,147      295,932         215
LUBYS INC              COM         54928210        1,371,942.00      278,850      276,250       2,600
MCSI INC               COM         55270M10        1,370,932.00      276,956      276,956
LUFKIN INDS INC        COM         54976410        1,370,170.00       55,698       55,698
ROANOKE ELEC STL COR   COM         76984110        1,365,895.00      125,889      125,889
ASPEN TECHNOLOGY INC   COM         04532710        1,365,711.00      455,237      455,237
RPC INC                COM         74966010        1,360,586.00      137,433      137,433
DONNELLY CORP          CL A        25787010        1,357,684.00       52,400       52,400
Page Total                                        55,940,339.00


                                 Voting Authority
     Name of               Sole       Shared        None
     Issuer

----------------------------------------------------------
                                          
ORTHOLOGIC CORP            302,468                  67,700
NU HORIZONS ELECTRS        210,925                  27,650
FIRST ST BANCORPORAT        51,338                   6,700
HOLLYWOOD CASINO COR       116,189                   2,200
TARO PHARMACEUTICAL         20,563     12,819        8,856
STATE BANCORP INC N.        75,672                   4,500
POZEN INC                  241,200                  39,391
HARMONIC INC               688,470                 122,775
RESOURCE AMERICA INC       145,995                  31,350
BUCA INC                   145,321                  31,950
OPTION CARE INC            131,166                  29,050
CURATIVE HEALTH SVCS       110,325                  20,250
NEUROGEN CORP              153,677                  22,600
VIACOM INC                   6,496        200       28,199
U S CONCRETE INC           232,698                  36,557
YOUNG INNOVATIONS IN        49,995                   2,700
ORASURE TECHNOLOGIES       256,519                  61,400
AFTERMARKET TECHNOLO        89,102                  19,600
APPLICA INC                203,766                  61,400
INTERMET CORP              248,303                  41,750
GLADSTONE CAPITAL CO        77,076                   5,500
AEP INDS INC                42,848                   8,700
GROUPE DANONE               57,848
PACIFIC UN BK CALIF        105,890                  18,200
RIBAPHARM INC              213,114                  95,700
COASTAL BANCORP INC         44,764                   5,500
MASSBANK CORP READ M        40,843                   5,500
METRIS COS INC             523,917        100       76,300
VIRAGE LOGIC CORP          128,212                  18,700
UNILEVER PLC                37,903
QUIXOTE CORP                70,806                   3,800
LYON WILLIAM HOMES          54,605                   5,400
THREE FIVE SYS INC         252,247                  43,900
LUBYS INC                  258,850                  20,000
MCSI INC                   222,256                  54,700
LUFKIN INDS INC             52,198                   3,500
ROANOKE ELEC STL COR       107,789                  18,100
ASPEN TECHNOLOGY INC       381,987                  73,250
RPC INC                    129,033                   8,400
DONNELLY CORP               30,600                  21,800
Page Total


                                                                        65 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COBIZ INC              COM         19089710    1,357,197.00      84,298     84,298                         74,798              9,500
PETROQUEST ENERGY IN   COM         71674810    1,349,629.00     305,346    305,346                        255,196             50,150
COMFORT SYS USA INC    COM         19990810    1,347,513.00     443,261    443,081     180                357,461             85,800
SOUTHWEST WTR CO       COM         84533110    1,346,286.00      94,410     94,410                         90,310              4,100
IXIA                   COM         45071R10    1,344,791.00     327,998    327,998                        270,948             57,050
COMPUTER HORIZONS CO   COM         20590810    1,344,720.00     361,484    361,484                        302,284             59,200
CB BANCSHARES INC HA   COM         12478510    1,338,212.00      38,104     38,104                         32,034              6,070
CROWN MEDIA HLDGS IN   CL A        22841110    1,337,763.00     382,218    382,138                 80     314,998      80     67,140
BOSTONFED BANCORP IN   COM         10117810    1,337,613.00      44,602     44,452     150                 36,902              7,700
SOUTHWEST BANCORP IN   COM         84476710    1,336,194.00      53,129     53,129                         48,129              5,000
POMEROY COMPUTER RES   COM         73182210    1,334,383.00     135,333    135,333                        114,287             21,046
SIEMENS A G            SPONSORED   82619750    1,332,367.00      39,642     39,642                         39,642
WATCHGUARD TECHNOLOG   COM         94110510    1,330,709.00     302,434    302,434                        252,034             50,400
NS GROUP INC           COM         62891610    1,330,045.00     224,291    224,291                        190,641             33,650
SUMMIT BANCSHARES IN   COM         86601110    1,327,644.00      63,071     63,071                         57,071              6,000
QUIDEL CORP            COM         74838J10    1,315,109.00     294,208    294,208                        255,858             38,350
OPENWAVE SYS INC       COM         68371810    1,314,915.00   2,120,831  2,120,151     520        160   1,749,270     160    371,401
CADIZ INC              COM         12753710    1,314,534.00     438,178    438,178                        368,028             70,150
STMICROELECTRONICS N   NY REGISTR  86101210    1,308,215.00      96,690     96,690                         96,590     100
FIRST OAK BROOK BANC   COM         33584720    1,303,303.00      43,838     43,838                         42,938                900
PEETS COFFEE & TEA I   COM         70556010    1,302,784.00     101,780     87,890     890     13,000      86,980  13,000      1,800
VANS INC               COM         92193010    1,299,231.00     228,336    228,336                        179,736             48,600
MERCHANTS BANCSHARES   COM         58844810    1,299,121.00      52,596     50,666              1,930      48,166   1,930      2,500
COLLINS & AIKMAN COR   COM NEW     19483020    1,296,909.00     361,256    361,256                        294,326             66,930
NYFIX INC              COM         67071210    1,296,015.00     333,166    333,026      40        100     285,166     100     47,900
GULF ISLAND FABRICAT   COM         40230710    1,295,822.00     110,189    110,189                         98,689             11,500
COASTAL FINL CORP DE   COM         19046E10    1,289,725.00      95,253     95,253                         77,753             17,500
ALAMO GROUP INC        COM         01131110    1,289,098.00     104,296    104,296                        100,496              3,800
HORIZON ORGANIC HOLD   COM         44043T10    1,288,840.00      82,618     82,618                         73,018              9,600
CARDIAC SCIENCE INC    COM NEW     14141020    1,288,750.00     650,884    650,884                        526,234            124,650
KENSEY NASH CORP       COM         49005710    1,286,722.00      85,542     85,542                         83,842              1,700
BARRICK GOLD CORP      COM         06790110    1,284,087.00      82,578     82,271     307                 79,312              3,266
DOVER DOWNS GAMING &   COM         26009510    1,283,938.00     157,732    157,732                        119,592             38,140
MILACRON INC           COM         59870910    1,279,338.00     283,667    283,595      60         12     226,855      12     56,800
CEDAR FAIR L P         DEPOSITRY   15018510    1,278,886.00      54,700     43,500   7,000      4,200      49,500   4,200      1,000
AT RD INC              COM         04648K10    1,276,025.00     236,301    236,301                        210,301             26,000
MICROTUNE INC DEL      COM         59514P10    1,274,627.00     528,891    525,991   2,900                434,391             94,500
REGISTER COM INC       COM         75914G10    1,270,591.00     419,337    419,237     100                350,687             68,650
TOLLGRADE COMMUNICAT   COM         88954210    1,270,483.00     162,674    162,674                        138,074             24,600
COLUMBIA BANCORP       COM         19722710    1,267,950.00      67,194     67,194                         59,694              7,500
Page Total                                    52,370,084.00


                                                                        66 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
APPLIED FILMS CORP     COM         03819710    1,267,792.00     115,886    115,886                         96,736             19,150
COVENANT TRANS INC     CL A        22284P10    1,267,332.00      72,419     72,419                         71,019              1,400
D & K HEALTHCARE RES   COM         23286110    1,263,704.00     141,196    141,196                        122,696             18,500
BWAY CORP              COM         05603910    1,263,398.00      90,892     53,741   37,151                82,792              8,100
SITEL CORP             COM         82980K10    1,262,913.00     721,665    721,665                        588,915            132,750
SHOE CARNIVAL INC      COM         82488910    1,262,022.00      88,563     88,563                         78,763              9,800
SPARTAN MTRS INC       COM         84681910    1,261,633.00     111,649    111,649                         97,549             14,100
EMS TECHNOLOGIES INC   COM         26873N10    1,261,374.00     122,941    122,941                        101,291             21,650
CREDIT SUISSE GROUP    SPONSORED   22540110    1,259,387.00      63,254     63,254                         63,254
FIRST DEFIANCE FINL    COM         32006W10    1,257,736.00      73,252     73,252                         62,852             10,400
GALYANS TRADING INC    COM         36458R10    1,255,534.00     125,428    125,428                        110,676             14,752
GLOBAL POWER EQUIPME   COM         37941P10    1,254,603.00     266,937    266,937                        207,387             59,550
DIGIMARC CORP          COM         25380710    1,253,778.00     107,436    107,436                        100,736              6,700
PDF SOLUTIONS INC      COM         69328210    1,253,201.00     236,900    236,900                        235,100              1,800
SAUER-DANFOSS INC      COM         80413710    1,250,541.00     138,949    138,889       60               126,549             12,400
DATASTREAM SYS INC     COM         23812410    1,249,290.00     249,858    249,858                        221,058             28,800
WILLOW GROVE BANCORP   COM         97111W10    1,245,206.00     105,526    105,526                         99,226              6,300
FIRST CONSULTING GRO   COM         31986R10    1,241,814.00     229,117    229,117                        194,517             34,600
WORLD WRESTLING ENTM   CL A        98156Q10    1,241,019.00     148,270    148,270                        110,220             38,050
BENTLEY PHARMACEUTIC   COM         08265710    1,239,342.00     145,805    145,805                        128,305             17,500
TEPPCO PARTNERS L P    UT LTD PAR  87238410    1,239,218.00      42,439     36,939    3,100      2,400     39,339    2,400       700
NORTHWEST PIPE CO      COM         66774610    1,238,864.00      69,249     69,249                         60,124              9,125
CASS INFORMATION SYS   COM         14808P10    1,238,386.00      53,494                         53,494              53,494
BANCO BILBAO VIZCAYA   SPONSORED   05946K10    1,231,501.00     162,897    162,897                        162,897
BROOKSTONE INC         COM         11453710    1,231,143.00     100,093    100,093                         83,143             16,950
SPORTS RESORTS INTL    COM         84918U10    1,230,350.00     295,048    295,048                        246,548             48,500
CENTURY ALUM CO        COM         15643110    1,230,326.00     176,771    176,771                        155,621             21,150
SECURE COMPUTING COR   COM         81370510    1,228,515.00     383,911    383,911                        312,861             71,050
TRANSMETA CORP DEL     COM         89376R10    1,227,269.00   1,265,226  1,265,226                      1,048,276            216,950
BUCKEYE PARTNERS L P   UNIT LTD P  11823010    1,225,780.00      33,400     23,600    8,800      1,000     31,700    1,000       700
PARKVALE FINL CORP     COM         70149210    1,224,741.00      52,006     52,006                         47,606              4,400
WARWICK CMNTY BANCOR   COM         93655910    1,223,775.00      45,325     45,325                         35,225             10,100
AKAMAI TECHNOLOGIES    COM         00971T10    1,221,818.00   1,472,070  1,295,345    1,075    175,650  1,049,670  175,650   246,750
UNILAB CORP NEW        COM NEW     90476320    1,221,292.00      58,240     58,240                         55,940              2,300
CALIPER TECHNOLOGIES   COM         13087610    1,221,271.00     291,473    291,116      357               245,323             46,150
TRIANGLE PHARMACEUTI   COM         89589H10    1,220,506.00     451,872    441,872    5,000      5,000    399,422    5,000    47,450
DYNAMICS RESH CORP     COM         26805710    1,219,762.00      83,660     83,660                         64,710             18,950
TRICO BANCSHARES       COM         89609510    1,210,225.00      47,835     47,835                         44,735              3,100
SPEEDFAM-IPEC INC      COM         84770510    1,203,702.00     324,448    324,448                        278,948             45,500
GRACE W R & CO DEL N   COM         38388F10    1,200,475.00     750,297    749,997      300               641,537            108,760
Page Total                                    49,600,538.00


                                                                        67 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
FINANCIAL INDS CORP   COM        31757410   1,197,925.00     78,501     78,501                         73,301                  5,200
INGLES MKTS INC       CL A       45703010   1,195,864.00    111,763    111,263                 500     91,363       500       19,900
WILSONS THE LEATHER   COM        97246310   1,195,198.00    167,865    167,825        40              139,115                 28,750
REPUBLIC BANCORP KY   CL A       76028120   1,190,812.00    105,850    105,850                         87,750                 18,100
CPI CORP              COM        12590210   1,189,265.00     86,492     86,492                         80,492                  6,000
WACKENHUT CORRECTION  COM        92979810   1,186,696.00    104,647    104,647                        102,947                  1,700
HEALTHCARE SVCS GRP   COM        42190610   1,185,970.00     86,948     86,948                         84,948                  2,000
HYPERCOM CORP         COM        44913M10   1,184,955.00    414,320    414,220       100              335,420                 78,900
PICO HLDGS INC        COM NEW    69336620   1,183,754.00    107,614    107,574        40               99,214                  8,400
EQUITY ONE            COM        29475210   1,182,403.00     89,576     89,576                         82,676                  6,900
NEOSE TECHNOLOGIES I  COM        64052210   1,181,646.00    152,274    152,174                 100    112,974       100       39,200
FINISAR               COM        31787A10   1,175,243.00  1,703,251  1,702,351       300       600  1,375,931       600      326,720
CARDIODYNAMICS INTL   COM        14159710   1,174,404.00    410,631    410,631                        345,731                 64,900
CHIPPAC INC           CL A       16965710   1,172,997.00    548,386    548,386                        450,086                 98,300
SUN BANCORP INC       COM        86663B10   1,172,979.00     88,460     88,460                         76,260                 12,200
SANDERSON FARMS INC   COM        80001310   1,170,848.00     73,178     72,978                 200     72,078       200          900
PARKERVISION INC      COM        70135410   1,170,657.00    103,598    103,598                         90,361                 13,237
QUANTA SVCS INC       COM        74762E10   1,164,485.00    559,849    559,609       140       100    498,349       100       61,400
BANK OF THE OZARKS I  COM        06390410   1,158,831.00     50,604     50,604                         45,104                  5,500
DEUTSCHE BANK AG NAM  ORD        D1819089   1,158,709.00     25,511     25,511                         25,511
1 800 FLOWERS COM     CL A       68243Q10   1,155,504.00    165,072    165,072                        143,672                 21,400
GERON CORP            COM        37416310   1,154,879.00    296,123    296,123                        236,323                 59,800
ADVANTA CORP          CL A       00794210   1,154,031.00    114,829    114,829                        101,629                 13,200
DVI INC               COM        23334310   1,151,596.00    239,916    239,916                        213,576                 26,340
SK TELECOM LTD        SPONSORED  78440P10   1,150,305.00     54,183     54,183                         28,312    14,246       11,625
AETHER SYS INC        COM        00808V10   1,148,999.00    428,731    420,531     8,200              340,331                 88,400
SIX CONTINENTS PLC    SPONSORED  83001810   1,147,410.00    119,026    119,026                        119,026
STRATEX NETWORKS INC  COM        86279T10   1,142,450.00    976,453    976,353                 100    830,786       100      145,567
CENTER TR INC         COM        15184510   1,141,753.00    196,854    196,854                        175,264                 21,590
FRESH DEL MONTE PROD  ORD        G3673810   1,137,987.00     44,470     43,820       650               44,470
INTERPOOL INC         COM        46062R10   1,137,488.00     94,633     94,633                         91,133                  3,500
GENERAL BINDING CORP  COM        36915410   1,137,332.00     71,756     71,756                         62,056                  9,700
ADMINISTAFF INC       COM        00709410   1,136,727.00    295,254    295,234        20              241,654                 53,600
U S PHYSICAL THERAPY  COM        90337L10   1,134,947.00    107,578    107,578                         86,328                 21,250
DURECT CORP           COM        26660510   1,130,176.00    364,573    364,573                        308,323                 56,250
YARDVILLE NATL BANCO  COM        98502110   1,126,063.00     66,278     66,278                         55,478                 10,800
RESEARCH FRONTIERS I  COM        76091110   1,125,349.00    125,597    125,597                         95,647                 29,950
AVATAR HLDGS INC      COM        05349410   1,119,102.00     46,513     46,513                         43,813                  2,700
J2 GLOBAL COMMUNICAT  COM NEW    46626E20   1,118,852.00     56,252     56,252                         53,152                  3,100
CORNELL COMPANIES IN  COM        21914110   1,118,072.00    140,638    140,638                        124,838                 15,800
Page Total                                 46,362,663.00


                                                                        68 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HARRIS INTERACTIVE I  COM        41454910   1,117,185.00    485,733    485,733                        417,983                 67,750
COCA-COLA FEMSA S A   SPON ADR R 19124110   1,112,693.00     58,532     58,532                         31,622    20,660        6,250
VERINT SYS INC        COM        92343X10   1,111,855.00    128,851    128,851                         99,601    20,620        8,630
STARRETT L S CO       CL A       85566810   1,111,115.00     72,717     72,717                         64,317                  8,400
MOLDFLOW CORP         COM        60850710   1,111,006.00    224,900    224,900                        224,900
CONCORD COMMUNICATIO  COM        20618610   1,110,535.00    219,908    216,868     3,000        40    186,418        40       33,450
MARVEL ENTERPRISES I  COM        57383M10   1,110,025.00    158,575    158,575                        154,675                  3,900
NN INC                COM        62933710   1,109,667.00    119,964    119,964                        117,664                  2,300
NETSCREEN TECHNOLOGI  COM        64117V10   1,106,732.00    102,003    102,003                         96,303                  5,700
GSI COMMERCE INC      COM        36238G10   1,103,182.00    218,452    218,452                        184,852                 33,600
ALLEGIANCE TELECOM I  COM        01747T10   1,098,267.00  1,323,214  1,319,389     3,725       100    977,014       100      346,100
ESCALADE INC          COM        29605610   1,096,633.00     55,246     55,246                         38,920                 16,326
SEMITOOL INC          COM        81690910   1,096,352.00    212,884    212,884                        181,184                 31,700
AEGON N V             ORD AMER R 00792410   1,090,013.00    115,590    115,590                        115,590
UNIVERSAL DISPLAY CO  COM        91347P10   1,089,979.00    181,361    181,361                        150,561                 30,800
IMCO RECYCLING INC    COM        44968110   1,088,661.00    179,944    179,944                        155,744                 24,200
SOUNDVIEW TECHNOLOGY  COM        83611Q10   1,087,504.00    836,542    836,542                        670,868                165,674
ARIAD PHARMACEUTICAL  COM        04033A10   1,087,340.00    344,095    344,095                        282,765                 61,330
CHECKERS DRIVE-IN RE  COM NEW    16280930   1,084,816.00    135,602    135,602                        122,302                 13,300
LEXAR MEDIA INC       COM        52886P10   1,084,618.00    409,290    409,290                        343,365                 65,925
LENDINGTREE INC       COM        52602Q10   1,076,830.00     73,055     73,055                         70,755                  2,300
WORLD ACCEP CORP DEL  COM        98141910   1,074,371.00    135,653    135,653                        128,453                  7,200
ROYAL BANCSHARES PA   CL A       78008110   1,072,855.00     58,626     58,626                         51,126                  7,500
NETEGRITY INC         COM        64110P10   1,072,176.00    520,474    520,254                 220    504,154       220       16,100
FIRST SOUTH BANCORP   COM        33646W10   1,071,639.00     30,060     30,060                         25,560                  4,500
MOLEX INC             CL A       60855420   1,067,106.00     50,817     40,398     4,969     5,450     22,037     5,450       23,330
DEUTSCHE TELEKOM AG   SPONSORED  25156610   1,066,937.00    129,013    128,987        26              128,647       366
NATIONAL HEALTH REAL  COM        63590510   1,066,621.00     67,679     67,679                         62,479                  5,200
ENERGYSOUTH INC       COM        29297010   1,065,645.00     41,790     41,790                         40,890                    900
I2 TECHNOLOGIES INC   COM        46575410   1,062,680.00  2,043,617  2,042,917       500       200  1,860,057     6,600      176,960
DIGENE CORP           COM        25375210   1,061,309.00    134,343    134,343                        111,043                 23,300
PRICESMART INC        COM        74151110   1,055,060.00     52,753     52,753                         42,853                  9,900
SAPIENT CORP          COM        80306210   1,051,935.00  1,021,297    990,827    30,370       100    810,237       100      210,960
ADVANTA CORP          CL B       00794220   1,050,457.00    101,690    101,690                         75,140                 26,550
STANDARD MTR PRODS I  COM        85366610   1,047,434.00     96,895     96,895                         92,395                  4,500
FINLAY ENTERPRISES I  COM NEW    31788420   1,046,606.00     69,376     69,376                         59,876                  9,500
KYPHON INC            COM        50157710   1,045,466.00     79,202     79,202                         75,502                  3,700
VESTA INS GROUP INC   COM        92539110   1,041,902.00    416,761    407,561     9,200              357,311                 59,450
MOTHERS WK INC        COM        61990310   1,040,995.00     27,373     27,373                         23,473                  3,900
BANC CORP             COM        05944B10   1,039,752.00    134,335    134,335                        107,535                 26,800
Page Total                                 43,185,954.00


                                                                        69 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BELL MICROPRODUCTS I   COM         07813710    1,031,114.00    246,678   246,678                          211,028             35,650
SYNTEL INC             COM         87162H10    1,028,439.00     87,378    87,378                           83,878              3,500
AMERICAN HOME MTG HL   COM         02660M10    1,028,205.00     93,219    93,219                           89,119              4,100
PRINCETON REVIEW INC   COM         74235210    1,026,228.00    171,038   171,038                          148,138             22,900
PROVIDENT BANCORP IN   COM         74383510    1,025,423.00     36,043    36,043                           34,243              1,800
ALICO INC              COM         01623010    1,024,541.00     36,012    36,012                           34,112              1,900
DIAMONDCLUSTER INTL    CL A        25278P10    1,023,744.00    314,032   309,032                5,000     252,032    5,000    57,000
REPUBLIC BANCSHARES    COM         75992910    1,021,222.00     52,532    52,532                           49,432              3,100
RAINBOW TECHNOLOGIES   COM         75086210    1,020,463.00    359,318   359,318                          321,018             38,300
NEOFORMA COM INC       COM NEW     64047550    1,020,392.00    108,207   108,207                           97,907             10,300
BRUKER DALTONICS INC   COM         11679510    1,018,867.00    199,387   193,587      5,800               192,287              7,100
THOMSON CORP           COM         88490310    1,016,735.00     40,882    40,882                                              40,882
REX STORES CORP        COM         76162410    1,014,776.00     98,522    98,522                           79,622             18,900
GOODYS FAMILY CLOTHI   COM         38258810    1,014,389.00    214,913   214,913                          191,863             23,050
VIEWPOINT CORP         COM         92672P10    1,013,671.00    464,987   464,987                          379,637             85,350
I-MANY INC             COM         44973Q10    1,011,922.00    505,961   416,814     89,147               438,361             67,600
RENT WAY INC           COM         76009U10    1,010,898.00    336,966   336,966                          279,166             57,800
COLUMBUS MCKINNON CO   COM         19933310    1,010,393.00    192,090   192,090                          162,840             29,250
KFORCE INC             COM         49373210    1,008,498.00    324,276   324,276                          265,376             58,900
ISHARES TR             RUSSELL 20  46428765    1,007,781.00     14,085    14,085                           14,085
OPNET TECHNOLOGIES I   COM         68375710    1,003,653.00    158,555   130,086     28,469               153,455              5,100
NUMERICAL TECHNOLOGI   COM         67053T10    1,001,973.00    345,508   341,308      4,200               294,934             50,574
MAPICS INC             COM         56491010      995,254.00    177,724   177,724                          168,824              8,900
ARDEN GROUP INC        CL A        03976210      989,687.00     17,829    17,829                           16,829              1,000
CHARLOTTE RUSSE HLDG   COM         16104810      987,924.00    103,992   103,992                           85,142             18,850
APAC CUSTOMER SERVIC   COM         00185E10      985,340.00    338,605   338,605                          292,505             46,100
STEINWAY MUSICAL INS   COM ORD     85849510      980,987.00     63,908    63,908                           60,108              3,800
K V PHARMACEUTICAL C   CL B CONV   48274010      980,796.00     51,894    51,894                           39,594             12,300
LABONE INC NEW         COM         50540L10      980,540.00     60,677    60,677                           53,077              7,600
CEPHEID                COM         15670R10      980,456.00    254,664   254,664                          216,964             37,700
LIFELINE SYS INC       COM         53219210      979,616.00     44,528    44,528                           37,128              7,400
LODGENET ENTMT CORP    COM         54021110      979,101.00    127,820   127,820                          101,070             26,750
INTEGRATED SILICON S   COM         45812P10      978,193.00    328,253   325,918      2,335               260,753             67,500
STORAGENETWORKS INC    COM         86211E10      976,777.00    781,422   774,261      7,161               675,522            105,900
PLUG POWER INC         COM         72919P10      976,758.00    204,044   203,144        900               183,739             20,305
BT GROUP PLC           ADR         05577E10      976,312.00     37,783    37,688         95                37,783
MASTEC INC             COM         57632310      959,571.00    297,081   292,681      4,400               241,731             55,350
ULTICOM INC            COM         90384410      957,878.00    173,215   173,215                          167,515              5,700
ACACIA RESH CORP       COM         00388110      952,904.00    239,966   239,944                   22     196,475       22    43,469
MONRO MUFFLER BRAKE    COM         61023610      952,884.00     53,353    53,353                           50,053              3,300
Page Total                                    39,954,305.00


                                                                        70 of 82





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

------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ZYMOGENETICS INC       COM         98985T10      952,416.00    119,052   119,052                          112,852              6,200
ONYX SOFTWARE CORP     COM         68340210      951,479.00    498,157   498,137       20                 420,457             77,700
FUJI PHOTO FILM LTD    ADR         35958630      947,620.00     32,342    32,342                           32,342
TERRA INDS INC         COM         88091510      945,046.00    510,836   510,836                          452,436             58,400
MEDCATH CORP           COM         58404W10      941,369.00     83,307    83,307                           75,307              8,000
WITNESS SYS INC        COM         97742410      939,703.00    161,461   161,461                          138,961             22,500
ACCLAIM ENTMT INC      COM PAR $0  00432520      938,076.00    852,797   852,543      254                 661,593      254   190,950
HITACHI LIMITED        ADR 10 COM  43357850      937,625.00     18,919    18,919                           18,919
MARTHA STEWART LIVIN   CL A        57308310      934,654.00    133,522   133,322      100         100     108,472      100    24,950
WELLSFORD REAL PPTYS   COM NEW     95024020      932,446.00     54,212    54,212                           50,912              3,300
MILLEA HOLDINGS INC    ADR         60032R10      930,580.00     23,800    23,800                           23,800
NEWS CORP LTD          ADR NEW     65248770      927,041.00     48,158    48,158                           48,158
CULP INC               COM         23021510      922,981.00    108,586   108,586                          104,886              3,700
ILLUMINA INC           COM         45232710      921,572.00    267,899   267,899                          222,799             45,100
1-800 CONTACTS INC     COM         68197710      919,930.00     91,993    91,993                           65,593             26,400
PAIN THERAPEUTICS IN   COM         69562K10      918,384.00    231,331   231,331                          199,831             31,500
TRANSMONTAIGNE INC     COM         89393410      917,818.00    184,301   180,801    3,500                 152,021             32,280
SIRIUS SATELLITE RAD   COM         82966U10      911,775.00    911,775   911,575      100         100     760,225      100   151,450
BIOPURE CORP           CL A        09065H10      911,470.00    260,420   251,100    6,570       2,750     219,370    2,750    38,300
NELSON THOMAS INC      COM         64037610      910,870.00    103,508   103,468                   40      98,168       40     5,300
TURNSTONE SYSTEMS IN   COM         90042310      910,521.00    410,145   409,845      300                 353,742             56,403
NAVIGATORS GROUP INC   COM         63890410      909,677.00     44,878    44,878                           42,378              2,500
SCHNITZER STL INDS     CL A        80688210      907,845.00     50,160    50,160                           35,560             14,600
RMH TELESERVICES INC   COM         74993810      906,502.00    111,091   111,091                          103,891              7,200
XICOR INC              COM         98490310      902,142.00    249,901   249,801                  100     205,251      100    44,550
ACME COMMUNICATION I   COM         00463110      901,453.00    115,571   112,871    2,700                 113,371              2,200
HEALTHTRONICS SURGIC   COM         42222L10      899,482.00    107,465   107,465                           89,765             17,700
ORGANOGENESIS INC      COM         68590610      898,490.00     89,849    86,649                3,200      86,649    3,200
EMC INS GROUP INC      COM         26866410      895,955.00     62,830    62,830                           60,530              2,300
MODTECH HLDGS INC      COM         60783C10      894,350.00     89,435    89,435                           75,535             13,900
RES-CARE INC           COM         76094310      889,595.00    179,354   179,354                          148,754             30,600
TIVO INC               COM         88870610      888,944.00    246,929   243,229    3,700                 235,529             11,400
RESTORATION HARDWARE   COM         76098110      888,399.00    197,422   197,422                          168,772             28,650
ITO YOKADO LTD         ADR NEW     46571430      887,997.00     22,775    22,775                           22,775
WESCO INTL INC         COM         95082P10      887,558.00    206,409   206,269      140                 177,809             28,600
EXPLORATION CO         COM NEW     30213320      887,079.00    170,921   170,921                          141,621             29,300
WOMEN FIRST HEALTHCA   COM         97815010      886,738.00    189,474   189,474                          136,874             52,600
PACKETEER INC          COM         69521010      886,098.00    295,366   293,281    2,085                 243,516             51,850
HORIZON OFFSHORE INC   COM         44043J10      885,253.00    210,224   210,224                          167,224             43,000
CHEROKEE INC DEL NEW   COM         16444H10      884,988.00     54,866    53,866                1,000      46,166    1,000     7,700
Page Total                                    36,511,921.00


                                                                        71 of 82





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

--------------------------------------------------------------------------------------------------------------------
                                                                                        
RADISYS CORP           COM         75045910             883,812.00      223,185      223,145          40
EMBREX INC             COM         29081710             882,905.00       79,541       79,541
PRESSTEK INC           COM         74111310             879,201.00      344,785      344,725          60
MIDWEST EXPRESS HLDG   COM         59791110             878,320.00      219,580      219,580
ICICI BK LTD           ADR         45104G10             876,552.00      146,336      146,336
BAYER A G              SPONSORED   07273030             871,745.00       49,531       49,311         220
HALL KINION ASSOCIAT   COM         40606910             871,014.00      145,169      145,169
PARTNERS TRUST FINCL   COM         70213A10             870,023.00       62,278       62,278
AVENUE A INC           COM         05356610             869,550.00      347,820      347,820
SCHAWK INC             CL A        80637310             868,146.00       88,406       88,406
DOVER MOTORSPORTS IN   COM         26017410             866,500.00      216,625      216,625
FRANKLIN FINL CORP T   COM NEW     35352320             864,642.00       35,091       35,091
DOCUCORP INTL INC      COM         25591110             864,128.00       79,864       79,864
LVMH MOET HENNESSY L   SPONSORED   50244120             863,779.00      118,326      118,326
IXYS CORP              COM         46600W10             863,495.00      171,669      171,469         200
QUAKER FABRIC CORP N   COM         74739910             863,132.00      137,223      137,223
ASPECT COMMUNICATION   COM         04523Q10             862,184.00      586,520      586,520
UNITEDGLOBALCOM        CL A        91324750             858,070.00      523,214      523,114                      100
HEALTHEXTRAS INC       COM         42221110             856,494.00      202,481      202,481
EURONET WORLDWIDE IN   COM         29873610             855,487.00      170,077      168,077                    2,000
MAGNETEK INC           COM         55942410             855,091.00      267,216      267,216
INET TECHNOLOGIES IN   COM         45662V10             854,649.00      168,570      168,570
LECROY CORP            COM         52324W10             850,707.00       94,945       94,945
PARTY CITY CORP        COM         70214510             849,736.00       61,799       61,798           1
SCM MICROSYSTEMS INC   COM         78401810             849,331.00      215,075      215,075
SOMERA COMMUNICATION   COM         83445810             845,768.00      412,570      412,510          60
ANADIGICS INC          COM         03251510             844,031.00      396,259      396,239          20
DECODE GENETICS INC    COM         24358610             842,679.00      383,036      383,036
TRANS WORLD ENTMT CO   COM         89336Q10             841,755.00      267,224      267,124         100
SALTON INC             COM         79575710             838,966.00       98,586       98,586
CLOSURE MED CORP       COM         18909310             836,866.00       74,988       74,988
ASBURY AUTOMOTIVE GR   COM         04343610             836,430.00       95,592       95,592
KOS PHARMACEUTICALS    COM         50064810             831,570.00       74,254       74,254
MRV COMMUNICATIONS I   COM         55347710             830,002.00      976,474      976,374                      100
ALARIS MED INC         COM         01163710             827,470.00      173,474      173,474
OVERLAND STORAGE INC   COM         69031010             824,860.00       75,954       75,954
BIORELIANCE CORP       COM         09095110             824,784.00       39,615       39,615
AVANEX CORP            COM         05348W10             822,449.00      600,328      600,140         188
TRI CONTL CORP         COM         89543610             822,039.00       62,465       62,465
WILLIS GROUP HOLDING   SHS         G9665510             820,672.00       24,505       24,400         105
Page Total                                           34,119,034.00


                                  Voting Authority
     Name of              Sole         Shared        None
     Issuer

------------------------------------------------------------
                                           
RADISYS CORP              195,335                    27,850
EMBREX INC                 75,041                     4,500
PRESSTEK INC              292,035                    52,750
MIDWEST EXPRESS HLDG      186,430                    33,150
ICICI BK LTD               32,953       20,908       92,475
BAYER A G                  49,531
HALL KINION ASSOCIAT      125,269                    19,900
PARTNERS TRUST FINCL       58,178                     4,100
AVENUE A INC              302,020                    45,800
SCHAWK INC                 83,606                     4,800
DOVER MOTORSPORTS IN      180,725                    35,900
FRANKLIN FINL CORP T       29,491                     5,600
DOCUCORP INTL INC          74,964                     4,900
LVMH MOET HENNESSY L      118,326
IXYS CORP                 165,169                     6,500
QUAKER FABRIC CORP N      117,923                    19,300
ASPECT COMMUNICATION      475,595                   110,925
UNITEDGLOBALCOM           474,814          100       48,300
HEALTHEXTRAS INC          193,081                     9,400
EURONET WORLDWIDE IN      143,677        2,000       24,400
MAGNETEK INC              224,066                    43,150
INET TECHNOLOGIES IN      162,670                     5,900
LECROY CORP                90,545                     4,400
PARTY CITY CORP            60,099                     1,700
SCM MICROSYSTEMS INC      185,525                    29,550
SOMERA COMMUNICATION      342,620                    69,950
ANADIGICS INC             321,709                    74,550
DECODE GENETICS INC       317,386                    65,650
TRANS WORLD ENTMT CO      236,924                    30,300
SALTON INC                 87,586                    11,000
CLOSURE MED CORP           71,688                     3,300
ASBURY AUTOMOTIVE GR       93,992                     1,600
KOS PHARMACEUTICALS        65,105                     9,149
MRV COMMUNICATIONS I      841,174          100      135,200
ALARIS MED INC            164,674                     8,800
OVERLAND STORAGE INC       71,254                     4,700
BIORELIANCE CORP           37,515                     2,100
AVANEX CORP               510,972                    89,356
TRI CONTL CORP             21,883                    40,582
WILLIS GROUP HOLDING       24,505
Page Total


                                                                        72 of 82





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

--------------------------------------------------------------------------------------------------------------------
                                                                                         
TORONTO DOMINION BK    COM NEW     89116050             820,256.00       46,579       46,579
PARTNERRE LTD          COM         G6852T10             819,204.00       17,003       17,003
ZYGO CORP              COM         98985510             816,047.00      192,464      192,464
MAPINFO CORP           COM         56510510             815,185.00      206,376      206,376
TRICO MARINE SERVICE   COM         89610610             814,517.00      320,676      320,616          60
INVERNESS MED INNOVA   COM         46126P10             813,814.00       85,755       85,352         403
CTI MOLECULAR IMAGIN   COM         22943D10             812,130.00       32,100       32,100
ROXIO INC              COM         78000810             811,215.00      267,728      267,114         614
3-DIMENSIONAL PHARMA   COM         88554W10             810,474.00      272,887      272,887
GALLAHER GROUP PLC     SPONSORED   36359510             810,389.00       21,159       20,099       1,060
AKZO NOBEL NV          SPONSORED   01019930             809,534.00       25,063       25,063
GENZYME CORP           COM BIOSUR  37291770             807,694.00      431,922      431,332         196          394
BG PLC                 ADR FIN IN  05543420             804,143.00       39,613       39,613
SEEBEYOND TECHNOLOGI   COM         81570410             802,376.00      573,126      573,126
RIVERSTONE NETWORKS    COM         76932010             800,679.00    1,569,959    1,567,597       2,281           81
KENDLE INTERNATIONAL   COM         48880L10             800,301.00      119,448      119,448
MARINE PRODS CORP      COM         56842710             798,986.00       75,305       75,305
NATCO GROUP INC        CL A        63227W20             798,842.00      106,088      106,088
WESTPAC BKG CORP       SPONSORED   96121430             797,256.00       20,997       20,997
BUSH INDS INC          CL A        12316410             795,264.00       98,668       98,668
MESTEK INC             COM         59082910             793,601.00       43,485       34,485                    9,000
CANTEL MEDICAL CORP    COM         13809810             790,557.00       78,273       78,273
ALIGN TECHNOLOGY INC   COM         01625510             788,593.00      285,826      252,713       6,600       26,513
BEASLEY BROADCAST GR   CL A        07401410             786,544.00       62,623       62,623
ALLSCRIPTS HEALTHCAR   COM         01988P10             786,236.00      274,908      274,808         100
MERIDIAN RESOURCE CO   COM         58977Q10             785,745.00      372,391      372,391
SHOP AT HOME INC       COM NEW     82506630             785,203.00      335,557      335,557
PAYPAL INC             COM         70450810             785,107.00       37,547       37,547
SECTOR SPDR TR         SBI CONS S  81369Y30             781,705.00       39,500       39,500
READ-RITE CORP         COM         75524610             779,024.00    1,498,124    1,498,024         100
NETSCOUT SYS INC       COM         64115T10             776,761.00      212,230      212,230
VASTERA INC            COM         92239N10             775,565.00      360,728      360,728
SYNGENTA AG            SPONSORED   87160A10             774,576.00       71,720       71,711           9
PLAINS ALL AMERN PIP   UNIT LTD P  72650310             771,986.00       31,769       29,769                    2,000
ANSWERTHINK INC        COM         03691610             770,469.00      531,358      531,258         100
COMPUTER PROGRAMS &    COM         20530610             769,680.00       36,000       36,000
GAIAM INC              CL A        36268Q10             766,001.00       66,783       66,783
MIDCAP SPDR TR         UNIT SER 1  59563510             764,775.00       10,300       10,300
OMNICELL INC           COM         68213N10             762,038.00      130,486      130,486
GLAMIS GOLD LTD        COM         37677510             759,425.00       82,100       82,100
Page Total                                           31,711,897.00


                                    Voting Authority
     Name of              Sole           Shared        None
     Issuer

--------------------------------------------------------------
                                             
TORONTO DOMINION BK        46,579
PARTNERRE LTD              16,503                         500
ZYGO CORP                 157,814                      34,650
MAPINFO CORP              176,010                      30,366
TRICO MARINE SERVICE      271,626                      49,050
INVERNESS MED INNOVA       66,855                      18,900
CTI MOLECULAR IMAGIN       32,100
ROXIO INC                 222,668                      45,060
3-DIMENSIONAL PHARMA      272,887
GALLAHER GROUP PLC         21,159
AKZO NOBEL NV              25,063
GENZYME CORP              355,981            394       75,547
BG PLC                     39,613
SEEBEYOND TECHNOLOGI      478,326                      94,800
RIVERSTONE NETWORKS     1,289,018             81      280,860
KENDLE INTERNATIONAL       95,448                      24,000
MARINE PRODS CORP          71,205                       4,100
NATCO GROUP INC           100,388                       5,700
WESTPAC BKG CORP           20,997
BUSH INDS INC              83,768                      14,900
MESTEK INC                 32,585          9,000        1,900
CANTEL MEDICAL CORP        74,173                       4,100
ALIGN TECHNOLOGY INC      255,013         26,513        4,300
BEASLEY BROADCAST GR       58,623                       4,000
ALLSCRIPTS HEALTHCAR      255,608                      19,300
MERIDIAN RESOURCE CO      331,191                      41,200
SHOP AT HOME INC          286,757                      48,800
PAYPAL INC                 36,247                       1,300
SECTOR SPDR TR                                         39,500
READ-RITE CORP          1,223,022                     275,102
NETSCOUT SYS INC          200,830                      11,400
VASTERA INC               303,881                      56,847
SYNGENTA AG                71,720
PLAINS ALL AMERN PIP       29,769          2,000
ANSWERTHINK INC           447,158                      84,200
COMPUTER PROGRAMS &        34,100                       1,900
GAIAM INC                  61,183                       5,600
MIDCAP SPDR TR             10,300
OMNICELL INC              121,486                       9,000
GLAMIS GOLD LTD            82,100
Page Total


                                                                        73 of 82





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

----------------------------------------------------------------------------------------------------------------
                                                                                   
SPEECHWORKS INTL INC   COM         84764M10         757,946.00      329,542      329,507          35
W P CAREY & CO LLC     COM         92930Y10         757,640.00       30,550       28,401                 2,149
DYNACQ INTL INC        COM PAR $.  26791930         755,191.00       64,879       64,879
ITXC CORP              COM         45069F10         753,148.00      303,689      303,589         100
MARINEMAX INC          COM         56790810         750,235.00       83,267       83,267
BOMBAY CO INC          COM         09792410         749,876.00      277,732      277,732
TROPICAL SPORTSWEAR    COM         89708P10         748,803.00       57,689       57,689
DREW INDS INC          COM NEW     26168L20         748,328.00       48,124       48,124
MESABA HLDGS INC       COM         59066B10         743,773.00      136,723      136,723
PROXYMED PHARMACY IN   COM NEW     74429030         742,867.00       49,099       49,099
AMBASSADORS GROUP IN   COM         02317710         741,313.00       50,361       50,261                   100
SECTOR SPDR TR         SBI INT-UT  81369Y88         740,265.00       39,650       39,650
SPECIALTY LABORATORI   COM         84749R10         736,578.00       80,150       79,955         195
FPIC INS GROUP INC     COM         30256310         736,533.00       83,697       83,697
ICT GROUP INC          COM         44929Y10         733,515.00       36,223       36,223
NASTECH PHARMACEUTIC   COM PAR $0  63172840         732,846.00       88,508       88,508
KYOCERA CORP           ADR         50155620         730,213.00       11,133       11,133
PENN TRAFFIC CO NEW    COM NEW     70783220         729,942.00      111,783      111,783
TRITON PCS HLDGS INC   CL A        89677M10         729,844.00      349,208      349,008         100       100
PAXSON COMMUNICATION   COM         70423110         726,275.00      330,125      330,125
LOOKSMART LTD          COM         54344210         725,382.00      747,817      747,557         260
NASB FINL INC          COM         62896810         724,074.00       34,828       34,828
MEDSOURCE TECHNOLOGI   COM         58505Y10         722,514.00       96,079       96,079
AMERICAN SUPERCONDUC   COM         03011110         722,279.00      267,511      256,886      10,625
PROTON ENERGY SYS IN   COM         74371K10         720,734.00      339,969      339,969
COLDWATER CREEK INC    COM         19306810         711,008.00       53,946       53,946
REMEDYTEMP INC         CL A        75954910         709,824.00       56,650       56,650
HEXCEL CORP NEW        COM         42829110         705,473.00      284,465      284,465
NYMAGIC INC            COM         62948410         702,506.00       48,650       48,650
MANUFACTURERS SVCS L   COM         56500510         702,064.00      260,024      258,124       1,900
US UNWIRED INC         COM         90338R10         700,542.00    1,000,775      997,875       2,900
NETFLIX COM INC        COM         64110L10         698,623.00       72,023       72,023
UROLOGIX INC           COM         91727310         695,837.00      152,596      152,596
CATAPULT COMMUNICATI   COM         14901610         695,711.00       71,355       71,355
VIRCO MFG CO           COM         92765110         690,358.00       71,171       71,171
BEBE STORES INC        COM         07557110         689,774.00       58,406       58,406
WESTFIELD FINANCIAL    COM         96008D10         682,339.00       45,218       45,218
NETRATINGS INC         COM         64116M10         682,059.00      116,791      116,791
GREEN MOUNTAIN PWR C   COM         39315410         681,538.00       38,505       38,225                   280
BAKER MICHAEL CORP     COM         05714910         678,708.00       65,894       65,894
Page Total                                       28,886,478.00


                                Voting Authority
     Name of                Sole     Shared     None
     Issuer

--------------------------------------------------------
                                        
SPEECHWORKS INTL INC        260,792              68,750
W P CAREY & CO LLC           28,401     2,149
DYNACQ INTL INC              61,579               3,300
ITXC CORP                   259,539              44,150
MARINEMAX INC                71,267              12,000
BOMBAY CO INC               270,932               6,800
TROPICAL SPORTSWEAR          54,289               3,400
DREW INDS INC                46,024               2,100
MESABA HLDGS INC            129,323               7,400
PROXYMED PHARMACY IN         40,699               8,400
AMBASSADORS GROUP IN         46,861       100     3,400
SECTOR SPDR TR                                   39,650
SPECIALTY LABORATORI         78,250               1,900
FPIC INS GROUP INC           81,797               1,900
ICT GROUP INC                34,323               1,900
NASTECH PHARMACEUTIC         74,864              13,644
KYOCERA CORP                 11,133
PENN TRAFFIC CO NEW          92,883              18,900
TRITON PCS HLDGS INC        283,208       100    65,900
PAXSON COMMUNICATION        306,625              23,500
LOOKSMART LTD               611,467             136,350
NASB FINL INC                28,028               6,800
MEDSOURCE TECHNOLOGI         90,879               5,200
AMERICAN SUPERCONDUC        226,686              40,825
PROTON ENERGY SYS IN        287,169              52,800
COLDWATER CREEK INC          46,746               7,200
REMEDYTEMP INC               47,650               9,000
HEXCEL CORP NEW             244,025              40,440
NYMAGIC INC                  48,650
MANUFACTURERS SVCS L        251,124               8,900
US UNWIRED INC              889,075             111,700
NETFLIX COM INC              68,623               3,400
UROLOGIX INC                128,997              23,599
CATAPULT COMMUNICATI         70,355               1,000
VIRCO MFG CO                 68,421               2,750
BEBE STORES INC              56,806               1,600
WESTFIELD FINANCIAL          42,118               3,100
NETRATINGS INC              112,091               4,700
GREEN MOUNTAIN PWR C         38,225       280
BAKER MICHAEL CORP           62,794               3,100
Page Total


                                                                        74 of 82





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

-----------------------------------------------------------------------------------------------------------------
                                                                                     
NUANCE COMMUNICATION   COM         66996710         671,211.00      394,830      390,255       4,475          100
OPLINK COMMUNICATION   COM         68375Q10         659,832.00    1,137,642    1,137,642
TRIPATH IMAGING INC    COM         89694210         659,373.00      293,055      293,055
CHAMPS ENTMT INC DEL   COM         15878710         659,105.00       84,177       84,177
ELECTROGLAS INC        COM         28532410         657,436.00      328,718      328,718
AMERSHAM PLC           SPONSORED   03071910         656,448.00       15,626       15,626
APPLIED MOLECULAR EV   COM         03823E10         653,024.00      166,588      166,588
ARTESYN TECHNOLOGIES   COM         04312710         650,283.00      430,651      430,651
CADBURY SCHWEPPES PL   ADR         12720930         647,307.00       24,271       24,271
VOTORANTIM CELULOSE    SPONSORED   92906P10         645,665.00       46,218       46,218
MIPS TECHNOLOGIES IN   CL A        60456710         644,817.00      485,190      485,090                      100
NATIONAL GRID GROUP    SPONSORED   63627410         644,217.00       18,096       18,067          29
INDEPENDENCE HLDG CO   COM NEW     45344030         644,180.00       32,209       32,209
CHICAGO PIZZA & BREW   COM         16788910         642,513.00       93,253       93,253
KONINKLIJKE AHOLD N    SPON ADR N  50046730         641,877.00       52,786       52,366         420
TRIKON TECHNOLOGIES    COM NEW     89618740         641,357.00      112,915      112,915
PRUDENTIAL PLC         ADR         74435K20         637,102.00       58,991       58,991
CALIFORNIA FIRST NTN   COM         13022210         634,186.00       46,942       46,942
ONYX PHARMACEUTICALS   COM         68339910         634,090.00      148,152      148,152
ALTIRIS INC            COM         02148M10         632,501.00       63,568       63,568
SS&C TECHNOLOGIES IN   COM         85227Q10         630,140.00       79,263       71,263                    8,000
LADISH INC             COM NEW     50575420         628,184.00      101,320      101,320
AUSTRALIA&NEW ZEALAN   SPONSORED   05252830         628,137.00       13,059       13,059
CASTLE A M & CO        COM         14841110         626,143.00       92,762       92,762
VITRIA TECHNOLOGY      COM         92849Q10         624,994.00      801,275      801,175         100
VIVENDI UNIVERSAL      SPON ADR N  92851S20         623,670.00       54,756       54,756
VERIDIAN CORP DEL      COM         92342R20         617,006.00       24,700       24,700
ULTRA PETE CORP        COM         90391410         612,055.00       73,300       73,300
BANK MONTREAL QUE      COM         06367110         611,798.00       26,439       26,439
CEMEX S A              SPON ADR 5  15129088         611,134.00       29,311       29,311
ADVANCED TISSUE SCIE   COM         00755F10         610,949.00      793,441      793,441
SEQUENOM INC           COM         81733710         609,524.00      395,795      395,795
U S XPRESS ENTERPRIS   CL A        90338N10         608,668.00       62,236       62,236
MONTEREY PASTA CO      COM         61257010         605,030.00      130,114      130,114
SMART & FINAL INC      COM         83168310         603,644.00      142,034      142,034
IMPERIAL OIL LTD       COM NEW     45303840         603,316.00       20,804       20,804
3-D SYS CORP DEL       COM NEW     88554D20         602,616.00       91,583       91,583
MATRIA HEALTHCARE IN   COM NEW     57681720         601,732.00       70,132       70,132
LAWSON SOFTWARE INC    COM         52078010         597,799.00      168,870      168,870
AVANIR PHARMACEUTICA   CL A        05348P10         597,664.00      519,708      519,708
Page Total                                       25,210,727.00


                                    Voting Authority
     Name of                 Sole        Shared          None
     Issuer

--------------------------------------------------------------
                                             
NUANCE COMMUNICATION         329,430          100       65,300
OPLINK COMMUNICATION       1,065,742                    71,900
TRIPATH IMAGING INC          226,555                    66,500
CHAMPS ENTMT INC DEL          82,177                     2,000
ELECTROGLAS INC              271,868                    56,850
AMERSHAM PLC                  15,626
APPLIED MOLECULAR EV         156,488                    10,100
ARTESYN TECHNOLOGIES         351,910                    78,741
CADBURY SCHWEPPES PL          24,271
VOTORANTIM CELULOSE           26,042       16,314        3,862
MIPS TECHNOLOGIES IN         393,890          100       91,200
NATIONAL GRID GROUP           17,504                       592
INDEPENDENCE HLDG CO          30,209                     2,000
CHICAGO PIZZA & BREW          86,753                     6,500
KONINKLIJKE AHOLD N           52,786
TRIKON TECHNOLOGIES           96,785                    16,130
PRUDENTIAL PLC                58,991
CALIFORNIA FIRST NTN          44,642                     2,300
ONYX PHARMACEUTICALS         136,652                    11,500
ALTIRIS INC                   63,568
SS&C TECHNOLOGIES IN          66,363        8,000        4,900
LADISH INC                    86,020                    15,300
AUSTRALIA&NEW ZEALAN          13,059
CASTLE A M & CO               87,562                     5,200
VITRIA TECHNOLOGY            759,975                    41,300
VIVENDI UNIVERSAL             49,314                     5,442
VERIDIAN CORP DEL             24,700
ULTRA PETE CORP               73,300
BANK MONTREAL QUE             26,439
CEMEX S A                     29,311
ADVANCED TISSUE SCIE         654,141                   139,300
SEQUENOM INC                 335,495                    60,300
U S XPRESS ENTERPRIS          60,036                     2,200
MONTEREY PASTA CO            127,314                     2,800
SMART & FINAL INC            134,534                     7,500
IMPERIAL OIL LTD              20,804
3-D SYS CORP DEL              81,283                    10,300
MATRIA HEALTHCARE IN          68,532                     1,600
LAWSON SOFTWARE INC          163,170                     5,700
AVANIR PHARMACEUTICA         430,208                    89,500
Page Total


                                                                        75 of 82





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

--------------------------------------------------------------------------------------------------------------------------
                                                                                         
PETROLEUM HELICOPTER   COM VTG     71660410             593,354.00       22,561       22,561
EPIX MEDICAL INC       COM         26881Q10             592,705.00      130,840      130,840
TRANSCONTINENTAL RLT   COM NEW     89361720             586,400.00       35,561       35,561
VICAL INC              COM         92560210             586,028.00      253,692      250,892       2,800
CAPSTONE TURBINE COR   COM         14067D10             584,798.00      991,184      989,024       2,100           60
TRIPOS INC             COM         89692810             583,090.00       74,279       74,279
NORSK HYDRO A S        SPONSORED   65653160             582,582.00       15,400       15,400
INDEVUS PHARMACEUTIC   COM         45407210             580,068.00      374,238      374,138                      100
BENIHANA INC           CL A        08204720             577,083.00       46,539       46,539
NEC CORP               ADR         62905020             576,982.00      121,470      121,470
CRYOLIFE INC           COM         22890310             576,679.00      220,950      220,950
INNKEEPERS USA TR      PFD CV A 8  4576J030             576,600.00       24,800                      400       24,400
HARVARD BIOSCIENCE I   COM         41690610             572,039.00      188,792      188,792
REPSOL YPF S A         SPONSORED   76026T20             571,961.00       47,743       47,743
P A M TRANSN SVCS IN   COM         69314910             571,369.00       29,946       29,946
METASOLV INC           COM         59139P10             571,331.00      373,419      373,319                      100
SUPERGEN INC           COM         86805910             566,410.00      327,405      327,405
QUADRAMED CORP         COM         74730W10             562,790.00      310,934      310,934
NATIONAL BEVERAGE CO   COM         63501710             559,499.00       40,959       40,959
WYNDHAM INTL INC       CL A        98310110             557,236.00    1,638,931    1,631,931       7,000
ON SEMICONDUCTOR COR   COM         68218910             555,090.00      444,072      443,872         200
TREMONT CORP           COM PAR $1  89474520             553,004.00       17,276       17,276
LIQUIDMETAL TECHNOLO   COM         53634X10             551,853.00       69,068       69,068
SCOTTISH PWR PLC       SPON ADR F  81013T70             546,990.00       25,149       25,149
SYPRIS SOLUTIONS INC   COM         87165510             546,481.00       50,367       50,367
MEDIS TECHNOLOGIES L   COM         58500P10             543,465.00      126,978      126,978
PLACER DOME INC        COM         72590610             542,358.00       59,404       59,404
LEEDS FED BANKSHARES   COM         52422610             542,169.00       17,141       17,141
MIDAS GROUP INC        COM         59562610             540,465.00      108,093      108,053          40
FIRST BKS AMER INC     COM         31928N10             539,053.00       13,426       13,426
AXT INC                COM         00246W10             538,580.00      258,933      258,933
CIPHERGEN BIOSYSTEMS   COM         17252Y10             537,984.00      179,328      179,328
LIFECORE BIOMEDICAL    COM         53218710             537,781.00       86,739       86,739
ACTIVE POWER INC       COM         00504W10             530,617.00      395,983      395,983
SEATTLE GENETICS INC   COM         81257810             530,511.00      164,755      161,900                    2,855
SIPEX CORP             COM         82990910             530,241.00      311,907      311,907
PRICE LEGACY CORP      COM         74144P10             529,656.00      180,770      180,770
F A O INC              COM         30240S10             529,549.00      185,807      185,807
CTB INTL CORP          COM         12596010             527,047.00       41,211       41,211
UPM KYMMENE CORP       SPONSORED   91543610             526,495.00       18,493       18,493
Page Total                                           22,308,393.00


                                Voting Authority
     Name of             Sole         Shared     None
     Issuer

-------------------------------------------------------
                                      
PETROLEUM HELICOPTER      17,861                  4,700
EPIX MEDICAL INC         115,040                 15,800
TRANSCONTINENTAL RLT      33,761                  1,800
VICAL INC                200,092                 53,600
CAPSTONE TURBINE COR     788,024           60   203,100
TRIPOS INC                69,779                  4,500
NORSK HYDRO A S           15,400
INDEVUS PHARMACEUTIC     351,938          100    22,200
BENIHANA INC              43,664                  2,875
NEC CORP                 121,470
CRYOLIFE INC             183,650                 37,300
INNKEEPERS USA TR            400       24,400
HARVARD BIOSCIENCE I     177,992                 10,800
REPSOL YPF S A            47,743
P A M TRANSN SVCS IN      28,746                  1,200
METASOLV INC             308,769          100    64,550
SUPERGEN INC             277,756                 49,649
QUADRAMED CORP           254,984                 55,950
NATIONAL BEVERAGE CO      40,959
WYNDHAM INTL INC       1,356,331                282,600
ON SEMICONDUCTOR COR     421,372                 22,700
TREMONT CORP              16,476                    800
LIQUIDMETAL TECHNOLO      65,968                  3,100
SCOTTISH PWR PLC          25,149
SYPRIS SOLUTIONS INC      47,267                  3,100
MEDIS TECHNOLOGIES L     111,759                 15,219
PLACER DOME INC           59,104                    300
LEEDS FED BANKSHARES      17,141
MIDAS GROUP INC           98,493                  9,600
FIRST BKS AMER INC        13,426
AXT INC                  218,983                 39,950
CIPHERGEN BIOSYSTEMS     179,328
LIFECORE BIOMEDICAL       84,539                  2,200
ACTIVE POWER INC         320,183                 75,800
SEATTLE GENETICS INC     159,100        2,855     2,800
SIPEX CORP               260,631                 51,276
PRICE LEGACY CORP        173,770                  7,000
F A O INC                156,757                 29,050
CTB INTL CORP             39,011                  2,200
UPM KYMMENE CORP          18,493
Page Total


                                                                        76 of 82





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

--------------------------------------------------------------------------------------------------------------------------
                                                                                         
INVERESK RESH GROUP    COM         46123810             525,420.00       27,800       27,800
NOVO-NORDISK A S       ADR         67010020             523,566.00       19,377       19,377
ABIOMED INC            COM         00365410             522,855.00      158,441      158,341         100
INCO LTD               COM         45325840             522,720.00       32,548       32,548
ALLIED RESH CORP       COM         01948310             520,577.00       25,394       25,394
REDBACK NETWORKS INC   COM         75720910             519,490.00    1,675,775    1,675,475         200          100
DISCOVERY PARTNERS I   COM         25467510             518,113.00      162,418      162,294         124
LUMENIS LTD            SHS         M6778Q10             516,891.00      131,860      131,860
EDP-ELECTRICIDADE DE   SPONSORED   26835310             513,376.00       33,664       33,664
ENESCO GROUP INC       COM         29297310             510,916.00       72,884       72,884
MAUI LD & PINEAPPLE    COM         57734510             510,714.00       28,373       28,373
ARCH CAP GROUP LTD     ORD         G0450A10             507,975.00       18,207       18,207
TIME WARNER TELECOM    CL A        88731910             506,808.00      625,689      621,189       4,400          100
INFORTE CORP           COM         45677R10             504,232.00       98,483       94,183       4,300
IGATE CORP             COM         45169U10             503,270.00      185,026      185,026
CDN IMPERIAL BK OF C   COM         13606910             502,280.00       19,605       19,605
COVANSYS CORP          COM         22281W10             501,236.00      294,845      294,845
MANULIFE FINL CORP     COM         56501R10             500,290.00       23,812       23,812
ROSTELECOM OPEN JT S   SPONSORED   77852910             500,159.00       85,938       85,938
KUBOTA CORP            ADR         50117320             499,840.00       35,200       35,200
ANSOFT CORP            COM         03638410             497,615.00       99,523       19,700      20,000       59,823
IRELAND BK             SPONSORED   46267Q10             497,354.00       12,326       12,326
SCHERING A G           SPONSORED   80658520             497,088.00       10,356       10,356
ACTUATE CORP           COM         00508B10             496,550.00      522,685      522,585                      100
ISHARES TR             RUSSELL 10  46428762             494,764.00       11,340                   11,340
ALLIED IRISH BKS P L   SPON ADR O  01922840             492,240.00       20,510       20,510
MATTSON TECHNOLOGY I   COM         57722310             490,848.00      297,484      292,984       4,500
MONARCH CASINO & RES   COM         60902710             490,269.00       36,807       36,807
SONIC INNOVATIONS IN   COM         83545M10             488,780.00       93,101       93,101
APHTON CORP            COM         03759P10             485,647.00      216,807      216,767          40
EMCORE CORP            COM         29084610             484,053.00      318,456      318,456
NORTHWAY FINL INC      COM         66727010             480,898.00       17,126                   17,126
TREND MICRO INC        SPONS ADR   89486M20             480,512.00       18,697       18,697
BONE CARE INTL INC     COM         09807210             478,479.00       82,782       82,782
WILLIAMS ENERGY PART   COM UNIT R  96949110             474,500.00       14,600       14,600
EMBARCADERO TECHNOLO   COM         29078710             473,809.00      113,081      113,081
Q MED                  COM         74791410             471,524.00       67,457       67,457
NET2PHONE              COM         64108N10             469,675.00      199,015      199,015
SONUS NETWORKS INC     COM         83591610             469,386.00    2,235,176    2,232,776       2,180          220
FLOW INTL CORP         COM         34346810             468,621.00      145,084      145,084
Page Total                                           19,913,340.00


                                  Voting Authority
     Name of               Sole         Shared        None
     Issuer

------------------------------------------------------------
                                           
INVERESK RESH GROUP        27,800
NOVO-NORDISK A S           19,377
ABIOMED INC               148,141                    10,300
INCO LTD                   32,548
ALLIED RESH CORP           25,394
REDBACK NETWORKS INC    1,392,905          100      282,770
DISCOVERY PARTNERS I      151,918                    10,500
LUMENIS LTD                68,856       40,525       22,479
EDP-ELECTRICIDADE DE       33,664
ENESCO GROUP INC           72,884
MAUI LD & PINEAPPLE        26,573                     1,800
ARCH CAP GROUP LTD         18,207
TIME WARNER TELECOM       525,414          100      100,175
INFORTE CORP               94,483                     4,000
IGATE CORP                172,526                    12,500
CDN IMPERIAL BK OF C       19,605
COVANSYS CORP             246,445                    48,400
MANULIFE FINL CORP         23,812
ROSTELECOM OPEN JT S       44,690       23,601       17,647
KUBOTA CORP                35,200
ANSOFT CORP                39,700       59,823
IRELAND BK                 12,326
SCHERING A G               10,356
ACTUATE CORP              424,485          100       98,100
ISHARES TR                 11,340
ALLIED IRISH BKS P L       20,510
MATTSON TECHNOLOGY I      278,084                    19,400
MONARCH CASINO & RES       34,907                     1,900
SONIC INNOVATIONS IN       86,401                     6,700
APHTON CORP               180,807                    36,000
EMCORE CORP               278,172                    40,284
NORTHWAY FINL INC          17,126
TREND MICRO INC            18,697
BONE CARE INTL INC         82,782
WILLIAMS ENERGY PART       14,600
EMBARCADERO TECHNOLO      107,481                     5,600
Q MED                      62,657                     4,800
NET2PHONE                 188,115                    10,900
SONUS NETWORKS INC      1,848,306          220      386,650
FLOW INTL CORP            142,584                     2,500
Page Total


                                                                        77 of 82





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

-------------------------------------------------------------------------------------------------------------------
                                                                                       
PEREGRINE PHARMACEUT   COM         71366110           467,143.00    1,112,247    1,112,247
PREFORMED LINE PRODS   COM         74044410           467,040.00       27,800        6,800                   21,000
NORTEL NETWORKS CORP   COM         65656810           466,630.00      864,130      863,530         600
NISSAN MOTORS          SPONSORED   65474440           465,532.00       31,712       31,712
COMPX INTERNATIONAL    CL A        20563P10           464,760.00       50,082       47,582       2,500
DRUGSTORE COM INC      COM         26224110           464,087.00      277,897      277,897
INKTOMI CORP           COM         45727710           458,527.00    1,834,111    1,833,811         200          100
IMPERIAL CHEM INDS P   ADR NEW     45270450           458,315.00       34,906       34,906
RIGEL PHARMACEUTICAL   COM         76655910           456,804.00      285,503      285,503
XOMA LTD               ORD         G9825R10           455,988.00       72,737       72,737
SPECTRIAN CORP         COM         84760810           455,055.00      154,256      154,256
RITA MED SYS INC DEL   COM         76774E10           453,532.00      103,334      103,334
ENDOCARDIAL SOLUTION   COM         29296210           453,043.00      140,261      140,261
PROGENICS PHARMACEUT   COM         74318710           450,479.00       89,737       89,737
SUNCOR ENERGY INC      COM         86722910           449,920.00       26,544       26,544
MEEMIC HLDGS INC       COM         58513510           449,618.00       15,688       15,688
INRANGE TECHNOLOGIES   CL B        45769V20           449,301.00      161,040      160,840         200
PROTECTION ONE INC     COM         74366330           447,481.00      165,734      165,734
MOCON INC              COM         60749410           438,060.00       60,000                                60,000
HANDSPRING INC         COM         41029310           435,081.00      462,853      462,853
PEGASYSTEMS INC        COM         70557310           434,927.00       79,657       74,657       5,000
EARTHSHELL CORP        COM         27032B10           432,435.00      617,765      615,265                    2,500
DELIAS CORP            CL A        24688Q10           432,046.00      411,473      410,616         857
PDI INC                COM         69329V10           430,430.00      105,757      105,757
NATIONAL GOLF PPTYS    COM         63623G10           430,019.00       37,393       37,393
COMPANHIA SIDERURGIC   SPONSORED   20440W10           428,494.00       52,576       52,576
VIRBAC CORP            COM         92764910           426,161.00       83,890       83,890
SEMINIS INC            CL A        81665810           424,961.00      145,038      145,038
GUESS INC              COM         40161710           423,508.00       98,720       98,720
IMPCO TECHNOLOGIES I   COM         45255W10           417,553.00      115,987      115,987
P C CONNECTION         COM         69318J10           417,213.00      102,762      102,462         300
HEWITT ASSOCS INC      COM         42822Q10           416,514.00       14,100       14,100
CENTILLIUM COMMUNICA   COM         15231910           416,134.00      346,779      346,779
CACHE INC              COM NEW     12715030           414,787.00       31,187       31,187
JOHNSON OUTDOORS INC   CL A        47916710           413,421.00       39,336       39,336
EUNIVERSE INC          COM         29841210           411,372.00      140,400      140,400
NEWHALL LAND & FARMI   DEPOSITARY  65142610           410,820.00       16,700       16,700
PETRO-CDA              COM         71644E10           408,753.00       14,008       14,008
SANGAMO BIOSCIENCES    COM         80067710           407,084.00      206,642      206,642
BIO-REFERENCE LABS I   COM $.01 N  09057G60           406,250.00       62,500       62,500
Page Total                                         17,509,278.00



                                   Voting Authority
     Name of               Sole         Shared        None
     Issuer

------------------------------------------------------------
                                            
PEREGRINE PHARMACEUT       956,897                   155,350
PREFORMED LINE PRODS         6,800       21,000
NORTEL NETWORKS CORP       852,500          300       11,330
NISSAN MOTORS               31,712
COMPX INTERNATIONAL         39,282                    10,800
DRUGSTORE COM INC          261,797                    16,100
INKTOMI CORP             1,560,261          100      273,750
IMPERIAL CHEM INDS P        34,906
RIGEL PHARMACEUTICAL       261,203                    24,300
XOMA LTD                    72,737
SPECTRIAN CORP             116,006                    38,250
RITA MED SYS INC DEL        86,434                    16,900
ENDOCARDIAL SOLUTION       131,761                     8,500
PROGENICS PHARMACEUT        88,037                     1,700
SUNCOR ENERGY INC           26,544
MEEMIC HLDGS INC            15,688
INRANGE TECHNOLOGIES       159,240                     1,800
PROTECTION ONE INC         165,734
MOCON INC                                60,000
HANDSPRING INC             460,953                     1,900
PEGASYSTEMS INC             75,857                     3,800
EARTHSHELL CORP            574,365        2,500       40,900
DELIAS CORP                350,623                    60,850
PDI INC                     87,407                    18,350
NATIONAL GOLF PPTYS         37,293                       100
COMPANHIA SIDERURGIC        30,571       16,408        5,597
VIRBAC CORP                 83,890
SEMINIS INC                116,738                    28,300
GUESS INC                   98,720
IMPCO TECHNOLOGIES I        88,037                    27,950
P C CONNECTION             102,762
HEWITT ASSOCS INC           14,100
CENTILLIUM COMMUNICA       272,379                    74,400
CACHE INC                   29,587                     1,600
JOHNSON OUTDOORS INC        37,036                     2,300
EUNIVERSE INC              133,000                     7,400
NEWHALL LAND & FARMI        16,700
PETRO-CDA                   14,008
SANGAMO BIOSCIENCES        181,642                    25,000
BIO-REFERENCE LABS I        51,000                    11,500
Page Total


                                                                        78 of 82





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

---------------------------------------------------------------------------------------------------------------------
                                                                                         
ADE CORP MASS          COM         00089C10             402,433.00       95,590       95,590
CENTENNIAL COMMUNCTN   CL A NEW    15133V20             402,061.00      138,642      138,642
PRIME GROUP REALTY T   SH BEN INT  74158J10             401,827.00       82,851       82,811          40
CHAMPIONSHIP AUTO RA   COM         15871110             400,328.00      106,188      106,148          40
SANCHEZ COMPUTER ASS   COM         79970210             400,003.00      163,936      163,816         120
LANNET INC             COM         51601210             397,216.00       39,524       39,524
IMPERIAL TOBACCO GRO   SPONSORED   45314210             393,128.00       12,382       12,382
MOSSIMO INC            COM         61969610             389,779.00       66,289       66,289
AUGUST TECHNOLOGY CO   COM         05106U10             388,224.00       86,272       86,272
PORTAL SOFTWARE INC    COM         73612610             387,298.00    1,613,743    1,607,703       2,440        3,600
RICHARDSON ELECTRS L   COM         76316510             383,765.00       58,323       58,323
PEARSON PLC            SPONSORED   70501510             378,919.00       45,874       45,874
NASSDA CORP            COM         63172M10             377,755.00       72,367       72,367
CERES GROUP INC        COM         15677210             377,457.00      195,574      195,574
OPEN JT STK CO-VIMPE   SPONSORED   68370R10             376,599.00       15,897       15,897
STEEL TECHNOLOGIES I   COM         85814710             376,189.00       22,181       21,121                    1,060
TUBOS DE ACERO DE ME   ADR NEW     89859250             373,209.00       43,346       43,346
SYNTROLEUM CORP        COM         87163010             371,086.00      223,546      223,506          40
DIGITAS INC            COM         25388K10             369,085.00      167,766      135,466      30,300        2,000
AARON RENTS INC        CL A        00253530             364,905.00       15,300       15,300
GARMIN LTD             ORD         G3726010             364,080.00       19,627       19,627
EDGAR ONLINE INC       COM         27976510             363,540.00      219,000                               219,000
NOVADIGM INC           COM         66993710             361,130.00      180,565      180,565
AMERICAN REAL ESTATE   DEPOSITRY   02916910             359,511.00       39,725       39,725
DESERT CMNTY BK VICT   COM         25037Y10             354,321.00       13,123       13,123
FACTORY 2-U INC        COM         30307210             352,781.00      181,846      181,826          20
NIC INC                COM         62914B10             351,266.00      205,419      200,419       5,000
DHB INDS INC           COM         23321E10             349,774.00      164,988      164,988
STORA ENSO CORP        SPON ADR R  86210M10             349,090.00       36,288       36,288
HUGOTON RTY TR TEX     UNIT BEN I  44471710             349,017.00       30,323       30,323
KANEB SERVICES LLC     COM         48417310             346,402.00       16,939       16,939
PARADYNE NETWORKS IN   COM         69911G10             339,550.00      255,301      255,301
LAFARGE COPPEE S A     SPON ADR N  50586140             339,425.00       16,501       16,501
PRIVATE MEDIA GROUP    COM         74266R10             336,443.00      142,561      142,561
ROYAL BK CDA MONTREA   COM         78008710             333,912.00       10,088       10,088
BRIDGFORD FOODS CORP   COM         10876310             333,136.00       33,115       33,115
RCN CORP               COM         74936110             332,697.00      652,348      652,148         200
UNION ACCEP CORP       COM         90483210             330,173.00       81,929       81,929
MAIL-WELL INC          COM         56032120             329,719.00      317,038      317,038
STRATOS LIGHTWAVE IN   COM         86310010             329,302.00      914,730      912,870                    1,860
Page Total                                           14,616,535.00


                                Voting Authority
     Name of              Sole       Shared        None
     Issuer

----------------------------------------------------------
                                        
ADE CORP MASS              89,490                   6,100
CENTENNIAL COMMUNCTN      134,042                   4,600
PRIME GROUP REALTY T       71,794                  11,057
CHAMPIONSHIP AUTO RA       97,688                   8,500
SANCHEZ COMPUTER ASS      161,436                   2,500
LANNET INC                 39,524
IMPERIAL TOBACCO GRO       12,382
MOSSIMO INC                56,289                  10,000
AUGUST TECHNOLOGY CO       81,772                   4,500
PORTAL SOFTWARE INC     1,313,093      3,600      297,050
RICHARDSON ELECTRS L       52,323                   6,000
PEARSON PLC                45,874
NASSDA CORP                69,267                   3,100
CERES GROUP INC           150,274                  45,300
OPEN JT STK CO-VIMPE        9,605      4,637        1,655
STEEL TECHNOLOGIES I       21,121      1,060
TUBOS DE ACERO DE ME       17,341     18,796        7,209
SYNTROLEUM CORP           201,046                  22,500
DIGITAS INC               165,766      2,000
AARON RENTS INC            15,300
GARMIN LTD                 19,627
EDGAR ONLINE INC                     219,000
NOVADIGM INC              147,903                  32,662
AMERICAN REAL ESTATE       39,725
DESERT CMNTY BK VICT       13,123
FACTORY 2-U INC           149,996                  31,850
NIC INC                   205,419
DHB INDS INC              156,688                   8,300
STORA ENSO CORP            36,288
HUGOTON RTY TR TEX         30,323
KANEB SERVICES LLC         16,939
PARADYNE NETWORKS IN      206,801                  48,500
LAFARGE COPPEE S A         16,501
PRIVATE MEDIA GROUP       133,661                   8,900
ROYAL BK CDA MONTREA        8,879                   1,209
BRIDGFORD FOODS CORP       31,015                   2,100
RCN CORP                  622,048                  30,300
UNION ACCEP CORP           81,829                     100
MAIL-WELL INC             287,738                  29,300
STRATOS LIGHTWAVE IN      689,466      1,860      223,404
Page Total


                                                                        79 of 82





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

--------------------------------------------------------------------------------------------------------------------
                                                                                          
SYNAPTICS INC          COM         87157D10             327,402.00       68,067       68,067
RANK GROUP PLC         SPONSORED   75303710             325,631.00       39,280       39,280
QUOVADX INC            COM         74913K10             325,385.00      232,418      232,418
ALLIED DOMECQ PLC      SPON ADR N  01912120             324,657.00       12,439       12,439
NATIONAL BK GREECE S   SPONSORED   63364340             324,340.00      109,946      109,946
DOMINION HOMES INC     COM         25738610             322,741.00       20,822       20,822
TRANSALTA CORP         COM         89346D10             322,378.00       27,182       27,182
CARMIKE CINEMAS INC    COM         14343640             321,660.00       17,870       17,870
NAPRO BIOTHERAPUTICS   COM         63079510             320,953.00      286,566      286,566
HILFIGER TOMMY CORP    ORD         G8915Z10             320,686.00       34,298       34,298
HANSON PLC             SPON ADR N  41135240             320,291.00       12,453       12,453
ORIX CORP              SPONSORED   68633010             317,898.00       10,835       10,835
PACER INTL INC TENN    COM         69373H10             317,800.00       28,000       28,000
SUN LIFE FINL SVCS C   COM         86679610             317,776.00       20,049       20,049
BOC GROUP PLC          SPONSORED   05561760             316,679.00       11,617       11,617
SAN PAOLO-IMI S P A    SPONSORED   79917510             316,633.00       27,702       27,702
INFOGRAMES INC         COM         45665T10             315,386.00      142,066      142,066
REVLON INC             CL A        76152550             314,643.00      105,232      105,232
TRENWICK GROUP LTD     COM         G9032C10             311,454.00       59,895       56,195                    3,700
NIPPON TELEG & TEL C   SPONSORED   65462410             310,675.00       19,095       18,200         895
TC PIPELINES LP        UT COM LTD  87233Q10             309,820.00       11,573       11,573
DJ ORTHOPEDICS INC     COM         23325G10             308,533.00       80,768       80,768
COLES MYER LTD         SPON ADR N  19387040             306,910.00       11,750       11,750
TECHNICAL OLYMPIC US   COM         87848310             306,343.00       20,050       20,050
WIPRO LTD              SPON ADR 1  97651M10             305,504.00       11,049       11,049
TTM TECHNOLOGIES  IN   COM         87305R10             303,648.00      193,407      193,407
CADMUS COMMUNICATION   COM         12758710             301,876.00       31,315       31,315
HOMESTORE INC          COM         43785210             301,861.00    1,006,204    1,006,004         100          100
TELLIUM INC            COM         87967E10             299,553.00      788,298      788,298
INTER PARFUMS INC      COM         45833410             299,420.00       44,810       44,810
NETRO CORP             COM         64114R10             294,025.00      143,427      140,907       2,520
MED-DESIGN CORP        COM         58392610             288,093.00       81,613       81,613
GRUPO AEROPORTUARIO    SPON ADR S  40051E20             286,484.00       26,044       26,044
TELENOR ASA            SPONSORED   87944W10             285,500.00       28,550       28,550
CHORDIANT SOFTWARE I   COM         17040410             284,103.00      305,488      305,488
COMCAST CORP           CL A        20030010             282,515.00       13,245        8,600       4,145          500
KIRKLANDS INC          COM         49749810             280,440.00       16,400       16,400
ACTERNA CORP           COM         00503U10             279,991.00      699,979      699,739         100          140
VOLVO AKTIEBOLAGET     ADR B       92885640             275,017.00       19,137       19,137
SAFENET INC            COM         78645R10             272,832.00       16,800       16,800
Page Total                                           12,267,536.00


                                   Voting Authority
     Name of               Sole         Shared        None
     Issuer

------------------------------------------------------------
                                             
SYNAPTICS INC               64,967                     3,100
RANK GROUP PLC              39,280
QUOVADX INC                193,918                    38,500
ALLIED DOMECQ PLC           12,439
NATIONAL BK GREECE S       109,946
DOMINION HOMES INC          19,522                     1,300
TRANSALTA CORP               3,195                    23,987
CARMIKE CINEMAS INC         16,470                     1,400
NAPRO BIOTHERAPUTICS       237,866                    48,700
HILFIGER TOMMY CORP         34,298
HANSON PLC                  12,453
ORIX CORP                   10,835
PACER INTL INC TENN         28,000
SUN LIFE FINL SVCS C        20,049
BOC GROUP PLC               11,617
SAN PAOLO-IMI S P A         27,702
INFOGRAMES INC             142,066
REVLON INC                 105,232
TRENWICK GROUP LTD          56,195        3,700
NIPPON TELEG & TEL C        19,095
TC PIPELINES LP             11,573
DJ ORTHOPEDICS INC          76,268                     4,500
COLES MYER LTD              11,750
TECHNICAL OLYMPIC US        19,550                       500
WIPRO LTD                   11,049
TTM TECHNOLOGIES  IN       183,907                     9,500
CADMUS COMMUNICATION        31,315
HOMESTORE INC              812,104          100      194,000
TELLIUM INC                778,798                     9,500
INTER PARFUMS INC           44,810
NETRO CORP                 125,108                    18,319
MED-DESIGN CORP             77,113                     4,500
GRUPO AEROPORTUARIO         15,290        8,479        2,275
TELENOR ASA                 28,550
CHORDIANT SOFTWARE I       287,388                    18,100
COMCAST CORP                11,245          500        1,500
KIRKLANDS INC               16,400
ACTERNA CORP               581,139          140      118,700
VOLVO AKTIEBOLAGET          19,137
SAFENET INC                 16,800
Page Total


                                                                        80 of 82





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

---------------------------------------------------------------------------------------------------------------
                                                                                    
SONICBLUE INC          COM         83546Q10        272,168.00    1,134,034    1,133,534         500
HELLENIC TELECOM ORG   SPONSORED   42332530        270,702.00       47,912       47,912
COMPANIA DE TELECOMU   SPON ADR N  20444930        266,849.00       30,532       30,532
BRASCAN CORP           CL A LTD V  10549P60        266,451.00       13,403       13,403
AU OPTRONICS CORP      SPONSORED   00225510        264,551.00       47,667       47,667
HELEN OF TROY CORP L   COM         G4388N10        264,263.00       23,181       23,181
REUTERS GROUP PLC      SPONSORED   76132M10        260,263.00       12,066       12,066
TPG N V                SPONSORED   89233910        259,768.00       15,444       15,444
NORANDA INC            COM         65542210        259,374.00       27,593       27,593
OVERSTOCK COM INC DE   COM         69037010        252,875.00       42,500       42,500
NANOMETRICS INC        COM         63007710        250,119.00       94,030       90,470       3,560
UNITED UTILS PLC       SPONSORED   91311Q10        249,002.00       13,071       13,071
HUFFY CORP             COM         44435610        248,499.00       32,189       23,488       8,701
AIRNET SYS INC         COM         00941710        247,443.00       53,792        3,800      49,992
CELADON GROUP INC      COM         15083810        246,098.00       22,171       22,171
PLX TECHNOLOGY INC     COM         69341710        245,086.00      222,806      222,706         100
PECHINEY               SPONSORED   70515120        244,812.00       17,935       17,935
THERMA-WAVE INC        COM         88343A10        238,422.00      301,801      301,781          20
TELE2 AB               SPON ADR R  87952P20        238,227.00       16,151       16,151
FEDDERS CORP           COM NEW     31313550        237,152.00       94,108       94,108
CABLE & WIRELESS PUB   SPONSORED   12683020        236,757.00       43,844       43,404         440
SIDERCA S A I C        ADR REP CL  82586310        236,033.00       15,179       15,179
MMO2 PLC               ADR         55309W10        233,288.00       37,688       37,688
FIRST BANCTRUST CORP   COM         31868F10        230,720.00       14,420       14,420
CROSS A T CO           CL A        22747810        230,575.00       37,492       37,492
CLEARONE COMMUNICATI   COM         18506010        228,620.00       67,044       67,044
SIMPLETECH INC         COM         82882310        219,688.00      103,140      103,140
SMARTFORCE PUB LTD C   SPONSORED   83170A20        218,522.00       66,219       66,219
ADVANCED POWER TECHN   COM         00761E10        218,166.00       56,084       56,084
FTD INC                CL A        30265Q10        217,971.00       15,738       15,738
ALASKA COMMUNICATION   COM         01167P10        217,136.00      129,248      129,248
BP PRUDHOE BAY RTY T   UNIT BEN I  05563010        211,539.00       14,599       14,599
COMPANHIA DE BEBIDAS   SPONSORED   20441W10        210,160.00       21,016       21,016
CRIIMI MAE INC         COM NEW     22660350        208,810.00       26,600       26,600
NEOWARE SYS INC        COM         64065P10        208,500.00       15,000       15,000
VAXGEN INC             COM NEW     92239020        208,148.00       23,517       23,517
TRANSTECHNOLOGY CORP   COM         89388910        207,900.00       15,400       15,400
BANCO SANTANDER CHIL   SP ADR REP  05965X10        206,877.00       11,688       11,688
VERISITY LTD           ORD         M9738511        206,562.00       17,300       17,300
CAMINUS CORP           COM         13376610        206,289.00      115,893      115,893
Page Total                                       9,444,385.00


                                 Voting Authority
     Name of               Sole       Shared      None
     Issuer

---------------------------------------------------------
                                       
SONICBLUE INC              892,284               241,750
HELLENIC TELECOM ORG        47,912
COMPANIA DE TELECOMU        10,988                19,544
BRASCAN CORP                13,403
AU OPTRONICS CORP           37,789                 9,878
HELEN OF TROY CORP L        23,181
REUTERS GROUP PLC           12,066
TPG N V                     15,444
NORANDA INC                  2,700                24,893
OVERSTOCK COM INC DE        42,500
NANOMETRICS INC             89,530                 4,500
UNITED UTILS PLC            13,071
HUFFY CORP                  32,189
AIRNET SYS INC               3,800     49,992
CELADON GROUP INC           22,171
PLX TECHNOLOGY INC         211,906                10,900
PECHINEY                    17,935
THERMA-WAVE INC            252,151                49,650
TELE2 AB                    16,151
FEDDERS CORP                94,108
CABLE & WIRELESS PUB        43,844
SIDERCA S A I C              4,279                10,900
MMO2 PLC                    37,688
FIRST BANCTRUST CORP        14,420
CROSS A T CO                33,692                 3,800
CLEARONE COMMUNICATI        65,344                 1,700
SIMPLETECH INC             103,140
SMARTFORCE PUB LTD C        14,611                51,608
ADVANCED POWER TECHN        52,684                 3,400
FTD INC                     15,738
ALASKA COMMUNICATION       129,248
BP PRUDHOE BAY RTY T        14,599
COMPANHIA DE BEBIDAS        21,016
CRIIMI MAE INC              26,600
NEOWARE SYS INC             15,000
VAXGEN INC                  23,517
TRANSTECHNOLOGY CORP        15,400
BANCO SANTANDER CHIL         8,626                 3,062
VERISITY LTD                17,300
CAMINUS CORP               110,193                 5,700
Page Total


                                                                        81 of 82





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

--------------------------------------------------------------------------------------------------------------------
                                                                                          
TELSTRA CORP LTD       SPON ADR F  87969N20             205,688.00       15,871       15,871
SANYO ELEC LTD         ADR 5 COM   80303830             204,276.00       11,960       11,960
STEWART W P & CO LTD   COM         G8492210             200,473.00       11,758       11,758
TURKCELL ILETISIM HI   SPON ADR N  90011120             200,126.00       17,032       17,032
Page Total                                              810,563.00
Grand Total                                     260,166,247,265.00

                        TOTAL MARKET VALUE      260,166,247,265.00


                                                   Voting Authority
     Name of          Title of           Sole          Shared        None
     Issuer             Class

---------------------------------------------------------------------------
                                                       
TELSTRA CORP LTD       SPON ADR F         15,871
SANYO ELEC LTD         ADR 5 COM          11,960
STEWART W P & CO LTD   COM                11,758
TURKCELL ILETISIM HI   SPON ADR N         10,952       4,594         1,486
Page Total
Grand Total


                                                                        82 of 82