1 UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 31, 2001 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.) [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: FLEETBOSTON FINANCIAL CORPORATION Address: 100 FEDERAL STREET BOSTON, MA 02110 Form 13F File Number: 28-452 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: ERNEST L. PUSCHAVER Title: CHIEF ACCOUNTING OFFICER Phone: 617-434-2341 Signature, Place, and Date of Signing: /s/ Ernest L. Puschaver BOSTON, MASSACHUSETTS MAY 15, 2001 -------------------------- ----------------------- -------------------- (Signature) (City, State) Date ON MARCH 1, 2001, SUMMIT BANCORP (SUMMIT) MERGED WITH AND INTO FLEETBOSTON FINANCIAL CORPORATION (FLEET) IN A TRANSACTION ACCOUNTED FOR AS A POOLING OF INTERESTS. IN SECTION I OF THIS REPORT ON FORM 13F, WE HAVE SET FORTH THE INFORMATION FOR FLEET AS OF MARCH 31, 2001 WITHOUT GIVING EFFECT TO THE MERGER. IN SECTION II OF THIS REPORT ON FORM 13F, WE HAVE SET FORTH THE INFORMATION FOR SUMMIT AS OF MARCH 31, 2001 WITHOUT GIVING EFFECT TO THE MERGER. IN FUTURE REPORTS ON FORM 13F, THE INFORMATION WITH RESPECT TO FLEET AND SUMMIT WILL BE INTEGRATED INTO ONE SECTION. PLEASE NOTE THAT SUMMIT'S NUMBERS FOR COLUMN 4 (MARKET VALUE) ARE ROUNDED TO THOUSANDS. Report Type (Check only one.): [ ] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) [ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) [X] 13F COMBINATION REPORT. (Check here if a portion of the holdings of 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: FORM 13F FILE NUMBER NAME 28-297 Columbia Management Co. 28-04157 Columbia Funds Management Company 28-04161 Columbia Trust Company 28-5470 Oechsle International Advisors, L.P. (only with respect to holdings of Galaxy International Equity Fund) 2 FORM 13F SUMMARY PAGE Section I Report Summary: Number of other Included Managers: 8 Form 13F Information Table Entry Total: 5690 Form 13F Information Table Value Total: $ 68,195,803 (thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. FORM 13F FILE NUMBER NAME 1. 28-453 Fleet National Bank (entities also included within the numbers presented for Fleet National Bank for purposes of this report include: BancBoston Capital Inc., BancBoston Investment Inc.; BancBoston Ventures Inc., FleetBoston Robertson Stephens Inc.) 2. 28-4528 Fleet Investment Advisors, Inc. 3. 28-3494 Burr, Francis 4. 28-3692 Collidge, Francis L. 5. 28-1930 Fuller, Alfred W., Esq. 6. 28-3488 Grace, Nichols 7. 28-5798 Hammer, Curtis A. 8. 28-1721 Shaw, George T., Esq. FORM 13F SUMMARY PAGE Section II Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 835 Form 13F Information Table Value Total: $ 2,485,217 List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment Managers with respect to which this report is filed, other than the Manager filing this report. NONE 3 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 1 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ A T & T CO COM 001957109 120307704 5648249 X 5280907 240 367102 A T & T CO COM 001957109 98208144 4610711 X 3640276 9350 961085 A T & T CORP LIBERTY MEDIA CL A COM 001957208 45903620 3278830 X 3011567 0 267263 A T & T CORP LIBERTY MEDIA CL A COM 001957208 1743210 124515 X 71115 0 53400 A T & T LATIN AMER CORP COM 04649A106 1266 500 X 500 0 0 A T & T WIRELESS GROUP COM 001957406 3089898 161100 X 136200 0 24900 A T & T WIRELESS GROUP COM 001957406 26852 1400 X 1400 0 0 AAIPHARMA INC COM 00252W104 25250 2000 X 0 0 2000 AAR CORP COM 000361105 265408 20800 X 9850 0 10950 AARON RENTS INC CL B COM 002535201 239890 14900 X 14900 0 0 ABBOTT LABS COM 002824100 161731692 3427245 X 2955428 0 471817 ABBOTT LABS COM 002824100 124613170 2640669 X 2433740 5250 201679 ABC-NACO INC COM 000752105 1331397 443799 X 317199 0 126600 ABERCROMBIE & FITCH CO COM 002896207 391877 11984 X 4284 0 7700 ABERCROMBIE & FITCH CO COM 002896207 228900 7000 X 200 0 6800 ABGENIX INC COM 00339B107 47375 2000 X 2000 0 0 ABGENIX INC COM 00339B107 8054 340 X 340 0 0 ABIOMED INC COM 003654100 48825 3100 X 3100 0 0 ABM INDS INC COM 000957100 540625 17300 X 17300 0 0 ACCLAIM ENTMT INC COM PAR $0.02 004325205 1500 1000 X 1000 0 0 ACCREDO HEALTH INC COM 00437V104 7352694 224939 X 217889 0 7050 ACCREDO HEALTH INC COM 00437V104 134019 4100 X 0 0 4100 ACLARA BIOSCIENCES INC COM 00461P106 26950 4900 X 0 0 4900 ACLARA BIOSCIENCES INC COM 00461P106 5500 1000 X 1000 0 0 ACMAT CORP CL A 004616207 38363 4065 X 0 0 4065 ACT MANUFACTURING COM 000973107 22969 2100 X 0 0 2100 ACTEL CORP COM 004934105 374006 18300 X 18300 0 0 ACTERNA CORP COM 00503U105 1260 210 X 210 0 0 ACTION PERFORMANCE COS INC COM 004933107 144000 12800 X 12800 0 0 ACTIVISION INC COM 004930202 14588 600 X 0 0 600 ACTUANT CORP CL A COM 00508X203 3933 242 X 0 0 242 ACTUATE SOFTWARE COM 00508B102 518182 54189 X 41089 0 13100 ACTV INC COM 00088E104 8188 2000 X 2000 0 0 ACXIOM CORP 005125109 7788442 373099 X 247000 0 126099 ADAPTEC INC 00651F108 220873 25470 X 8850 0 16620 ADAPTEC INC 00651F108 2602 300 X 300 0 0 ADAPTIVE BROADBAND CORP COM 00650M104 36278 30550 X 22750 0 7800 ADC TELECOMMUNICATIONS INC COM 000886101 12813164 1507431 X 1442316 0 65115 ADC TELECOMMUNICATIONS INC COM 000886101 241247 28382 X 20382 0 8000 ADE CORP MASS COM 00089C107 3203762 226815 X 222660 0 4155 ADELPHIA BUSINESS SOLUTIONS CL A COM 006847107 3919 825 X 825 0 0 ADELPHIA COMM CORP CL A COM 006848105 919350 22700 X 20800 0 1900 ADELPHIA COMM CORP CL A COM 006848105 28350 700 X 700 0 0 4 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 2 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ ADMINSTAFF INC COM 007094105 602580 33200 X 20800 0 12400 ADOBE SYS INC COM 00724F101 3008679 86036 X 20900 0 65136 ADOBE SYS INC COM 00724F101 276263 7900 X 7900 0 0 ADOLOR CORPORATION COM 00724X102 3947373 201140 X 200140 0 1000 ADVANCE PCS COM 00790K109 1210123 22300 X 22300 0 0 ADVANCED DIGITAL INFO CORP COM 007525108 95219 5500 X 0 0 5500 ADVANCED ENERGY INDS INC COM 007973100 609175 23600 X 23600 0 0 ADVANCED FIBER COMMUNICATIONS COM 00754A105 462294 32300 X 9000 0 23300 ADVANCED FIBER COMMUNICATIONS COM 00754A105 2863 200 X 200 0 0 ADVANCED MARKETING SVCS INC COM 00753T105 53820 2300 X 1200 0 1100 ADVANCED MARKETING SVCS INC COM 00753T105 157950 6750 X 6750 0 0 ADVANCED MICRO DEVICES INC COM 007903107 1512462 56988 X 35020 0 21968 ADVANCED MICRO DEVICES INC COM 007903107 53080 2000 X 1000 0 1000 ADVANCED NEUROMODULATION SYS INC COM 00757T101 129800 11800 X 0 0 11800 ADVANCED RADIO TELECOM CORP COM 00754U101 5626 20000 X 20000 0 0 ADVANCED TECHNICAL PRODUCTS INC COM 007548100 2396053 345377 X 239677 0 105700 ADVANCED TISSUE SCIENCES INC COM 00755F103 198056 50300 X 50300 0 0 ADVANTA CORP CL B COM 007942204 34219 2500 X 2500 0 0 ADVENT SOFTWARE INC COM 007974108 351177 7925 X 0 0 7925 ADVENT SOFTWARE INC COM 007974108 4431 100 X 100 0 0 ADVO INC COM 007585102 13439165 364205 X 237405 0 126800 AEROFLEX INC COM 007768104 2137328 207256 X 206656 0 600 AES CORP COM 00130H105 66497809 1331021 X 1265483 0 65538 AES CORP COM 00130H105 1470922 29442 X 25062 0 4380 AETHER SYSTEMS INC COM 00808V105 97500 7500 X 0 0 7500 AETHER SYSTEMS INC COM 00808V105 10959 843 X 600 0 243 AETNA INC COM NEW 00817Y108 8470403 235813 X 207345 100 28368 AETNA INC COM NEW 00817Y108 8468966 235773 X 212617 1500 21656 AFFILIATED COMPUTER SVCS COM 008190100 87615 1350 X 150 0 1200 AFFILIATED COMPUTER SVCS COM 008190100 363440 5600 X 1000 0 4600 AFFILIATED MANAGERS GROUP COM 008252108 91650 1950 X 0 0 1950 AFFYMETRIX INC COM 00826T108 30038 1080 X 6 0 1074 AFFYMETRIX INC COM 00826T108 15575 560 X 560 0 0 AFLAC INC COM 001055102 8273952 300434 X 190926 0 109508 AFLAC INC COM 001055102 2680909 97346 X 74246 0 23100 AG SVCS AMER INC COM 001250109 58200 4000 X 4000 0 0 AG SVCS AMER INC COM 001250109 29100 2000 X 2000 0 0 AGILE SOFTWARE CORP COM 00846X105 2423 220 X 0 0 220 AGILENT TECHNOLOGIES INC COM 00846U101 39980928 1301039 X 1205210 169 95660 AGILENT TECHNOLOGIES INC COM 00846U101 19347547 629598 X 593940 1531 34127 AGL RESOURCES INC COM 001204106 143423 6546 X 0 0 6546 AGL RESOURCES INC COM 001204106 101049 4612 X 4612 0 0 AGREE RLTY CORP COM 008492100 17300 1000 X 1000 0 0 5 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 3 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ AGRIBRANDS INTL INC COM 00849R105 425362 7880 X 7880 0 0 AIR PRODS & CHEMS INC COM 009158106 23267674 605929 X 519140 0 86789 AIR PRODS & CHEMS INC COM 009158106 14038618 365589 X 349693 2000 13896 AIRBORNE INC COM 009269101 5085 500 X 500 0 0 AIRBORNE INC COM 009269101 24408 2400 X 2400 0 0 AIRGAS INC COM 009363102 4985676 632700 X 427300 0 205400 AIRGATE PCS INC COM 009367103 2971246 78970 X 78570 0 400 AIRLEASE LTD DEPOSITARY UNIT 009366105 5900 500 X 500 0 0 AIRNET SYSTEMS INC COM 009417106 3394978 771586 X 500786 0 270800 AIRNET SYSTEMS INC COM 009417106 11000 2500 X 2500 0 0 AIRSPAN NETWORKS INC COM 00950H102 9000 4000 X 4000 0 0 AK STEEL HOLDING CORP COM 001547108 962780 95799 X 76000 0 19799 AK STEEL HOLDING CORP COM 001547108 121 12 X 12 0 0 AKAMI TECHNOLOGIES COM 00971T101 17125 2000 X 1200 0 800 ALARIS MED INC COM 011637105 55 100 X 100 0 0 ALBANY INTERNATIONAL CORP CL A COM 012348108 6857809 372707 X 254604 0 118103 ALBANY INTERNATIONAL CORP CL A COM 012348108 1840 100 X 0 0 100 ALBANY MOLECULAR RESH INC COM 012423109 7402500 211500 X 200800 0 10700 ALBANY MOLECULAR RESH INC COM 012423109 45500 1300 X 1300 0 0 ALBEMARLE CORP COM 012653101 358078 15950 X 50 0 15900 ALBEMARLE CORP COM 012653101 125675 5598 X 5598 0 0 ALBERTO CULVER CO CL A 013068200 79944 2400 X 1500 0 900 ALBERTO CULVER CO CL B COM 013068101 193382 4876 X 2248 0 2628 ALBERTSONS INC COM 013104104 12277715 385849 X 343265 0 42584 ALBERTSONS INC COM 013104104 3953921 124259 X 112128 300 11831 ALCOA INC COM 013817101 37326130 1038279 X 901499 0 136780 ALCOA INC COM 013817101 11118544 309278 X 294314 0 14964 ALDILA INC COM 014384101 1088 600 X 600 0 0 ALEXANDER & BALDWIN INC 014482103 44888 2100 X 0 0 2100 ALICO INC COM 016230104 13600 800 X 800 0 0 ALIGN TECHNOLOGY INC COM 016255101 143913 19850 X 7500 0 12350 ALIGN TECHNOLOGY INC COM 016255101 8700 1200 X 0 0 1200 ALKERMES INC COM 01642T108 80730 3680 X 2660 0 1020 ALKERMES INC COM 01642T108 164531 7500 X 6700 0 800 ALLAIRE CORPORATION COM 016714107 4050000 600000 X 0 0 600000 ALLEGHANY CORP DEL COM 017175100 416000 2080 X 2080 0 0 ALLEGHANY CORP DEL COM 017175100 1235600 6178 X 6178 0 0 ALLEGHENY ENERGY INC COM 017361106 5288675 114325 X 92075 0 22250 ALLEGHENY ENERGY INC COM 017361106 3099327 66998 X 62395 0 4603 ALLEGHENY TECHNOLOGIES INC COM 01741R102 188011 10799 X 8689 0 2110 ALLEGHENY TECHNOLOGIES INC COM 01741R102 193686 11125 X 10013 0 1112 ALLEGIANCE TELECOM INC COM 01747T102 988 67 X 67 0 0 ALLEGIANCE TELECOM INC COM 01747T102 125375 8500 X 0 0 8500 6 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 4 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ ALLEN TELECOM INC COM 018091108 272190 21100 X 19800 0 1300 ALLERGAN INC COM 018490102 2462522 33210 X 12666 0 20544 ALLERGAN INC COM 018490102 1504355 20288 X 19972 0 316 ALLERGAN SPECIALTY THERA CL A COM 018494104 784 33 X 33 0 0 ALLERGAN SPECIALTY THERA CL A COM 018494104 1544 65 X 65 0 0 ALLETE COM 018522102 510152 19758 X 4758 0 15000 ALLETE COM 018522102 569899 22072 X 22072 0 0 ALLIANCE GAMING CORP COM NEW 01859P609 19 1 X 1 0 0 ALLIANCE PHARMACEUTICAL CORP COM 018773101 117975 36300 X 34900 0 1400 ALLIANCE SEMICONDUCTOR CORP COM 01877H100 361538 31100 X 31100 0 0 ALLIANCE SEMICONDUCTOR CORP COM 01877H100 11625 1000 X 1000 0 0 ALLIANT ENERGY CORP COM 018802108 268911 8451 X 3096 0 5355 ALLIANT ENERGY CORP COM 018802108 599807 18850 X 15522 0 3328 ALLIANT TECHSYSTEMS INC COM 018804104 1288403 14550 X 3550 0 11000 ALLIANT TECHSYSTEMS INC COM 018804104 381916 4313 X 4313 0 0 ALLIED CAP CORP NEW COM 01903Q108 41598 2067 X 467 0 1600 ALLIED RISER COMMUNICATIONS COM 019496108 63354 39750 X 0 0 39750 ALLIED WASTE INDS INC COM 019589308 365611 23317 X 22825 0 492 ALLIED WASTE INDS INC COM 019589308 12544 800 X 800 0 0 ALLMERICA FINL CORP COM 019754100 3157714 60854 X 47673 0 13181 ALLMERICA FINL CORP COM 019754100 444905 8574 X 8574 0 0 ALLOU HEALTH & BEAUTY CARE CL A COM 019782101 5250 1500 X 1500 0 0 ALLSCRIPTS HEALTHCARE SOLUTIONS COM 01988P108 129774 25800 X 0 0 25800 ALLSTATE CORP COM 020002101 10677966 254601 X 174183 0 80418 ALLSTATE CORP COM 020002101 5300964 126394 X 110084 0 16310 ALLTEL CORP COM 020039103 7843767 149519 X 120457 0 29062 ALLTEL CORP COM 020039103 2154795 41075 X 36615 0 4460 ALLTRISTA CORP COM 020040101 23472 1800 X 0 0 1800 ALPHA INDS INC COM 020753109 524475 33300 X 32400 0 900 ALPHA INDS INC COM 020753109 15750 1000 X 0 0 1000 ALPHARMA INC CL A COM 020813101 4262748 130200 X 127000 0 3200 ALPHARMA INC CL A COM 020813101 45836 1400 X 1400 0 0 ALPNET INC COM 021089107 1875 3000 X 0 0 3000 ALTEON INC COM 02144G107 18760 4000 X 4000 0 0 ALTERA CORP 021441100 26396980 1231346 X 1188726 0 42620 ALTERA CORP 021441100 3543019 165272 X 162622 200 2450 ALZA CORP DEL 022615108 2146905 53010 X 21754 0 31256 ALZA CORP DEL 022615108 86508 2136 X 2136 0 0 AMAZON COM INC COM 023135106 52429 5125 X 5125 0 0 AMAZON COM INC COM 023135106 31202 3050 X 1050 0 2000 AMBAC FINANCIAL GROUP INC COM 023139108 4512220 71137 X 10537 0 60600 AMBANC HOLDING CO COM 023161102 105012 5834 X 5834 0 0 AMCAST INDL CORP 023395106 59200 6400 X 6400 0 0 7 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 5 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ AMDOCS LTD COM G02602103 643297 13430 X 280 0 13150 AMER INTERNATIONAL GROUP INC COM 026874107 742714655 9226269 X 8648153 1991 576125 AMER INTERNATIONAL GROUP INC COM 026874107 237091337 2945234 X 2732657 11350 201227 AMERADA HESS CORP COM 023551104 2698499 34543 X 14590 0 19953 AMERADA HESS CORP COM 023551104 730110 9346 X 8706 0 640 AMERCIAN CLASSIC VOYAGER CO COM 024928103 4613375 369070 X 367070 0 2000 AMEREN CORP COM 023608102 2584232 63107 X 47199 0 15908 AMEREN CORP COM 023608102 2066787 50471 X 50368 0 103 AMERICA WEST HLDG CORP CL B COM 023657208 2386560 248600 X 159700 0 88900 AMERICAN BK CONN WATERBURY COM 024327108 84000 4000 X 4000 0 0 AMERICAN BK CONN WATERBURY COM 024327108 201600 9600 X 9600 0 0 AMERICAN CAP STRATEGIES LTD COM 024937104 127188 5000 X 0 0 5000 AMERICAN CMNTY PPTYS TR COM 02520N106 1170 300 X 300 0 0 AMERICAN EAGLE OUTFITTERS INC NEW CO 02553E106 297563 10350 X 0 0 10350 AMERICAN ELEC PWR INC 025537101 10625102 226066 X 141424 0 84642 AMERICAN ELEC PWR INC 025537101 6583290 140070 X 133012 1700 5358 AMERICAN EXPRESS CO COM 025816109 78620291 1903639 X 1719096 600 183943 AMERICAN EXPRESS CO COM 025816109 28117329 680807 X 630429 3617 46761 AMERICAN FINL GROUP INC COM 025932104 892 37 X 37 0 0 AMERICAN FINL GROUP INC COM 025932104 97653 4052 X 1466 0 2586 AMERICAN FINL HLDGS INC COM 026075101 563146 26346 X 26346 0 0 AMERICAN GENERAL CORP 026351106 4603311 120348 X 47892 0 72456 AMERICAN GENERAL CORP 026351106 1960619 51258 X 39858 0 11400 AMERICAN GREETINGS CORP CL A 026375105 112879 10649 X 4629 0 6020 AMERICAN HEALTHWAYS INC COM 02649V104 3366935 194480 X 128880 0 65600 AMERICAN HOME PRODS CORP 026609107 246482923 4195454 X 3940812 1500 253142 AMERICAN HOME PRODS CORP 026609107 191700839 3262993 X 3075660 11175 176158 AMERICAN ITALIAN PASTA CL A COM 027070101 960000 30000 X 14300 0 15700 AMERICAN MGMT SYS INC 027352103 24278529 1325790 X 1208040 0 117750 AMERICAN MGMT SYS INC 027352103 1897633 103625 X 96625 7000 0 AMERICAN NATL INS CO 028591105 34406 500 X 0 0 500 AMERICAN NATL INS CO 028591105 30966 450 X 450 0 0 AMERICAN PHYSICIANS CAP INC COM 028884104 2786775 152700 X 102200 0 50500 AMERICAN POWER CONVERSION CORP COM 029066107 845997 65629 X 55229 0 10400 AMERICAN POWER CONVERSION CORP COM 029066107 755673 58622 X 54622 3000 1000 AMERICAN RETIREMENT CORP COM 028913101 7800 2000 X 2000 0 0 AMERICAN RLTY INVS INC COM 029174109 4875 390 X 390 0 0 AMERICAN RLTY INVS INC COM 029174109 9188 735 X 735 0 0 AMERICAN SKIING CORP COM 029654308 152 100 X 100 0 0 AMERICAN SKIING CORP COM 029654308 760 500 X 500 0 0 AMERICAN SOFTWARE INC CL A 029683109 1188 1000 X 1000 0 0 AMERICAN STD COS INC DEL COM 029712106 1668728 28250 X 0 0 28250 AMERICAN STD COS INC DEL COM 029712106 79922 1353 X 1315 0 38 8 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 6 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ AMERICAN STS WTR CO COM 029899101 2943479 88900 X 62700 0 26200 AMERICAN SUPERCONDUCTOR CORP 030111108 24094 1500 X 1500 0 0 AMERICAN SUPERCONDUCTOR CORP 030111108 120469 7500 X 7500 0 0 AMERICAN TOWER CORP CL A 029912201 20480703 1107065 X 1071415 0 35650 AMERICAN TOWER CORP CL A 029912201 831575 44950 X 30650 0 14300 AMERICAN WATER WORKS COM 030411102 79658 2470 X 2470 0 0 AMERICAN WATER WORKS COM 030411102 421314 13064 X 3864 0 9200 AMERICREDIT CORP COM 03060R101 1837484 56660 X 32260 0 24400 AMERICREDIT CORP COM 03060R101 424833 13100 X 0 0 13100 AMERIPATH INC COM 03071D109 699639 34025 X 0 0 34025 AMERISOURCE HEALTH CORP CL A COM 03071P102 399758 8150 X 150 0 8000 AMERITRADE HOLDINGS CORP CL A COM 03072H109 3169 600 X 0 0 600 AMERON INTERNATIONAL INC COM 030710107 2453 50 X 50 0 0 AMERUS GROUP CO COM 03072M108 12680564 417811 X 245114 0 172697 AMERUS GROUP CO COM 03072M108 24280 800 X 800 0 0 AMES DEPT STORES INC COM 030789507 41876 20000 X 20000 0 0 AMES DEPT STORES INC COM 030789507 6281 3000 X 3000 0 0 AMETEC INC NEW COM 031100100 1876828 68001 X 5101 0 62900 AMETEC INC NEW COM 031100100 54289 1967 X 1967 0 0 AMGEN INC 031162100 133188136 2212887 X 2011792 300 200795 AMGEN INC 031162100 23950051 397924 X 364868 3106 29950 AMKOR TECHNOLOGY INC COM 031652100 61384 3763 X 3163 0 600 AMKOR TECHNOLOGY INC COM 031652100 81563 5000 X 5000 0 0 AMPAL AMERN ISRAEL CORP CL A COM 032015109 600 117 X 117 0 0 AMPHENOL CORP NEW CL A COM 032095101 415800 13200 X 1000 0 12200 AMPHENOL CORP NEW CL A COM 032095101 25200 800 X 800 0 0 AMR CORP DEL COM 001765106 8480391 241469 X 222687 0 18782 AMR CORP DEL COM 001765106 659554 18780 X 18580 0 200 AMSOUTH BANCORPORATION COM 032165102 625198 37192 X 31965 0 5227 AMSOUTH BANCORPORATION COM 032165102 826144 49146 X 27221 0 21925 AMSURG CORP CL A COM 03232P108 441297 23150 X 0 0 23150 AMSURG CORP CL B COM 03232P207 208575 10800 X 0 0 10800 AMTECH SYS INC COM 032332504 16031 3000 X 3000 0 0 AMYLIN PHARMACEUTICALS INC COM 032346108 7950 800 X 0 0 800 ANADARKO PETROLEUM CORP COM 032511107 95367905 1519081 X 1392748 300 126033 ANADARKO PETROLEUM CORP COM 032511107 18705866 297959 X 271689 1235 25035 ANADIGICS INC COM 032515108 8613 650 X 250 0 400 ANADIGICS INC COM 032515108 29654 2238 X 2238 0 0 ANALOG DEVICES INC COM 032654105 86845536 2396400 X 2266182 1025 129193 ANALOG DEVICES INC COM 032654105 15208225 419653 X 375773 475 43405 ANALOGIC CORP (NEW) 032657207 16785325 373526 X 250726 0 122800 ANALYSTS INTL CORP COM 032681108 3090505 595760 X 394960 0 200800 ANAREN MICROWAVE INC 032744104 1256 100 X 100 0 0 ANAREN MICROWAVE INC 032744104 5025 400 X 100 0 300 9 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 7 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. 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COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ 724 SOLUTIONS INC COM 81788Q100 1000 100 X 100 ABBOTT LABORATORIES COM 002824100 5790213 122700 X 122700 ACCRUE SOFTWARE, INC COM 00437W102 324 1730 X 1730 Accrue Software, Inc. COM 00437W102 178 947 X 947 ACME COM 004631107 15584103 1475418 X 1475418 ACTUATE CORPORATION COM 00508B102 1913 200 X 200 ADOBE SYSTEMS INCORPORATED COM 00724F101 15041 430 X 430 AGILENT TECHNOLOGIES INC COM 00846U101 3759816 122350 X 122350 Airspan COM 00950H102 569999 253333 X 253333 Akamai COM 00971T101 171798 20064 X 20064 ALLEGIANCE TELECOM COM 01747T102 1469 100 X 100 ALLIED RISER COMMUNICATIONS CO COM 019496108 27500 17600 X 17600 ALTERA CORP COM 021441100 3206 150 X 150 AMERICAN CAPITAL STRATEGIES COM 024937104 2594 100 X 100 AMERICAN INTL GROUP INC COM 026874107 5232500 65000 X 65000 ANADIGICS, INC.COM 032515108 3413 260 X 260 ANDRX GROUP COM 034553107 735000 15000 X 15000 ANTIGENICS INC. COM 037032109 1076 72 X 72 APPLE COMPUTER INC COM 037833100 1898 86 X 86 APPLIED MICRO CIRCUITS CORP COM 03822W109 1912251 115894 X 115894 APPLIED MICROSYSTEMS CORP COM 037935103 609 300 X 300 ARTHROCARE CORP COM 043136100 13185 946 X 946 Artisan Components COM 42923102 13811 1,905 X 1905 ASK JEEVES COM 045174109 127547 120044 X 120044 AT HOME CORP COM 045919107 3136 700 X 700 ATHEROGENICS COM 047439104 35700 5950 X 5950 ATMEL CORP COM 049513104 7850 800 X 800 AUDIOCODES LTD COM M15342104 1388 157 X 157 B J SERVICES CO COM 055482103 4589694 64462 X 55462 0 9000 B J SERVICES CO COM 055482103 10680 150 X 150 0 0 BACKWEB TECHNOLOGIES LTD COM M15633106 3680 2355 X 0 0 2355 BACOU USA INC COM 056439102 254100 10000 X 8500 0 1500 BAIRNCO CORP COM 057097107 395 50 X 50 0 BAIRNCO CORP COM 057097107 790 100 X 0 0 100 BAKER HUGHES INC COM 057224107 147535191 4063211 X 3881904 150 181157 BAKER HUGHES INC COM 057224107 7178197 197692 X 186089 0 11603 BALDOR ELECTRIC CO COM 057741100 534670 25400 X 25400 0 0 BALDOR ELECTRIC CO COM 057741100 8420 400 X 400 0 0 BALL CORP COM 058498106 1059322 23094 X 1621 0 21473 BALL CORP COM 058498106 82566 1800 X 1800 0 0 BALLY TOTAL FITNESS HOLDINGS COM 05873K108 12530975 425500 X 423900 0 1600 14 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 12 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ BANCORP CONN INC COM 059684100 196990 12076 X 10568 0 1508 BANCORP RHODE ISLAND INC COM 059690107 3200 200 X 200 0 0 BANCORP RHODE ISLAND INC COM 059690107 192000 12000 X 12000 0 0 BANCWEST CORP NEW COM 059790105 38400 1600 X 0 0 1600 BANCWEST CORP NEW COM 059790105 4800 200 X 200 0 0 BANDAG INC CL A 059815308 58239 2700 X 0 0 2700 BANDAG INC COM 059815100 16068 600 X 0 0 600 BANGOR HYDRO ELECTRIC CO 060077104 160003 6100 X 6100 0 0 BANGOR HYDRO ELECTRIC CO 060077104 31476 1200 X 1200 0 0 BANK GRANITE CORP COM 062401104 7945 375 X 375 0 0 BANK NEW YORK INC 064057102 114535441 2326065 X 2187268 1300 137497 BANK NEW YORK INC 064057102 39530118 802805 X 715990 2450 84365 BANK OF AMERICA CORP COM 060505104 135695302 2478453 X 2176725 0 301728 BANK OF AMERICA CORP COM 060505104 32714987 597534 X 522414 1255 73865 BANK ONE CORP NEW COM 06423A103 51014415 1410017 X 1227035 50 182932 BANK ONE CORP NEW COM 06423A103 7915533 218782 X 201294 1208 16280 BANK PLUS CORPORATION COM 064446107 10191 1832 X 1832 0 0 BANK PLUS CORPORATION COM 064446107 1113 200 X 200 0 0 BANKNORTH GROUP INC COM NEW 06646R107 2760161 138876 X 108570 0 30306 BANKNORTH GROUP INC COM NEW 06646R107 321101 16156 X 12369 0 3787 BANKUNITED FINL CORP CL A COM 06652B103 1100 100 X 100 0 0 BAR HARBOR BANKSHARES COM 066849100 151470 10200 X 10200 0 0 BAR HARBOR BANKSHARES COM 066849100 5940 400 X 400 0 0 BARD C R INC 067383109 636145 14012 X 7749 0 6263 BARD C R INC 067383109 1132594 24947 X 24267 0 680 BARNES & NOBLE INC COM 067774109 2937310 122900 X 121900 0 1000 BARNES & NOBLE INC COM 067774109 119500 5000 X 900 0 4100 BARNES GROUP INC 067806109 7454593 392347 X 392347 0 0 BARNES GROUP INC 067806109 43629738 2296302 X 93309 0 2202993 BARNESANDNOBLE.COM INC COM 067846105 609 500 X 500 0 0 BARR LABS INC COM 068306109 62887 1100 X 0 0 1100 BARR LABS INC COM 068306109 5717 100 X 100 0 0 BARRA INC COM 068313105 889650 16475 X 15900 0 575 BARRETT RES CORP 068480201 1895178 31560 X 31475 0 85 BARRETT RES CORP 068480201 345288 5750 X 4250 0 1500 BARRY R G CORP OHIO COM 068798107 553 221 X 221 0 0 BASSETT FURNITURE INDS INC COM 070203104 3624710 284291 X 192591 0 91700 BAUSCH & LOMB COM 071707103 2361490 51719 X 16075 0 35644 BAUSCH & LOMB COM 071707103 296105 6485 X 6485 0 0 BAXTER INTERNATIONAL COM 071813109 134005466 1423470 X 1354771 325 68374 BAXTER INTERNATIONAL COM 071813109 18591803 197491 X 185299 1700 10492 BB & T CORP COM 054937107 1344514 38229 X 35795 0 2434 15 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 12 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ BB & T CORP COM 054937107 396471 11273 X 11273 0 0 BE AEROSPACE INC COM 073302101 354638 19300 X 11000 0 8300 BEA SYS INC COM 073325102 770007 26213 X 763 0 25450 BEA SYS INC COM 073325102 101638 3460 X 3460 0 0 BEACON POWER CORPORATION COM 073677106 12075 2300 X 2300 0 0 BEAR STEARNS COM 073902108 4325037 94557 X 57261 0 37296 BEAR STEARNS COM 073902108 74556 1630 X 1630 0 0 BEASLEY BROADCAST GROUP INC CL A COM 074014101 46950 3130 X 0 0 3130 BEAZER HOMES USA INC COM 07556Q105 5903960 150228 X 106528 0 43700 BECKMAN COULTER INC COM 075811109 3643579 93210 X 6520 0 86690 BECKMAN COULTER INC COM 075811109 142835 3654 X 3654 0 0 BECTON DICKINSON & CO COM 075887109 26600869 753139 X 561882 0 191257 BECTON DICKINSON & CO COM 075887109 6210033 175822 X 160897 4800 10125 BED BATH & BEYOND INC COM 075896100 29710235 1209577 X 1167599 0 41978 BED BATH & BEYOND INC COM 075896100 667486 27175 X 24875 0 2300 BEL FUSE INC CL A COM 077347201 23188 1000 X 0 0 1000 BEL FUSE INC CL B COM 077347300 223800 9600 X 8100 0 1500 BELDEN INC COM 077459105 3789851 189020 X 173020 0 16000 BELL & HOWELL COMPANY COM 077852101 18680420 828400 X 544900 0 283500 BELL MICROPRODUCTS INC COM 078137106 132356 11700 X 11700 0 0 BELL SOUTH CORP COM 079860102 118460740 2894935 X 2681094 500 213341 BELL SOUTH CORP COM 079860102 100456145 2454940 X 2357410 10980 86550 BELLWETHER EXPL CO COM NEW 079895207 3719476 435980 X 280080 0 155900 BELO CORPORATION CL A COM 080555105 24521112 1488835 X 1472335 0 16500 BELO CORPORATION CL A COM 080555105 116715429 7086547 X 3934362 0 3152185 BEMIS CO COM 081437105 19938380 602550 X 599192 0 3358 BEMIS CO COM 081437105 4543753 137315 X 62465 0 74850 BENCHMARK ELECTRONICS INC COM 08160H101 20135700 1032600 X 690500 0 342100 BENTON OIL & GAS CO COM 083288100 2340 1000 X 1000 0 0 BENTON OIL & GAS CO COM 083288100 15210 6500 X 6500 0 0 BERGEN BRUNSWIG CORP CL A COM 083739102 287612 17326 X 1026 0 16300 BERKLEY W R CORP COM 084423102 58581 1300 X 0 0 1300 BERKSHIRE HATHAWAY INC CL A COM 084670108 7134050 109 X 94 0 15 BERKSHIRE HATHAWAY INC CL A COM 084670108 19700450 301 X 300 0 1 BERKSHIRE HATHAWAY INC CL B COM 084670207 27049856 12431 X 11017 0 1414 BERKSHIRE HATHAWAY INC CL B COM 084670207 28993024 13324 X 12926 15 383 BEST BUY INC COM 086516101 993575 27630 X 21998 0 5632 BEST BUY INC COM 086516101 56817 1580 X 580 0 1000 BETHLEHEM STEEL CORP COM 087509105 6534 2700 X 2700 0 0 BETHLEHEM STEEL CORP COM 087509105 145 60 X 60 0 0 BEVERLY ENTERPRISES INC COM NEW 087851309 7620000 952500 X 562800 0 389700 BHC COMMUNICATIONS INC CL A COM 055448104 181500 1500 X 0 0 1500 16 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 13 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ BIO RAD LABS INC CL A 090572207 54000 1500 X 1500 0 0 BIO-TECHNOLOGY GENERAL COM 090578105 276532 44316 X 44316 0 0 BIOGEN INC 090597105 3922336 61952 X 42552 0 19400 BIOGEN INC 090597105 2224675 35138 X 31708 0 3430 BIOLASE TECHNOLOGY INCORPORATED COM 090911108 16078 7000 X 7000 0 0 BIOMET INC COM 090613100 919574 23345 X 11298 0 12047 BIOMET INC COM 090613100 188248 4779 X 3000 0 1779 BIONX IMPLANTS INC COM 09064Q106 2235 1987 X 0 0 1987 BIOPURE CORP COM 09065H105 40896 3072 X 2072 0 1000 BIOSPHERE MEDICAL INC COM 09066V103 157625 13000 X 13000 0 0 BIOSPHERE MEDICAL INC COM 09066V103 12125 1000 X 1000 0 0 BIOVAIL CORP COM 09067J109 234845 6500 X 0 0 6500 BISYS GROUP INC COM 055472104 470250 8800 X 0 0 8800 BISYS GROUP INC COM 055472104 384750 7200 X 0 0 7200 BJS WHOLESALE CLUB INC COM 05548J106 712965 14900 X 200 0 14700 BJS WHOLESALE CLUB INC COM 05548J106 234465 4900 X 800 0 4100 BKF CAP GROUP INC COM 05548G102 49623 2363 X 2363 0 0 BLACK & DECKER CORP 091797100 23087526 628232 X 533339 55 94838 BLACK & DECKER CORP 091797100 2282800 62117 X 57292 700 4125 BLACK BOX CORP DEL COM 091826107 748650 16800 X 14700 0 2100 BLACK HILLS CORP COM 092113109 542212 11862 X 11450 412 0 BLACKROCK INC CL A COM 09247X101 14400 400 X 0 0 400 BLAIR CORP COM 092828102 25650 1500 X 1500 0 0 BLANCH E W HLDGS INC COM 093210102 86655 10900 X 10900 0 0 BLANCH E W HLDGS INC COM 093210102 7950 1000 X 1000 0 0 BLOCK H & R INC COM 093671105 6982269 139478 X 106615 0 32863 BLOCK H & R INC COM 093671105 1373096 27429 X 27429 0 0 BLOCKBUSTER INC COM CL A 093679108 52465 3500 X 0 0 3500 BLOCKBUSTER INC COM CL A 093679108 14990 1000 X 1000 0 0 BLOUNT INTL INC COM 095180105 2200 500 X 500 0 0 BLUE MARTINI SOFTWARE INC COM 095698106 1100 400 X 0 0 400 BMC INDS INC MINN 055607105 117180 21000 X 19000 0 2000 BMC SOFTWARE INC COM 055921100 41484035 1929490 X 1790416 0 139074 BMC SOFTWARE INC COM 055921100 1295504 60256 X 60256 0 0 BOB EVANS FARMS INC COM 096761101 17750 1000 X 1000 0 0 BOCA RESORTS INC CL A COM 09688T106 1160 100 X 100 0 0 BOEING CO COM 097023105 48152159 864336 X 741899 200 122237 BOEING CO COM 097023105 19648750 352697 X 337801 400 14496 BOISE CASCADE CO 097383103 195810 6236 X 3345 0 2891 BOISE CASCADE CO 097383103 17301 551 X 551 0 0 BOLDER TECHNOLOGIES CORP COM 097519102 1094 5000 X 5000 0 0 BOMBAY INC COM 097924104 1326617 555070 X 552292 0 2778 17 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 14 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ BORDERS GROUP INC COM 099709107 595782 35400 X 30200 0 5200 BORG WARNER INC COM 099724106 5577143 139185 X 104685 0 34500 BORG WARNER INC COM 099724106 42354 1057 X 1057 0 0 BORLAND SOFTWARE CORP COM 099849101 195998 28125 X 0 0 28125 BORLAND SOFTWARE CORP COM 099849101 502 72 X 72 0 0 BOSTON ACOUSTICS INC COM 100534106 4900 400 X 400 0 0 BOSTON BEER INC CL A COM 100557107 955 100 X 100 0 0 BOSTON COMMUNICATION GROUP INC COM 100582105 93663 12700 X 12700 0 0 BOSTON LIFE SCIENCES INC COM 100843408 469 150 X 0 0 150 BOSTON LIFE SCIENCES INC COM 100843408 9375 3000 X 3000 0 0 BOSTON PRIVATE FINANCIAL HLDGS COM 101119105 90525 5100 X 0 0 5100 BOSTON SCIENTIFIC CORP COM 101137107 20320251 1006950 X 861040 0 145910 BOSTON SCIENTIFIC CORP COM 101137107 2596318 128658 X 126058 600 2000 BOTTOMLINE TECHNOLOGIES COM 101388106 52061 7150 X 500 0 6650 BOWATER INC COM 102183100 1387635 29275 X 11975 0 17300 BOWATER INC COM 102183100 156420 3300 X 3300 0 0 BOWNE & CO INC DEL COM 103043105 276250 25000 X 25000 0 0 BOYKIN LODGING CO COM 103430104 21090 1900 X 0 0 1900 BOYKIN LODGING CO COM 103430104 17127 1543 X 1543 0 0 BP PRUDHOE BAY RTY TR UNIT BEN INT 055630107 9894 600 X 600 0 0 BRADY CORPORATION COM CLASS A 104674106 576270 17100 X 17100 0 0 BRASS EAGLE INC COM 10553F106 2735334 326607 X 325054 0 1553 BREAKAWAY SOLUTIONS INC COM 106372105 688 2000 X 2000 0 0 BRIGGS & STRATTON CORP COM 109043109 299785 7813 X 2632 0 5181 BRIGGS & STRATTON CORP COM 109043109 126621 3300 X 3300 0 0 BRIGHT HORIZONS FAMILY SOLUT INC COM 109195107 5054665 213277 X 212077 0 1200 BRIGHTPOINT INC COM 109473108 100824 41900 X 41900 0 0 BRINKER INTL INC COM 109641100 1056394 37850 X 750 0 37100 BRISTOL MYERS SQUIBB CO 110122108 324828187 5468488 X 4982704 1600 484184 BRISTOL MYERS SQUIBB CO 110122108 232334131 3911349 X 3712285 18869 180195 BRITESMILE INC COM 110415106 9113 1800 X 1800 0 0 BROADBASE SOFTWARE INC COM 11130R100 62497 30767 X 30767 0 0 BROADCOM CORP CL A COM 111320107 795733 27534 X 25699 0 1835 BROADCOM CORP CL A COM 111320107 146985 5086 X 1886 200 3000 BROADVISION INC COM 111412102 127182 23800 X 23100 0 700 BROADVISION INC COM 111412102 4141 775 X 775 0 0 BROADWING INC COM 111620100 617951 32269 X 2269 0 30000 BROADWING INC COM 111620100 163235 8524 X 8524 0 0 BROCADE COMMUNICATIONS SYTEMS COM 111621108 6450560 308787 X 253498 0 55289 BROCADE COMMUNICATIONS SYTEMS COM 111621108 70817 3390 X 2040 0 1350 BROOKS AUTOMATION INC COM 11434A100 3082613 77550 X 77129 0 421 BROOKTROUT INC 114580103 61751 9980 X 9680 0 300 18 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 16 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ BROWN & BROWN INC COM 115236101 14229495 417900 X 254300 0 163600 BROWN & SHARPE MANUFACTURING CO CL A 115223109 74776 14380 X 14380 0 0 BROWN & SHARPE MANUFACTURING CO CL A 115223109 447 86 X 86 0 0 BROWN FORMAN CORP CL B 115637209 431234 6961 X 4765 0 2196 BROWN FORMAN CORP CL B 115637209 255854 4130 X 4130 0 0 BROWN SHOE COMPANY INC COM 115736100 256360 13600 X 13600 0 0 BRUKER DALTONICS INC COM 116795105 70594 4500 X 0 0 4500 BRUNSWICK CORP COM 117043109 4395255 223905 X 179750 0 44155 BRUNSWICK CORP COM 117043109 19630 1000 X 1000 0 0 BRUSH ENGINEERED MATERIALS INC 117421107 305860 16400 X 12500 0 3900 BRUSH ENGINEERED MATERIALS INC 117421107 20851 1118 X 1118 0 0 BSB BANCORP INC COM 055652101 3432943 182482 X 120282 0 62200 BSB BANCORP INC COM 055652101 136428 7252 X 2752 0 4500 BSQUARE CORP COM 11776U102 15488 1400 X 0 0 1400 BUCA COM 117769109 5616164 301620 X 300120 0 1500 BUCKEYE TECHNOLOGIES INC COM 118255108 3177450 276300 X 149700 0 126600 BUCKLE INC COM 118440106 4421250 235800 X 120000 0 115800 BUDGET GROUP INC CL A COM 119003101 23842 13100 X 13100 0 0 BUILDING MATERIALS HOLDING CORP COM 120113105 95857 9800 X 9800 0 0 BURLINGTON COAT FACTORY WHSE CORP 121579106 657980 33400 X 33400 0 0 BURLINGTON INDS INC NEW COM 121693105 2120 800 X 800 0 0 BURLINGTON NORTHN SANTA FE CORP COM 12189T104 33396218 1099283 X 983459 0 115824 BURLINGTON NORTHN SANTA FE CORP COM 12189T104 5259355 173119 X 166030 0 7089 BURLINGTON RES INC COM 122014103 3030560 67722 X 61194 0 6528 BURLINGTON RES INC COM 122014103 2496558 55789 X 49469 0 6320 BUSH INDS INC CL A 123164105 15840 1100 X 1100 0 0 BUTLER INTL INC NEW COM 123649105 3223 874 X 874 0 0 BUTLER MANUFACTURING CO COM 123655102 112700 4900 X 500 0 4400 BUY.COM INC COM 124269101 250 1000 X 1000 0 0 BANC ONE CORPORATION NEW COM 06423A103 242406 6700 X 6700 BANK OF NEW YORK CO INC COM 064057102 5509956 111900 X 111900 BEA SYSTEMS INC COM 073325102 1469 50 X 50 BIOCHEM PHARMACEUTICAL INC COM 09058T108 3044 100 X 100 BIOGEN INC COM 090597105 94462 1492 X 1492 Bitstream COM 91736108 59687 31833 X 31833 BUCA INC COM 117769109 15407 827 X 827 C & D TECHNOLOGIES INC COM 124661109 568560 20600 X 19700 0 900 C H ROBINSON WORLDWIDE INC COM 12541W100 442106 16150 X 0 0 16150 C-COR.NET CORPORATION COM 125010108 220520 32975 X 25200 0 7775 C-CUBE MICROSYSTEMS INC COM NEW 12501N108 461719 37500 X 37500 0 0 CABLE DESIGN TECHNOLOGIES CORP COM 126924109 449396 33537 X 32795 0 742 CABLE DESIGN TECHNOLOGIES CORP COM 126924109 20100 1500 X 1500 0 0 19 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 16 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CABLETRON SYS INC COM 126920107 612866 47509 X 17555 0 29954 CABLETRON SYS INC COM 126920107 25800 2000 X 2000 0 0 CABLEVISION NY GROUP CL A 12686C109 198147 2377 X 2377 0 0 CABLEVISION NY GROUP CL A 12686C109 6169 74 X 74 0 0 CABOT CORP COM 127055101 26666325 846550 X 813200 0 33350 CABOT CORP COM 127055101 19729490 626333 X 622295 0 4038 CABOT MICROELECTRONICS CORP COM 12709P103 8609811 194572 X 178808 0 15764 CABOT MICROELECTRONICS CORP COM 12709P103 3888425 87874 X 87874 0 0 CABOT OIL & GAS CORP CL A 127097103 8912781 330103 X 328823 0 1280 CABOT OIL & GAS CORP CL A 127097103 888840 32920 X 32920 0 0 CACI INTL INC CL A COM 127190304 229500 8500 X 8500 0 0 CADENCE DESIGN SYS INC COM 127387108 6911562 373800 X 310000 0 63800 CADENCE DESIGN SYS INC COM 127387108 64715 3500 X 1500 0 2000 CAL DIVE INTERNATIONAL INC COM 127914109 626763 24700 X 24300 0 400 CALGON CARBON CORP COM 129603106 2870076 383700 X 246200 0 137500 CALIBER LEARNING NETWORK INC COM 129914107 1688 1800 X 1800 0 0 CALICO COMMERCE INC COM 129897104 61 162 X 0 0 162 CALIFORNIA COASTAL CMNTYS INC COM 129915203 1118 284 X 0 0 284 CALIFORNIA COASTAL CMNTYS INC COM 129915203 319 81 X 81 0 0 CALIFORNIA FED BK GOODWILL CERT COM 130209604 200 100 X 100 0 0 CALIFORNIA PIZZA KITCHEN COM 13054D109 936375 33000 X 32900 0 100 CALIFORNIA WTR SVC GRP COM 130788102 5720 200 X 200 0 0 CALIPER TECHNOLOGIES CORP COM 130876105 8063 500 X 500 0 0 CALLAWAY GOLF CO COM 131193104 59967 2700 X 1500 0 1200 CALLAWAY GOLF CO COM 131193104 53304 2400 X 2400 0 0 CALLON PETROLEUM CO DEL COM 13123X102 10364713 839248 X 720248 0 119000 CALPINE CORP COM 131347106 7036790 127779 X 79104 0 48675 CALPINE CORP COM 131347106 198252 3600 X 3100 0 500 CAMBREX CORP COM 132011107 993045 23900 X 19000 0 4900 CAMBRIDGE HEART INC COM 131910101 694 300 X 300 0 0 CAMBRIDGE TECH PARTNERS MA INC COM 132524109 61856 16495 X 15895 0 600 CAMBRIDGE TECH PARTNERS MA INC COM 132524109 22500 6000 X 6000 0 0 CAMDEN NATIONAL CORP COM 133034108 405457 29923 X 29923 0 0 CAMPBELL RES INC NEW 134422609 108 200 X 200 0 0 CAMPBELL SOUP CO COM 134429109 2996349 100313 X 78520 0 21793 CAMPBELL SOUP CO COM 134429109 4586150 153537 X 151192 1000 1345 CANADA SOUTHN PETE LTD 135231108 330 60 X 60 0 0 CANNONDALE CORP COM 137798104 446 105 X 105 0 0 CAPITAL ONE FINL CORP COM 14040H105 15657716 282121 X 269606 0 12515 CAPITAL ONE FINL CORP COM 14040H105 5011484 90297 X 88497 900 900 CAPITAL PROPERTIES INC RI COM 140430109 11250 1500 X 1500 0 0 CAPITAL PROPERTIES INC RI COM 140430109 4500 600 X 600 0 0 CAPITAL TRUST CL A COM 14052H100 18 4 X 4 0 0 20 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 17 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CAPSTONE TURBINE CORP COM 14067D102 207138 7300 X 0 0 7300 CAPSTONE TURBINE CORP COM 14067D102 42563 1500 X 1500 0 0 CARAUSTAR INDS INC COM 140909102 159020 19800 X 7700 0 12100 CARBO CERAMICS INC COM 140781105 1688 50 X 50 0 0 CARDINAL HEALTH INC COM 14149Y108 102578317 1060241 X 951282 375 108584 CARDINAL HEALTH INC COM 14149Y108 9623819 99471 X 95286 25 4160 CARECENTRIC INC COM RESTRICTED 14166Y106 61102 25727 X 2297 0 23430 CARECENTRIC INC COM RESTRICTED 14166Y106 159410 67120 X 67120 0 0 CAREER ED CORP COM 141665109 528128 10510 X 0 0 10510 CAREMARK RX INC COM 141705103 144418 11075 X 3673 0 7402 CAREMARK RX INC COM 141705103 36538 2802 X 2590 0 212 CARLISLE COMPANIES INC 142339100 174387 5346 X 5346 0 0 CARLISLE COMPANIES INC 142339100 371085 11376 X 10576 800 0 CARNIVAL CORP CL A COM 143658102 10872677 392941 X 343837 0 49104 CARNIVAL CORP CL A COM 143658102 1422100 51395 X 46915 0 4480 CARPENTER TECH CORP COM 144285103 230010 8200 X 3500 0 4700 CARPENTER TECH CORP COM 144285103 72706 2592 X 2592 0 0 CARREKER CORPORATION COM 144433109 304000 16000 X 16000 0 0 CARREKER CORPORATION COM 144433109 38000 2000 X 0 0 2000 CARRINGTON LABS INC COM 144525102 1031 1000 X 1000 0 0 CARTER WALLACE INC COM 146285101 17686 710 X 680 0 30 CARTER WALLACE INC COM 146285101 4982 200 X 200 0 0 CASCADE NATURAL GAS CORP COM 147339105 6750665 331728 X 220828 0 110900 CASEYS GEN STORES INC COM 147528103 2347390 196640 X 184340 0 12300 CASH AMERICAN INTERNATIONAL INC COM 14754D100 3628951 594910 X 592010 0 2900 CASTLE A M & CO COM 148411101 95294 10600 X 1788 0 8812 CASTLE A M & CO COM 148411101 137547 15300 X 15300 0 0 CASTLE ENERGY CORP NEW COM 148449309 19500 3000 X 3000 0 0 CASUAL MALE CORP COM 148710106 47604 15868 X 15868 0 0 CATALINA MARKETING CORP COM 148867104 263817 8100 X 0 0 8100 CATELLUS DEV CORP COM 149111106 729194 46298 X 298 0 46000 CATELLUS DEV CORP COM 149111106 25200 1600 X 1600 0 0 CATERPILLAR INC COM 149123101 13368987 301239 X 216773 0 84466 CATERPILLAR INC COM 149123101 7324076 165031 X 159715 0 5316 CATHAY BANCORP INC COM 149150104 432763 8900 X 8900 0 0 CATHAY BANCORP INC COM 149150104 145875 3000 X 3000 0 0 CATO CORP NEW COM 149205106 295225 19600 X 18700 0 900 CAVALIER HOMES INC COM 149507105 1190 500 X 500 0 0 CCA INDS INC COM 124867102 1250 2000 X 2000 0 0 CCBT FINANCIAL CO COM 12500Q102 429844 19650 X 18850 0 800 CCBT FINANCIAL CO COM 12500Q102 651875 29800 X 29800 0 0 CDI CORP 125071100 187200 14400 X 13300 0 1100 CDW COMPUTER CTRS INC COM 125129106 52700 1700 X 0 0 1700 21 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 18 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CEC ENTMT INC COM 125137109 30416073 685819 X 499469 0 186350 CECO ENVIRONMENTAL CORPORATION 125141101 17500 10000 X 0 0 10000 CELESTICA INC COM 15101Q108 313309 11360 X 2260 0 9100 CELGENE CORP COM 151020104 602750 24110 X 7275 0 16835 CELGENE CORP COM 151020104 50000 2000 X 2000 0 0 CELL GENESYS INC COM 150921104 103883 7290 X 1040 0 6250 CELL GENESYS INC COM 150921104 2850 200 X 200 0 0 CELL PATHWAYS INC NEW 15114R101 6959 1700 X 700 0 1000 CELL PATHWAYS INC NEW 15114R101 409 100 X 100 0 0 CENDANT CORP COM 151313103 14314935 981147 X 842834 0 138313 CENDANT CORP COM 151313103 692164 47441 X 46441 0 1000 CENTENNIAL TECHNOLOGIES NEW COM 151392206 48226 4705 X 188 0 4517 CENTENNIAL TECHNOLOGIES NEW COM 151392206 1189 116 X 116 0 0 CENTER BANCORP INC COM 151408101 116497 5531 X 5531 0 0 CENTERPOINT PROPERTIES TRUST 151895109 657765 14100 X 0 0 14100 CENTEX CORP COM 152312104 13673237 328289 X 296659 0 31630 CENTEX CORP COM 152312104 1279030 30709 X 29734 0 975 CENTILLIUM COMMUNICATIONS INC COM 152319109 73313 3000 X 0 0 3000 CENTRA SOFTWARE INC COM 15234X103 91000 14000 X 0 0 14000 CENTRA SOFTWARE INC COM 15234X103 4108 632 X 632 0 0 CENTRAL PKG CORP COM 154785109 500500 27500 X 27500 0 0 CENTRAL VT PUB SVC CORP COM 155771108 192686 11685 X 9925 0 1760 CENTRAL VT PUB SVC CORP COM 155771108 63932 3877 X 3877 0 0 CENTURA BKS INC COM 15640T100 1646685 33300 X 29800 0 3500 CENTURY ALUMINUM COMPANY COM 156431108 35200 2200 X 500 0 1700 CENTURY BANCORP CL A NON VTG 156432106 37750 2000 X 2000 0 0 CENTURYTEL INC COM 156700106 24696940 859024 X 826085 0 32939 CENTURYTEL INC COM 156700106 2960646 102979 X 94931 0 8048 CEPHALON INC COM 156708109 2187324 45510 X 31400 0 14110 CEPHALON INC COM 156708109 14419 300 X 300 0 0 CERIDIAN CORP COM 15677T106 722943 39078 X 900 0 38178 CERIDIAN CORP COM 15677T106 15263 825 X 825 0 0 CERNER CORP COM 156782104 1092575 31900 X 26000 0 5900 CERUS CORP COM 157085101 3307522 74958 X 74558 0 400 CH ENERGY GROUP INC COM 12541M102 880575 19900 X 19900 0 0 CH ENERGY GROUP INC COM 12541M102 123059 2781 X 2781 0 0 CHALONE WINE GROUP LTD COM 157639105 869 100 X 100 0 0 CHAMPION ENTERPRISES INC COM 158496109 183855 35700 X 30900 0 4800 CHARLES RIVER ASSOCIATES COM 159852102 2712907 261485 X 242570 0 18915 CHARLES RIVER LABORATORIES COM 159864107 116325 4700 X 0 0 4700 CHARTER COMMUN INC CL A COM 16117M107 426481 18850 X 5600 0 13250 CHARTER COMMUN INC CL A COM 16117M107 11313 500 X 500 0 0 CHARTER MUNI MTG ACCEPT CO COM 160908109 50960 3346 X 956 0 2390 22 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 19 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CHARTER ONE FINL INC COM 160903100 55580351 1963970 X 1785382 0 178588 CHARTER ONE FINL INC COM 160903100 4243245 149938 X 127170 0 22768 CHASE CORP COM 16150R104 27015 2309 X 2309 0 0 CHASE CORP COM 16150R104 35100 3000 X 3000 0 0 CHASE INDS INC COM 161568100 108775 9500 X 0 0 9500 CHECK POINT SOFTWARE TECH COM M22465104 588953 12399 X 712 0 11687 CHECK POINT SOFTWARE TECH COM M22465104 59375 1250 X 750 0 500 CHECKFREE CORP NEW COM 162813109 302971 10292 X 392 0 9900 CHECKPOINT SYS INC COM 162825103 234549 24820 X 18320 0 6500 CHEESECAKE FACTORY INC 163072101 7260345 197225 X 195725 0 1500 CHEESECAKE FACTORY INC 163072101 111358 3025 X 0 0 3025 CHEMED CORP COM 163596109 274525 7900 X 3400 0 4500 CHEMFIRST INC COM 16361A106 298480 11200 X 11200 0 0 CHESAPEAKE CORP COM 165159104 263910 11400 X 11400 0 0 CHESAPEAKE CORP COM 165159104 97230 4200 X 0 0 4200 CHESAPEAKE ENERGY CORP COM 165167107 1770 200 X 200 0 0 CHESAPEAKE UTILITIES 165303108 29120 1600 X 1600 0 0 CHEVRON CORP COM 166751107 84020386 956952 X 841582 150 115220 CHEVRON CORP COM 166751107 79873328 909719 X 889279 953 19487 CHICOS FAS INC COM 168615102 439688 13400 X 13100 0 300 CHILDRENS COMPREHENSIVE SVCS COM 16875K202 2595138 715900 X 471800 0 244100 CHILDRENS COMPREHENSIVE SVCS COM 16875K202 9063 2500 X 2500 0 0 CHILDRENS PL RETAIL STORES INC 168905107 12000 500 X 500 0 0 CHILES OFFSHORE INC COM 16888M104 295365 14500 X 0 0 14500 CHINADOTCOM CORPORATION COM G2108N109 3900 1600 X 1600 0 0 CHIQUITA BRANDS INTL INC COM 170032106 995 765 X 765 0 0 CHIRON CORP COM 170040109 1179974 26894 X 22854 0 4040 CHIRON CORP COM 170040109 403475 9196 X 9196 0 0 CHITTENDEN CORP 170228100 859061 27534 X 26834 0 700 CHITTENDEN CORP 170228100 416270 13342 X 13342 0 0 CHOICE ONE COMMUNICATIONS INC COM 17038P104 1083 175 X 175 0 0 CHOICEPOINT INC COM 170388102 645918 19110 X 13440 0 5670 CHOICEPOINT INC COM 170388102 783721 23187 X 22842 0 345 CHRIS-CRAFT INDUSTRIES INC COM 170520100 236555 3740 X 346 0 3394 CHROMATICS COLOR SCIENCES INTL COM 171116304 516 5500 X 5500 0 0 CHROMAVISION MED SYS INC COM 17111P104 1406 300 X 300 0 0 CHRONIMED INC COM 171164106 12544 900 X 0 0 900 CHUBB CORP 171232101 40059030 552996 X 499977 0 53019 CHUBB CORP 171232101 8356534 115358 X 106875 50 8433 CHURCH & DWIGHT CO COM 171340102 338988 15600 X 0 0 15600 CIBER INC COM 17163B102 232044 47550 X 44900 0 2650 CIBER INC COM 17163B102 1464 300 X 300 0 0 23 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 20 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CIENA COM 171779101 21752209 521011 X 402161 0 118850 CIENA COM 171779101 69931 1675 X 1675 0 0 CIGNA CORP COM 125509109 66872934 622885 X 576875 0 46010 CIGNA CORP COM 125509109 60214144 560862 X 537294 300 23268 CIMA LABS INC COM 171796105 18638 300 X 0 0 300 CIMA LABS INC COM 171796105 621250 10000 X 10000 0 0 CINCINNATTI FINL CORP COM 172062101 1493903 39378 X 38947 0 431 CINCINNATTI FINL CORP COM 172062101 1468940 38720 X 36530 0 2190 CINERGY CORP COM 172474108 2475151 73775 X 32443 0 41332 CINERGY CORP COM 172474108 861933 25691 X 13141 0 12550 CINTAS CORP COM 172908105 9731773 246874 X 217674 0 29200 CINTAS CORP COM 172908105 543208 13780 X 13780 0 0 CIPHERGEN BIOSYSTEMS INC COM 17252Y104 603611 136025 X 125300 0 10725 CIPHERGEN BIOSYSTEMS INC COM 17252Y104 647942 146015 X 0 0 146015 CIPRICO INC COM 172529109 190400 22400 X 0 0 22400 CIRCOR INTL INC COM 17273K109 5891880 398100 X 265700 0 132400 CIRCOR INTL INC COM 17273K109 1480 100 X 100 0 0 CIRCUIT CITY GROUP COM 172737108 14322752 1351203 X 1237606 0 113597 CIRCUIT CITY GROUP COM 172737108 956268 90214 X 82714 0 7500 CIRRUS LOGIC INC COM 172755100 15684 1050 X 250 0 800 CISCO SYS INC COM 17275R102 252797110 15987169 X 14778423 2850 1205896 CISCO SYS INC COM 17275R102 72405770 4579021 X 4187889 22133 368999 CIT GROUP INC CL A COM 125577106 4255670 147357 X 123657 0 23700 CIT GROUP INC CL A COM 125577106 21804 755 X 755 0 0 CITIGROUP INC COM 172967101 648284011 14412717 X 13289697 2922 1120098 CITIGROUP INC COM 172967101 186190707 4139411 X 3813538 16067 309806 CITIZENS COMMUNICATIONS CO COM 17453B101 2522650 199419 X 189137 0 10282 CITIZENS COMMUNICATIONS CO COM 17453B101 1274310 100736 X 100736 0 0 CITRIX SYSTEMS INC COM 177376100 744234 35230 X 22150 0 13080 CITRIX SYSTEMS INC COM 177376100 9295 440 X 440 0 0 CITY NATL CORP COM 178566105 460920 12000 X 0 0 12000 CIVIC BANCORP COM 178788105 11842 764 X 764 0 0 CLAIRES STORES INC COM 179584107 3184230 179900 X 178000 0 1900 CLAIRES STORES INC COM 179584107 8850 500 X 500 0 0 CLARCOR INC COM 179895107 5733420 248200 X 157300 0 90900 CLARK/BARDES HLDGS INC COM 180668105 8500 1000 X 1000 0 0 CLAYTON HOMES INC 184190106 2383261 197781 X 194333 0 3448 CLAYTON HOMES INC 184190106 71384 5924 X 3241 0 2683 CLEAN HBRS INC COM 184496107 10969 4500 X 4500 0 0 CLEAR CHANNEL COMMUNICATIONS INC 184502102 5644015 103655 X 67415 0 36240 CLEAR CHANNEL COMMUNICATIONS INC 184502102 414256 7608 X 2683 0 4925 CLECO CORP NEW COM 12561W105 236340 5200 X 200 0 5000 CLECO CORP NEW COM 12561W105 525766 11568 X 9468 0 2100 24 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 20 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CLEVELAND-CLIFFS INC COM 185896107 172800 9600 X 7700 0 1900 CLICK COMMERCE INC COM 18681D109 850 100 X 100 0 0 CLICK2LEARN.COM INC COM 18681S106 1050 800 X 800 0 0 CLOROX CO COM 189054109 3047096 96887 X 29279 0 67608 CLOROX CO COM 189054109 1924803 61202 X 56402 0 4800 CLOSURE MEDICAL CORP COM 189093107 262140 15420 X 14946 0 474 CMGI INC COM 125750109 303378 119440 X 116940 0 2500 CMGI INC COM 125750109 18263 7190 X 6490 0 700 CMS ENERGY CORP 125896100 1314033 44408 X 37400 0 7008 CMS ENERGY CORP 125896100 20713 700 X 700 0 0 CNA FINANCIAL 126117100 157545 4500 X 4500 0 0 CNB FINL CORP COM 125921106 253794 15987 X 15987 0 0 CNET NETWORKS INC COM 12613R104 7160 640 X 640 0 0 CNF INC COM 12612W104 2093081 72450 X 67300 0 5150 CNF INC COM 12612W104 4334 150 X 150 0 0 COACHMEN INDS INC COM 189873102 144990 16200 X 11700 0 4500 COCA COLA BOTTLING CO CONS COM 191098102 270931 6700 X 1500 0 5200 COCA COLA CO COM 191216100 134685094 2982398 X 2744812 0 237586 COCA COLA CO COM 191216100 110957126 2456978 X 2324341 11744 120893 COCA COLA ENTERPRISES INC COM 191219104 804616 45254 X 42911 0 2343 COCA COLA ENTERPRISES INC COM 191219104 699038 39316 X 37716 0 1600 COEUR D'ALENE MINES CORP COM 192108108 577 555 X 555 0 0 COGNEX CORP COM 192422103 3554348 143610 X 136310 0 7300 COGNIZANT TECHNOLOGY SOLUTIONS CL A 192446102 134379 4470 X 450 0 4020 COHERENT INC COM 192479103 738400 20800 X 17700 0 3100 COHOES BANCORP INC COM 192513109 29156 1500 X 1500 0 0 COHOES BANCORP INC COM 192513109 38875 2000 X 2000 0 0 COHU INC COM 192576106 284981 18312 X 18312 0 0 COINSTAR INC COM 19259P300 7655 457 X 457 0 0 COLDWATER CREEK INC COM 193068103 13518 600 X 0 0 600 COLE KENNETH PRODUCTIONS CL A COM 193294105 118513 4750 X 0 0 4750 COLGATE PALMOLIVE CO COM 194162103 34231912 619470 X 492441 300 126729 COLGATE PALMOLIVE CO COM 194162103 27260753 493318 X 468648 800 23870 COLLAGENEX PHARMACEUTICALS INC COM 19419B100 15625 3125 X 200 0 2925 COLONIAL BANCGROUP INC COM 195493309 335634 25818 X 22418 0 3400 COLUMBIA BKG SYS INC COM 197236102 10215 908 X 908 0 0 COLUMBIA LABS INC COM 197779101 36120 6000 X 6000 0 0 COMARCO INC COM 200080109 5898 405 X 0 0 405 COMCAST CORP CL A COM 200300101 1610431 39100 X 35500 0 3600 COMCAST CORP CL A COM 200300101 218211 5298 X 4173 0 1125 COMCAST CORP CL A SPECIAL 200300200 142236273 3391625 X 3109217 1450 280958 COMCAST CORP CL A SPECIAL 200300200 19092299 455256 X 425006 1300 28950 COMDISCO INC COM 200336105 426560 53320 X 420 0 52900 COMDISCO INC COM 200336105 2240 280 X 280 0 0 25 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 21 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ COMERICA INC COM 200340107 15099480 245520 X 202212 0 43308 COMERICA INC COM 200340107 2673467 43471 X 43471 0 0 COMMERCE BANCORP INC NJ COM 200519106 5012760 83546 X 83277 0 269 COMMERCE BANCORP INC NJ COM 200519106 1335600 22260 X 22260 0 0 COMMERCE BANCSHARES INC COM 200525103 56806 1525 X 1525 0 0 COMMERCE BANCSHARES INC COM 200525103 2030609 54513 X 54513 0 0 COMMERCE GROUP INC MA COM 200641108 19200 600 X 600 0 0 COMMERCE GROUP INC MA COM 200641108 2729440 85295 X 79855 0 5440 COMMERCE ONE COM 200693109 234090 25090 X 20000 0 5090 COMMERCE ONE COM 200693109 44784 4800 X 500 0 4300 COMMERCIAL FED CORP COM 201647104 1196395 53650 X 28300 0 25350 COMMERCIAL METALS CO COM 201723103 592059 23588 X 15722 0 7866 COMMERCIAL METALS CO COM 201723103 47690 1900 X 1900 0 0 COMMERCIAL NET LEASE RLTY INC COM 202218103 11800 1000 X 1000 0 0 COMMERCIAL NET LEASE RLTY INC COM 202218103 201 17 X 0 0 17 COMMONWEALTH INDS INC DEL COM 203004106 54250 12400 X 12400 0 0 COMMONWEALTH TEL ENTERPRISES INC COM 203349105 20700 600 X 0 0 600 COMMONWEALTH TEL ENTERPRISES INC COM 203349105 63825 1850 X 1850 0 0 COMMSCOPE INC COM 203372107 111756 6700 X 100 0 6600 COMMUNICATION INTELLIGENCE CORP COM 20338K106 5063 3000 X 1000 0 2000 COMMUNICATION INTELLIGENCE CORP COM 20338K106 31764 18823 X 18823 0 0 COMMUNITY BANK SYS COM 203607106 709918 25300 X 25300 0 0 COMMUNITY BANK SYS COM 203607106 168136 5992 X 5992 0 0 COMMUNITY FIRST BANKSHARES INC COM 203902101 639944 31700 X 31700 0 0 COMMUNITY HEALTH SYS INC COM 203668108 242250 8500 X 0 0 8500 COMMUNITY SVGS BANKSHARES INC COM 204037105 14375 1000 X 1000 0 0 COMPAQ COMPUTER CORP COM 204493100 47208216 2593858 X 2172988 0 420870 COMPAQ COMPUTER CORP COM 204493100 4043840 222189 X 214429 2000 5760 COMPASS BANCSHARES INC COM 20449H109 2146200 100407 X 100407 0 0 COMPASS BANCSHARES INC COM 20449H109 8550 400 X 400 0 0 COMPLETE BUSINESS SOLUTIONS INC COM 20452F107 6953 750 X 750 0 0 COMPLETE BUSINESS SOLUTIONS INC COM 20452F107 1854 200 X 200 0 0 COMPUDYNE CORP COM 204795306 542500 70000 X 70000 0 0 COMPUDYNE CORP COM 204795306 34875 4500 X 4500 0 0 COMPUTER ASSOCIATES INTL INC COM 204912109 8957096 329305 X 225592 0 103713 COMPUTER ASSOCIATES INTL INC COM 204912109 2112869 77679 X 74617 0 3062 COMPUTER HORIZONS CORP COM 205908106 17675 5050 X 400 0 4650 COMPUTER HORIZONS CORP COM 205908106 1663 475 X 475 0 0 COMPUTER MOTION INC COM 205253107 9141 2500 X 200 0 2300 COMPUTER NETWORK TECHNOLOGY CORP COM 204925101 96165 8644 X 961 0 7683 COMPUTER SCIENCES CORP COM 205363104 32550311 1006192 X 927670 0 78522 COMPUTER SCIENCES CORP COM 205363104 3243896 100275 X 81875 0 18400 26 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 22 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ COMPUTER TASK GROUP INC COM 205477102 5972883 1284491 X 841191 0 443300 COMPUWARE CORP COM 205638109 3194987 327691 X 310796 0 16895 COMPUWARE CORP COM 205638109 4680 480 X 480 0 0 COMVERSE TECHNOLOGY INC COM 205862402 2315319 39316 X 20116 0 19200 COMVERSE TECHNOLOGY INC COM 205862402 17667 300 X 300 0 0 CONAGRA FOODS INC COM 205887102 21433933 1175106 X 972852 0 202254 CONAGRA FOODS INC COM 205887102 3923278 215092 X 208617 2100 4375 CONCORD CAMERA CORP COM 206156101 157494 22300 X 22300 0 0 CONCORD COMMUNICATIONS INC COM 206186108 102344 12500 X 12500 0 0 CONCORD COMMUNICATIONS INC COM 206186108 2456 300 X 300 0 0 CONCORD EFS INC COM 206197105 25048888 619447 X 585788 0 33659 CONCORD EFS INC COM 206197105 1595745 39462 X 39462 0 0 CONCURRENT COMPUTER CORP COM 206710204 1875 300 X 300 0 0 CONE MLS CORP N C COM 206814105 63630 20200 X 20200 0 0 CONECTIV INC CL A COM 206829202 25248 1253 X 1253 0 0 CONECTIV INC CL A COM 206829202 14992 744 X 744 0 0 CONECTIV INC COM 206829103 7014593 321034 X 180584 0 140450 CONECTIV INC COM 206829103 345667 15820 X 15820 0 0 CONEXANT SYSTEMS INC COM 207142100 393545 44033 X 43233 0 800 CONEXANT SYSTEMS INC COM 207142100 255577 28596 X 21331 0 7265 CONMED CORP COM 207410101 673002 35075 X 15050 0 20025 CONMED CORP COM 207410101 9575 499 X 0 0 499 CONNECTICUT BANCSHARES INC COM 207540105 2250325 107800 X 74800 0 33000 CONNECTICUT WTR SVC INC COM 207797101 173778 5266 X 5266 0 0 CONNECTICUT WTR SVC INC COM 207797101 178596 5412 X 5412 0 0 CONOCO INC CL A COM 208251306 1303559 46390 X 34690 0 11700 CONOCO INC CL A COM 208251306 582373 20725 X 18625 0 2100 CONOCO INC CL B COM 208251405 92480076 3273631 X 3055547 1915 216169 CONOCO INC CL B COM 208251405 23733221 840114 X 800591 2592 36931 CONSECO INC COM 208464107 1329425 82573 X 41120 500 40953 CONSECO INC COM 208464107 1018663 63271 X 63271 0 0 CONSOL ENERGY INC COM 20854P109 6900 200 X 200 0 0 CONSOLIDATED EDISON INC COM 209115104 3920172 105665 X 80307 0 25358 CONSOLIDATED EDISON INC COM 209115104 2627904 70833 X 61383 0 9450 CONSOLIDATED FREIGHTWAYS CORP COM 209232107 5063 750 X 750 0 0 CONSOLIDATED GRAPHICS INC COM 209341106 122500 9800 X 9800 0 0 CONSOLIDATED STORES CORP COM 210149100 155986 15521 X 10134 0 5387 CONSOLIDATED TOMOKA LD CO 210226106 2535 169 X 169 0 0 CONSTELLATION BRANDS INC CL A COM 21036P108 4993800 69600 X 66700 0 2900 CONSTELLATION BRANDS INC CL A COM 21036P108 14350 200 X 200 0 0 CONSTELLATION ENERGY GROUP INC COM 210371100 16889903 382991 X 357208 0 25783 CONSTELLATION ENERGY GROUP INC COM 210371100 4459083 101113 X 92813 3900 4400 27 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 23 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CONSUMER PORTFOLIO SVCS INC COM 210502100 563 300 X 300 0 0 CONTINENTAL AIRLS INC CL B COM 210795308 331200 8000 X 1400 0 6600 CONVERA CORP COM 211919105 8625 1000 X 1000 0 0 CONVERGYS CORP COM 212485106 746216 20688 X 15808 0 4880 CONVERGYS CORP COM 212485106 291229 8074 X 8074 0 0 COOPER CAMERON CORP COM 216640102 23812650 440975 X 423250 0 17725 COOPER CAMERON CORP COM 216640102 60210 1115 X 1115 0 0 COOPER COMPANIES INC COM 216648402 563465 11900 X 10900 0 1000 COOPER INDS INC COM 216669101 1813626 54219 X 32375 0 21844 COOPER INDS INC COM 216669101 814641 24354 X 23154 1000 200 COOPER TIRE & RUBBER CO COM 216831107 17829772 1570905 X 1467722 0 103183 COOPER TIRE & RUBBER CO COM 216831107 144996 12775 X 12775 0 0 COORS ADOLPH CO CL B 217016104 724094 11065 X 3330 0 7735 COPART INC COM 217204106 1085458 52975 X 41100 0 11875 COPPER MOUNTAIN NETWORKS INC COM 217510106 68332 20157 X 20157 0 0 COPPER MOUNTAIN NETWORKS INC COM 217510106 4068 1200 X 200 0 1000 COPYTELE INC COM 217721109 7126 12000 X 12000 0 0 COR THERAPEUTICS INC COM 217753102 9000 400 X 400 0 0 COREL CORPORATION COM 21868Q109 975 400 X 400 0 0 CORINTHIAN COLLEGES INC COM 218868107 14490 360 X 0 0 360 CORIXA CORP COM 21887F100 800 100 X 100 0 0 CORN PRODS INTL INC COM 219023108 8415710 327970 X 232145 0 95825 CORN PRODS INTL INC COM 219023108 421491 16426 X 14826 0 1600 CORNING INC COM 219350105 86874724 4198875 X 3978974 1465 218436 CORNING INC COM 219350105 28892840 1396464 X 862704 590 533170 CORPORATE EXECUTIVE BRD CO COM 21988R102 95091 3150 X 0 0 3150 CORPORATE EXECUTIVE BRD CO COM 21988R102 87544 2900 X 0 0 2900 CORUS BANKSHARES INC COM 220873103 20400 400 X 0 0 400 CORVIS CORP COM 221009103 2813 400 X 300 0 100 CORVIS CORP COM 221009103 11250 1600 X 0 0 1600 COSINE COMMUNICATIONS INC COM 221222102 1275 600 X 0 0 600 COST PLUS INC CALIF 221485105 4546241 197127 X 196066 0 1061 COSTAR GROUP INC COM 22160N109 19125 1000 X 1000 0 0 COSTCO WHOLESALE CORP COM NEW 22160K105 40722778 1037523 X 946777 0 90746 COSTCO WHOLESALE CORP COM NEW 22160K105 816714 20808 X 14808 0 6000 COTELLIGENT GROUP INC COM 221630106 576 800 X 800 0 0 COUNTRYWIDE CR INDS INC 222372104 32005646 648544 X 613574 0 34970 COUNTRYWIDE CR INDS INC 222372104 193699 3925 X 3925 0 0 COUSINS PROPERTIES INC 222795106 3321328 132800 X 0 0 132800 COVAD COMMUNICATIONS COM 222814204 329 245 X 45 0 200 COVAD COMMUNICATIONS COM 222814204 692 515 X 515 0 0 COVANCE INC COM 222816100 32639 2540 X 2330 0 210 28 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 24 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ COVANCE INC COM 222816100 119171 9274 X 7719 0 1555 COVANTA ENERGY CORP COM 22281N103 8467 504 X 504 0 0 COVENTRY HEALTH CARE INC COM 222862104 780094 47100 X 40500 0 6600 COX COMMUNICATIONS INC CL A NEW COM 224044107 2872541 64566 X 46121 0 18445 COX COMMUNICATIONS INC CL A NEW COM 224044107 833787 18741 X 11784 0 6957 CPB INC COM 125903104 34575 1200 X 0 0 1200 CPI CORP COM 125902106 116525 5900 X 5900 0 0 CRACKER BARRELL GROUP INC COM 12489V106 56381 3100 X 0 0 3100 CRACKER BARRELL GROUP INC COM 12489V106 12731 700 X 700 0 0 CRANE CO COM 224399105 363371 13949 X 13596 0 353 CRANE CO COM 224399105 19616 753 X 753 0 0 CRAWFORD & CO CL A COM 224633206 200960 20096 X 20096 0 0 CRAWFORD & CO CL B COM 224633107 257796 19167 X 19167 0 0 CRAY INC COM 225223106 184 100 X 100 0 0 CREDENCE SYS CORP COM 225302108 3557570 173540 X 167140 0 6400 CREDIT ACCEP CORP MI COM 225310101 7969 1500 X 1500 0 0 CREE INC COM 225447101 2540783 169725 X 149550 0 20175 CREE INC COM 225447101 14970 1000 X 1000 0 0 CRESTLINE CAP CORP COM 226153104 5620 207 X 207 0 0 CRESTLINE CAP CORP COM 226153104 136 5 X 0 0 5 CRITICAL PATH COM 22674V100 1574 775 X 775 0 0 CROMPTON CORP COM 227116100 14641906 1307313 X 23242 0 1284071 CROMPTON CORP COM 227116100 4729514 422278 X 422278 0 0 CROSS A T CO CL A COM 227478104 1327116 180070 X 126870 0 53200 CROSS A T CO CL A COM 227478104 3819134 518200 X 518200 0 0 CROSS TIMBERS OIL CO COM 227573102 22573782 912072 X 724372 0 187700 CROSSMANN COMMUNITIES INC COM 22764E109 13031 500 X 0 0 500 CROSSROADS SYSTEMS COM 22765D100 26719 4750 X 4750 0 0 CROWN CASTLE INTL CORP COM 228227104 96281 6500 X 0 0 6500 CROWN CASTLE INTL CORP COM 228227104 41475 2800 X 2500 0 300 CROWN CORK & SEAL INC COM 228255105 143888 35528 X 10118 0 25410 CROWN CORK & SEAL INC COM 228255105 35033 8650 X 8500 0 150 CRYO-CELL INTL INC COM 228895108 17500 5000 X 5000 0 0 CRYOLIFE INC COM 228903100 364317 14050 X 14050 0 0 CRYOLIFE INC COM 228903100 19448 750 X 750 0 0 CSG SYS INTL INC COM 126349109 148275 3600 X 0 0 3600 CSG SYS INTL INC COM 126349109 234769 5700 X 0 0 5700 CSP INCORPORATED COM 126389105 19063 5000 X 5000 0 0 CSX CORP COM 126408103 4815090 142881 X 78378 0 64503 CSX CORP COM 126408103 3432851 101865 X 99455 0 2410 CT COMMUNICATIONS INC COM 126426402 5432724 426096 X 301496 0 124600 CTB INTERNATIONAL CORP COM 125960104 3065356 351580 X 220880 0 130700 29 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 26 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CTC COMMUNICATIONS GROUP INC 126419100 14203 2250 X 2250 0 0 CTS CORP COM 126501105 433675 20900 X 20900 0 0 CTS CORP COM 126501105 10375 500 X 500 0 0 CUBIST PHARMACEUTICALS INC COM 229678107 147000 6000 X 6000 0 0 CULLEN FROST BANKERS INC COM 229899109 1921768 56110 X 31000 0 25110 CULP INC COM 230215105 922320 302400 X 188300 0 114100 CUMMINS ENGINE INC 231021106 305200 8130 X 4021 0 4109 CUMMINS ENGINE INC 231021106 82588 2200 X 2200 0 0 CUNO INCORPORATED COM 126583103 2893910 99790 X 99515 0 275 CURAGEN CORP COM 23126R101 28594 1220 X 520 0 700 CURAGEN CORP COM 23126R101 62578 2670 X 1470 0 1200 CURATIVE HEALTH SERVICES INC 231264102 33630 5900 X 5900 0 0 CURTISS-WRIGHT CORP COM 231561101 48250 1000 X 0 0 1000 CURTISS-WRIGHT CORP COM 231561101 1930 40 X 40 0 0 CV THERAPEUTICS INC COM 126667104 141900 4300 X 200 0 4100 CVS CORP COM 126650100 242456082 4145257 X 3937149 800 207308 CVS CORP COM 126650100 39250416 671062 X 604432 2550 64080 CYBEAR GROUP COM 23243C102 1 2 X 2 0 0 CYBER-CARE INC COM 23243T105 2938 1000 X 1000 0 0 CYBERION OUTPOST INC COM 231914102 63 100 X 100 0 0 CYBERONICS INC COM 23251P102 135975 8400 X 0 0 8400 CYBEROPTICS CORP COM 232517102 31500 3000 X 3000 0 0 CYBEX INTERNATIONAL INC COM 23252E106 8500 5000 X 0 0 5000 CYGNUS INC COM 232560102 159858 21400 X 21400 0 0 CYMER INC COM 232572107 480186 22200 X 22200 0 0 CYMER INC COM 232572107 865200 40000 X 0 0 40000 CYPRESS SEMICONDUCTOR CORP 232806109 4352094 245465 X 224165 0 21300 CYPRESS SEMICONDUCTOR CORP 232806109 8865 500 X 500 0 0 CYRK INTERNATIONAL INC COM 232817106 24200 12100 X 12100 0 0 CYTEC INDS INC COM 232820100 519813 16234 X 2734 0 13500 CYTEC INDS INC COM 232820100 230704 7205 X 6806 0 399 CYTOGEN CORP COM 232824102 35367 10882 X 5000 0 5882 CYTYC CORP COM 232946103 252945 15330 X 3750 0 11580 CYTYC CORP COM 232946103 457875 27750 X 27750 0 0 CacheFlow, Inc 126946102 5667 1277 X 1277 01 CacheFlow, Inc 126946102 4775 1076 X 1076 01 CacheFlow, Inc 126946102 18793 4235 X 4235 01 CADENCE DESIGN SYSTEMS INC 127387108 843144 45600 X 45600 None California Pizza 13054D109 340500 12000 X 12000 01 California Pizza 13054D109 3544457 124915 X 124915 01 Capstone Turbine 14067D102 286048 10081 X 10081 01 CARREKER CORPORATION 144433109 138509 7314 X 7314 None 30 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 26 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ CATELLUS DEVELOPMENT CORP 149111106 393750 25000 X 25000 None CELGENE CORPORATION 151020104 875000 35000 X 35000 None CELL GENESYS INC 150921104 1419 100 X 100 None CELL PATHWAYS 15114R101 2844 700 X 700 None CELLPOINT INC 15115E109 1659 300 X 300 None CENTILLIUM COMMUNICATIONS 152319109 176659 7229 X 7229 None CHAMPPS ENTERTAINMENT INC 158787101 29981 3900 X 3900 None CHECK POINT SOFTWARE TECH LTD M22465104 10133935 213346 X 213346 None CHECK POINT SOFTWARE TECH LTD M22465104 3610 76 X 76 None CHEVRON CORP 166751107 1062380 12100 X 12100 None Chubb 171232101 890722 12296 X 12296 01 CIENA CORP 171779101 419421 10046 X 10046 None CITIGROUP 172967101 9162426 203700 X 203700 None CLARENT CORPORATION 180461105 14325 1200 X 1200 1200 CMG INFORMATION SERVICES INC 125750109 2540 1000 X 1000 1000 CNET NETWORKS INC 12613R104 3636 325 X 325 325 COCA-COLA CO 191216100 24016088 531800 X 531800 531800 COMCAST CORP CL A SPL 200300200 1449276 34558 X 34558 34558 COMPUGEN LTD M25722105 22558 7077 X 7077 7077 COMPUTER ACCESS TECHNOLOGY CO 204853105 2081 450 X 450 450 COMVERSE TECHNOLOGY INC NEW 205862402 12358538 209858 X 209858 209858 CONCUR TECHNOLOGIES, INC 206708109 3043 10821 X 10821 10821 CONNETICS CORP 208192104 1500 300 X 300 300 CORECOMM LIMITED 21869Q108 8405 89650 X 89650 89650 CORILLIAN CORP 218725109 588 100 X 100 100 COSINE COMMUNICATIONS 221222102 203 100 X 100 100 CRITICAL PATH INC 22674V100 1575 800 X 800 800 CURIS INC 231269101 42849 11620 X 11620 11620 CYPRESS COMMUNICATIONS INC 232743104 5775 13200 X 13200 13200 D R HORTON INC COM 23331A109 11274769 533086 X 498816 0 34270 DAL-TILE INTERNATIONAL INC COM 23426R108 3417103 227050 X 225865 0 1185 DALEEN TECHNOLOGIES INC COM 23437N104 6563 6000 X 6000 0 0 DALLAS SEMICONDUCTOR CORP COM 235204104 101439 3900 X 0 200 3700 DAMARK INTL INC CL A COM 235691102 13475 4400 X 4400 0 0 DANA CORP COM 235811106 1379674 80307 X 35378 0 44929 DANA CORP COM 235811106 2629227 153040 X 146590 0 6450 DANAHER CORP COM 235851102 17941074 328832 X 298661 0 30171 DANAHER CORP COM 235851102 420276 7703 X 4103 0 3600 DARDEN RESTAURANTS INC COM 237194105 1353774 57001 X 22656 0 34345 DARDEN RESTAURANTS INC COM 237194105 529934 22313 X 17513 0 4800 DATA BROADCASTING CORP COM 237596101 759 100 X 100 0 0 DATASCOPE CORP 238113104 13046788 360533 X 278433 0 82100 31 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 26 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ DATATEC SYS INC COM 238128102 9 18 X 18 0 0 DAVITA INC COM 23918K108 9211192 542473 X 382473 0 160000 DAVOX CORP COM 239208101 109200 9600 X 9600 0 0 DCH TECHNOLOGY COM 233092105 400 200 X 200 0 0 DDI CORP COM 233162106 25043 1484 X 269 0 1215 DEAN FOODS COMPANY COM 242361103 226862 6700 X 6100 0 600 DECODE GENETICS INC COM 243586104 1375 200 X 200 0 0 DECODE GENETICS INC COM 243586104 6875 1000 X 1000 0 0 DEERE JOHN & CO COM 244199105 24154980 664694 X 603903 0 60791 DEERE JOHN & CO COM 244199105 5661554 155794 X 153498 0 2296 DELCO REMY INTL INC CL A 246626105 9480 1000 X 0 0 1000 DELHAIZE AMERICA INC CL A COM 246688105 364869 17842 X 17842 0 0 DELHAIZE AMERICA INC CL A COM 246688105 60655 2966 X 2020 0 946 DELHAIZE AMERICA INC CL B COM 246688204 24228 1200 X 1200 0 0 DELIA*S CORP CL A COM 24688Q101 3319 843 X 500 0 343 DELL COMPUTER CORP COM 247025109 86873455 3381935 X 3151668 2225 228042 DELL COMPUTER CORP COM 247025109 11246373 437815 X 410862 900 26053 DELPHI AUTOMOTIVE COM 247126105 2900514 204694 X 139332 0 65362 DELPHI AUTOMOTIVE COM 247126105 2313040 163235 X 154303 0 8932 DELPHI FINL GROUP INC CL A 247131105 920560 31100 X 15200 0 15900 DELTA & PINE LAND CO COM 247357106 18077410 750100 X 499500 0 250600 DELTA AIR LINES INC DEL COM 247361108 2584762 65437 X 47727 0 17710 DELTA AIR LINES INC DEL COM 247361108 447022 11317 X 9082 0 2235 DELTATHREE INC COM 24783N102 250 200 X 200 0 0 DELTIC TIMBER CORP COM 247850100 231235 11419 X 11419 0 0 DELTIC TIMBER CORP COM 247850100 6440 318 X 318 0 0 DELUXE CORP COM 248019101 3596491 151943 X 134163 0 17780 DELUXE CORP COM 248019101 325249 13741 X 13741 0 0 DENDRITE INTL INC COM 248239105 721000 51500 X 30100 0 21400 DENSE-PAC MICROSYSTEMS INC COM 248719304 9188 6000 X 6000 0 0 DENTSPLY INTL INC NEW COM 249030107 244550 6700 X 2200 0 4500 DEPARTMENT 56 INC COM 249509100 89890 10100 X 10100 0 0 DEPOMED INC COM 249908104 8280 2000 X 2000 0 0 DESIGNS INC COM 25057L102 2531 1125 X 1125 0 0 DEVON ENERGY CORPORATION COM 25179M103 2755770 47350 X 16145 0 31205 DEVON ENERGY CORPORATION COM 25179M103 280233 4815 X 1771 0 3044 DEVRY INC DEL COM 251893103 5080103 169055 X 145955 0 23100 DEVRY INC DEL COM 251893103 123205 4100 X 800 0 3300 DIACRIN INC COM 25243N103 356 300 X 300 0 0 DIAGNOSTIC PRODUCTS COM 252450101 657090 12600 X 10500 0 2100 DIAL CORP COM 25247D101 134875 10790 X 1490 0 9300 DIAL CORP COM 25247D101 14788 1183 X 1183 0 0 32 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 27 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ DIAMOND OFFSHORE DRILLING INC COM 25271C102 594185 15100 X 900 0 14200 DIAMOND OFFSHORE DRILLING INC COM 25271C102 27545 700 X 300 0 400 DIAMONDCLUSTER INTL INC CL A COM 25278P106 2172 250 X 100 0 150 DIAMONDCLUSTER INTL INC CL A COM 25278P106 29538 3400 X 3400 0 0 DIANON SYS INC COM 252826102 12697 425 X 0 0 425 DIASYS CORP COM 252838107 850 1000 X 1000 0 0 DIEBOLD INC COM 253651103 10493592 382141 X 310741 0 71400 DIEBOLD INC COM 253651103 1215352 44259 X 40624 0 3635 DIGENE CORP COM 253752109 7549 495 X 0 0 495 DIGEX INC COM 253756100 8363 600 X 600 0 0 DIGI INTL INC COM 253798102 67641 11700 X 11700 0 0 DIGITAL INSIGHT CORP COM 25385P106 255588 22225 X 0 0 22225 DIGITAL LIGHTWAVE INC COM 253855100 46475 2600 X 0 0 2600 DIGITAS INC COM 25388K104 33047 7050 X 2000 0 5050 DILLARDS INC CL A COM 254067101 270081 12310 X 6973 0 5337 DILLARDS INC CL A COM 254067101 31813 1450 X 1450 0 0 DIME BANCORP INC COM NEW 25429Q102 1187188 36250 X 250 0 36000 DIME BANCORP INC COM NEW 25429Q102 115935 3540 X 3540 0 0 DIMON INC COM 254394109 258720 33600 X 33600 0 0 DIONEX CORP COM 254546104 521863 16600 X 1500 0 15100 DIRECT FOCUS INC COM 254931108 33750 1350 X 0 0 1350 DIRECT INSITE CORP COM 25457C108 22 100 X 0 0 100 DISCOUNT AUTO PARTS INC COM 254642101 96264 12600 X 12600 0 0 DISNEY WALT CO COM 254687106 87502958 3059544 X 2726035 300 333209 DISNEY WALT CO COM 254687106 40853613 1428448 X 1360614 3100 64734 DITECH COMMUNICATIONS CORP COM 25500M103 22625 2000 X 2000 0 0 DIVERSA CORP COM 255064107 340313 22500 X 0 0 22500 DMC STRATEX NETWORKS INC COM 23322L106 554772 66840 X 57340 0 9500 DMC STRATEX NETWORKS INC COM 23322L106 11620 1400 X 0 0 1400 DOBSON COMM CORP CL A COM 256069105 92833 5605 X 0 0 5605 DOBSON COMM CORP CL A COM 256069105 33125 2000 X 2000 0 0 DOCUMENTUM INC COM 256159104 804320 73120 X 72720 0 400 DOLE FOOD INC COM 256605106 19296 1200 X 0 0 1200 DOLE FOOD INC COM 256605106 15630 972 X 972 0 0 DOLLAR GEN CORP COM 256669102 36118911 1767070 X 1713615 0 53455 DOLLAR GEN CORP COM 256669102 1111589 54383 X 53383 1000 0 DOLLAR THRIFTY AUTOMOTIVE GROUP COM 256743105 39140 1900 X 0 0 1900 DOLLAR TREE STORES INC COM 256747106 12145131 630405 X 580730 0 49675 DOLLAR TREE STORES INC COM 256747106 220591 11450 X 6450 0 5000 DOMINION RES INC VA COM 25746U109 12175160 188850 X 180230 0 8620 DOMINION RES INC VA COM 25746U109 8481931 131564 X 121737 0 9827 DONALDSON INC COM 257651109 2028 76 X 76 0 0 33 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 28 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ DONALDSON INC COM 257651109 133450 5000 X 5000 0 0 DONNELLEY R R & SONS CO 257867101 4345205 165721 X 132410 0 33311 DONNELLEY R R & SONS CO 257867101 2427631 92587 X 89087 0 3500 DOUBLECLICK INC COM 258609304 340469 29446 X 22856 0 6590 DOUBLECLICK INC COM 258609304 1156 100 X 100 0 0 DOVER CORP COM 260003108 19398866 541263 X 511101 0 30162 DOVER CORP COM 260003108 20613125 575143 X 548434 2600 24109 DOW CHEMICAL CO COM 260543103 74898878 2372470 X 2114252 525 257693 DOW CHEMICAL CO COM 260543103 36793130 1165446 X 1138917 8212 18317 DOW JONES & CO INC COM 260561105 649664 12410 X 7628 0 4782 DOW JONES & CO INC COM 260561105 294207 5620 X 5620 0 0 DOWNEY FINANCIAL CORP COM 261018105 1036917 22890 X 21200 0 1690 DPL INC COM 233293109 233511 8310 X 8310 0 0 DPL INC COM 233293109 219377 7807 X 7807 0 0 DQE INC COM 23329J104 69231 2375 X 1775 0 600 DQE INC COM 23329J104 158430 5435 X 5435 0 0 DRESS BARN INC COM 261570105 316406 13500 X 13400 0 100 DRILL-QUIP COM 262037104 312000 13000 X 13000 0 0 DRKOOP.COM INC COM 262098106 16 100 X 100 0 0 DROVERS BANCSHARES COM 262120108 29167 1158 X 1158 0 0 DRUGSTORE.COM INC COM 262241102 113 121 X 100 0 21 DSL.NET INC COM 262506108 2906 3000 X 0 0 3000 DSL.NET INC COM 262506108 242 250 X 250 0 0 DSP GROUP INC COM 23332B106 96875 6250 X 0 0 6250 DST SYS INC DEL COM 233326107 4783243 99258 X 70658 0 28600 DST SYS INC DEL COM 233326107 1278963 26540 X 22250 1800 2490 DTE ENERGY CO COM 233331107 2255386 56668 X 38990 0 17678 DTE ENERGY CO COM 233331107 791781 19894 X 16784 0 3110 DUANE READE INC COM 263578106 5256356 151480 X 150680 0 800 DUKE ENERGY CORP COM 264399106 41406982 968811 X 879594 0 89217 DUKE ENERGY CORP COM 264399106 11659557 272802 X 251628 1800 19374 DUN & BRADSTREET CORP COM 26483E100 1788110 75896 X 36654 0 39242 DUN & BRADSTREET CORP COM 26483E100 1125178 47758 X 43633 0 4125 DUPONT E I DE NEMOURS & CO COM 263534109 75595895 1857393 X 1717565 772 139056 DUPONT E I DE NEMOURS & CO COM 263534109 64093953 1574790 X 1502367 8645 63778 DUPONT PHOTOMASKS INC COM 26613X101 4046521 92220 X 91520 0 700 DURA AUTOMOTIVE SYS INC COM 265903104 3547800 420480 X 418280 0 2200 DURAMED PHARMACEUTICALS INC COM 266354109 5781 1000 X 0 0 1000 DURECT CORPORATION COM 266605104 54450 7200 X 0 0 7200 DYNAMICS RESEARCH CORP COM 268057106 50625 5000 X 5000 0 0 DYNEGY INC CL A NEW COM 26816Q101 16827689 329890 X 300627 0 29263 DYNEGY INC CL A NEW COM 26816Q101 342787 6720 X 6720 0 0 34 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 29 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ DDI CORPORATION COM 233162106 7566 450 X 450 DELANO TECHNOLOGY CORP COM 245701107 4125 3000 X 3000 DELL COMPUTER CORP COM 247025109 2029 79 X 79 DIGITAL GENERATION SYSTEMS INC COM 253921100 242 215 X 215 DIGITAL RIVER, INC COM 25388B104 842 175 X 175 DITECH COMMUNICATIONS CORP COM 25500M103 1855 164 X 164 DIVINE INC COM 255402109 4186 2600 X 2600 divine interventures COM 255404105 1547393 955181 X 955181 Dyax Corp COM 26746E103 5098920 637365 X 637365 E M C CORP MASSACHUSETTS COM 268648102 173196076 5891023 X 5417610 1600 471813 E M C CORP MASSACHUSETTS COM 268648102 37136551 1263148 X 1128751 5605 128792 E SPIRE COMMUNICATIONS INC COM 269153102 2407 7000 X 7000 0 0 E SPIRE COMMUNICATIONS INC COM 269153102 34 100 X 0 0 100 E.PIPHANY INC COM 26881V100 39854 3410 X 3410 0 0 E.PIPHANY INC COM 26881V100 11688 1000 X 0 0 1000 E*TRADE GROUP INC COM 269246104 106724 15290 X 1390 0 13900 E*TRADE GROUP INC COM 269246104 17450 2500 X 2500 0 0 EARTHGRAINS CO COM 270319106 678385 31924 X 31924 0 0 EARTHGRAINS CO COM 270319106 51255 2412 X 2396 0 16 EARTHLINK INC COM 270321102 3916 323 X 323 0 0 EARTHLINK INC COM 270321102 12077 996 X 996 0 0 EARTHSHELL CORP COM 27032B100 12500 5000 X 3000 0 2000 EARTHWEB INC COM 27032C108 2250 1000 X 0 0 1000 EAST WEST BANCORP INC COM 27579R104 390775 20300 X 17200 0 3100 EASTERN CO COM 276317104 524578 36429 X 36429 0 0 EASTERN CO COM 276317104 2279232 158280 X 39583 0 118697 EASTMAN CHEM CO COM 277432100 8923340 181295 X 73114 0 108181 EASTMAN CHEM CO COM 277432100 3387468 68823 X 60456 0 8367 EASTMAN KODAK CO COM 277461109 42625736 1068582 X 960938 100 107544 EASTMAN KODAK CO COM 277461109 16830269 421917 X 393997 0 27920 EATON CORP COM 278058102 972769 14201 X 8081 0 6120 EATON CORP COM 278058102 527519 7701 X 7092 0 609 EATON VANCE CORP COM 278265103 1903365 61300 X 52300 0 9000 EATON VANCE CORP COM 278265103 453330 14600 X 11600 0 3000 EBAY INC COM 278642103 800468 22120 X 970 0 21150 EBAY INC COM 278642103 90469 2500 X 2500 0 0 EBT INTERNATIONAL INC COM 268248101 238 100 X 100 0 0 ECHELON CORP COM 27874N105 11850 800 X 800 0 0 ECHELON CORP COM 27874N105 7406 500 X 500 0 0 ECHO BAY MINES LTD COM 278751102 51 82 X 82 0 0 ECHO BAY MINES LTD COM 278751102 2170 3500 X 3500 0 0 ECHOSTAR COMMUNICATIONS CORP CL A 278762109 131626 4754 X 1054 0 3700 35 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 30 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ ECHOSTAR COMMUNICATIONS CORP CL A 278762109 91369 3300 X 3300 0 0 ECLIPSYS CORP COM 278856109 150345 7710 X 7710 0 0 ECOLAB INC COM 278865100 1917045 45192 X 31326 0 13866 ECOLAB INC COM 278865100 1141989 26921 X 25821 50 1050 ECOLLEGE.COM INC COM 27887E100 600 200 X 200 0 0 EDEN BIOSCIENCE CORP COM 279445100 141982 9545 X 9495 0 50 EDGEWATER TECHNOLOGY INC COM 280358102 39458 9602 X 9602 0 0 EDISON INTERNATIONAL COM 281020107 1793629 141901 X 124235 0 17666 EDISON INTERNATIONAL COM 281020107 778080 61557 X 60701 0 856 EDISON SCHOOLS INC COM 281033100 107325 5300 X 0 0 5300 EDISON SCHOOLS INC COM 281033100 143775 7100 X 5000 0 2100 EDUCATION MGMT CORP COM 28139T101 7209081 220968 X 220468 0 500 EDUCATION MGMT CORP COM 28139T101 52200 1600 X 0 0 1600 EDWARDS A G INC COM 281760108 1115994 30162 X 22462 0 7700 EDWARDS A G INC COM 281760108 1805637 48801 X 46801 0 2000 EDWARDS LIFESCIENCES CORP COM 28176E108 348429 17777 X 16447 0 1330 EDWARDS LIFESCIENCES CORP COM 28176E108 326360 16651 X 15355 240 1056 EEX CORP COM 26842V207 1229 333 X 333 0 0 EEX CORP COM 26842V207 417 113 X 113 0 0 EFUNDS CORP COM 28224R101 1363073 70809 X 70700 0 109 EFUNDS CORP COM 28224R101 143316 7445 X 7445 0 0 EGAIN COMMUNICATIONS CORP COM 28225C103 241 100 X 100 0 0 EGL INC COM 268484102 4309500 176800 X 171300 0 5500 EL PASO CORP COM 28336L109 46091221 705838 X 608215 400 97223 EL PASO CORP COM 28336L109 12968319 198596 X 187170 1200 10226 EL PASO ELEC CO NEW COM 283677854 15 1 X 1 0 0 EL PASO ELEC CO NEW COM 283677854 479172 32820 X 32820 0 0 ELAMEX SA DE CV COM P36209107 4500 2000 X 2000 0 0 ELANTEC SEMICONDUCTOR INC COM 284155108 15938 600 X 0 0 600 ELCOM INTL INC COM 284434107 5438 3000 X 3000 0 0 ELCOR CORP COM 284443108 204108 14600 X 14600 0 0 ELECTRO RENT CORP COM 285218103 115163 8300 X 0 0 8300 ELECTRO SCIENTIFIC INDS INC COM 285229100 594925 21200 X 20100 0 1100 ELECTRO SCIENTIFIC INDS INC COM 285229100 16838 600 X 0 0 600 ELECTROGLAS INC COM 285324109 326700 19800 X 18700 0 1100 ELECTRONIC ARTS COM 285512109 415013 7650 X 1250 0 6400 ELECTRONIC DATA SYS CORP COM 285661104 67371014 1206069 X 1099290 0 106779 ELECTRONIC DATA SYS CORP COM 285661104 10485313 187707 X 177607 2016 8084 ELECTRONICS FOR IMAGING INC COM 286082102 68950 2800 X 0 0 2800 ELOT INC COM 290143106 41532 332252 X 0 0 332252 ELOYALTY CORP COM 290151109 91406 37500 X 37500 0 0 EMBARCADERO TECHNOLOGIES INC COM 290787100 46550 2800 X 0 0 2800 36 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 31 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ EMC INSURANCE GROUP 268664109 14100 1200 X 1200 0 0 EMCOR GROUP INC COM 29084Q100 128646 4200 X 4200 0 0 EMCORE CORP COM 290846104 7519 300 X 300 0 0 EMERGE INTERACTIVE INC CL A COM 29088W103 74 20 X 20 0 0 EMERSON ELECTRIC CO COM 291011104 86626896 1397208 X 1197928 0 199280 EMERSON ELECTRIC CO COM 291011104 54983460 886830 X 856378 3200 27252 EMISPHERE TECH INC COM 291345106 22900 1600 X 1600 0 0 EMMIS COMMUNICATIONS CORP CL A COM 291525103 311344 12300 X 0 0 12300 EMPIRE DISTRICT ELECTRIC COM 291641108 16821 900 X 0 0 900 EMPIRE DISTRICT ELECTRIC COM 291641108 44856 2400 X 2400 0 0 EMULEX CORP COM 292475209 1046916 55650 X 54450 0 1200 EMULEX CORP COM 292475209 854088 45400 X 33700 0 11700 ENCHIRA BIOTECHNOLOGY CORP COM 29251Q107 100 100 X 100 0 0 ENCORE WIRE CORP COM 292562105 3906 500 X 500 0 0 ENDOCARE INC COM 29264P104 1191221 163600 X 163600 0 0 ENERGEN CORP COM 29265N108 878970 24900 X 23900 0 1000 ENERGIZER HLDGS INC COM 29266R108 345575 13823 X 11073 0 2750 ENERGIZER HLDGS INC COM 29266R108 106575 4263 X 4263 0 0 ENERGY EAST CORP COM 29266M109 1212921 69909 X 24809 0 45100 ENERGY EAST CORP COM 29266M109 477646 27530 X 22903 0 4627 ENESCO GROUP INC COM 292973104 638681 95898 X 95898 0 0 ENESCO GROUP INC COM 292973104 19314 2900 X 2900 0 0 ENGAGE INC COM 292827102 359 500 X 500 0 0 ENGELHARD CORP COM 292845104 987593 38190 X 11107 0 27083 ENGELHARD CORP COM 292845104 500494 19354 X 19354 0 0 ENGINEERED SUPPORT SYS INC COM 292866100 9688 500 X 0 0 500 ENLIGHTEN SOFTWARE SOLUTIONS COM 29336A101 97 200 X 200 0 0 ENRON CORP COM 293561106 160459069 2761774 X 2611826 1050 148898 ENRON CORP COM 293561106 29938756 515297 X 462045 5047 48205 ENSCO INTL INC COM 26874Q100 2842000 81200 X 3100 0 78100 ENSCO INTL INC COM 26874Q100 70665 2019 X 1995 0 24 ENTERCOM COMMUNICATIONS COM 293639100 51090 1300 X 0 0 1300 ENTERGY CORP COM 29364G103 2830468 74486 X 56072 0 18414 ENTERGY CORP COM 29364G103 171760 4520 X 3415 0 1105 ENTERPRISE PRODS PARTNERS LP COM 293792107 363825 10500 X 0 0 10500 ENTRAVISION COMMUNICATIONS COM 29382R107 297000 30000 X 0 0 30000 ENTREMED INC COM 29382F103 182543 10980 X 1580 100 9300 ENTREMED INC COM 29382F103 66500 4000 X 4000 0 0 ENTRUST TECHNOLOGIES INC COM 293848107 15794 1900 X 1900 0 0 ENVIROGEN INC COM NEW 294040308 47 47 X 47 0 0 ENZO BIOCHEM INC COM 294100102 340417 20275 X 6175 0 14100 ENZON INC COM 293904108 85500 1800 X 0 0 1800 37 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 32 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ EOG RES INC COM 26875P101 4256297 103233 X 9933 0 93300 EOG RES INC COM 26875P101 6185 150 X 150 0 0 EPICOR SOFTWARE CORP COM 29426L108 6094 5000 X 5000 0 0 EPIX MEDICAL INC COM 26881Q101 10125 1000 X 1000 0 0 EPRESENCE INC COM 294348107 375038 82200 X 17800 0 64400 EPRISE CORP COM 294352109 2577 3927 X 3927 0 0 EQUIFAX INC COM 294429105 4941844 158139 X 120789 0 37350 EQUIFAX INC COM 294429105 3609750 115512 X 107362 0 8150 EQUITABLE RESOURCES COM 294549100 586638 8502 X 2002 0 6500 EQUITABLE RESOURCES COM 294549100 66240 960 X 960 0 0 EQUITY OIL CO 294749106 5000 1600 X 1600 0 0 ERGO SCIENCE CORP COM 29481E106 595 732 X 732 0 0 EROOM SYSTEMS TECHNOLOGIES COM 296016108 191930 180640 X 179740 0 900 ESC MEDICAL SYS LTD COM M40868107 10713588 445240 X 443540 0 1700 ESCO TECHNOLOGIES INC COM 296315104 2496 100 X 100 0 0 ESCO TECHNOLOGIES INC COM 296315104 374 15 X 15 0 0 ESPEED INC CL A COM 296643109 14306 700 X 0 0 700 ESPERION THERAPEUTICS INC COM 29664R106 10125 1500 X 1500 0 0 ESS TECHNOLOGY INC COM 269151106 198950 34600 X 33200 0 1400 ESTEE LAUDER COSMETICS CL A COM 518439104 1523412 41829 X 2550 0 39279 ESTEE LAUDER COSMETICS CL A COM 518439104 53392 1466 X 1466 0 0 ESTERLINE TECHNOLOGIES CORP COM 297425100 563325 25900 X 15200 0 10700 ETHAN ALLEN INTERIORS INC COM 297602104 2303796 68200 X 55800 0 12400 ETHYL CORP COM 297659104 247500 165000 X 0 0 165000 ETHYL CORP COM 297659104 20718 13812 X 13812 0 0 EURONET SVCS INC COM 298736109 1723 265 X 265 0 0 EUROTECH LTD COM 298796103 106960 76400 X 76400 0 0 EUROTECH LTD COM 298796103 1540 1100 X 0 0 1100 EVERCEL INC COM 299759100 491250 60000 X 60000 0 0 EVEREST RE GROUP LTD. G3223R108 671852 10100 X 0 0 10100 EVEREST RE GROUP LTD. G3223R108 938597 14110 X 6610 0 7500 EVERGREEN RESOURCES INC COM 299900308 19781398 523179 X 355890 0 167289 EXABYTE CORP COM 300615101 25013 17400 X 17400 0 0 EXACT SCIENCES CORP COM 30063P105 2039688 267500 X 266000 0 1500 EXAR CORP COM 300645108 15700 800 X 0 0 800 EXAR CORP COM 300645108 52988 2700 X 0 0 2700 EXCEL TECHNOLOGY INC COM 30067T103 2996 170 X 170 0 0 EXCELON CORP COM 300691102 15540 7400 X 7400 0 0 EXELIXIS INC COM 30161Q104 2042 235 X 235 0 0 EXELON CORP COM 30161N101 7696586 117326 X 84398 0 32928 EXELON CORP COM 30161N101 2053674 31306 X 23930 316 7060 EXFO ELECTRO OPTICAL COM 302043104 1366363 56200 X 56200 0 0 38 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 33 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ EXODUS COMMUNICATIONS COM 302088109 687871 63988 X 13388 400 50200 EXODUS COMMUNICATIONS COM 302088109 58050 5400 X 5400 0 0 EXPEDITORS INTL WASH INC COM 302130109 355383 7046 X 0 0 7046 EXPRESS SCRIPTS INC CL A COM 302182100 821726 9480 X 80 0 9400 EXPRESS SCRIPTS INC CL A COM 302182100 3987 46 X 46 0 0 EXTENDED STAY AMER INC COM 30224P101 178950 11930 X 0 0 11930 EXTENSITY INC COM 302255104 19891 3350 X 0 0 3350 EXTREME NETWORKS COM 30226D106 8746 575 X 0 0 575 EXTREME NETWORKS COM 30226D106 13385 880 X 880 0 0 EXXON MOBIL CORP COM 30231G102 968576859 11957739 X 11297095 3888 656756 EXXON MOBIL CORP COM 30231G102 828381411 10226931 X 9672136 29926 524869 EZENIA INC COM 302311105 102025 74200 0 0 74200 EBAY INC COM 278642103 2574198 71135 X 71135 EBAY INC COM 278642103 2962 82 X 82 Eclipsys COM 278856109 506992 26000 X 01 26000 EGAIN COMMUNICATIONS CORP COM 28225C103 97 41 X 41 E-GREETINGS NETWORK COM 282343102 406 500 X 500 ELASTIC NETWORKS COM 284159100 102436 102436 X 102436 Engage, Inc COM 292827102 65263 90795 X 01 90795 ENZON INC COM 293904108 15038 317 X 317 ESPEED INC CLASS A COM 296643109 4840 239 X 239 Esperion Therapeutic COM 29664R106 52326 7752 X 01 7752 EXAR CORP COM 300645108 45209 2311 X 2311 Excel Legacy COM 300665106 1175839 494050 X 01 494050 Excel Legacy COM 300665106 2812565 1181750 X 01 1181750 EXTREME NETWORKS COM 30226D106 12160 800 X 800 EXXON MOBIL CORPORATION COM 30231G102 2673000 33000 X 33000 F & M NATL CORP COM 302374103 11773 309 X 309 0 0 F N B CORP PA COM 302520101 36768 1532 X 1532 0 0 F Y I INC COM 302712104 3935427 117695 X 112470 0 5225 FACTORY 2-U INC COM 303072102 406956 14900 X 9500 0 5400 FACTSET RESEARCH SYSTEM COM 303075105 3175983 105165 X 90840 0 14325 FAIR ISAAC & CO INC COM 303250104 4453196 76110 X 72710 0 3400 FAIRCHILD SEMICON INTL COM CL A 303726103 4039343 303254 X 303254 0 0 FAIRCHILD SEMICON INTL COM CL A 303726103 290376 21800 X 21800 0 0 FALMOUTH BANCORP INC COM 306754102 3250 200 X 200 0 0 FAMILY DLR STORES INC COM 307000109 1090965 42450 X 8425 0 34025 FAMILY DLR STORES INC COM 307000109 735020 28600 X 21200 1400 6000 39 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 34 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ FARM FAMILY HOLDINGS INC COM 307901108 3376 77 X 77 0 0 FASTENAL CO COM 311900104 13233690 242820 X 230120 0 12700 FASTENAL CO COM 311900104 283400 5200 X 4200 0 1000 FEDDERS CORP CL A COM 313135303 3188 693 X 693 0 0 FEDDERS CORP CL A COM 313135303 1426 310 X 310 0 0 FEDDERS CORP COM 313135105 152499 27232 X 26466 0 766 FEDDERS CORP COM 313135105 5544 990 X 990 0 0 FEDERAL NATIONAL MORTGAGE ASSN COM 313586109 411184705 5165637 X 4808482 1200 355955 FEDERAL NATIONAL MORTGAGE ASSN COM 313586109 123054834 1545915 X 1436173 8575 101167 FEDERAL SIGNAL CORP 313855108 3484054 178395 X 173995 0 4400 FEDERAL SIGNAL CORP 313855108 348493 17844 X 17844 0 0 FEDERAL-MOGUL CORP 313549107 9669 3300 X 3300 0 0 FEDERAL-MOGUL CORP 313549107 4835 1650 X 1650 0 0 FEDERATED DEPT STORES INC COM 31410H101 4769691 114794 X 21900 0 92894 FEDERATED DEPT STORES INC COM 31410H101 57131 1375 X 1275 0 100 FEDERATED INVESTORS INC CL B COM 314211103 7592414 267810 X 267810 0 0 FEDEX CORP COM 31428X106 6862987 164659 X 143048 0 21611 FEDEX CORP COM 31428X106 1727636 41450 X 40550 0 900 FEI COMPANY COM 30241L109 25372 1150 X 250 0 900 FELCOR LODGING TR INC COM 31430F101 1699815 74066 X 71500 0 2566 FERRO CORP COM 315405100 41168 2025 X 0 0 2025 FIBERCORE INC COM 31563B109 12000 2400 X 2400 0 0 FIDELITY BANKSHARES INC COM 316047109 170250 6000 X 6000 0 0 FIDELITY NATL FINL INC COM 316326107 6998883 261445 X 259545 0 1900 FIDELITY NATL FINL INC COM 316326107 628988 23496 X 23496 0 0 FIFTH THIRD BANCORP 316773100 15639767 292674 X 270320 0 22354 FIFTH THIRD BANCORP 316773100 8370664 156644 X 146624 0 10020 FILENET CORP COM 316869106 621225 39600 X 22600 0 17000 FILENET CORP COM 316869106 42623 2717 X 0 0 2717 FINANCIAL FED CORP COM 317492106 279300 11400 X 0 0 11400 FINANCIAL INSTITUTIONS INC COM 317585404 29438 1500 X 1500 0 0 FINET.COM INC COM 317922409 377 416 X 416 0 0 FINISAR CORPORATION COM 31787A101 5913522 616390 X 615090 0 1300 FINISAR CORPORATION COM 31787A101 683990 71295 X 18150 0 53145 FINISH LINE INC CL A 317923100 14235 2190 X 2190 0 0 FINOVA GROUP INC COM 317928109 10350 5750 X 5750 0 0 FINOVA GROUP INC COM 317928109 378 210 X 210 0 0 FIRST AMERICAN CORPORATION COM 318522307 1245400 47900 X 47900 0 0 FIRST BANCORP PR COM 318672102 515410 19900 X 10900 0 9000 FIRST CHARTER CORP COM 319439105 185256 11904 X 11904 0 0 FIRST CITY BANK NEW BRITAIN CT 319610101 19920 3984 X 3984 0 0 FIRST COASTAL CORP COM 319699203 20036 1781 X 1781 0 0 FIRST DATA CORP COM 319963104 147197152 2465201 X 2262522 1225 201454 FIRST DATA CORP COM 319963104 24914177 417253 X 396871 1400 18982 40 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 35 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ FIRST DEFIANCE FINL CORP COM 32006W106 15000 1000 X 0 0 1000 FIRST ESSEX BANCORP INC 320103104 1963 100 X 100 0 0 FIRST ESSEX BANCORP INC 320103104 88313 4500 X 3500 0 1000 FIRST FED S&L E HARTFORD CT 319944104 36688 1000 X 1000 0 0 FIRST FINANCIAL CORP COM 320221104 1432750 104200 X 104200 0 0 FIRST HEALTH GROUP CORP COM 320960107 2869820 65409 X 65409 0 0 FIRST HEALTH GROUP CORP COM 320960107 35100 800 X 800 0 0 FIRST HORIZON PHARM CORP COM 32051K106 886561 42470 X 42259 0 211 FIRST INDL RLTY TR INC COM 32054K103 710318 22450 X 0 0 22450 FIRST INDL RLTY TR INC COM 32054K103 132888 4200 X 4200 0 0 FIRST INTL BANCORP INC COM 32054Q100 8250 1000 X 1000 0 0 FIRST MIDWEST BANCORP INC DEL COM 320867104 867020 30800 X 30800 0 0 FIRST NATL LINCOLN CORP COM 335716106 41250 2640 X 2640 0 0 FIRST NATL LINCOLN CORP COM 335716106 1563 100 X 100 0 0 FIRST REP BK SAN FRANCISCO CA COM 336158100 33000 1500 X 0 0 1500 FIRST REP BK SAN FRANCISCO CA COM 336158100 262548 11934 X 11934 0 0 FIRST TENN NATL CORP COM 337162101 9913307 320819 X 237679 0 83140 FIRST TENN NATL CORP COM 337162101 3035678 98242 X 92592 0 5650 FIRST UNION CORP COM 337358105 63602682 1927354 X 1312366 0 614988 FIRST UNION CORP COM 337358105 13364076 404972 X 390546 1000 13426 FIRST VIRGINIA BANKS INC 337477103 726534 16752 X 9552 0 7200 FIRST VIRGINIA BANKS INC 337477103 306713 7072 X 4822 0 2250 FIRST W VA BANCORP INC COM 337493100 9557 724 X 724 0 0 FIRSTENERGY CORP COM 337932107 2796942 100177 X 56124 0 44053 FIRSTENERGY CORP COM 337932107 535506 19180 X 18980 0 200 FIRSTFED AMER BANCORP INC COM 337929103 4503 300 X 300 0 0 FIRSTFED AMER BANCORP INC COM 337929103 10507 700 X 0 0 700 FIRSTFED FINL CORP DEL COM 337907109 420000 15000 X 13000 0 2000 FIRSTMERIT CORP COM 337915102 423800 16300 X 7000 0 9300 FIRSTMERIT CORP COM 337915102 122200 4700 X 0 0 4700 FISERV INC COM 337738108 1250595 27956 X 1910 0 26046 FISERV INC COM 337738108 36324 812 X 812 0 0 FISHER SCIENTIFIC INTL INC COM 338032204 10632 300 X 300 0 0 FLEET BOSTON FINANCIAL CORP COM 339030108 140995004 3734967 X 68277 0 3666690 FLEET BOSTON FINANCIAL CORP COM 339030108 136514457 3616277 X 11307 0 3604970 FLEETWOOD ENTERPRISES INC COM 339099103 449785 49700 X 49700 0 0 FLEMING COS INC COM 339130106 758410 29800 X 29800 0 0 FLORIDA BKS INC COM 340560101 47000 8000 X 0 0 8000 FLORIDA EAST COAST INDS CL B COM 340632207 1063157 34687 X 34687 0 0 FLORIDA EAST COAST INDS CL B COM 340632207 705 23 X 23 0 0 FLORIDA ROCK INDS INC COM 341140101 552440 14000 X 14000 0 0 FLOW INTERNATIONAL CORP 343468104 116550 11100 X 11100 0 0 FLOWERS INDS INC COM *REORG* 343496105 7224075 436500 X 285400 0 151100 41 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 36 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ FLOWSERVE CORP COM 34354P105 302940 13500 X 0 0 13500 FLUOR CORP COM 343412102 2773151 62318 X 59124 0 3194 FLUOR CORP COM 343412102 249779 5613 X 5613 0 0 FLUSHING FINL CORP COM 343873105 1933725 104880 X 104361 0 519 FMC CORP (NEW) COM 302491303 1515364 20578 X 6980 0 13598 FMC CORP (NEW) COM 302491303 217238 2950 X 2950 0 0 FOAMEX INTL INC COM 344123104 20500 4000 X 0 0 4000 FOCAL COMMUNICATIONS CORP COM 344155106 77602 8250 X 0 0 8250 FOCUS ENHANCEMENTS INC COM 344159108 2720 3109 X 3109 0 0 FOILMARK INC COM 344185103 6313 2000 X 0 0 2000 FONAR CORP COM 344437108 8336 4168 X 4168 0 0 FOOTSTAR INC COM 344912100 702304 17492 X 16592 0 900 FOOTSTAR INC COM 344912100 78855 1964 X 1964 0 0 FORD MTR CO DEL COM 345370860 112240980 3991500 X 3709497 609 281394 FORD MTR CO DEL COM 345370860 37202507 1322991 X 1269022 4576 49393 FOREST CITY ENTERPRISES INC CL A 345550107 158725 3500 X 0 0 3500 FOREST CITY ENTERPRISES INC COM CL B 345550305 44930 1000 X 0 0 1000 FOREST LABS INC COM 345838106 90876056 1534032 X 1493270 0 40762 FOREST LABS INC COM 345838106 3073371 51880 X 47080 0 4800 FOREST OIL CORP COM 346091705 139035 4650 X 100 0 4550 FORRESTER RESEARCH COM 346563109 3870246 162530 X 147436 0 15094 FORRESTER RESEARCH COM 346563109 4763 200 X 200 0 0 FORTUNE BRANDS INC COM 349631101 14192786 412581 X 312311 0 100270 FORTUNE BRANDS INC COM 349631101 3127063 90903 X 84007 480 6416 FORWARD AIR CORP COM 349853101 684803 20950 X 16000 0 4950 FOSSIL INC COM 349882100 424819 24450 X 23100 0 1350 FOSTER WHEELER CORP COM 350244109 569332 31700 X 31700 0 0 FOSTER WHEELER CORP COM 350244109 1796 100 X 100 0 0 FOUNDRY NETWORKS INC COM 35063R100 3750 500 X 500 0 0 FOX ENTERTAINMENT GROUP INC CL A COM 35138T107 274400 14000 X 2600 0 11400 FOX ENTERTAINMENT GROUP INC CL A COM 35138T107 19600 1000 X 700 0 300 FPIC INSURANCE GROUP INC COM 302563101 24384 2550 X 400 0 2150 FPL GROUP INC COM 302571104 14750435 240627 X 208070 0 32557 FPL GROUP INC COM 302571104 10909377 177967 X 165437 0 12530 FRANKLIN COVEY CO COM 353469109 125395 15500 X 15500 0 0 FRANKLIN ELECTR PUBLISHERS INC COM 353515109 109200 36400 X 0 0 36400 FRANKLIN RES INC COM 354613101 3499797 89486 X 20828 0 68658 FRANKLIN TELECOMM CORP COM NEW 354727208 600 6000 X 6000 0 0 FREDDIE MAC COM 313400301 12376306 190904 X 80043 0 110861 FREDDIE MAC COM 313400301 1011802 15607 X 13062 0 2545 FREDS INC CL A 356108100 9150 400 X 0 0 400 FREEPORT-MCMORAN COPPER & GOLD B COM 35671D857 294134 22539 X 18712 0 3827 FREEPORT-MCMORAN COPPER & GOLD B COM 35671D857 1221885 93631 X 91131 0 2500 42 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 37 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ FREEPORT-MCMORAN COPPER & GOLD INC A 35671D105 24 2 X 2 0 0 FREEPORT-MCMORAN COPPER & GOLD INC A 35671D105 799 68 X 68 0 0 FREMONT GEN CORP 357288109 204476 52700 X 43790 0 8910 FRESH DEL MONTE PRODUCE INC COM G36738105 113438 18750 X 0 0 18750 FRIENDLY ICE CREAM CORP COM 358497105 959215 567583 X 396783 0 170800 FRITZ COS INC COM 358846103 302969 27700 X 27700 0 0 FRONTIER AIRLINES INC COM 359065109 171844 14100 X 14100 0 0 FRONTIER OIL CORP COM 35914P105 23100 3000 X 3000 0 0 FROZEN FOOD EXPRESS INDS INC COM 359360104 4140 2000 X 0 0 2000 FROZEN FOOD EXPRESS INDS INC COM 359360104 3519 1700 X 1700 0 0 FUELCELL ENERGY INC COM 35952H106 25250 500 X 500 0 0 FULTON FINL CORP PA COM 360271100 182813 9000 X 9000 0 0 FULTON FINL CORP PA COM 360271100 262133 12905 X 12905 0 0 FURNITURE BRANDS INTL INC COM 360921100 4578840 193200 X 183471 0 9729 FURNITURE BRANDS INTL INC COM 360921100 61620 2600 X 0 0 2600 F5 NETWORKS INC COM 315616102 23246 4350 X 0 0 4350 FEDEX CORPORATION COM 31428X106 1375440 33000 X 33000 FIRST UNION CORP COM 337358105 1531200 46400 X 46400 FLEXTRONICS INTL LTD COM Y2573F102 4303950 86930 X 286930 G & K SVCS INC COM 361268105 10680519 535700 X 337650 0 198050 GABELLI ASSET MGMT INC CL A 36239Y102 20100 600 X 0 0 600 GADZOOKS INC COM 362553109 19800 900 X 0 0 900 GADZOOX NETWORKS INC COM 362555104 2813 1500 X 0 0 1500 GALEY & LORD INC COM 36352K103 675 300 X 300 0 0 GALILEO INTL INC COM 363547100 504795 23050 X 0 0 23050 GALILEO INTL INC COM 363547100 12045 550 X 550 0 0 GALLAGHER ARTHUR J & CO COM 363576109 9695 350 X 0 0 350 GANNETT INC COM 364730101 29446976 493084 X 416909 0 76175 GANNETT INC COM 364730101 19633607 328761 X 317231 800 10730 GAP INC COM 364760108 17020144 717544 X 550733 0 166811 GAP INC COM 364760108 2494798 105177 X 96702 450 8025 GARAN INC 364802108 282700 11000 X 10000 0 1000 GARDEN FRESH RESTAURANT CORP COM 365235100 3391 500 X 500 0 0 GARDNER DENVER INC COM 365558105 386120 19700 X 16700 0 3000 GARDNER DENVER INC COM 365558105 1058 54 X 42 0 12 GARMIN LTD COM G37260109 19875 1000 X 1000 0 0 GARMIN LTD COM G37260109 19875 1000 X 1000 0 0 GARTNER GROUP INC COM CL B 366651206 48516 7701 X 7666 0 35 GARTNER GROUP INC COM CL B 366651206 37951 6024 X 4398 0 1626 GARTNER INC CL A COM 366651107 81797 12136 X 12136 0 0 GATEWAY INC COM 367626108 517597 30791 X 29974 0 817 GATEWAY INC COM 367626108 24375 1450 X 1450 0 0 43 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 33 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ GATX CORPORATION COM 361448103 479798 11300 X 4200 0 7100 GATX CORPORATION COM 361448103 107169 2524 X 2524 0 0 GBC BANCORP CALIFORNIA COM 361475106 504450 17700 X 8800 0 8900 GC COS INC COM 36155Q109 1525 684 X 184 0 500 GC COS INC COM 36155Q109 4014 1800 X 1800 0 0 GEERLINGS & WADE INC COM 368473104 313 200 X 200 0 0 GEMSTAR TV GUIDE INTL COM 36866W106 625543 21758 X 2558 0 19200 GEMSTAR TV GUIDE INTL COM 36866W106 445769 15505 X 15455 0 50 GENAISSANCE PHARMACEUTICALS COM 36867W105 806 100 X 100 0 0 GENAISSANCE PHARMACEUTICALS COM 36867W105 806 100 X 100 0 0 GENCORP INC COM 368682100 342283 32230 X 32230 0 0 GENE LOGIC INC COM 368689105 204350 12200 X 0 0 12200 GENE LOGIC INC COM 368689105 13400 800 X 800 0 0 GENENTECH INC COM 368710406 27043508 535515 X 517640 125 17750 GENENTECH INC COM 368710406 1393043 27585 X 17275 0 10310 GENERAL CABLE CORP DEL NEW COM 369300108 40601 3742 X 2642 0 1100 GENERAL COMMUNICATION INC CL A COM 369385109 3402000 378000 X 284100 0 93900 GENERAL DATACOMM INDS INC COM 369487103 8820 19600 X 0 0 19600 GENERAL DYNAMICS CORP COM 369550108 8898038 141824 X 13696 0 128128 GENERAL DYNAMICS CORP COM 369550108 632545 10082 X 3382 0 6700 GENERAL ELECTRIC CO COM 369604103 1348489468 32214273 X 29767211 8431 2438631 GENERAL ELECTRIC CO COM 369604103 1057135914 25254083 X 23683951 93883 1476249 GENERAL MAGIC INC COM 370253106 15084 11225 X 11225 0 0 GENERAL MILLS INC COM 370334104 23422472 544582 X 513305 0 31277 GENERAL MILLS INC COM 370334104 21914283 509516 X 482306 0 27210 GENERAL MOTORS CORP CL H COM 370442832 6339294 325092 X 199687 0 125405 GENERAL MOTORS CORP CL H COM 370442832 3291113 168775 X 131581 0 37194 GENERAL MTRS CORP COM 370442105 26416175 509473 X 461437 0 48036 GENERAL MTRS CORP COM 370442105 17352432 334666 X 313972 726 19968 GENERAL SEMICONDUCTOR INC COM 370787103 317245 33500 X 28500 0 5000 GENESCO INC COM 371532102 528820 19300 X 17700 0 1600 GENESEE & WYOMING INC COM 371559105 3780929 150860 X 150060 0 800 GENESEE CORP CL B COM 371601204 24101 999 X 999 0 0 GENESIS MICROCHIP INC 371933102 216638 21800 X 21800 0 0 GENLYTE GROUP INC COM 372302109 41344 1500 X 0 0 1500 GENOME THERAPEUTICS CORP COM 372430108 1200 200 X 200 0 0 GENOME THERAPEUTICS CORP COM 372430108 900 150 X 150 0 0 GENOMICA CORP COM 37243Q101 50119 12150 X 0 0 12150 GENRAD INC COM 372447102 215448 26931 X 26931 0 0 GENSYM CORP COM 37245R107 10126 12000 X 12000 0 0 GENTA INC COM 37245M207 602 101 X 0 0 101 GENTEX CORP COM 371901109 7084806 306370 X 283120 0 23250 44 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 38 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ GENTEX CORP COM 371901109 690281 29850 X 7450 0 22400 GENUINE PARTS CO 372460105 2959233 114212 X 72690 0 41522 GENUINE PARTS CO 372460105 2035412 78557 X 74677 0 3880 GENUITY INC COM 37248E103 19407 9000 X 9000 0 0 GENUITY INC COM 37248E103 75471 35000 X 35000 0 0 GENUS INC COM 372461103 172758 42200 X 10000 0 32200 GENVEC INC COM 37246C109 2625 500 X 0 0 500 GENZYME CORP ( GENERAL DIVISION COM) 372917104 180081617 1993597 X 1928885 550 64162 GENZYME CORP ( GENERAL DIVISION COM) 372917104 19720484 218316 X 206561 600 11155 GENZYME CORP BIOSURGERY DIVISION COM 372917708 21956 3992 X 2081 0 1911 GENZYME CORP BIOSURGERY DIVISION COM 372917708 4301 782 X 782 0 0 GENZYME-MOLECULAR ONCOLOGY COM 372917500 11666 1414 X 1252 0 162 GENZYME-MOLECULAR ONCOLOGY COM 372917500 4389 532 X 532 0 0 GEORGIA GULF CORP COM 373200203 412617 23700 X 23700 0 0 GEORGIA PACIFIC GROUP COM 373298108 35540984 1208877 X 1138370 50 70457 GEORGIA PACIFIC GROUP COM 373298108 5588587 190088 X 180123 4800 5165 GEORGIA PACIFIC TIMBER GROUP COM 373298702 1576721 54938 X 48732 0 6206 GEORGIA PACIFIC TIMBER GROUP COM 373298702 1358715 47342 X 45436 500 1406 GEOWORKS CORP COM 373692102 500 400 X 400 0 0 GERBER SCIENTIFIC INC COM 373730100 2867933 429975 X 292700 0 137275 GERBER SCIENTIFIC INC COM 373730100 337295 50569 X 50569 0 0 GERON CORP COM 374163103 1044 100 X 100 0 0 GERON CORP COM 374163103 13047 1250 X 250 0 1000 GETTY IMAGES INC COM 374276103 357572 22175 X 0 0 22175 GIGA TRONICS INC 375175106 773125 123700 X 123700 0 0 GILAT SATELLITE NETWKS COM M51474100 5813 500 X 500 0 0 GILAT SATELLITE NETWKS COM M51474100 46500 4000 X 4000 0 0 GILEAD SCIENCES INC COM 375558103 1586065 48802 X 41182 0 7620 GILEAD SCIENCES INC COM 375558103 32500 1000 X 0 0 1000 GILLETTE CO COM 375766102 146644221 4704659 X 4386076 1200 317383 GILLETTE CO COM 375766102 61071724 1959311 X 1858708 8850 91753 GLATFELTER P H CO 377316104 33659 2642 X 0 0 2642 GLATFELTER P H CO 377316104 30576 2400 X 2400 0 0 GLENAYRE TECHNOLOGIES INC 377899109 15957 7400 X 0 0 7400 GLOBAL CROSSING LTD COM G3921A100 3610841 267668 X 254736 0 12932 GLOBAL CROSSING LTD COM G3921A100 1398400 103662 X 87043 0 16619 GLOBAL IMAGING SYS INC COM 37934A100 79453 14125 X 14125 0 0 GLOBAL INDS LTD COM 379336100 337850 23200 X 0 0 23200 GLOBAL MARINE INC COM 379352404 172006 6719 X 5219 0 1500 GLOBAL MARINE INC COM 379352404 34995 1367 X 867 0 500 GLOBAL PAYMENTS INC COM 37940X102 1736096 93843 X 81931 0 11912 GLOBAL SPORTS INC COM 37937A107 1563 500 X 500 0 0 45 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 39 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ GLOBAL TECHNOVATIONS INC COM 37939M109 14800 40000 X 40000 0 0 GLOBAL TELESYSTEMS INC COM 37936U104 9500 12500 X 12500 0 0 GLOBALSTAR TELECOMMUNICTNS LTD COM G3930H104 6525 11250 X 11100 0 150 GLOBECOMM SYS INC COM 37956X103 51106 4810 X 4810 0 0 GLOBESPAN INC COM 379571102 115938 5300 X 0 0 5300 GLOBIX CORP COM 37957F101 303 100 X 100 0 0 GLOBIX CORP COM 37957F101 12125 4000 X 4000 0 0 GOAMERICA INC COM 38020R106 813 400 X 400 0 0 GOAMERICA INC COM 38020R106 1422 700 X 700 0 0 GOLD BANC CORP INC COM 379907108 9851 1401 X 1401 0 0 GOLDEN ST BANCORP INC COM 381197102 490688 17600 X 4900 0 12700 GOLDEN WEST FINANCIAL COM 381317106 32829665 505850 X 471472 0 34378 GOLDEN WEST FINANCIAL COM 381317106 584100 9000 X 9000 0 0 GOLDFIELD CORP 381370105 510 1000 X 1000 0 0 GOLDMAN SACHS GROUP INC COM 38141G104 44769153 526077 X 505267 100 20710 GOLDMAN SACHS GROUP INC COM 38141G104 650590 7645 X 7645 0 0 GOODRICH B F CO COM 382388106 5716363 148980 X 119299 0 29681 GOODRICH B F CO COM 382388106 289502 7545 X 7545 0 0 GOODRICH PETE CORP COM NEW 382410405 16413 2525 X 2525 0 0 GOODYEAR TIRE & RUBBER COM 382550101 1609684 67492 X 19000 0 48492 GOODYEAR TIRE & RUBBER COM 382550101 286224 12001 X 11901 0 100 GOODYS FAMILY CLOTHING INC COM 382588101 2099250 466500 X 311400 0 155100 GOTTSCHALKS INC 383485109 47975 9500 X 9500 0 0 GPU INC COM 36225X100 1495580 46032 X 32505 0 13527 GPU INC COM 36225X100 231361 7121 X 6271 0 850 GRACO INC COM 384109104 5487160 195970 X 193943 0 2027 GRACO INC COM 384109104 143416 5122 X 5122 0 0 GRADCO SYS INC COM 384111100 350 500 X 500 0 0 GRADCO SYS INC COM 384111100 1050 1500 X 1500 0 0 GRAHAM CORP COM 384556106 33222 3712 X 3712 0 0 GRAINGER W W INC 384802104 3386726 100051 X 66809 0 33242 GRAINGER W W INC 384802104 2046910 60470 X 59670 0 800 GRANITE CONSTR INC 387328107 64562 1900 X 0 0 1900 GRANITE STATE BANKSHARES INC 387472103 60375 3000 X 3000 0 0 GRANITE STATE BANKSHARES INC 387472103 8110 403 X 375 0 28 GRANT PRIDECO INC COM 38821G101 73633 4281 X 1081 0 3200 GREAT AMERN FINL RES INC COM 389915109 3924000 218000 X 167000 0 51000 GREAT AMERN FINL RES INC COM 389915109 11736 652 X 652 0 0 GREAT ATLANTIC & PACIFIC TEA INC COM 390064103 264435 28900 X 28900 0 0 GREAT ATLANTIC & PACIFIC TEA INC COM 390064103 2745 300 X 0 0 300 GREAT LAKES CHEMICAL 390568103 1092377 35536 X 27283 0 8253 GREAT LAKES CHEMICAL 390568103 616552 20057 X 15932 0 4125 46 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 40 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ GREAT PLAINS SOFTWARE INC COM 39119E105 925819 15100 X 15100 0 0 GREATER BAY BANCORP COM 391648102 244319 9700 X 0 0 9700 GREEN DANIEL CO COM 392775102 6056 1700 X 1700 0 0 GREEN MOUNTAIN POWER CORP COM 393154109 75820 4532 X 4532 0 0 GREEN MOUNTAIN POWER CORP COM 393154109 17901 1070 X 1070 0 0 GREEN MTN COFFEE INC COM 393122106 58225 3400 X 3400 0 0 GREENPOINT FINL CORP COM 395384100 541160 16600 X 0 0 16600 GREIF BROS CORP CL A COM 397624107 13181794 468686 X 297486 0 171200 GREY WOLF INC COM 397888108 1999595 307630 X 306130 0 1500 GREY WOLF INC COM 397888108 650 100 X 100 0 0 GRIFFIN LD & NURSERIES INC CL A COM 398231100 1850 100 X 100 0 0 GRIFFON CORPORATION COM 398433102 176170 22300 X 22300 0 0 GRIFFON CORPORATION COM 398433102 6320 800 X 0 0 800 GROUP 1 AUTOMOTIVE INC COM 398905109 256020 20400 X 15000 0 5400 GSB FINANCIAL CORP COM 362263105 3675 200 X 0 0 200 GSI LUMONICS INC COM 36229U102 7625 1000 X 1000 0 0 GTECH HLDGS CORP COM 400518106 54500 2000 X 0 0 2000 GTECH HLDGS CORP COM 400518106 8175 300 X 300 0 0 GUIDANT CORP COM 401698105 21304115 473530 X 432354 0 41176 GUIDANT CORP COM 401698105 2362965 52522 X 46597 0 5925 GUILFORD MLS INC COM 401794102 7476 4200 X 0 0 4200 GUILFORD PHARMACEUTICALS INC COM 401829106 64750 3500 X 0 0 3500 GUITAR CENTER INC COM 402040109 54638 3100 X 0 0 3100 GULF ISLAND FABRICATION INC COM 402307102 760000 40000 X 40000 0 0 GULFMARK OFFSHORE INC COM 402629109 14734413 455117 X 310217 0 144900 GULFMARK OFFSHORE INC COM 402629109 29138 900 X 900 0 0 GYMBOREE CORP COM 403777105 184000 18400 X 18400 0 0 GYRODYNE CO AMER INC COM 403820103 125592 7498 X 0 0 7498 GENERAL ELECTRIC CO COM 369604103 2980432 71200 X 71200 GETTY IMAGES INC NEW COM 374276103 5644 350 X 350 GLAXOSMITHKLINE PLC-ADR COM 37733W105 758350 14500 X 14500 GLOBAL MARINE INC NEW COM 379352404 289280 11300 X 11300 GOLDEN STATE BANCORP COM 381197102 139400 5000 X 5000 Grupo Tribasa Sa-Spons ADR COM 40049F105 24000 10000 X 10000 H J HEINZ CO COM 423074103 13019212 323861 X 248011 0 75850 H J HEINZ CO COM 423074103 10237573 254666 X 214802 600 39264 HAEMONETICS CORP MA COM 405024100 5043116 152360 X 150660 0 1700 HAGGAR CORP COM 405173105 64063 5000 X 5000 0 0 HAIN CELESTIAL GROUP INC COM 405217100 1622695 55955 X 54790 0 1165 HAIN CELESTIAL GROUP INC COM 405217100 41528 1432 X 1432 0 0 HALL KINION & ASSOCIATES COM 406069104 57813 10000 X 10000 0 0 HALLIBURTON CO COM NEW 406216101 103453970 2815074 X 2628812 550 185712 47 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 41 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ HALLIBURTON CO COM NEW 406216101 23462229 638428 X 615360 1300 21768 HALLWOOD ENERGY CORP DEL COM 40636X105 974 79 X 79 0 0 HANCOCK FABRICS INC COM 409900107 98905 13100 X 13100 0 0 HANGER ORTHOPEDIC GRP INC COM NEW 41043F208 3725 2500 X 2500 0 0 HANMI FINL CORP COM 410495105 2465033 146076 X 137181 0 8895 HANOVER COMPRESSOR COMPANY COM 410768105 570949 18011 X 8011 0 10000 HANOVER COMPRESSOR COMPANY COM 410768105 50720 1600 X 0 0 1600 HARBOR FL BANCSHARES INC COM 411901101 92800 5800 X 0 0 5800 HARCOURT GEN INC COM 41163G101 1535601 27584 X 10229 0 17355 HARCOURT GEN INC COM 41163G101 1564327 28100 X 23100 0 5000 HARKEN ENERGY CORP COM 412552309 6185 1550 X 1550 0 0 HARLAND JOHN H CO COM 412693103 402050 21500 X 21500 0 0 HARLAND JOHN H CO COM 412693103 9350 500 X 500 0 0 HARLEY DAVIDSON INC COM 412822108 16825019 443347 X 438432 0 4915 HARLEY DAVIDSON INC COM 412822108 1567335 41300 X 36300 0 5000 HARLEYSVILLE GROUP INC 412824104 26625 1200 X 0 0 1200 HARMAN INTL INDS INC NEW COM 413086109 3895822 152240 X 149740 0 2500 HARMONIC INC COM 413160102 244991 43554 X 43554 0 0 HARMONIC INC COM 413160102 2250 400 X 400 0 0 HARRAH'S ENTMT INC COM 413619107 3879168 131810 X 105682 0 26128 HARRAH'S ENTMT INC COM 413619107 721359 24511 X 24311 0 200 HARRIS CORP COM 413875105 23351006 943475 X 898275 0 45200 HARRIS CORP COM 413875105 340907 13774 X 12924 0 850 HARSCO CORP COM 415864107 138482 5650 X 3850 0 1800 HARTE-HANKS INC COM 416196103 38454 1700 X 1700 0 0 HARTFORD FINL SVCS GROUP INC COM 416515104 62868807 1065573 X 983398 150 82025 HARTFORD FINL SVCS GROUP INC COM 416515104 23810807 403573 X 377580 3150 22843 HARTMARX CORP COM 417119104 70914 22300 X 22300 0 0 HARTMARX CORP COM 417119104 66780 21000 X 21000 0 0 HARVEY ELECTRONICS INC COM 417660107 188 200 X 200 0 0 HASBRO INC 418056107 380769 29517 X 22307 0 7210 HASBRO INC 418056107 84044 6515 X 6515 0 0 HAUPPAUGE DIGITAL INC COM 419131107 225 100 X 100 0 0 HAWAIIAN ELECTRIC CO INDS INC COM 419870100 123746 3349 X 2749 0 600 HAWAIIAN ELECTRIC CO INDS INC COM 419870100 67988 1840 X 1840 0 0 HCA-HEALTHCARE CO COM 404119109 11502723 285640 X 239580 0 46060 HCA-HEALTHCARE CO COM 404119109 454004 11274 X 11274 0 0 HCC INS HLDGS INC COM 404132102 4280800 161845 X 159537 0 2308 HCC INS HLDGS INC COM 404132102 264500 10000 X 0 0 10000 HEALTH MGMT ASSOC INC CL A NEW COM 421933102 442398 28450 X 6000 0 22450 HEALTH MGMT ASSOC INC CL A NEW COM 421933102 35454 2280 X 2280 0 0 HEALTH MGMT SYS INC COM 42219M100 886136 746220 X 477720 0 268500 48 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 42 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ HEALTH NET INC COM 42222G108 2774106 134600 X 130000 0 4600 HEALTHCARE.COM CORP COM 42221Y100 1031 1000 X 1000 0 0 HEALTHSOUTH CORP COM 421924101 43979507 3411909 X 3128459 0 283450 HEALTHSOUTH CORP COM 421924101 21269 1650 X 1650 0 0 HEARST-ARGYLE TELEVISION INC COM 422317107 16480 800 X 0 0 800 HEARTLAND EXPRESS CO 422347104 7741650 306600 X 243894 0 62706 HEARTPORT INC COM 421969106 2625 1000 X 1000 0 0 HECLA MINING COMPANY 422704106 4830 7000 X 7000 0 0 HECLA MINING COMPANY 422704106 490 710 X 710 0 0 HEICO CORP NEW CL A 422806208 7709738 581867 X 571933 0 9934 HEIDRICK & STRUGGLES INTL INC COM 422819102 436956 15100 X 14600 0 500 HELEN OF TROY CORP LTD COM G4388N106 3600 640 X 640 0 0 HELIX TECHNOLOGY CORP COM 423319102 4055991 172710 X 164710 0 8000 HELIX TECHNOLOGY CORP COM 423319102 143912 6128 X 850 0 5278 HELLER FINANCIAL INC 423328103 13376543 380556 X 260367 0 120189 HELLER FINANCIAL INC 423328103 45695 1300 X 0 0 1300 HELMERICH & PAYNE INC COM 423452101 1065132 23005 X 0 0 23005 HELMERICH & PAYNE INC COM 423452101 27780 600 X 200 0 400 HENRY JACK & ASSOC INC COM 426281101 179314 7570 X 0 0 7570 HENRY SCHEIN INC COM 806407102 44100 1200 X 700 0 500 HERCULES INC COM 427056106 156283 12031 X 6253 0 5778 HERCULES INC COM 427056106 1797829 138401 X 138401 0 0 HERSHEY FOODS CORP COM 427866108 21711925 313213 X 288385 0 24828 HERSHEY FOODS CORP COM 427866108 6948498 100238 X 99238 0 1000 HEWLETT PACKARD CO COM 428236103 262874476 8406603 X 7932309 2000 472294 HEWLETT PACKARD CO COM 428236103 113290866 3622989 X 3418445 9850 194694 HEXCEL CORP COM NEW 428291108 3701898 372050 X 367000 0 5050 HI/FN INC COM 428358105 8360 500 X 500 0 0 HIBBETT SPORTING GOODS INC COM 428565105 354200 12650 X 4500 0 8150 HIBERNIA CORP CLASS A VOTING COM 428656102 5988869 428695 X 389445 0 39250 HIBERNIA CORP CLASS A VOTING COM 428656102 5937 425 X 425 0 0 HIGH SPEED ACCESS CORP COM 42979U102 750 500 X 500 0 0 HIGHLANDS INS GROUP INC COM 431032101 1733 525 X 525 0 0 HIGHLANDS INS GROUP INC COM 431032101 2577 781 X 613 0 168 HILB ROGAL & HAMILTON CO COM 431294107 350000 10000 X 10000 0 0 HILFIGER TOMMY CORP G8915Z102 2527711 196709 X 192909 0 3800 HILFIGER TOMMY CORP G8915Z102 83654 6510 X 6350 0 160 HILLENBRAND INDS INC COM 431573104 293024 6068 X 768 0 5300 HILLENBRAND INDS INC COM 431573104 67606 1400 X 1400 0 0 HILTON HOTELS CORP COM 432848109 3323455 318034 X 201379 0 116655 HILTON HOTELS CORP COM 432848109 4703 450 X 450 0 0 HISPANIC BROADCASTING CORP COM 43357B104 135610 7100 X 0 0 7100 49 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 43 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ HISPANIC BROADCASTING CORP COM 43357B104 65322 3420 X 120 0 3300 HISPANIC TELEVISION NETWORK COM 43357C102 65625 175000 X 175000 0 0 HNC SOFTWARE INC COM 40425P107 591540 33682 X 32887 0 795 HOLLINGER INTL INC CL A COM 435569108 50085 3500 X 3500 0 0 HOLLY CORP COM PAR $0.01 435758305 4672 200 X 200 0 0 HOLLYWOOD ENTMT CORP COM 436141105 4550 2080 X 2080 0 0 HOLLYWOOD MEDIA CORP COM 436233100 1110 250 X 250 0 0 HOLOGIC INC 436440101 46400 11600 X 11600 0 0 HOLOGIC INC 436440101 4120 1030 X 500 0 530 HOME DEPOT INC COM 437076102 420858915 9764708 X 9239819 1725 523164 HOME DEPOT INC COM 437076102 97023444 2251124 X 2088003 5173 157948 HOMEBASE INC COM 43738E108 544 400 X 400 0 0 HOMESTAKE MINING CO COM 437614100 510888 97127 X 38193 0 58934 HOMESTAKE MINING CO COM 437614100 33485 6366 X 4366 0 2000 HON INDS INC COM 438092108 142414 6200 X 0 0 6200 HONEYWELL INTL INC COM 438516106 100295825 2458231 X 2333730 300 124201 HONEYWELL INTL INC COM 438516106 14069105 344831 X 322415 3760 18656 HOOPER HOLMES INC COM 439104100 8617316 1003180 X 999080 0 4100 HORACE MANN EDUCATORS CORP NEW COM 440327104 7916024 447233 X 298833 0 148400 HORIZON OFFSHORE INC COM 44043J105 99000 4000 X 4000 0 0 HORIZON ORGANIC HLDG CORP COM 44043T103 1650 300 X 300 0 0 HORMEL FOODS CORPORATION 440452100 77920 4000 X 4000 0 0 HOST AMER CORP COM 44106W100 263 100 X 100 0 0 HOTEL RESERVATIONS INC CL A COM 441451101 15450 600 X 0 0 600 HOUGHTON-MIFFLIN CO COM 441560109 20127903 437468 X 296768 0 140700 HOUGHTON-MIFFLIN CO COM 441560109 138030 3000 X 3000 0 0 HOUSEHOLD INTERNATIONAL COM 441815107 24669017 416425 X 310642 0 105783 HOUSEHOLD INTERNATIONAL COM 441815107 3037057 51267 X 44088 0 7179 HOUSTON EXPLORATION COMPANY COM 442120101 11061000 368700 X 233300 0 135400 HOWELL CORP COM 443051107 9029 660 X 660 0 0 HPSC INC COM 404264103 6400 1000 X 1000 0 0 HS RES INC COM 404297103 634500 14100 X 13500 0 600 HUBBELL INC CL B COM 443510201 8027735 344538 X 321991 0 22547 HUBBELL INC CL B COM 443510201 1793751 76985 X 51501 2608 22876 HUBBELL INC CLASS A COM 443510102 8675494 358788 X 346900 0 11888 HUBBELL INC CLASS A COM 443510102 49908 2064 X 2064 0 0 HUDSON CITY BANCORP INC COM 443683107 396250 20000 X 20000 0 0 HUDSON RIVER BANCORP COM 444128102 157494 11300 X 9100 0 2200 HUDSON RIVER BANCORP COM 444128102 48781 3500 X 3500 0 0 HUDSON UNITED BANCORP COM 444165104 3739053 164716 X 164166 0 550 HUDSON UNITED BANCORP COM 444165104 1925528 84825 X 84825 0 0 HUFFY CORPORATION COM 444356109 51168 7800 X 7800 0 0 50 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 44 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ HUFFY CORPORATION COM 444356109 7380 1125 X 0 0 1125 HUGHES SUPPLY INC COM 444482103 283628 19400 X 17800 0 1600 HUGOTON ROYALTY TR TX UNIT BEN INT 444717102 155000 10000 X 10000 0 0 HUMAN GENOME SCIENCES INC COM 444903108 4004162 87047 X 11349 0 75698 HUMAN GENOME SCIENCES INC COM 444903108 57500 1250 X 1050 0 200 HUMANA INC COM 444859102 449571 42898 X 18961 0 23937 HUMANA INC COM 444859102 3668 350 X 350 0 0 HUNT J B TRANS SVCS INC COM 445658107 76563 4900 X 3800 0 1100 HUNTINGTON BANCSHARES INC 446150104 766522 53791 X 50930 0 2861 HUNTINGTON BANCSHARES INC 446150104 395138 27729 X 19627 0 8102 HUTCHINSON TECHNOLOGY INC COM 448407106 333106 22300 X 19700 0 2600 HYPERCOM CORP COM 44913M105 2216427 661620 X 450120 0 211500 HYPERION SOLUTIONS CORP COM 44914M104 401513 24900 X 24900 0 0 HYSEQ INC COM 449163302 51563 5500 X 0 0 5500 HYTEK MICROSYSTEMS INC COM 449180108 5750 2000 X 2000 0 0 HARTFORD FIN SER GP INC COM 416515104 566,400 9,600 X 9,600 HEINZ H J CO COM 423074103 140,700 3,500 X 3,500 HI/FN INC COM 428358105 183,590 11,000 X 11,000 HOMESTORE.COM INC COM 437852106 190,495 8,042 X 8,042 HOT TOPIC INC COM 441339108 29,260 1,045 X 1,045 I-MANY INC COM 44973Q103 26399748 2320857 X 2320857 0 0 I-STAT CORP COM 450312103 139125 7000 X 7000 0 0 I-STAT CORP COM 450312103 8546 430 X 430 0 0 IASIAWORKS INC COM 45072L101 244 200 X 200 0 0 IBEAM BROADCASTING CORP COM 45073P101 194 200 X 200 0 0 IBIS TECHNOLOGY CORP COM 450909106 63250 2300 X 700 0 1600 IBP INC COM 449223106 121360 7400 X 1000 0 6400 ICN PHARMACEUTICALS INC COM 448924100 24840380 976814 X 704745 0 272069 ICN PHARMACEUTICALS INC COM 448924100 27414 1078 X 1078 0 0 ICOS CORP COM 449295104 216125 4550 X 1950 0 2600 ICOS CORP COM 449295104 42750 900 X 800 0 100 ICT GROUP INC COM 44929Y101 7350 700 X 700 0 0 ICU MED INC COM 44930G107 412125 11775 X 0 0 11775 IDACORP INC COM 451107106 1064989 27872 X 19572 0 8300 IDACORP INC COM 451107106 517937 13555 X 12855 0 700 IDEC PHARMACEUTICALS CORP COM 449370105 478000 11950 X 150 0 11800 IDEC PHARMACEUTICALS CORP COM 449370105 189000 4725 X 4725 0 0 IDENTIX INC COM 451906101 8480 1000 X 1000 0 0 IDEX CORP COM 45167R104 2405340 83000 X 22700 0 60300 IDEX CORP COM 45167R104 195615 6750 X 0 0 6750 IDEXX LABS CORP 45168D104 4031893 183790 X 168690 0 15100 IDEXX LABS CORP 45168D104 13163 600 X 600 0 0 51 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 45 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ IDT CORP COM 448947101 30375 1500 X 1500 0 0 IDX SYS CORP COM 449491109 9031 500 X 0 0 500 IGATE CAPITAL CORPORATION COM 45169U105 15938 8500 X 0 0 8500 IHOP CORP COM 449623107 302000 15100 X 15100 0 0 II-VI INC COM 902104108 1313 104 X 104 0 0 IIC INDUSTRIES INC COM 449628205 9900 792 X 792 0 0 IKON OFFICE SOLUTIONS INC COM 451713101 18240 3200 X 3200 0 0 IKON OFFICE SOLUTIONS INC COM 451713101 210381 36909 X 36909 0 0 ILEX ONCOLOGY INC COM 451923106 77775 5100 X 0 0 5100 ILLINOIS TOOL WORKS INC COM 452308109 55999621 985215 X 933811 0 51404 ILLINOIS TOOL WORKS INC COM 452308109 18272355 321470 X 306650 0 14820 ILLUMINET HLDGS INC COM 452334105 281706 13700 X 0 0 13700 IMANAGE INC COM 45245Y105 984 500 X 500 0 0 IMATION CORP COM 45245A107 170917 7620 X 1420 0 6200 IMATION CORP COM 45245A107 122625 5467 X 4745 0 722 IMATRON INC COM 452906100 3375 1800 X 1800 0 0 IMATRON INC COM 452906100 938 500 X 500 0 0 IMC GLOBAL INC COM 449669100 56580 4600 X 1400 0 3200 IMC GLOBAL INC COM 449669100 233626 18994 X 18994 0 0 IMCLONE SYS INC COM 45245W109 8463 255 X 255 0 0 IMCO RECYCLING INC 449681105 51865 11500 X 8300 0 3200 IMMUNE RESPONSE CORP COM 45252T106 57461 22700 X 22700 0 0 IMMUNEX CORP NEW COM 452528102 138831 9700 X 3400 0 6300 IMMUNEX CORP NEW COM 452528102 113069 7900 X 700 0 7200 IMMUNOGEN INC COM 45253H101 2541 190 X 190 0 0 IMMUNOMEDICS INC COM 452907108 4813 500 X 500 0 0 IMPATH INC COM 45255G101 647627 13965 X 11800 0 2165 IMPCO TECHNOLOGIES INC COM 45255W106 1775 100 X 100 0 0 IMS HEALTH INC COM 449934108 5084605 204201 X 154363 0 49838 IMS HEALTH INC COM 449934108 4583941 184094 X 170294 0 13800 INCYTE GENOMICS INC COM 45337C102 4605 300 X 300 0 0 INCYTE GENOMICS INC COM 45337C102 127405 8300 X 800 0 7500 INDEPENDENCE CMNTY BK CORP COM 453414104 151706 8700 X 0 0 8700 INDEPENDENT BK CORP MA COM 453836108 30000 2000 X 2000 0 0 INDEPENDENT BK CORP MA COM 453836108 1500 100 X 100 0 0 INDUSTRIAL BANCORP INC COM 455882100 3240 160 X 160 0 0 INET TECHNOLOGIES INC COM 45662V105 4994 850 X 850 0 0 INFINIUM SOFTWARE INC COM 45662Y109 923730 615820 X 415720 0 200100 INFOCURE CORP COM 45665A108 2500 1250 X 1250 0 0 INFOCUS CORP COM 45665B106 93338 5700 X 0 0 5700 INFOCUS CORP COM 45665B106 1638 100 X 100 0 0 INFONAUTICS CORP COM 456662105 781 1000 X 1000 0 0 52 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 46 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ INFONET SERVICES CORP COM 45666T106 2660 400 X 400 0 0 INFORMATICA CORP COM 45666Q102 2263 170 X 0 0 170 INFORMATION HLDGS INC COM 456727106 678380 31700 X 16300 0 15400 INFORMATION RES INC COM 456905108 141700 21800 X 21800 0 0 INFORMIX CORP COM 456779107 230849 42700 X 3500 0 39200 INFOSPACE INC 45678T102 18099 8157 X 8157 0 0 INFOSPACE INC 45678T102 1977 891 X 891 0 0 INFOUSA INC NEW COM 456818301 2393616 551042 X 393542 0 157500 INGERSOLL RAND CO COM 456866102 40260857 1013872 X 928996 525 84351 INGERSOLL RAND CO COM 456866102 11131229 280313 X 266457 0 13856 INGLES MKTS INC CL A 457030104 3102938 261300 X 180200 0 81100 INGLES MKTS INC CL A 457030104 2375 200 X 200 0 0 INGRAM MICRO CL A COM 457153104 43875 3250 X 0 0 3250 INGRAM MICRO CL A COM 457153104 3375 250 X 250 0 0 INHALE THERAPEUTIC SYS INC COM 457191104 10688 500 X 500 0 0 INHALE THERAPEUTIC SYS INC COM 457191104 8550 400 X 400 0 0 INKINE PHARMACEUTICAL INC COM 457214104 77485 14500 X 0 0 14500 INKTOMI COM 457277101 137761 20716 X 20416 0 300 INKTOMI COM 457277101 266 40 X 40 0 0 INNOVEX INC COM 457647105 133806 27100 X 11700 0 15400 INPUT/OUTPUT INC COM 457652105 358105 38300 X 19900 0 18400 INSIGHT COMMUNICATIONS INC COM 45768V108 3058100 115400 X 96500 0 18900 INSIGHT ENTERPRISES INC COM 45765U103 685506 32450 X 31350 0 1100 INSIGHT HEALTH SVCS CORP COM 45766Q101 12750 1000 X 0 0 1000 INSILICON CORP COM 45769H108 3313 1000 X 1000 0 0 INSITUFORM TECHNOLOGIES INC CL A COM 457667103 707963 21700 X 20300 0 1400 INSITUFORM TECHNOLOGIES INC CL A COM 457667103 7504 230 X 230 0 0 INSURANCE AUTO AUCTIONS INC COM 457875102 107800 8800 X 8800 0 0 INTEGRA LIFESCIENCES CORP COM NEW 457985208 13625 1000 X 1000 0 0 INTEGRAL SYSTEMS INC /MD COM 45810H107 7143224 439583 X 281783 0 157800 INTEGRATED CIRCUIT SYS INC COM 45811K208 188400 11775 X 0 0 11775 INTEGRATED DEVICE TECHNOLOGY INC COM 458118106 408618 13800 X 0 0 13800 INTEGRATED MEASUREMENT SYS INC COM 457923100 2287968 201140 X 200140 0 1000 INTEL CORP COM 458140100 409325802 15556325 X 14277051 5450 1273824 INTEL CORP COM 458140100 163643989 6219249 X 5850309 24710 344230 INTER TEL INC COM 458372109 202731 19900 X 19900 0 0 INTERCEPT GROUP INC COM 45845L107 97375 3800 X 0 0 3800 INTERCHANGE FINANCIAL SVCS CORP COM 458447109 261018 17474 X 17474 0 0 INTERCONTINENTAL LIFE CORP COM 458593100 45600 3800 X 3800 0 0 INTERDIGITAL COMMUNICATIONS CORP COM 45866A105 8589 1150 X 1150 0 0 INTERFACE INC COM 458665106 305250 44400 X 25800 0 18600 INTERGRAPH CORP COM 458683109 294500 30400 X 1000 0 29400 53 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 47 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ INTERLIANT INC COM 458742103 423469 322643 X 322643 0 0 INTERLOGIX INC COM 458763109 12066860 464110 X 316109 0 148001 INTERLOTT TECHNOLOGIES INC 458764107 9000 2000 X 2000 0 0 INTERMAGNETICS GEN CORP COM 458771102 295874 12201 X 12201 0 0 INTERMEDIA COMMUNICATIONS INC COM 458801107 36488 2100 X 0 0 2100 INTERMET CORP 45881K104 81400 29600 X 6600 0 23000 INTERMUNE PHARMACEUTICALS INC COM 45885B100 4011 191 X 191 0 0 INTERNAP NETWORK SERVICES COM 45885A102 581 300 X 300 0 0 INTERNATIONAL BUSINESS MACHS CORP 459200101 424545060 4414068 X 4076321 995 336752 INTERNATIONAL BUSINESS MACHS CORP 459200101 236257610 2456411 X 2263809 8454 184148 INTERNATIONAL FIBERCOM INC COM 45950T101 1175094 303250 X 301850 0 1400 INTERNATIONAL GAME TECH COM 459902102 370425 7357 X 757 0 6600 INTERNATIONAL GAME TECH COM 459902102 25175 500 X 500 0 0 INTERNATIONAL MULTIFOODS CORP COM 460043102 280088 14550 X 14550 0 0 INTERNATIONAL PAPER CO COM 460146103 14671102 406627 X 255404 0 151223 INTERNATIONAL PAPER CO COM 460146103 6118555 169583 X 160357 0 9226 INTERNATIONAL RECTIFIER CORP COM 460254105 3969405 98010 X 86880 0 11130 INTERNATIONAL SPEEDWAY CORP COM CL A 460335201 231085 6235 X 3335 0 2900 INTERNET CAP GROUP INC COM 46059C106 194241 88796 X 88696 0 100 INTERNET CAP GROUP INC COM 46059C106 2898 1325 X 1025 0 300 INTERNET COMMERCE CORP CL A COM 46059F109 258200 129100 X 129100 0 0 INTERNET HOLDRS TR COM 46059W102 3495 100 X 100 0 0 INTERNET INITIATIVE JAPAN COM 46059T109 5706 550 X 550 0 0 INTERNET SEC SYS INC COM 46060X107 457504 16722 X 14072 0 2650 INTERPUBLIC GRP OF COMPANIES INC COM 460690100 60935766 1773967 X 1683518 825 89624 INTERPUBLIC GRP OF COMPANIES INC COM 460690100 12098104 352201 X 342324 100 9777 INTERSTATE BAKERIES CORP DEL NEW COM 46072H108 6049352 395900 X 165000 0 230900 INTERTAN INC COM 461120107 13211356 1044376 X 855176 0 189200 INTERVOICE BRITE INC COM 461142101 201500 24800 X 24800 0 0 INTERWOVEN INC COM 46114T102 55344 5500 X 1300 0 4200 INTEST CORP COM 461147100 19500 3000 X 0 0 3000 INTIMATE BRANDS INC CL A COM 461156101 7598577 516910 X 506530 0 10380 INTIMATE BRANDS INC CL A COM 461156101 17640 1200 X 1200 0 0 INTL FLAVORS & FRAGRANCES COM 459506101 718935 32590 X 14679 0 17911 INTL FLAVORS & FRAGRANCES COM 459506101 1214160 55039 X 51139 0 3900 INTRANET SOLUTIONS INC COM 460939309 3467586 144860 X 144152 0 708 INTRUSION.COM INC COM 46121E106 603440 150860 X 150060 0 800 INTUIT INC COM 461202103 1349205 48620 X 23220 0 25400 INTUIT INC COM 461202103 83944 3025 X 3025 0 0 INTUITIVE SURGICAL INC COM 46120E107 118706 24350 X 1000 0 23350 INTUITIVE SURGICAL INC COM 46120E107 9750 2000 X 2000 0 0 INVACARE CORP COM 461203101 36250115 917260 X 590460 0 326800 54 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 48 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ INVERNESS MED TECHNOLOGY INC COM 461268104 9118 350 X 0 0 350 INVESTMENT TECHNOLOGY GROUP COM NEW 46145F105 250880 4900 X 0 0 4900 INVESTORS FINL SERVICES CORP COM 461915100 164150 2800 X 300 0 2500 INVESTORS FINL SERVICES CORP COM 461915100 907984 15488 X 15488 0 0 INVITROGEN CORP COM 46185R100 5316720 96932 X 89174 0 7758 INVITROGEN CORP COM 46185R100 38028108 693311 X 21528 0 671783 IOMEGA CORP COM 462030107 1755198 476956 X 270500 0 206456 IOMEGA CORP COM 462030107 736 200 X 200 0 0 ION NETWORKS INC COM 46205P100 213 200 X 200 0 0 IONICS INC COM 462218108 408590 15715 X 15715 0 0 IONICS INC COM 462218108 130338 5013 X 5013 0 0 IPSWICH BANCSHARES INC COM 462633108 9375 1000 X 1000 0 0 IRON MTN INC COM 462846106 53648 1400 X 600 0 800 IRON MTN INC COM 462846106 1368024 35700 X 30000 0 5700 IRT PROPERTY CO 450058102 6900 750 X 750 0 0 ISIS PHARMACEUTICALS COM 464330109 9574 1035 X 1035 0 0 ISTA PHARMACEUTICALS INC COM 45031X105 11981 3550 X 0 0 3550 IT GROUP INC COM 465266104 3375 750 X 750 0 0 ITC DELTACOM INC COM 45031T104 5875 1000 X 1000 0 0 ITRON INC COM 465741106 137750 11600 X 11500 0 100 ITT EDL SVCS INC COM 45068B109 10354910 382100 X 235100 0 147000 ITT EDL SVCS INC COM 45068B109 62330 2300 X 2300 0 0 ITT INDS INC IND COM 450911102 2564320 66176 X 52740 0 13436 ITT INDS INC IND COM 450911102 2717034 70117 X 63992 1000 5125 IVAX CORP 465823102 6972525 221350 X 194150 0 27200 IVAX CORP 465823102 34650 1100 X 1100 0 0 IVILLAGE COM 46588H105 1449 2897 X 2897 0 0 IXIA CORP COM 45071R109 1281 100 X 0 0 100 IXIA CORP COM 45071R109 12172 950 X 950 0 0 I2 TECHNOLOGIES INC COM 465754109 443990 30620 X 7280 0 23340 I2 TECHNOLOGIES INC COM 465754109 537225 37050 X 37050 0 0 IKOS SYS INC._NEW 451716203 19866 1950 X 1950 INFORMATICA CORPORATION 45666Q102 212 16 X 16 INSILICON CORPORATION 45769H108 7142 2156 X 2156 INSMED INC 457669208 5309 1240 X 1240 INTEGRATED SYSTEM INC 457923100 559 50 X 50 INTEL CORP 458140100 6037140 229440 X 229440 INTERACT COMMERCE CORP 45839Y107 59 5 X 5 INTEREP NATIONAL RADIO SA 45866V109 11419 2900 X 2900 INTERLAND, INC. 458726106 4170012 2382864 X 2382864 INTERNET CAPITAL GROUP 46059C106 1182433 540541 X 540541 INTERNET CAPITAL GROUP 46059C106 83910 38359 X 38359 55 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 51 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ INTERWORLD CORP 46114Q108 1075 4300 X 4300 INTL BUSINESS MACHINES INC 459200101 2000544 20800 X 20800 INTUITIVE SURGICAL, INC 46120E107 17333 3649 X 3649 IONA TECHNOLOGIES PLC 46206P109 115500 3500 X 3500 J & J SNACK FOODS CORP COM 466032109 107600 6400 X 6400 0 0 J D EDWARDS & CO COM 281667105 124800 12800 X 900 0 11900 J P MORGAN CHASE & CO COM 46625H100 382751083 8524523 X 8128062 250 396211 J P MORGAN CHASE & CO COM 46625H100 165539610 3686851 X 3540768 16088 129995 JABIL CIRCUIT INC COM 466313103 7304641 337865 X 216240 0 121625 JABIL CIRCUIT INC COM 466313103 36754 1700 X 1700 0 0 JACK IN THE BOX INC COM 466367109 5098089 170220 X 155120 0 15100 JACOBS ENGR GROUP INC COM 469814107 139200 2400 X 900 0 1500 JACOBS ENGR GROUP INC COM 469814107 536500 9250 X 2200 0 7050 JAKKS PAC INC COM 47012E106 143438 13500 X 13500 0 0 JDS UNIPHASE CORP COM 46612J101 44199850 2397280 X 2250777 425 146078 JDS UNIPHASE CORP COM 46612J101 6239637 338421 X 250876 1750 85795 JEFFERIES GROUP INC NEW COM 472319102 548150 19000 X 18600 0 400 JEFFERSON PILOT CORP COM 475070108 1039396 15310 X 10517 0 4793 JEFFERSON PILOT CORP COM 475070108 2795099 41171 X 38471 0 2700 JLG INDUSTRIES INC COM 466210101 434200 33400 X 31900 0 1500 JMAR TECHNOLOGIES INC COM 466212107 3406 1000 X 1000 0 0 JO-ANN STORES INC CL A COM 47758P109 59840 13600 X 13600 0 0 JOHN HANCOCK FINL SVCS COM 41014S106 51700524 1344617 X 1267602 0 77015 JOHN HANCOCK FINL SVCS COM 41014S106 1644891 42780 X 42780 0 0 JOHN NUVEEN CO CL A COM 478035108 378000 7000 X 0 0 7000 JOHNSON & JOHNSON COM 478160104 353892861 4045877 X 3592904 500 452473 JOHNSON & JOHNSON COM 478160104 241636400 2762506 X 2334660 8379 419467 JOHNSON CONTROLS INC COM 478366107 2052561 32862 X 15947 0 16915 JOHNSON CONTROLS INC COM 478366107 897051 14362 X 9977 0 4385 JONES APPAREL GROUP INC COM 480074103 28459544 752898 X 725096 0 27802 JONES APPAREL GROUP INC COM 480074103 854582 22608 X 22608 0 0 JOURNAL REGISTER CO COM 481138105 369225 22500 X 22500 0 0 JUNIPER NETWORKS INC COM 48203R104 13464450 354701 X 340086 0 14615 JUNIPER NETWORKS INC COM 48203R104 881621 23225 X 2470 0 20755 JUNO ONLINE SVCS INC COM 482048105 56 50 X 50 0 0 JUPITER MEDIA METRIX INC COM 48206U104 7300 2246 X 1546 0 700 J2 GLOBAL COMMUNICATONS INC COM 46626E205 58 25 X 25 0 0 J2 GLOBAL COMMUNICATONS INC COM 46626E205 53 23 X 23 0 0 JDS UNIPHASE CORP 46612J101 15063 817 X 817 JDS UNIPHASE CORP. 46612J101 153050 8301 X 8301 JNI CORP 46622G105 40500 5400 X 5400 JUPITER MEDIA METRIX INC 48206U104 36366 11637 X 11637 56 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 51 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ K MART CORP COM 482584109 928532 98780 X 35218 0 63562 K MART CORP COM 482584109 48410 5150 X 5150 0 0 K TRON INTL INC COM 482730108 2139389 141494 X 111054 0 30440 K V PHARMACEUTICAL CO CL A 482740206 8861 450 X 0 0 450 K-SWISS COM 482686102 210125 8200 X 7600 0 600 KAMAN CORP CL A COM 483548103 8677293 529911 X 388011 0 141900 KAMAN CORP CL A COM 483548103 164143 10024 X 4224 0 5800 KANA COMMUNICATIONS INC COM 483600102 4009 2069 X 2069 0 0 KANEB SVCS INC COM 484170105 8330 1400 X 1400 0 0 KANSAS CITY LIFE INS CO COM 484836101 2952950 82600 X 61600 0 21000 KANSAS CITY LIFE INS CO COM 484836101 47190 1320 X 1320 0 0 KANSAS CITY PWR & LT CO COM 485134100 4671245 189888 X 104188 0 85700 KANSAS CITY PWR & LT CO COM 485134100 432812 17594 X 7534 0 10060 KANSAS CITY SOUTHN INDS INC COM NEW 485170302 4430 312 X 312 0 0 KANSAS CITY SOUTHN INDS INC COM NEW 485170302 234726 16530 X 16530 0 0 KATY INDUSTRIES INC COM 486026107 7000 1000 X 1000 0 0 KATY INDUSTRIES INC COM 486026107 7000 1000 X 1000 0 0 KAYDON CORP COM 486587108 194256 7200 X 0 0 7200 KAYDON CORP COM 486587108 215840 8000 X 4000 0 4000 KB HOME COM 48666K109 8108364 248418 X 222331 0 26087 KB HOME COM 48666K109 31596 968 X 968 0 0 KEANE INC COM 486665102 29250 2250 X 2250 0 0 KEANE INC COM 486665102 65000 5000 X 5000 0 0 KEITHLEY INSTRUMENTS INC COM 487584104 4040037 249385 X 164000 0 85385 KEITHLEY INSTRUMENTS INC COM 487584104 109042 6731 X 6731 0 0 KELLOGG CO COM 487836108 3320717 122853 X 102728 200 19925 KELLOGG CO COM 487836108 3664592 135575 X 126640 535 8400 KELLWOOD CO COM 488044108 404625 19500 X 11100 0 8400 KELLY SVCS INC CL A COM 488152208 14738 625 X 625 0 0 KEMET CORP COM 488360108 30661 1810 X 1810 0 0 KENDLE INTERNATIONAL COM 48880L107 25125 2000 X 0 0 2000 KENNAMETAL INC COM 489170100 49500 1800 X 0 0 1800 KENSEY NASH CORP COM 490057106 2325 200 X 200 0 0 KENT ELECTRS CORP COM 490553104 396000 22000 X 22000 0 0 KERR-MCGEE CORP COM 492386107 69581951 1072141 X 1026010 0 46131 KERR-MCGEE CORP COM 492386107 1471283 22670 X 22170 500 0 KEY ENERGY SERVICES INC COM 492914106 16050 1500 X 1500 0 0 KEY ENERGY SERVICES INC COM 492914106 243960 22800 X 22800 0 0 KEY PRODTN INC COM 493138101 5782195 278660 X 193660 0 85000 KEY PRODTN INC COM 493138101 22825 1100 X 1100 0 0 KEY TECHNOLOGY INC COM 493143101 2051990 280614 X 182014 0 98600 KEYCORP NEW COM 493267108 2753531 106726 X 49521 0 57205 57 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 51 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ KEYCORP NEW COM 493267108 4481589 173705 X 169923 0 3782 KEYSPAN CORP COM 49337W100 2473531 64871 X 44441 0 20430 KEYSPAN CORP COM 49337W100 272477 7146 X 7058 0 88 KFORCE.COM INC COM 493732101 7817928 1471610 X 944765 0 526845 KIMBALL INTL INC CL B COM 494274103 21500 1600 X 0 0 1600 KIMBERLY CLARK CORP COM 494368103 47928000 706590 X 614958 0 91632 KIMBERLY CLARK CORP COM 494368103 47410525 698961 X 678118 600 20243 KINDER MORGAN INC COM 49455P101 1489600 28000 X 27900 0 100 KINDER MORGAN INC COM 49455P101 162260 3050 X 3050 0 0 KING PHARMACEUTICALS COM 495582108 16946132 415856 X 398888 0 16968 KING PHARMACEUTICALS COM 495582108 485455 11913 X 2792 0 9121 KIRBY CORP COM 497266106 362000 18100 X 17200 0 900 KLA-TENCOR CORP COM 482480100 2705929 68722 X 52502 0 16220 KLA-TENCOR CORP COM 482480100 139781 3550 X 3550 0 0 KLM ROYAL DUTCH AIRLS COM 482516309 55 3 X 3 0 0 KLM ROYAL DUTCH AIRLS COM 482516309 2760 150 X 0 0 150 KNIGHT RIDDER INC COM 499040103 8872999 165202 X 140797 0 24405 KNIGHT RIDDER INC COM 499040103 354271 6596 X 5396 400 800 KNIGHT TRADING GROUP INC COM 499063105 19013 1300 X 1300 0 0 KNIGHT TRADING GROUP INC COM 499063105 10238 700 X 700 0 0 KNIGHT TRANSN INC COM 499064103 452595 18568 X 300 0 18268 KOHLS CORP COM 500255104 4542667 73637 X 36487 0 37150 KOHLS CORP COM 500255104 18013 292 X 292 0 0 KOPIN CORP COM 500600101 2419629 420805 X 414109 0 6696 KOPIN CORP COM 500600101 443325 77100 X 7100 0 70000 KOREA THRUNET CO LTD CL A COM Y49975108 2716 1100 X 1100 0 0 KORN/FERRY INTERNATIONAL COM 500643200 2186892 130405 X 123405 0 7000 KORN/FERRY INTERNATIONAL COM 500643200 43921 2619 X 2469 0 150 KOS PHARMACEUTICALS INC COM 500648100 3513 200 X 200 0 0 KPMG CONSULTING INC COM 48265R109 148850 11450 X 0 0 11450 KRAMONT RLTY TR COM 50075Q107 82705 7505 X 7505 0 0 KRAMONT RLTY TR COM 50075Q107 22040 2000 X 2000 0 0 KRISPY KREME DOUGHNUTS INC COM 501014104 86400 2400 X 2000 0 400 KRISPY KREME DOUGHNUTS INC COM 501014104 14400 400 X 400 0 0 KROGER CO COM 501044101 23791971 922527 X 814564 0 107963 KROGER CO COM 501044101 578212 22420 X 14490 0 7930 KROLL O GARA CO COM 501050108 4735053 880940 X 679564 0 201376 KRONOS INC COM 501052104 343769 10935 X 10235 0 700 KULICKE & SOFFA INDS INC COM 501242101 511306 37700 X 36600 0 1100 KULICKE & SOFFA INDS INC COM 501242101 260400 19200 X 0 0 19200 K2 INC COM 482732104 3711313 424150 X 302850 0 121300 Kana Communications COM 483600102 1189730 614054 X 614054 58 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 51 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ Kana Communications COM 483600102 301281 155500 X 155500 KNIGHT TRADING GROUP INC 499063105 2014272 137728 X 137728 L-3 COMM HLDGS INC COM 502424104 266456 3375 X 175 0 3200 L-3 COMM HLDGS INC COM 502424104 177638 2250 X 0 0 2250 LA-Z-BOY INC COM 505336107 806358 45301 X 33601 0 11700 LABOR READY INC COM 505401208 97965 31100 X 31100 0 0 LABORATORY CORP AMER HLDGS COM 50540R409 505050 4200 X 0 0 4200 LABORATORY CORP AMER HLDGS COM 50540R409 21886 182 X 182 0 0 LABRANCHE & CO INC COM 505447102 262104 8150 X 8150 0 0 LACLEDE GAS CO COM 505588103 365810 15700 X 15700 0 0 LACLEDE GAS CO COM 505588103 83228 3572 X 3572 0 0 59 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 52 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ LADISH COMPANY INC COM 505754200 3377250 300200 X 223600 0 76600 LAFARGE CORP COM 505862102 6068 200 X 200 0 0 LAFARGE CORP COM 505862102 12136 400 X 0 0 400 LAKELAND FINL CORP COM 511656100 6550 400 X 400 0 0 LAM RESEARCH CORPORATION COM 512807108 1591250 67000 X 40800 0 26200 LAM RESEARCH CORPORATION COM 512807108 38831 1635 X 1635 0 0 LAMAR ADVERTISING COM CL A 512815101 29400 800 X 0 0 800 LANCASTER COLONY CORP COM 513847103 1861453 64050 X 0 0 64050 LANCE INC COM 514606102 4478 398 X 398 0 0 LANCER CORP TEXAS COM 514614106 940 200 X 200 0 0 LANDAMERICA FINL GROUP INC COM 514936103 387929 10903 X 10203 0 700 LANDAUER INC 51476K103 68937 3300 X 0 0 3300 LANDMARK SYSTEMS CORP COM 51506S100 1491438 487000 X 290900 0 196100 LANDRYS SEAFOOD RESTAURANTS INC COM 51508L103 313657 27635 X 16200 0 11435 LANDS END INC COM 515086106 2745 100 X 100 0 0 LANDSTAR SYS INC COM 515098101 481025 7100 X 3400 0 3700 LANTRONIX INC COM 516548104 515708 102500 X 102500 0 0 LASER TECHNOLOGY INC COM 518074208 114 100 X 100 0 0 LASERSIGHT INC COM 517924106 544 300 X 300 0 0 LASERSIGHT INC COM 517924106 7250 4000 X 0 0 4000 LATTICE SEMICONDUCTOR CORP 518415104 60019 3300 X 0 0 3300 LAWSON PRODUCTS INC COM 520776105 231215 9342 X 8142 0 1200 LAYNE CHRISTENSEN CO COM 521050104 4097088 701100 X 476800 0 224300 LAZARE KAPLAN INTERNATIONAL COM 521078105 198360 34200 X 34200 0 0 LAZARE KAPLAN INTERNATIONAL COM 521078105 140360 24200 X 24200 0 0 LCA-VISION INC COM 501803209 696 301 X 301 0 0 LCA-VISION INC COM 501803209 28250 12216 X 12216 0 0 LEAP WIRELESS INTL INC COM 521863100 108041 3850 X 1850 0 2000 LEAP WIRELESS INTL INC COM 521863100 702 25 X 25 0 0 LEAR CORP COM 521865105 4151810 141700 X 109500 0 32200 LEARN2.COM INC COM 522002104 23415 107015 X 107015 0 0 LECROY CORP COM 52324W109 3003000 176000 X 175120 0 880 LEGATO SYS INC COM 524651106 7238 600 X 0 0 600 LEGATO SYS INC COM 524651106 2171 180 X 180 0 0 LEGG MASON INC COM 524901105 267335 6350 X 550 0 5800 LEGGETT & PLATT INC COM 524660107 2003343 104178 X 88315 0 15863 LEGGETT & PLATT INC COM 524660107 188646 9810 X 4660 0 5150 LEHMAN BROS HLDGS INC COM 524908100 3774603 60201 X 40375 0 19826 LEHMAN BROS HLDGS INC COM 524908100 728072 11612 X 10884 0 728 LENNAR CORP COM 526057104 721466 18100 X 0 0 18100 LENNAR CORP COM 526057104 520173 13050 X 7250 0 5800 60 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 52 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ LENNOX INTL INC COM 526107107 1931559 187530 X 114768 0 72762 LESLIE FAY INC NEW COM 527016109 153900 32400 X 32400 0 0 LEUCADIA NATL CORP COM 527288104 488984 15200 X 1200 0 14000 LEUCADIA NATL CORP COM 527288104 109378 3400 X 0 0 3400 LEVEL 3 COMMUNICATIONS INC COM 52729N100 39963 2300 X 2100 0 200 LEVEL 3 COMMUNICATIONS INC COM 52729N100 6881 396 X 396 0 0 LEXENT INC COM 52886Q102 726 180 X 180 0 0 LEXMARK INTERNATIONAL INC CL A COM 529771107 5586032 122716 X 100280 0 22436 LEXMARK INTERNATIONAL INC CL A COM 529771107 2686 59 X 59 0 0 LIBBEY INC COM 529898108 416547 13950 X 12750 0 1200 LIBERATE TECHNOLOGIES COM 530129105 365750 44000 X 41900 0 2100 LIBERATE TECHNOLOGIES COM 530129105 15794 1900 X 400 0 1500 LIBERTY DIGITAL INC CL A COM 530436104 313 50 X 50 0 0 LIBERTY FINANCIAL COMPANIES INC COM 530512102 379600 9125 X 125 0 9000 LIFECORE BIOMEDICAL INC COM 532187101 2664280 666070 X 558070 0 108000 LIFEPOINT HOSPS INC COM 53219L109 9233403 258277 X 256661 0 1616 LIFEPOINT HOSPS INC COM 53219L109 141677 3963 X 263 0 3700 LIFETIME HOAN CORP COM 531926103 4688 1000 X 1000 0 0 LIGAND PHARMACEUTICALS INC CL B COM 53220K207 49 5 X 0 0 5 LIGHTBRIDGE INC COM 532226107 3295601 288140 X 286640 0 1500 LIGHTPATH TECHNOLOGIES INC CL A COM 532257102 1286599 99930 X 99430 0 500 LILLIAN VERNON CORP COM 532430105 47450 6500 X 6500 0 0 LILLY ELI & CO COM 532457108 168489864 2197885 X 2016710 350 180825 LILLY ELI & CO COM 532457108 77498430 1010937 X 931232 3400 76305 LIMITED INC COM 532716107 768928 48914 X 31942 0 16972 LIMITED INC COM 532716107 25152 1600 X 1600 0 0 LINCARE HLDGS INC 532791100 939641 17750 X 400 0 17350 LINCOLN ELEC HLDGS INC COM 533900106 38700 1800 X 0 0 1800 LINCOLN NATIONAL CORP COM 534187109 25963525 611338 X 544751 0 66587 LINCOLN NATIONAL CORP COM 534187109 1710182 40268 X 28268 0 12000 LINDSAY MFG CO COM 535555106 187775 10150 X 1850 0 8300 LINDSAY MFG CO COM 535555106 106135 5737 X 5737 0 0 LINEAR TECHNOLOGY CORP COM 535678106 6250534 152220 X 27410 0 124810 LINEAR TECHNOLOGY CORP COM 535678106 1890928 46050 X 42050 0 4000 LINENS N THINGS INC COM 535679104 1361250 49500 X 30600 0 18900 LINENS N THINGS INC COM 535679104 143000 5200 X 0 0 5200 LIONBRIDGE TECHNOLOGIES INC COM 536252109 306 100 X 100 0 0 LITTELFUSE INC COM 537008104 77888 3100 X 2200 0 900 LITTON INDS INC COM 538021106 176887 2202 X 552 0 1650 LITTON INDS INC COM 538021106 207251 2580 X 1080 0 1500 LIZ CLAIBORNE INC COM 539320101 886563 18843 X 6596 0 12247 LIZ CLAIBORNE INC COM 539320101 136445 2900 X 100 0 2800 61 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 54 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ LNR PROPERTY CORP COM 501940100 2007180 70800 X 70000 0 800 LNR PROPERTY CORP COM 501940100 107730 3800 X 3800 0 0 LOCKHEED MARTIN CORP COM 539830109 3824710 107285 X 55940 0 51345 LOCKHEED MARTIN CORP COM 539830109 1123938 31527 X 31383 0 144 LODGENET ENTERTAINMENT CORP COM 540211109 20475 1400 X 0 0 1400 LOEWS CORP COM 540424108 3185564 53620 X 19658 0 33962 LOEWS CORP COM 540424108 869762 14640 X 14640 0 0 LOG ON AMER INC COM 540473105 3750 6000 X 6000 0 0 LOGILITY INC COM 54140Y103 2625 1000 X 0 0 1000 LOJACK CORP COM 539451104 572 100 X 100 0 0 LONE STAR STEAKHOUSE SALOON COM 542307103 9281 1000 X 1000 0 0 LONE STAR TECHNOLOGIES INC COM 542312103 804555 18820 X 17800 0 1020 LONE STAR TECHNOLOGIES INC COM 542312103 45743 1070 X 1070 0 0 LONG ISLAND FIN CORP COM 542669106 498750 35000 X 35000 0 0 LONGS DRUG STORES CORP COM 543162101 2694305 91147 X 77266 0 13881 LONGS DRUG STORES CORP COM 543162101 88680 3000 X 3000 0 0 LONGVIEW FIBRE CO COM 543213102 7205250 554250 X 396050 0 158200 LONGVIEW FIBRE CO COM 543213102 260000 20000 X 20000 0 0 LORAL SPACE AND COMMUNICATIONS COM G56462107 355748 162442 X 80542 0 81900 LORAL SPACE AND COMMUNICATIONS COM G56462107 54796 25021 X 23221 0 1800 LOUDCLOUD INC COM 545735102 28594 5000 X 5000 0 0 LOUDCLOUD INC COM 545735102 13153 2300 X 2300 0 0 LOUIS DREYFUS NAT GAS CORP COM 546011107 17608300 475900 X 324400 0 151500 LOUISIANA PAC CORP COM 546347105 1536745 159911 X 155147 0 4764 LOUISIANA PAC CORP COM 546347105 130523 13582 X 13582 0 0 LOWES COS INC COM 548661107 67178572 1149334 X 1001761 0 147573 LOWES COS INC COM 548661107 4435771 75890 X 72590 0 3300 LSI INDS INC OHIO COM 50216C108 15263160 693780 X 459180 0 234600 LSI LOGIC CORP COM 502161102 4973637 316188 X 119318 0 196870 LSI LOGIC CORP COM 502161102 67639 4300 X 2800 0 1500 LTX CORP COM 502392103 2984581 159710 X 158910 0 800 LTX CORP COM 502392103 11213 600 X 600 0 0 LUBRIZOL CORP COM 549271104 987023 32575 X 11450 0 21125 LUBRIZOL CORP COM 549271104 627665 20715 X 20215 500 0 LUBY'S INC COM 549282101 128440 16900 X 16900 0 0 LUBY'S INC COM 549282101 22800 3000 X 3000 0 0 LUCENT TECHNOLOGIES INC COM 549463107 34194817 3429771 X 3135264 0 294507 LUCENT TECHNOLOGIES INC COM 549463107 20031744 2009202 X 1906876 10884 91442 LUMINEX CORP COM 55027E102 2923819 158580 X 157780 0 800 LYDALL INC COM 550819106 4117360 395900 X 278100 0 117800 LYDALL INC COM 550819106 45843 4408 X 2908 0 1500 LYONDELL CHEMICAL COMPANY 552078107 238542 16600 X 50 0 16550 62 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 54 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ LYONDELL CHEMICAL COMPANY 552078107 719 50 X 50 0 0 Latitude Communications COM 518292107 9160 2299 X 2299 LEHMAN BROTHERS HLDGS INC COM 524908100 3511200 56000 X 56000 LIFEPOINT HOSPITALS INC COM 53219L109 3575 100 X 100 LIGAND PHARMACEUTICALS INC COM 53220K207 52481 5400 X 5400 LUMINENT INC. COM 55027R103 266 100 X 100 M & F WORLDWIDE CORP COM 552541104 701 143 X 143 0 0 M & T BK CORP COM 55261F104 388644 5560 X 5260 0 300 M & T BK CORP COM 55261F104 3891822 55677 X 55677 0 0 M D C HLDGS INC COM 552676108 685871 17430 X 17430 0 0 M S CARRIERS INC COM 553533100 260313 8500 X 8500 0 0 M/I SCHOTTENSTEIN HOMES INC NEW COM 55305B101 596 20 X 20 0 0 MAC GRAY CORP COM 554153106 96200 26000 X 26000 0 0 MACDERMID INC COM 554273102 8713927 481965 X 346700 0 135265 MACDERMID INC COM 554273102 20350251 1125567 X 7025 0 1118542 MACROCHEM CORP DEL COM 555903103 140301 35700 X 35700 0 0 MACROMEDIA INC COM 556100105 385452 23997 X 20057 0 3940 MACROMEDIA INC COM 556100105 1606 100 X 100 0 0 MACROVISION CORP COM 555904101 197992 4545 X 0 0 4545 MADISON GAS & ELEC CO COM 557497104 1710863 73192 X 3592 0 69600 MADISON GAS & ELEC CO COM 557497104 44413 1900 X 1900 0 0 MAF BANCORP INC COM 55261R108 476325 17400 X 17400 0 0 MAGNETEK INC COM 559424106 159367 16900 X 16900 0 0 MAGNUM HUNTER RESOURCES INC 55972F203 2350 200 X 200 0 0 MAIL.COM INC CL A COM 560311102 39188 57000 X 0 0 57000 MAINE PUB SVC CO COM 560483109 34060 1300 X 1300 0 0 MALAN RLTY INVS INC COM 561063108 8900 1000 X 1000 0 0 MALAN RLTY INVS INC COM 561063108 44500 5000 X 5000 0 0 MALLON RESOURCES CORP COM 561240201 200 24 X 0 0 24 MANDALAY RESORT GROUP 562567107 2594103 129900 X 90000 0 39900 MANDALAY RESORT GROUP 562567107 11183 560 X 560 0 0 MANITOWOC INC COM 563571108 476160 19200 X 18600 0 600 MANITOWOC INC COM 563571108 124000 5000 X 5000 0 0 MANOR CARE INC COM 564055101 487805 23912 X 20838 0 3074 MANPOWER INC WIS COM 56418H100 876960 30450 X 6050 0 24400 MANPOWER INC WIS COM 56418H100 55440 1925 X 1925 0 0 MANUFACTURERS SVCS LTD COM 565005105 2990 1000 X 0 0 1000 MAPICS INC COM 564910107 41563 9500 X 0 0 9500 MAPICS INC COM 564910107 5469 1250 X 1250 0 0 MAPINFO CORP COM 565105103 350492 19746 X 18846 0 900 MAPINFO CORP COM 565105103 11981 675 X 675 0 0 MARCHFIRST INC COM 566244109 42 298 X 298 0 0 63 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 55 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ MARCUS CORP COM 566330106 390540 28300 X 21900 0 6400 MARIMBA COM 56781Q109 1688 500 X 500 0 0 MARINE DRILLING COS INC 568240204 19391073 727620 X 564800 0 162820 MARKEL CORPORATION (HOLDING COMPANY) 570535104 168674 902 X 902 0 0 MARKETING SVCS GROUP INC COM 570907105 2531 1500 X 1500 0 0 MARKETWATCH INC COM 570619106 516 165 X 165 0 0 MARRIOTT INTERNATIONAL INC COM CL A 571903202 3066098 74456 X 24376 0 50080 MARRIOTT INTERNATIONAL INC COM CL A 571903202 573226 13920 X 13800 0 120 MARSH & MCLENNAN COS INC COM 571748102 52216419 549473 X 484653 0 64820 MARSH & MCLENNAN COS INC COM 571748102 35692033 375587 X 351112 2125 22350 MARSHALL & ILSLEY CORP 571834100 260089 4925 X 4025 0 900 MARSHALL & ILSLEY CORP 571834100 105620 2000 X 2000 0 0 MARTEK BIOSCIENCES CORP COM 572901106 13950 900 X 0 0 900 MARTEK BIOSCIENCES CORP COM 572901106 4650 300 X 300 0 0 MARTHA STEWART LIVING CL A COM 573083102 36900 2050 X 2050 0 0 MARTHA STEWART LIVING CL A COM 573083102 7200 400 X 300 0 100 MARTIN MARIETTA MATLS INC COM 573284106 156752 3671 X 571 0 3100 MASCO CORP COM 574599106 5724198 237125 X 186715 0 50410 MASCO CORP COM 574599106 5821916 241173 X 228785 0 12388 MASSEY ENERGY CORP COM 576206106 6470432 270503 X 269178 0 1325 MASSEY ENERGY CORP COM 576206106 117519 4913 X 4913 0 0 MATERIAL SCIENCES CORP COM 576674105 88751 11025 X 11025 0 0 MATRITECH INC COM 576818108 6781 2000 X 0 0 2000 MATRIX BANCORP INC COM 576819106 5347548 594172 X 392072 0 202100 MATRIX PHARMACEUTICAL INC COM 576844104 720000 80000 X 0 0 80000 MATRIXONE INC COM 57685P304 495956 29067 X 0 0 29067 MATTEL INC COM 577081102 1966993 110879 X 32839 0 78040 MATTEL INC COM 577081102 244067 13758 X 13758 0 0 MATTSON TECHNOLOGY INC COM 577223100 4538 300 X 300 0 0 MAVERICK TUBE CORP COM 577914104 4472260 217100 X 210150 0 6950 MAXIM INTEGRATED PRODS INC 57772K101 32231002 774970 X 612065 0 162905 MAXIM INTEGRATED PRODS INC 57772K101 481196 11570 X 7550 0 4020 MAXIM PHARMACEUTICALS INC COM 57772M107 6720 1000 X 1000 0 0 MAXIMUS INC COM 577933104 784665 26500 X 15900 0 10600 MAXWELL SHOE INC COM 577766108 778125 50000 X 49750 0 250 MAXWELL SHOE INC COM 577766108 77813 5000 X 5000 0 0 MAY DEPT STORES CO COM 577778103 6652961 187513 X 114755 0 72758 MAY DEPT STORES CO COM 577778103 4791432 135046 X 124040 1599 9407 MAYORS JEWELERS INC COM 578462103 60152 14600 X 14600 0 0 MAYTAG CORP COM 578592107 687925 21331 X 16846 0 4485 MAYTAG CORP COM 578592107 520999 16155 X 16155 0 0 MBIA INC COM 55262C100 19992101 247795 X 200619 0 47176 64 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 56 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ MBIA INC COM 55262C100 2439763 30240 X 29990 0 250 MBNA CORP COM 55262L100 16804407 507686 X 449553 0 58133 MBNA CORP COM 55262L100 701985 21208 X 20708 0 500 MCCLATCHY CO (HOLDING COMPANY) CL A 579489105 222200 5500 X 1500 0 4000 MCCORMICK & CO INC COM 579780206 562666 13400 X 1900 0 11500 MCCORMICK & CO INC COM 579780206 142766 3400 X 2600 0 800 MCDATA CORP CL A COM 580031201 12089475 640502 X 626041 47 14414 MCDATA CORP CL A COM 580031201 1170156 61995 X 54999 176 6820 MCDATA CORP COM 580031102 5075264 223857 X 223282 200 375 MCDATA CORP COM 580031102 497285 21934 X 6934 0 15000 MCDERMOTT INTERNATIONAL INC COM 580037109 795116 62855 X 55200 0 7655 MCDERMOTT INTERNATIONAL INC COM 580037109 5060 400 X 400 0 0 MCDONALDS CORP COM 580135101 204648435 7708039 X 7097773 1450 608816 MCDONALDS CORP COM 580135101 82679780 3114116 X 2994157 5950 114009 MCGRAW HILL COMPANIES INC COM 580645109 12094574 202759 X 145154 0 57605 MCGRAW HILL COMPANIES INC COM 580645109 9423328 157977 X 154272 0 3705 MCK COMMUNICATIONS INC COM 581243102 2156 1000 X 0 0 1000 MCKESSON HBOC INC COM 58155Q103 1670832 62461 X 57227 0 5234 MCKESSON HBOC INC COM 58155Q103 272048 10170 X 9970 0 200 MCLEODUSA INC COM 582266102 222522 25614 X 4519 0 21095 MCLEODUSA INC COM 582266102 63810 7345 X 7345 0 0 MCMORAN EXPLORATION CO COM 582411104 3105 221 X 221 0 0 MCN ENERGY GROUP INC COM 55267J100 284884 11042 X 2042 0 9000 MCN ENERGY GROUP INC COM 55267J100 137359 5324 X 5324 0 0 MDU RES GROUP INC COM 552690109 66439 1860 X 1860 0 0 MDU RES GROUP INC COM 552690109 131414 3679 X 3679 0 0 MEAD CORP COM 582834107 1180786 47062 X 16941 0 30121 MEAD CORP COM 582834107 352464 14048 X 13548 0 500 MEADE INSTRS CORP COM 583062104 50738 12300 X 12300 0 0 MEASUREMENT SPECIALTIES INC COM 583421102 15368 800 X 0 0 800 MECHANICAL TECHNOLOGY INC COM 583538103 7000 1600 X 600 1000 0 MECHANICAL TECHNOLOGY INC COM 583538103 94640 21632 X 21632 0 0 MED-DESIGN CORP COM 583926100 2719710 201460 X 200460 0 1000 MEDAREX INC COM 583916101 50897 3050 X 3050 0 0 MEDFORD BANCORP INC COM 584131106 47775 2600 X 2000 0 600 MEDFORD BANCORP INC COM 584131106 1043700 56800 X 8400 0 48400 MEDIA GENERAL INC CL A COM 584404107 1452150 31500 X 30000 0 1500 MEDIA LOGIC INC COM 58441B100 1 400 X 400 0 0 MEDIACOM COMM CORP COM 58446K105 314956 16100 X 0 0 16100 MEDIAPLEX INC COM 58446B105 71256 120000 X 120000 0 0 MEDICIS PHARMACEUTICAL CORP CL A COM 584690309 1044306 23300 X 22700 0 600 MEDICIS PHARMACEUTICAL CORP CL A COM 584690309 208413 4650 X 0 0 4650 65 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 57 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ MEDIMMUNE INC COM 584699102 857700 23908 X 23005 0 903 MEDIMMUNE INC COM 584699102 254713 7100 X 7100 0 0 MEDIX RESOURCE INC COM 585011109 1724 2269 X 2269 0 0 MEDQUIST INC COM 584949101 65561 3023 X 0 0 3023 MEDTOX SCIENTIFIC INC COM NEW 584977201 400 50 X 50 0 0 MEDTRONIC INC COM 585055106 91786641 2006704 X 1766182 600 239922 MEDTRONIC INC COM 585055106 19152344 418722 X 370074 100 48548 MELLON FINL CORP COM 58551A108 11180522 275926 X 175087 0 100839 MELLON FINL CORP COM 58551A108 4569035 112760 X 58360 0 54400 MEMBERWORKS INC COM 586002107 15359600 653600 X 636600 0 17000 MENS WEARHOUSE INC COM 587118100 2704125 125307 X 106500 0 18807 MENTOR CORP MINN 587188103 434250 19300 X 17500 0 1800 MENTOR GRAPHICS CORP COM 587200106 389813 18900 X 600 0 18300 MERCANTILE BANKSHARES CORP COM 587405101 549931 14863 X 3963 0 10900 MERCANTILE BANKSHARES CORP COM 587405101 451733 12209 X 11009 0 1200 MERCATOR SOFTWARE INC COM 587587106 1980069 541550 X 538776 0 2774 MERCHANTS GROUP INC COM 588539106 1895 100 X 100 0 0 MERCK & CO INC COM 589331107 749966154 9880977 X 9212310 1940 666727 MERCK & CO INC COM 589331107 506625138 6674903 X 6342587 15160 317156 MERCURY COMPUTER SYS INC COM 589378108 656213 17100 X 16300 0 800 MERCURY GEN CORP COM NEW 589400100 104813 3225 X 1750 0 1475 MERCURY GEN CORP COM NEW 589400100 76375 2350 X 150 0 2200 MERCURY INTERACTIVE CORP COM 589405109 409077 9769 X 6909 0 2860 MERCURY INTERACTIVE CORP COM 589405109 75375 1800 X 200 0 1600 MEREDITH CORP COM 589433101 11413720 326947 X 295256 0 31691 MEREDITH CORP COM 589433101 871005 24950 X 24950 0 0 MERIDIAN INS GROUP INC COM 589644103 7052 242 X 242 0 0 MERISTAR HOSPITALITY CORP COM 58984Y103 120000 6000 X 0 0 6000 MERIX CORP COM 590049102 2688 200 X 0 0 200 MERRILL LYNCH & COMPANY 590188108 18046882 325756 X 249464 0 76292 MERRILL LYNCH & COMPANY 590188108 3570752 64454 X 42491 320 21643 MERRIMAC INDUSTRIES INC COM 590262101 12300 1000 X 1000 0 0 MERRY LD PPTYS INC COM 590441101 643 85 X 85 0 0 MESA AIR GROUP INC COM 590479101 1347538 160900 X 160186 0 714 MESABI TRUST CTF BEN INT 590672101 2244 748 X 748 0 0 MESTEK INC 590829107 3019124 152481 X 14981 0 137500 MESTEK INC 590829107 7741939 391007 X 391007 0 0 MET PRO CORP COM 590876306 49651 3770 X 1770 0 2000 META GROUP INC COM 591002100 437729 319510 X 317820 0 1690 METASOLV INC COM 59139P104 30510 2160 X 2160 0 0 METAWAVE COMMUNICATIONS CORP COM 591409107 938953 151750 X 150950 0 800 METHODE ELECTRONICS INC CL A 591520200 1884155 105040 X 104601 0 439 66 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 58 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ METHODE ELECTRONICS INC CL A 591520200 113006 6300 X 0 0 6300 METLIFE INC COM 59156R108 7806058 259769 X 77194 0 182575 METLIFE INC COM 59156R108 14875 495 X 495 0 0 METRICOM INC COM 591596101 33206 16100 X 16100 0 0 METRICOM INC COM 591596101 2063 1000 X 1000 0 0 METRIS COMPANIES INC COM 591598107 699995 33686 X 9549 0 24137 METRIS COMPANIES INC COM 591598107 320552 15426 X 573 0 14853 METRO INFORMATION SERVICES INC COM 59162P104 4625519 685262 X 442762 0 242500 METRO INFORMATION SERVICES INC COM 59162P104 13500 2000 X 2000 0 0 METRO ONE TELECOMMUNICATIONS INC COM 59163F105 3415825 104300 X 104000 0 300 METRO ONE TELECOMMUNICATIONS INC COM 59163F105 62225 1900 X 1900 0 0 METROCALL INC COM 591647102 250 1000 X 1000 0 0 METROMEDIA FIBER NETWORK CL A COM 591689104 130654 23842 X 23842 0 0 METROMEDIA FIBER NETWORK CL A COM 591689104 81104 14800 X 800 0 14000 METROMEDIA INTL GROUP INC COM 591695101 3913 1250 X 1250 0 0 METROMEDIA INTL GROUP INC COM 591695101 23475 7500 X 7500 0 0 METROWEST BANK MA COM 592668107 2581544 368792 X 1000 0 367792 MGI PHARMA INC COM 552880106 140000 12800 X 12400 0 400 MGI PHARMA INC COM 552880106 120313 11000 X 11000 0 0 MGIC INVT CORP WI COM 552848103 27777631 405987 X 387920 0 18067 MGIC INVT CORP WI COM 552848103 373300 5456 X 5456 0 0 MGM MIRAGE COM 552953101 1302690 51900 X 0 0 51900 MGM MIRAGE COM 552953101 426700 17000 X 17000 0 0 MICHAEL FOODS INC NEW COM 594079105 489950 16400 X 13800 0 2600 MICHAELS STORES INC COM 594087108 908453 30345 X 24500 0 5845 MICREL INC COM 594793101 237608 8505 X 0 0 8505 MICROCHIP TECHNOLOGY INC COM 595017104 977518 38618 X 0 0 38618 MICROCIDE PHARMACEUTICALS INC COM 595018102 9063 2500 X 2500 0 0 MICROFINANCIAL INC COM 595072109 16800 1500 X 1500 0 0 MICROMUSE INC COM 595094103 52906 1400 X 1400 0 0 MICRON TECHNOLOGY INC COM 595112103 2379171 57288 X 35406 0 21882 MICROS SYS INC COM 594901100 267300 13200 X 13200 0 0 MICROSEMI CORP COM 595137100 16800 600 X 0 0 600 MICROSOFT CORP COM 594918104 316288273 5783557 X 5095293 890 687374 MICROSOFT CORP COM 594918104 97990266 1791822 X 1579204 10218 202400 MICROTUNE INC COM 59514P109 1964063 251400 X 251300 0 100 MICROTUNE INC COM 59514P109 265625 34000 X 0 0 34000 MID ATLANTIC MED SVCS INC COM 59523C107 763280 37600 X 36900 0 700 MIDAS INC COM 595626102 245284 18724 X 11524 0 7200 MIDAS INC COM 595626102 9144 698 X 598 0 100 MIDCOAST ENERGY RESOURCES COM 59563W104 13994650 528100 X 335400 0 192700 MIDDLESEX WTR CO COM 596680108 1210000 40000 X 40000 0 0 67 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 59 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ MIDDLESEX WTR CO COM 596680108 145200 4800 X 4800 0 0 MIDWAY GAMES INC COM 598148104 211685 28998 X 28998 0 0 MIDWEST EXPRESS HLDGS INC COM 597911106 9161974 579505 X 419680 0 159825 MIIX GROUP INC COM 59862V104 47072 5884 X 5884 0 0 MILACRON INC COM 598709103 516733 28533 X 26933 0 1600 MILACRON INC COM 598709103 43464 2400 X 2400 0 0 MILLENNIUM CELL INC COM 60038B105 744 100 X 100 0 0 MILLENNIUM PHARMACEUTICALS INC COM 599902103 6380700 209478 X 116610 0 92868 MILLENNIUM PHARMACEUTICALS INC COM 599902103 514774 16900 X 3700 0 13200 MILLER HERMAN INC COM 600544100 524938 22700 X 6000 0 16700 MILLER INDS INC TN COM 600551105 4600 5000 X 5000 0 0 MILLICOM INTL CELLULAR S A COM L6388F102 197500 10000 X 10000 0 0 MILLIPORE CORP COM 601073109 11728344 253531 X 204217 0 49314 MILLIPORE CORP COM 601073109 5393592 116593 X 115493 0 1100 MILLS CORP COM 601148109 20890 1000 X 1000 0 0 MIM CORP COM 553044108 506 200 X 200 0 0 MINE SAFETY APPLIANCES CO COM 602720104 153300 6000 X 0 0 6000 MINERALS TECHNOLOGIES INC COM 603158106 377460 10800 X 0 0 10800 MINIMED INC COM 60365K108 256913 8840 X 4000 0 4840 MINIMED INC COM 60365K108 53766 1850 X 1850 0 0 MINNESOTA MNG & MFG CO COM 604059105 185068862 1781221 X 1683820 50 97351 MINNESOTA MNG & MFG CO COM 604059105 111555664 1073683 X 1034497 2050 37136 MINNTECH CORP COM 604258103 3629338 429350 X 309350 0 120000 MIPS TECHNOLOGIES INC CL B COM 604567206 1265 55 X 55 0 0 MIPS TECHNOLOGIES INC CLASS A COMMON 604567107 118156 4750 X 0 0 4750 MIRANT CORP COM 604675108 1437395 40490 X 1680 0 38810 MISSISSIPPI CHEMICAL CORP COM 605288208 66192 19700 X 19700 0 0 MITCHELL ENERGY & DEV CORP CL A COM 606592202 2009700 38280 X 3730 0 34550 MITCHELL ENERGY & DEV CORP CL A COM 606592202 84000 1600 X 0 0 1600 MKS INSTRS INC COM 55306N104 430330 23000 X 23000 0 0 ML MACADAMIA ORCHARDS L P CL A 55307U107 1260 400 X 400 0 0 MOBILE MINI INC COM 60740F105 2907513 105488 X 103543 0 1945 MOCON INC COM 607494101 30466 4687 X 1687 0 3000 MOCON INC COM 607494101 74341 11437 X 11437 0 0 MODEM MEDIA INC CLASS A COM 607533106 1050 300 X 300 0 0 MODINE MFG CO COM 607828100 25750 1000 X 0 0 1000 MOHAWK INDS INC COM 608190104 56160 2000 X 0 0 2000 MOLDFLOW CORP COM 608507109 2308034 122890 X 122237 0 653 MOLECULAR DEVICES CORP COM 60851C107 35900 789 X 789 0 0 MOLEX INC CL A NON-VTG COM 608554200 52128997 1874301 X 1801456 300 72545 MOLEX INC CL A NON-VTG COM 608554200 6593843 237082 X 226764 500 9818 MOLEX INC COM 608554101 11096357 314511 X 304736 0 9775 68 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 60 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ MOLEX INC COM 608554101 6448363 182770 X 154866 350 27554 MOMENTUM BUSINESS APPLICATIONS INC 60877P108 2619 194 X 192 0 2 MOMENTUM BUSINESS APPLICATIONS INC 60877P108 135 10 X 10 0 0 MONACO COACH CORP COM 60886R103 557658 31050 X 31050 0 0 MONSANTO CO COM 61166W101 53190 1500 X 0 0 1500 MONTANA POWER CO COM 612085100 241815 17150 X 11450 0 5700 MONTANA POWER CO COM 612085100 346578 24580 X 22180 0 2400 MONTEREY PASTA CO COM 612570101 1384 200 X 200 0 0 MONY GROUP INC COM 615337102 484089 14581 X 14581 0 0 MONY GROUP INC COM 615337102 102356 3083 X 3083 0 0 MOODYS CORP COM 615369105 2222521 80643 X 78388 0 2255 MOODYS CORP COM 615369105 2365861 85844 X 77594 0 8250 MOOG CORP CL A COM 615394202 63900 1800 X 500 0 1300 MOOG CORP CL A COM 615394202 106500 3000 X 3000 0 0 MORGAN KEEGAN INC COM 617410105 581575 21500 X 21500 0 0 MORGAN STANLEY DEAN WITTER & CO COM 617446448 20184534 377281 X 188687 0 188594 MORGAN STANLEY DEAN WITTER & CO COM 617446448 5469573 102235 X 82747 0 19488 MORRISON MGMT SPECIALISTS INC COM 618459101 23256827 583024 X 405314 0 177710 MORRISON MGMT SPECIALISTS INC COM 618459101 9853 247 X 247 0 0 MOTIENT CORP COM 619908106 251869 191900 X 126900 0 65000 MOTIENT CORP COM 619908106 263 200 X 200 0 0 MOTOROLA INC COM 620076109 44223825 3101250 X 2769765 900 330585 MOTOROLA INC COM 620076109 19282729 1352225 X 1269151 6000 77074 MPOWER COMMUNICATIONS CORP COM 62473J106 441317 174344 X 174344 0 0 MPW INDL SVCS GROUP INC COM 553444100 453104 402759 X 292959 0 109800 MRO SOFTWARE INC COM 55347W105 155114 19239 X 17639 0 1600 MSC INDL DIRECT INC CL A COM 553530106 2428717 151700 X 2000 0 149700 MSC SOFTWARE CORP COM 553531104 8317055 811420 X 544020 0 267400 MTI TECHNOLOGY CORP COM 553903105 347 150 X 150 0 0 MUELLER INDS INC COM 624756102 757008 25200 X 20400 0 4800 MUNICIPAL MTG & EQUITY GROWTH SH LLC 62624B101 49235 2198 X 2198 0 0 MUNICIPAL MTG & EQUITY GROWTH SH LLC 62624B101 2957 132 X 132 0 0 MURPHY OIL CORP COM 626717102 1139850 17120 X 17120 0 0 MURPHY OIL CORP COM 626717102 391624 5882 X 5282 0 600 MUTUAL RISK MGMT LTD COM 628351108 2558851 352945 X 350245 0 2700 MUTUAL RISK MGMT LTD COM 628351108 7250 1000 X 0 0 1000 MYERS INDS INC COM 628464109 225059 16671 X 3903 0 12768 MYLAN LABORATORIES COM 628530107 5624960 217600 X 215000 0 2600 MYLAN LABORATORIES COM 628530107 152515 5900 X 5900 0 0 MYRIAD GENETICS COM 62855J104 334843 8255 X 0 0 8255 MYRIAD GENETICS COM 62855J104 56788 1400 X 1000 400 0 MANUFACTURERS' SERVICES LTD COM 565005105 747500 250000 X 250000 69 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 61 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ MAXIM INTEGRATED PRODUCTS INC COM 57772K101 3775415 90777 X 90777 MCAFEE.COM CORPORATION COM 579062100 30 5 X 5 MCDONALDS CORP COM 580135101 663750 25000 X 25000 MCK COMMUNICATIONS, INC. COM 581243102 40960 20165 X 20165 MEDIMMUNE INC COM 584699102 16724 467 X 467 MELLON FINANCIAL CORP COM 58551A108 2354212 58100 X 58100 MENTOR GRAPHICS CORP COM 587200106 41125 2000 X 2000 Meridan Medical Tech. Inc. COM 589658103 34401 3770 X 3770 Meridan Medical Tech. Inc. COM 589658103 1124337 123215 X 123215 Metawave COM 591409107 27064 4374 X 4374 METAWAVE COMMUNICATIONS CORP COM 591409107 619 100 X 100 METROMEDIA FIBER NETWORK COM 591689104 1156 211 X 211 MGM GRAND INC COM 552953101 690250 27500 X 27500 MICRO LINEAR CORPORATION COM 594850109 400 200 X 200 MICROSOFT CORPORATION COM 594918104 10252266 187470 X 187470 MIPS TECH INC CL B COM 604567206 4588 200 X 200 Mother Nature.com COM 61978K105 48971 445192 X 445192 NABORS INDS INC COM 629568106 1866240 36000 X 17700 0 18300 NABORS INDS INC COM 629568106 38880 750 X 750 0 0 NACCO INDS INC CL A 629579103 298848 4800 X 4800 0 0 NAM TAI ELECTRONICS INC COM 629865205 4327318 326590 X 324990 0 1600 NANOGEN INC COM 630075109 2140 320 X 320 0 0 NANOMETRICS INC COM 630077105 3544 225 X 225 0 0 NANOPHASE TECHNOLOGIES CORP COM 630079101 41925 6450 X 0 0 6450 NASDAQ-100 SHARES 631100104 1551045 39618 X 39618 0 0 NASDAQ-100 SHARES 631100104 478961 12234 X 9814 350 2070 NASH FINCH CO COM 631158102 152605 8783 X 8783 0 0 NASHUA CORP COM 631226107 1974293 448703 X 262003 0 186700 NASTECH PHARMACEUTICAL INC COM 631728409 361 75 X 75 0 0 NATHANS FAMOUS INC NEW COM 632347100 1656 500 X 500 0 0 NATIONAL CITY CORPORATION COM 635405103 16362574 611685 X 538033 0 73652 NATIONAL CITY CORPORATION COM 635405103 10287355 384574 X 376099 0 8475 NATIONAL COMMERCE BANCORP COM 635449101 220831 8900 X 0 0 8900 NATIONAL DATA CORP COM 635621105 3212493 137580 X 122690 0 14890 NATIONAL DENTEX CORP COM 63563H109 303580 13760 X 0 0 13760 NATIONAL EQUIPMENT SERVICES COM 635847106 564 200 X 200 0 0 NATIONAL FUEL GAS CO N J COM 636180101 161115 3007 X 2757 0 250 NATIONAL FUEL GAS CO N J COM 636180101 659355 12306 X 12306 0 0 70 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 62 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ NATIONAL HEALTH INVS INC COM 63633D104 106415 9150 X 1300 0 7850 NATIONAL INSTRUMENTS CORP COM 636518102 4934368 151245 X 149530 0 1715 NATIONAL PRESTO INDS INC COM 637215104 155740 5200 X 5200 0 0 NATIONAL SEMICONDUCTOR CORP COM 637640103 1426123 53313 X 14024 0 39289 NATIONAL SEMICONDUCTOR CORP COM 637640103 82390 3080 X 2880 0 200 NATIONAL SVC INDS INC COM 637657107 348959 14881 X 1189 0 13692 NATIONAL SVC INDS INC COM 637657107 11725 500 X 500 0 0 NATIONAL-OILWELL INC COM 637071101 148563 4290 X 0 0 4290 NATIONAL-OILWELL INC COM 637071101 184058 5315 X 0 0 5315 NATIONWIDE FINANCIAL SVCS CL A COM 638612101 3122792 82222 X 82022 0 200 NATIONWIDE FINANCIAL SVCS CL A COM 638612101 264341 6960 X 6960 0 0 NATURAL MICROSYSTEMS CORP COM 638882100 26625 3000 X 3000 0 0 NATURES SUNSHINE PRODS INC COM 639027101 86719 12500 X 12500 0 0 NAUTICA ENTERPRISES INC COM 639089101 556888 31046 X 29846 0 1200 NAVIGANT INTL INC COM 63935R108 22963 2200 X 2189 0 11 NAVISITE INC COM 63935M109 300 200 X 200 0 0 NAVISTAR INTL CORP NEW COM 63934E108 257891 11311 X 6138 0 5173 NAVISTAR INTL CORP NEW COM 63934E108 912 40 X 20 0 20 NBT BANCORP INC COM 628778102 202837 12155 X 4386 0 7769 NBTY INC COM 628782104 473450 55700 X 55700 0 0 NCI BLDG SYS INC COM 628852105 15095384 893218 X 656718 0 236500 NCI BLDG SYS INC COM 628852105 1690 100 X 100 0 0 NCO GROUP INC COM 628858102 8036850 314400 X 199700 0 114700 NCO GROUP INC COM 628858102 7669 300 X 0 0 300 NCR CORP COM 62886E108 1758692 45060 X 10260 0 34800 NCR CORP COM 62886E108 162677 4168 X 3763 0 405 NEIMAN MARCUS GROUP INC CL A COM 640204202 65 2 X 2 0 0 NEIMAN MARCUS GROUP INC CL A COM 640204202 14214 436 X 436 0 0 NEIMAN-MARCUS GROUP INC CL B COM 640204301 536865 17777 X 1271 0 16506 NEIMAN-MARCUS GROUP INC CL B COM 640204301 335311 11103 X 11103 0 0 NEOFARMA.COM INC COM 640475109 2375 2000 X 2000 0 0 NEOMEDIA TECHNOLOGIES INC COM 640505103 6500 1300 X 1300 0 0 NEOPHARM INC COM 640919106 17050 800 X 0 0 800 NEORX CORP COM PAR $0.02 640520300 218 52 X 50 0 2 NEOTHERAPEUTICS INC COM 640656104 33272 5850 X 0 0 5850 NEOTHERAPEUTICS INC COM 640656104 2844 500 X 0 0 500 NET PERCEPTIONS 64107U101 263 300 X 300 0 0 NETEGRITY INC COM 64110P107 2168847 88075 X 87175 0 900 NETMANAGE INC COM 641144100 2061 2127 X 2127 0 0 NETOPIA INC COM 64114K104 575000 200000 X 199000 0 1000 NETSILICON INC COM 64115X105 18705 5160 X 0 0 5160 NETWORK ACCESS SOLUTIONS CORP COM 64120S109 128 200 X 200 0 0 NETWORK ACCESS SOLUTIONS CORP COM 64120S109 64 100 X 0 0 100 71 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 63 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ NETWORK APPLIANCE INC COM 64120L104 1065459 63373 X 40805 0 22568 NETWORK APPLIANCE INC COM 64120L104 610714 36325 X 9300 0 27025 NETWORK EQUIP TECHNOLOGIES COM 641208103 123675 29100 X 16500 0 12600 NETWORK PLUS CORP COM 64122D506 15625 4000 X 4000 0 0 NETWORK SOLUTIONS INC COM 640901203 15725 5718 X 5718 0 0 NETWORKS ASSOCIATES INC COM 640938106 17944 2175 X 700 0 1475 NETWORKS ASSOCIATES INC COM 640938106 619 75 X 75 0 0 NET2000 COMMUNICATIONS INC COM 64122G103 73500 24000 X 0 0 24000 NEUBERGER BERMAN INC COM 641234109 105757 1700 X 0 0 1700 NEUROBIOLOGICAL TECHNOLOGIES INC COM 64124W106 277 150 X 150 0 0 NEUROCRINE BIOSCIENCES INC COM 64125C109 175313 8500 X 7500 0 1000 NEUROGEN CORP COM 64124E106 236 10 X 0 0 10 NEUROGEN CORP COM 64124E106 24806 1050 X 1050 0 0 NEW CENTY EQUITY HLDGS CORP COM 64353J107 35888 31900 X 31900 0 0 NEW ENGLAND BUSINESS SVC INC COM 643872104 776260 41960 X 19510 0 22450 NEW ENGLAND BUSINESS SVC INC COM 643872104 72150 3900 X 3900 0 0 NEW HAMPSHIRE THRIFT BANCSHRS 644722100 31620 2480 X 2480 0 0 NEW JERSEY RES CORP COM 646025106 9259779 225025 X 138825 0 86200 NEW JERSEY RES CORP COM 646025106 37035 900 X 900 0 0 NEW WORLD COFFEE INC COM 648904209 500 500 X 500 0 0 NEW YORK CMNTY BANCORP INC COM 649445103 1010418 34842 X 34842 0 0 NEW YORK TIMES CO CL A COM 650111107 2780142 67858 X 18214 0 49644 NEW YORK TIMES CO CL A COM 650111107 740246 18068 X 18068 0 0 NEWELL RUBBERMAID INC COM 651229106 12022865 453693 X 373778 100 79815 NEWELL RUBBERMAID INC COM 651229106 937544 35379 X 34671 0 708 NEWFIELD EXPL CO COM 651290108 1504190 43100 X 32000 0 11100 NEWFOCUS INC COM 644383101 26709 2135 X 2135 0 0 NEWMARK HOMES CORPORATION COM 651578106 2059960 168160 X 120860 0 47300 NEWMIL BANCORP INC 651633109 8006 700 X 700 0 0 NEWMIL BANCORP INC 651633109 83871 7333 X 7333 0 0 NEWMONT MINING CORP COM NEW 651639106 317129 19673 X 15758 0 3915 NEWMONT MINING CORP COM NEW 651639106 95027 5895 X 5396 0 499 NEWPARK RESOURCES NEW 651718504 21046 2341 X 301 0 2040 NEWPORT CORP COM 651824104 73150 2500 X 600 0 1900 NEWPORT NEWS SHIPBUILDING INC COM 652228107 10318 211 X 211 0 0 NEWPORT NEWS SHIPBUILDING INC COM 652228107 110465 2259 X 719 0 1540 NEWPOWER HLDGS INC COM 652463100 195000 30000 X 30000 0 0 NEWSEDGE CORP COM 65249Q106 65000 40000 X 5000 0 35000 NEXTCARD INC COM 65332K107 73734 7150 X 0 0 7150 NEXTEL COMMUNICATIONS INC CL A COM 65332V103 1987128 138235 X 100130 0 38105 NEXTEL COMMUNICATIONS INC CL A COM 65332V103 634858 44164 X 17514 0 26650 NEXTERA ENTERPRISES INC COM 65332E101 878175 1170900 X 786300 0 384600 72 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 61 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ NIAGARA MOHAWK HLDGS INC COM 653520106 10377361 614045 X 360334 0 253711 NIAGARA MOHAWK HLDGS INC COM 653520106 60857 3601 X 3601 0 0 NICOR INC COM 654086107 492821 13223 X 9358 0 3865 NICOR INC COM 654086107 135253 3629 X 2629 0 1000 NIKE INC CL B COM 654106103 1768264 43607 X 19182 0 24425 NIKE INC CL B COM 654106103 293988 7250 X 7250 0 0 NIKU CORP COM 654113109 90676 33740 X 0 0 33740 NIKU CORP COM 654113109 17738 6600 X 0 0 6600 NISOURCE INC COM 65473P105 3547556 113996 X 93496 0 20500 NISOURCE INC COM 65473P105 3359342 107948 X 40734 0 67214 NL INDUSTRIES COM 629156407 10231 609 X 609 0 0 NL INDUSTRIES COM 629156407 165564 9855 X 9855 0 0 NN INC COM 629337106 11209384 1401173 X 0 0 1401173 NOBLE AFFILIATES INC COM 654894104 42034295 1007292 X 929320 700 77272 NOBLE AFFILIATES INC COM 654894104 2605204 62430 X 62080 0 350 NOBLE DRILLING CORP COM 655042109 4254660 92172 X 72872 0 19300 NOBLE DRILLING CORP COM 655042109 41544 900 X 400 0 500 NORDSON CORP COM 655663102 166400 6400 X 0 0 6400 NORDSON CORP COM 655663102 41600 1600 X 1600 0 0 NORDSTROM INC COM 655664100 235034 14437 X 8473 0 5964 NORDSTROM INC COM 655664100 137940 8473 X 8473 0 0 NORFOLK SOUTHERN CORP COM 655844108 7228031 431782 X 298582 0 133200 NORFOLK SOUTHERN CORP COM 655844108 7596947 453820 X 420090 0 33730 NORSAT INTL INC NEW COM 656512100 619 600 X 600 0 0 NORTEK INC COM 656559101 13757 503 X 3 0 500 NORTH AMERN SCIENTIFIC INC COM 65715D100 507423 48040 X 30240 0 17800 NORTH EUROPEAN OIL ROYALTY TRUST 659310106 341166 18694 X 18694 0 0 NORTH EUROPEAN OIL ROYALTY TRUST 659310106 1904479 104355 X 104355 0 0 NORTH FORK BANCORP NY COM 659424105 2591108 99850 X 9850 0 90000 NORTH FORK BANCORP NY COM 659424105 743675 28658 X 28658 0 0 NORTHEAST UTILITIES COM 664397106 705402 40587 X 39920 0 667 NORTHEAST UTILITIES COM 664397106 461769 26569 X 22725 0 3844 NORTHERN TR CORP COM 665859104 1902875 30446 X 29284 0 1162 NORTHERN TR CORP COM 665859104 1971000 31536 X 28760 0 2776 NORTHFIELD LABS INC COM 666135108 9625 1000 X 500 0 500 NORTHROP GRUMMAN CORP COM 666807102 4316766 49618 X 6023 0 43595 NORTHROP GRUMMAN CORP COM 666807102 170346 1958 X 1958 0 0 NORTHWAY FINL INC COM 667270102 3591 150 X 150 0 0 NORTHWAY FINL INC COM 667270102 583692 24384 X 24384 0 0 NORTHWEST AIRLS CORP CL A COM 667280101 174213 7700 X 100 0 7600 NORTHWEST AIRLS CORP CL A COM 667280101 20363 900 X 900 0 0 NORTHWEST NATURAL GAS CO COM 667655104 463200 19300 X 19000 0 300 73 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 64 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ NORTHWEST NATURAL GAS CO COM 667655104 7200 300 X 300 0 0 NORTHWEST PIPE CO COM 667746101 7733040 552360 X 387860 0 164500 NORTHWESTERN CORP COM 668074107 492450 20100 X 18600 0 1500 NORTHWESTERN CORP COM 668074107 14700 600 X 600 0 0 NORWOOD FINL CORP COM 669549107 33575 1700 X 1700 0 0 NOTIFY TECHNOLOGY CORPORATION COM 669956104 2625 1000 X 0 0 1000 NOVA CORP GA COM 669784100 251706 13650 X 0 0 13650 NOVA CORP GA COM 669784100 11064 600 X 600 0 0 NOVAMETRIX MED SYS INC COM 669870107 5550 1200 X 1200 0 0 NOVAVAX INC COM 670002104 156000 20000 X 20000 0 0 NOVELL INC COM 670006105 163320 32664 X 27597 0 5067 NOVELL INC COM 670006105 58500 11700 X 11700 0 0 NOVELLUS SYS INC COM 670008101 707816 17450 X 14300 0 3150 NOVELLUS SYS INC COM 670008101 24338 600 X 600 0 0 NOVEN PHARMACEUTICALS INC COM 670009109 495469 17500 X 16700 0 800 NOVOSTE CORP COM 67010C100 21075 1200 X 1200 0 0 NPC INTL INC COM 629360306 4129 398 X 398 0 0 NRG ENERGY INC COM 629377102 904540 24850 X 0 0 24850 NS GROUP INC COM 628916108 5847618 524450 X 521350 0 3100 NSTAR COM 67019E107 1025751 26782 X 18587 0 8195 NSTAR COM 67019E107 1126748 29419 X 28609 0 810 NSTOR TECHNOLOGIES INC COM 67018N108 8773 11105 X 11105 0 0 NTELOS INC COM 67019U101 13475 700 X 0 0 700 NTL INC COM 629407107 80505 3201 X 2500 0 701 NTL INC COM 629407107 12122 482 X 482 0 0 NU SKIN ENTERPRISES INC COM 67018T105 3514835 413510 X 411310 0 2200 NUCOR CORPORATION COM 670346105 15523078 387399 X 294285 0 93114 NUCOR CORPORATION COM 670346105 1823746 45514 X 45114 100 300 NUCO2 INC COM 629428103 13313 1000 X 1000 0 0 NUEVO ENERGY CO COM 670509108 2654456 149800 X 105300 0 44500 NUI CORP COM 629431107 6350400 235200 X 155700 0 79500 NVIDIA CORP COM 67066G104 454453 7000 X 0 0 7000 NVR INC COM 62944T105 1211090 7430 X 6830 0 600 NX NETWORKS INC COM 629478108 4570 5625 X 5625 0 0 NYFIX INC COM 670712108 586053 25550 X 25550 0 0 NZ CORP COM 629497108 87 24 X 24 0 0 NABI INC COM 628716102 2450 400 X 400 NASDAQ-100 SHARES COM 631100104 14485500 370000 X 370000 NASDAQ-100 SHARES COM 631100104 19575 500 X 500 NAVISITE, INC. COM 63935M109 3136 2135 X 2135 NET PERCEPTIONS INC COM 64107U101 88 100 X 100 Net4Music COM 64111E101 460342 334794 X 334794 NETEGRITY INC COM 64110P107 19941 816 X 816 NORTHWESTERN CORP COM 668074107 14700 600 X 600 0 0 74 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 65 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ NETOPIA INC COM 64114K104 1139 396 X 396 NETPLIANCE, INC. COM 64115K103 1010 2694 X 2694 NETRO CORPORATION COM 64114R109 500 100 X 100 NETSOLVE INC COM 64115J106 708 102 X 102 NEUROCRINE BIOSCIENCES INC COM 64125C109 9283 457 X 457 NEW YORK TIMES A COM 650111107 5182705 126500 X 126500 NOVELL INC COM 670006105 295 59 X 59 Novo Networks COM 670099100 315217 173913 X 173913 Nuance Comm. COM 669967101 80420 8010 X 8010 NVIDIA CORPORATION COM 67066G104 14597 225 X 225 O CHARLEYS INC COM 670823103 7931942 378839 X 249455 0 129384 O REILLY AUTOMOTIVE INC COM 686091109 1577555 79125 X 38500 0 40625 OAK TECHNOLOGIES COM 671802106 2953 500 X 500 0 0 OCCIDENTAL PETE CORP COM 674599105 4549273 183809 X 30346 0 153463 OCCIDENTAL PETE CORP COM 674599105 492773 19910 X 19110 100 700 OCEAN ENERGY INC TEX COM 67481E106 8482289 512525 X 503325 0 9200 OCEAN ENERGY INC TEX COM 67481E106 135545 8190 X 6690 0 1500 OCEANEERING INTL INC COM 675232102 8285821 385387 X 212487 0 172900 OCTEL CORP COM 675727101 19720 1700 X 1700 0 0 OCTEL CORP COM 675727101 3086 266 X 266 0 0 OFFICE DEPOT INC COM 676220106 36758846 4201011 X 3852823 0 348188 OFFICE DEPOT INC COM 676220106 1312981 150055 X 150055 0 0 OFFICEMAX INC COM 67622M108 15000 4000 X 4000 0 0 OFFSHORE LOGISTICS INC COM 676255102 7751227 312392 X 203892 0 108500 OGE ENERGY CORP COM 670837103 456627 19862 X 12262 0 7600 OGE ENERGY CORP COM 670837103 698114 30366 X 30366 0 0 OHIO CASUALITY COM 677240103 2530295 269000 X 114000 0 155000 OLD KENT FIN COM 679833103 1152768 30336 X 29578 0 758 OLD KENT FIN COM 679833103 601008 15816 X 15816 0 0 OLD REP INTERNATIONAL CORPORATION 680223104 2310965 81372 X 0 0 81372 OLD REP INTERNATIONAL CORPORATION 680223104 636643 22417 X 10167 0 12250 OLD SECOND BANCORP INC COM 680277100 16498 630 X 630 0 0 OLIN CORP COM 680665205 5695906 279348 X 275348 0 4000 OLIN CORP COM 680665205 33195 1628 X 1628 0 0 OM GROUP INC COM 670872100 976871 18345 X 3650 0 14695 OMEGA FINL CORP COM 682092101 841371 30876 X 30876 0 0 OMI CORP NEW COM Y6476W104 23328 3600 X 1300 0 2300 OMNICARE INC COM 681904108 74646 3480 X 0 0 3480 OMNICARE INC COM 681904108 45045 2100 X 100 0 2000 OMNICOM GROUP INC COM 681919106 8947228 107954 X 87041 0 20913 OMNICOM GROUP INC COM 681919106 4622135 55769 X 39524 0 16245 OMNIVISION TECH INC COM 682128103 172 50 X 50 0 0 75 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 66 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ OMNOVA SOLUTIONS INC COM 682129101 242891 36580 X 30130 0 6450 OMNOVA SOLUTIONS INC COM 682129101 7304 1100 X 1100 0 0 ON ASSIGNMENT INC COM 682159108 4052735 194143 X 187606 0 6537 ON ASSIGNMENT INC COM 682159108 31313 1500 X 1500 0 0 ON SEMICONDUCTOR CORP COM 682189105 3206 600 X 600 0 0 ON SEMICONDUCTOR CORP COM 682189105 1603 300 X 300 0 0 ONEIDA LTD COM 682505102 64055 4016 X 1366 0 2650 ONEOK INC NEW COM 682680103 675053 16509 X 5925 0 10584 ONEOK INC NEW COM 682680103 65015 1590 X 1590 0 0 ONI SYSTEMS CORP COM 68273F103 33833 1735 X 1610 0 125 ONLINE RESOURCES CORPORATION 68273G101 41146 23512 X 23512 0 0 ONXS SOFTWARE COM 683402101 4016 500 X 500 0 0 ONYX PHARMACEUTICALS INC DEL COM 683399109 14625 1500 X 1500 0 0 ON2.COM INC COM 68338A107 92 150 X 150 0 0 OPEN MARKET INC COM 68370M100 2537 1933 X 1933 0 0 OPEN MARKET INC COM 68370M100 286125 218000 X 0 0 218000 OPENTV CORP CL A COM G67543101 1425 150 X 150 0 0 OPENTV CORP CL A COM G67543101 2850 300 X 300 0 0 OPENWAVE SYS INC COM 683718100 774692 39047 X 14447 0 24600 OPENWAVE SYS INC COM 683718100 325475 16405 X 16205 0 200 OPINION RESEARCH CORP COM 683755102 220500 30000 X 30000 0 0 OPNET TECHNOLOGIES INC COM 683757108 1575 100 X 100 0 0 OPTA FOOD INGREDIENTS INC COM 68381N105 994 600 X 600 0 0 OPTICARE HEALTH SYS INC COM 68386P105 960 3000 X 3000 0 0 OPUS360 CORP COM 68400F109 1 10 X 10 0 0 OPUS360 CORP COM 68400F109 63 505 X 505 0 0 ORACLE CORP COM 68389X105 41064509 2741289 X 2101912 400 638977 ORACLE CORP COM 68389X105 9923127 662425 X 572714 0 89711 ORASURE TECHNOLOGIES INC COM 68554V108 4156 500 X 500 0 0 ORBITAL SCIENCES CORP COM 685564106 172200 28700 X 28700 0 0 ORCHID BIOSCIENCES INC COM 68571P100 8313 1750 X 500 0 1250 ORCKIT COMMUNICATIONS LTD COM M7531S107 122 100 X 100 0 0 ORGANOGENESIS INC COM 685906109 1463740 179600 X 179600 0 0 ORGANOGENESIS INC COM 685906109 690460 84719 X 44719 0 40000 ORION POWER HOLDINGS COM 686286105 457430 14900 X 0 0 14900 ORTEC INTERNATIONAL INC COM 68749B108 11025 1400 X 1400 0 0 ORTHODONTIC CTRS AMER INC COM 68750P103 6897635 336470 X 307118 0 29352 OSHKOSH B GOSH INC CL A COM 688222207 237150 9300 X 9300 0 0 OSHKOSH TRUCK CORP COM 688239201 12602323 354995 X 237295 0 117700 OSI PHARMACEUTICALS INC COM 671040103 79250 2000 X 2000 0 0 OSI SYSTEMS INC COM 671044105 6375 2000 X 2000 0 0 OSTEOTECH INC COM 688582105 56438 10500 X 10500 0 0 OTG SOFTWARE INC COM 671059103 102933 16266 X 3566 0 12700 76 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 67 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ OTTER TAIL PWR CO COM 689648103 71250 2500 X 2500 0 0 OTTER TAIL PWR CO COM 689648103 22800 800 X 800 0 0 OUTBACK STEAKHOUSE INC COM 689899102 2619121 102872 X 17372 0 85500 OVERSEAS SHIPHOLDING GROUP INC 690368105 30157 1097 X 1097 0 0 OVERSEAS SHIPHOLDING GROUP INC 690368105 907 33 X 33 0 0 OWENS & MINOR INC NEW COM 690732102 419945 25405 X 24355 0 1050 OWENS & MINOR INC NEW COM 690732102 1653 100 X 0 0 100 OWENS CORNING COM 69073F103 25920 8100 X 0 0 8100 OWENS CORNING COM 69073F103 1754 548 X 548 0 0 OWENS ILL INC COM NEW 690768403 257125 30250 X 1000 0 29250 OWENS ILL INC COM NEW 690768403 87295 10270 X 9570 0 700 OXFORD HEALTH PLANS INC COM 691471106 1824350 68200 X 67100 0 1100 OXFORD HEALTH PLANS INC COM 691471106 26750 1000 X 1000 0 0 OXFORD INDS INC COM 691497309 101360 5600 X 5600 0 0 OXIS INTL INC COM NEW 691829402 3 10 X 10 0 0 OYO GEOSPACE CORP COM 671074102 4497 200 X 200 0 0 O2 MICRO COM G6797E106 393484 66976 X 66976 Odwalla, Inc. COM 676111107 351283 36029 X 36029 ON SEMICONDUCTOR COM 682189105 1063 200 X 200 ONYX PHARM COM 683399109 60401 6195 X 6195 Open Market COM 68370M100 808784 616216 X 616216 Open Market COM 68370M100 4106 3128 X 3128 Opus 360 COM 68400F109 40672 325378 X 325378 Opus360 COM 68400F109 1016 8130 X 8130 Opus360 COM 68400F109 253 2025 X 2025 OSI PHARMACEUTICALS, INC. COM 671040103 79230 2009 X 2009 OXFORD HEALTH PLANS COM 691471106 2312056 86432 X 86432 P-COM INC COM 693262107 77519 60500 X 60500 0 0 PAC WEST TELECOM INC COM 69371Y101 95200 27200 X 27100 0 100 PACCAR INC COM 693718108 314180 7011 X 3763 0 3248 PACCAR INC COM 693718108 17925 400 X 150 0 250 PACIFIC CENTURY FINL COM (DELAWARE) 694058108 640300 33700 X 16813 0 16887 PACIFIC CENTURY FINL COM (DELAWARE) 694058108 144533 7607 X 7607 0 0 PACIFIC SUNWEAR CA INC COM 694873100 676913 24615 X 24000 0 615 PACIFICARE HEALTH SYSTEMS COM 695112102 228228 9175 X 1300 0 7875 PACKAGING CORP OF AMERICA COM 695156109 42240 3200 X 0 0 3200 PACKARD BIOSCIENCE INC COM 695172205 10167632 1369950 X 1358087 0 11863 PACKARD BIOSCIENCE INC COM 695172205 5189207 699175 X 0 0 699175 PACTIV CORP COM 695257105 173948 14364 X 13919 0 445 PACTIV CORP COM 695257105 76257 6297 X 6297 0 0 PALL CORP COM 696429307 30303742 1382470 X 1157682 0 224788 PALL CORP COM 696429307 1737971 79287 X 78187 0 1100 77 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 68 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ PALM INC COM 696642107 2022110 240547 X 229082 0 11465 PALM INC COM 696642107 221817 26387 X 9423 75 16889 PALOMAR MED TECHNOLOGIES INC COM 697529303 1469 1000 X 0 0 1000 PANACO INC COM 698106101 2670 1000 X 1000 0 0 PANAMSAT CORP COM 697933109 39188 1000 X 0 0 1000 PANERA BREAD CO CL A COM 69840W108 286626 10715 X 10115 0 600 PAPA JOHNS INTL INC COM 698813102 61817 2596 X 2596 0 0 PAR TECHNOLOGY CORP COM 698884103 925 500 X 500 0 0 PARADIGM GENETICS INC COM 69900R106 28600 5200 X 0 0 5200 PARADIGM GENETICS INC COM 69900R106 47768 8685 X 8685 0 0 PARAMETRIC TECHNOLOGY CORP COM 699173100 1355487 149571 X 23868 0 125703 PARAMETRIC TECHNOLOGY CORP COM 699173100 46047 5081 X 4281 0 800 PAREXEL INTL CORP COM 699462107 230094 18500 X 18500 0 0 PARK ELECTROCHEMICAL CORP COM 700416209 407930 18050 X 11850 0 6200 PARK PL ENTMT CORP COM 700690100 2494389 243355 X 173855 0 69500 PARK PL ENTMT CORP COM 700690100 16400 1600 X 1600 0 0 PARKER DRILLING CO COM 701081101 10880 1700 X 1700 0 0 PARKER DRILLING CO COM 701081101 640 100 X 100 0 0 PARKER-HANNIFIN CORP COM 701094104 9056478 228008 X 217856 0 10152 PARKER-HANNIFIN CORP COM 701094104 2035134 51237 X 48837 0 2400 PARTNERRE LTD COM G6852T105 407660 8274 X 24 0 8250 PATHMARK STORES INC COM 70322A101 114260 6643 X 693 0 5950 PATINA OIL & GAS CORP COM 703224105 477930 17900 X 15300 0 2600 PATRIOT NATIONAL BANCORP INC COM 70336F104 43350 5100 X 5100 0 0 PATTERSON DENTAL CO COM 703412106 2051640 66720 X 50700 0 16020 PATTERSON DENTAL CO COM 703412106 30750 1000 X 0 0 1000 PATTERSON ENERGY INC COM 703414102 48703 1540 X 0 0 1540 PATTERSON ENERGY INC COM 703414102 107525 3400 X 0 0 3400 PAXAR CORP COM 704227107 400000 32000 X 30171 0 1829 PAXSON COMMUNICATIONS CORP COM 704231109 15600 1600 X 0 0 1600 PAXSON COMMUNICATIONS CORP COM 704231109 9750 1000 X 0 0 1000 PAYCHEX INC COM 704326107 3213430 86703 X 67395 0 19308 PAYCHEX INC COM 704326107 5855245 157983 X 108342 0 49641 PAYLESS SHOESOURCE INC COM 704379106 480383 7717 X 2817 0 4900 PAYLESS SHOESOURCE INC COM 704379106 368022 5912 X 5742 170 0 PC-TEL INC COM 69325Q105 105750 14100 X 14100 0 0 PCD INC COM 69318P106 3804984 515930 X 495610 0 20320 PEAPACK-GLADSTONE FINL CORP COM 704699107 816933 20947 X 20947 0 0 PEAPOD INC COM 704718105 5775 6600 X 6600 0 0 PEC SOLUTIONS INC COM 705107100 180500 19000 X 0 0 19000 PECO II INC COM 705221109 153988 12700 X 0 0 12700 PEDIATRIX MEDICAL GROUP INC COM 705324101 397380 17900 X 11900 0 6000 78 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 69 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ PEGASUS COMMUNICATIONS CORP COM 705904100 16100 700 X 0 0 700 PEGASUS COMMUNICATIONS CORP COM 705904100 4600 200 X 200 0 0 PEGASUS SOLUTIONS INC COM 705906105 3034777 340745 X 339045 0 1700 PEMSTAR INC COM 706552106 70719 7750 X 0 0 7750 PENFORD CORPORATION COM 707051108 116325 13200 X 13200 0 0 PENFORD CORPORATION COM 707051108 60278 6840 X 6840 0 0 PENN ENGINEERING & MFG CORP COM 707389300 139140 3600 X 0 0 3600 PENN TREATY AMERN CORP COM 707874103 57410 5645 X 0 0 5645 PENN VIRGINIA CORP COM 707882106 3986301 106900 X 68500 0 38400 PENN VIRGINIA CORP COM 707882106 193908 5200 X 5200 0 0 PENNEY J C INC COM 708160106 11227043 702129 X 618067 0 84062 PENNEY J C INC COM 708160106 667375 41737 X 40539 0 1198 PENNICHUCK CORPORATION NEW COM 708254206 273336 9762 X 1316 0 8446 PENNZOIL-QUAKER ST CO COM 709323109 3535980 252570 X 251270 0 1300 PENNZOIL-QUAKER ST CO COM 709323109 42504 3036 X 2712 0 324 PENTAIR INC 709631105 7381097 289682 X 164982 0 124700 PENTAIR INC 709631105 15288 600 X 600 0 0 PENTON MEDIA INC COM 709668107 365205 25100 X 25100 0 0 PENWEST PHARMACEUTICALS CO COM 709754105 96525 7800 X 7800 0 0 PENWEST PHARMACEUTICALS CO COM 709754105 120929 9772 X 9772 0 0 PEOPLES BK BRIDGEPORT CT COM 710198102 243724 9465 X 8050 0 1415 PEOPLES BK BRIDGEPORT CT COM 710198102 351874 13665 X 13665 0 0 PEOPLES ENERGY CORP COM 711030106 526844 13554 X 8881 0 4673 PEOPLES ENERGY CORP COM 711030106 174254 4483 X 4483 0 0 PEOPLESOFT INC COM 712713106 4230773 180513 X 176968 0 3545 PEOPLESOFT INC COM 712713106 591563 25240 X 25240 0 0 PEP BOYS-MANNY,MOE & JACK 713278109 249995 41050 X 40600 0 450 PEP BOYS-MANNY,MOE & JACK 713278109 609 100 X 100 0 0 PEPSI BOTTLING GROUP COM 713409100 18282088 480981 X 473047 0 7934 PEPSI BOTTLING GROUP COM 713409100 87119 2292 X 2292 0 0 PEPSIAMERICAS INC COM 71343P200 70325 4508 X 2008 0 2500 PEPSIAMERICAS INC COM 71343P200 275668 17671 X 17071 0 600 PEPSICO INC COM 713448108 354269435 8060738 X 7399407 1750 659581 PEPSICO INC COM 713448108 131079249 2982463 X 2819765 12400 150298 PEREGRINE SYS INC COM 71366Q101 131703 6754 X 804 0 5950 PEREGRINE SYS INC COM 71366Q101 13163 675 X 675 0 0 PERFORMANCE FOOD GROUP CO COM 713755106 13566998 258419 X 204384 0 54035 PERFORMANCE TECHNOLOGIES INC COM 71376K102 9878900 708800 X 445400 0 263400 PERICOM SEMICONDUCTOR CORP COM 713831105 1751966 136075 X 84700 0 51375 PERINI CORP COM 713839108 44 6 X 6 0 0 PERKINELMER INC COM 714046109 736923 14050 X 8690 0 5360 PERKINELMER INC COM 714046109 5575120 106294 X 106294 0 0 79 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 70 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ PEROT SYSTEMS CORP COM CL A 714265105 3285 300 X 300 0 0 PERRIGO CO COM 714290103 11850 1200 X 0 0 1200 PERSONNEL GROUP AMER INC COM 715338109 2400 2000 X 2000 0 0 PETROLEUM HELICOPTERS INC COM NON VT 716604202 1550 100 X 100 0 0 PETROQUEST ENERGY INC COM 716748108 3632599 722000 X 721000 0 1000 PETROQUEST ENERGY INC COM 716748108 50313 10000 X 0 0 10000 PETSMART INC COM 716768106 1077052 269263 X 269263 0 0 PF CHANGS CHINA BISTRO COM 69333Y108 13504400 385840 X 380064 0 5776 PFIZER INC COM 717081103 736410320 17983158 X 16566890 4973 1411295 PFIZER INC COM 717081103 391440559 9558988 X 9021930 40245 496813 PG & E CORP COM 69331C108 1764242 148944 X 107639 0 41305 PG & E CORP COM 69331C108 267934 22620 X 22470 150 0 PHARMACEUTICAL PROD DEV INC COM 717124101 796163 18900 X 18900 0 0 PHARMACIA CORP COM 71713U102 171411880 3403055 X 3164368 400 238287 PHARMACIA CORP COM 71713U102 37136794 737280 X 698575 7605 31100 PHARMACOPEIA INCORPORATED COM 71713B104 366438 20500 X 0 0 20500 PHARMACYCLICS INC COM 716933106 213750 9500 X 2000 0 7500 PHARMACYCLICS INC COM 716933106 22500 1000 X 1000 0 0 PHARMOS CORP COM NEW 717139208 4507 2003 X 2000 0 3 PHELPS DODGE CORP COM 717265102 1130022 28124 X 12163 0 15961 PHELPS DODGE CORP COM 717265102 385607 9597 X 9323 0 274 PHILADELPHIA CONS HLDG CORP COM 717528103 10111 366 X 151 0 215 PHILADELPHIA SUBN CORP COM 718009608 7902024 335400 X 216763 0 118637 PHILADELPHIA SUBN CORP COM 718009608 101685 4316 X 1895 2421 0 PHILIP MORRIS COS INC 718154107 45518500 959294 X 698454 1000 259840 PHILIP MORRIS COS INC 718154107 37362557 787409 X 706744 1300 79365 PHILLIPS PETE CO COM 718507106 26340214 478478 X 383311 0 95167 PHILLIPS PETE CO COM 718507106 3570488 64859 X 60009 150 4700 PHILLIPS VAN HEUSEN CORP 718592108 309140 20500 X 20500 0 0 PHILLIPS VAN HEUSEN CORP 718592108 8867 588 X 0 0 588 PHOENIX TECHNOLOGIES LTD COM 719153108 850538 61300 X 19800 0 41500 PHOTOMEDEX INC COM 719358103 335431 65450 X 64650 0 800 PHOTON DYNAMICS INC 719364101 3393309 160630 X 159830 0 800 PHOTRONICS INC 719405102 5974128 241990 X 240790 0 1200 PHOTRONICS INC 719405102 74063 3000 X 3000 0 0 PICCADILLY CAFETERIAS INC COM 719567109 94 50 X 50 0 0 PICO HLDGS INC COM NEW 693366205 1004808 71772 X 51892 0 19880 PICTURETEL CORP 720035302 19060 6931 X 6931 0 0 PIEDMONT NAT GAS INC COM 720186105 1011750 28500 X 28500 0 0 PIEDMONT NAT GAS INC COM 720186105 529305 14910 X 14410 0 500 PIER 1 IMPORTS INC COM 720279108 4036175 310475 X 284875 0 25600 PINNACLE ENTMT INC COM 723456109 1087380 103560 X 102460 0 1100 80 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 71 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ PINNACLE ENTMT INC COM 723456109 2100 200 X 200 0 0 PINNACLE SYS INC COM 723481107 403313 47800 X 38300 0 9500 PINNACLE WEST CAPITAL CORP COM 723484101 3776982 82341 X 20820 0 61521 PINNACLE WEST CAPITAL CORP COM 723484101 11101 242 X 242 0 0 PIONEER NATURAL RESOURCES CO COM 723787107 3431486 218566 X 209866 0 8700 PIONEER NATURAL RESOURCES CO COM 723787107 12073 769 X 769 0 0 PIONEER STANDARD ELECTRONICS INC 723877106 6012913 490850 X 471600 0 19250 PITNEY BOWES INC COM 724479100 28991682 834293 X 728777 100 105416 PITNEY BOWES INC COM 724479100 13052378 375608 X 341687 1400 32521 PITTSTON BRINK'S GROUP COM 725701106 272964 12579 X 12579 0 0 PIXAR INC COM 725811103 144833 4710 X 800 0 3910 PIXAR INC COM 725811103 70725 2300 X 0 0 2300 PIXELWORKS INC COM 72581M107 250000 25000 X 0 0 25000 PLAINS RES INC COM PAR $0.10 726540503 298200 14200 X 14200 0 0 PLANAR SYS INC COM 726900103 8925 700 X 0 0 700 PLANTRONICS INC NEW COM 727493108 113728 6400 X 0 0 6400 PLATO LEARNING INC COM 72764Y100 4526653 227470 X 226368 0 1102 PLAYTEX PRODS INC COM 72813P100 50545 5500 X 4000 0 1500 PLC SYSTEMS INC COM 69341D104 25740 33000 X 33000 0 0 PLC SYSTEMS INC COM 69341D104 234 300 X 300 0 0 PLEXUS CORP COM 729132100 7368956 287569 X 25324 0 262245 PLM INTERNATIONAL INC COM 69341L205 1173 350 X 350 0 0 PLUG POWER INC COM 72919P103 13597 950 X 950 0 0 PLUG POWER INC COM 72919P103 17891 1250 X 1250 0 0 PMC-SIERRA INC COM 69344F106 362540 14654 X 504 0 14150 PMC-SIERRA INC COM 69344F106 120830 4884 X 1604 0 3280 PMI GROUP INC COM 69344M101 763515 11750 X 1900 0 9850 PMI GROUP INC COM 69344M101 307031 4725 X 125 0 4600 PNC FINANCIAL SERVICES GROUP 693475105 9636760 142240 X 121380 0 20860 PNC FINANCIAL SERVICES GROUP 693475105 5026644 74194 X 68074 500 5620 POGO PRODUCING CO COM 730448107 1059409 35900 X 25400 0 10500 POGO PRODUCING CO COM 730448107 149911 5080 X 280 0 4800 81 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 71 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ POLARIS INDS INC COM 731068102 11422040 252700 X 220200 0 32500 POLARIS INDS INC COM 731068102 9040 200 X 200 0 0 POLAROID CORP COM 731095105 174775 41027 X 41027 0 0 POLAROID CORP COM 731095105 1278 300 X 300 0 0 POLO RALPH LAUREN COM 731572103 3470500 126200 X 124100 0 2100 POLYCOM INC COM 73172K104 299995 24242 X 0 0 24242 POLYMEDICA CORP COM 731738100 243425 10700 X 10100 0 600 POLYMEDICA CORP COM 731738100 77350 3400 X 0 0 3400 POLYONE CORP COM 73179P106 945945 103950 X 70900 0 33050 POLYONE CORP COM 73179P106 11830 1300 X 1300 0 0 POPE & TALBOT INC 732827100 128960 10400 X 10100 0 300 POPE & TALBOT INC 732827100 6820 550 X 550 0 0 POTLATCH CORP COM 737628107 79907 2501 X 2355 0 146 POTLATCH CORP COM 737628107 38340 1200 X 1200 0 0 POTOMAC ELEC PWR CO COM 737679100 548471 23459 X 21859 0 1600 POTOMAC ELEC PWR CO COM 737679100 471902 20184 X 17434 1748 1002 POWER INTEGRATIONS INC COM 739276103 12075 700 X 0 0 700 POWER-ONE INC COM 739308104 103024 7110 X 6910 0 200 POWERTEL INC COM 73936C109 2741256 49470 X 49270 0 200 POWERTEL INC COM 73936C109 110825 2000 X 2000 0 0 POWERWAVE TECHNOLOGIES INC COM 739363109 119014 8735 X 0 0 8735 PPG INDS INC COM 693506107 5122535 111142 X 96563 0 14579 PPG INDS INC COM 693506107 4138191 89785 X 88195 200 1390 PPL CORP COM 69351T106 1817790 41351 X 40339 0 1012 PPL CORP COM 69351T106 701382 15955 X 15451 504 0 82 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 72 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ PRACTICEWORKS INC COM 739419109 2012 312 X 312 0 0 PRAECIS PHARMACEUTICALS INC COM 739421105 231893 11631 X 11631 0 0 PRAXAIR INC COM 74005P104 28179731 631125 X 534685 0 96440 PRAXAIR INC COM 74005P104 683725 15313 X 11563 0 3750 PRE PAID LEGAL SVCS INC COM 740065107 2746011 265059 X 263647 0 1412 PRECISE SOFTWARE SOLUTIONS COM M41450103 1131350 74800 X 60000 0 14800 PRECISION CASTPARTS CORP COM 740189105 3653843 110555 X 98032 0 12523 PRECISION CASTPARTS CORP COM 740189105 571930 17305 X 16205 100 1000 PREMIER CMNTY BANKSHARES INC COM 740473103 14368 2370 X 2370 0 0 PRESSTEK INC COM 741113104 5271983 484780 X 483455 0 1325 PRI AUTOMATION INC COM 69357H106 1734420 101280 X 100780 0 500 PRICELINE.COM INC COM 741503106 2784 1100 X 1100 0 0 PRIDE INTL INC COM 741932107 1235520 52000 X 52000 0 0 PRIMA ENERGY CORP COM 741901201 3600701 118786 X 118186 0 600 PRIMA ENERGY CORP COM 741901201 300094 9900 X 6150 0 3750 PRIME HOSPITALITY CORP COM 741917108 6119712 566640 X 564051 0 2589 PRIMEDIA INC COM 74157K101 139356 22120 X 0 0 22120 PRIMESOURCE CORP COM 741593107 9229 2204 X 2204 0 0 PRIMUS TELECOMMUNICATIONS GROUP COM 741929103 11263 3400 X 3400 0 0 PRIORITY HEALTHCARE CORP CL B 74264T102 1532650 40600 X 34200 0 6400 PRIZE ENERGY CORP COM 74267L106 4072044 199610 X 198610 0 1000 PROBUSINESS SERVICES COM 742674104 103545 4720 X 20 0 4700 PROCTER & GAMBLE CO COM 742718109 312980281 4999685 X 4619076 1707 378902 PROCTER & GAMBLE CO COM 742718109 156002330 2492050 X 2346365 8345 137340 PROFESSIONAL DETAILING COM 74312N107 12347 200 X 0 0 200 PROFIT RECOVERY GROUP INTL INC COM 743168106 225625 36100 X 36100 0 0 PROFIT RECOVERY GROUP INTL INC COM 743168106 1875 300 X 300 0 0 PROGRESS ENERGY INC COM 743263105 7903044 183493 X 161266 0 22227 PROGRESS ENERGY INC COM 743263105 4490650 104264 X 97407 50 6807 PROGRESS SOFTWARE CORP COM 743312100 10034319 692022 X 441022 0 251000 PROGRESS SOFTWARE CORP COM 743312100 14500 1000 X 1000 0 0 PROGRESSIVE CORP OHIO COM 743315103 870927 8974 X 8284 0 690 PROGRESSIVE CORP OHIO COM 743315103 19638165 202351 X 198699 0 3652 PROMISTAR FINL CORP COM 74342Y107 3003 157 X 157 0 0 PROSOFTTRAINING COM 743477101 5712998 725460 X 721809 0 3651 PROTECTIVE LIFE CORP COM 743674103 29137 950 X 0 0 950 PROTECTIVE LIFE CORP COM 743674103 119613 3900 X 3900 0 0 PROTEIN DESIGN LABS INC COM 74369L103 2652200 59600 X 51700 0 7900 PROTEIN DESIGN LABS INC COM 74369L103 17800 400 X 400 0 0 PROTON ENERGY SYS INC COM 74371K101 24087 3225 X 75 0 3150 PROVANT INC COM 743724106 25463 4200 X 0 0 4200 PROVIDENCE & WORCESTER RR CO COM 743737108 5075 700 X 400 0 300 83 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 73 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ PROVIDENT BANKSHARES CORP COM 743859100 4498046 201030 X 198144 0 2886 PROVIDIAN FINANCIAL CORP COM 74406A102 8684057 177045 X 105727 0 71318 PROVIDIAN FINANCIAL CORP COM 74406A102 4350392 88693 X 76108 0 12585 PROVINCE HEALTHCARE CO COM 743977100 4772570 156799 X 156094 0 705 PROVINCE HEALTHCARE CO COM 743977100 127838 4200 X 0 0 4200 PROXIM INC COM 744284100 1228631 122100 X 120100 0 2000 PSINET INC COM 74437C101 5164 23600 X 23600 0 0 PSINET INC COM 74437C101 1838 8400 X 8400 0 0 PSS WORLD MED INC COM 69366A100 4435507 992550 X 655650 0 336900 PTEK HLDGS INC COM 69366M104 84795 32303 X 32303 0 0 PUBLIC SERVICE ENTERPRISE GROUP COM 744573106 9124801 211418 X 201080 0 10338 PUBLIC SERVICE ENTERPRISE GROUP COM 744573106 1887300 43728 X 41447 0 2281 PUBLIC SVC CO NEW MEXICO COM 744499104 446928 15406 X 6 0 15400 PUBLIC SVC CO NEW MEXICO COM 744499104 45836 1580 X 580 0 1000 PUBLICARD INC COM 744627100 170 113 X 113 0 0 PUGET ENERGY INC COM 745310102 377520 16500 X 3800 0 12700 PUGET ENERGY INC COM 745310102 573258 25055 X 25055 0 0 PULTE CORP COM 745867101 790864 19571 X 1244 0 18327 PURCHASEPRO.COM INC COM 746144104 1450 200 X 200 0 0 PURCHASEPRO.COM INC COM 746144104 2175 300 X 100 0 200 PXRE GROUP LTD COM G73018106 8200 500 X 500 0 0 PYR ENERGY CORP COM 693677106 469849 80316 X 80316 0 0 PACKETEER, INC COM 695210104 2283 761 X 761 PAPA JOHNS INTL INC COM 698813102 594 25 X 25 Paradigm Genetics COM 69900R106 124245 22590 X 22590 PARADYNE NETWORKS, INC COM 69911G107 92716 57056 X 57056 PARK PLACE ENTERTAINMENT COM 700690100 1289450 125800 X 125800 Pegasus Commun. COM 705904100 33164965 1441955 X 1441955 PFIZER INC COM 717081103 10159654 248099 X 248099 PHAR-MOR INC COM 717113203 5775 6600 X 6600 Phoenix Restaurant COM 719132102 276166 2124352 X 2124352 PIXAR COM 725811103 6138 200 X 200 PMC-Sierra COM 69344F106 77040 3114 X 3114 PMC-SIERRA INC COM 69344F106 24740 1000 X 1000 PNC FINANCIAL SERVICES GR COM 693475105 237125 3500 X 3500 PREDICTIVE SYSTEMS COM 74036W102 813 400 X 400 Preview Systems COM 741379101 404582 148809 X 148809 PREVIEW SYSTEMS INC COM 741379101 3499 1302 X 1302 Q MED INC COM 747914109 7000 1000 X 1000 0 0 QLOGIC CORP COM 747277101 6648278 295479 X 263779 0 31700 QLOGIC CORP COM 747277101 1170135 52006 X 28006 0 24000 QRS CORP COM 74726X105 93500 11000 X 11000 0 0 84 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 74 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ QUAKER CHEMICAL CORP COM 747316107 116754 6600 X 6600 0 0 QUAKER FABRIC CORP NEW COM 747399103 8313 1000 X 1000 0 0 QUAKER OATS CO COM 747402105 5439750 56051 X 42234 0 13817 QUAKER OATS CO COM 747402105 8811170 90790 X 89790 0 1000 QUALCOMM INC COM 747525103 5925636 104647 X 90421 100 14126 QUALCOMM INC COM 747525103 1047506 18499 X 7239 0 11260 QUALITY DINING INC COM 74756P105 2438 1000 X 1000 0 0 QUANEX CORP COM 747620102 183090 10200 X 3900 0 6300 QUANTA SVCS INC COM 74762E102 2395159 107310 X 99010 0 8300 QUANTUM CORP COM 747906303 87067 8245 X 7020 0 1225 QUANTUM CORP COM 747906303 19800 1875 X 1875 0 0 QUANTUM CORP-DLT & STORAGE COM 747906204 778766 67135 X 13885 0 53250 QUANTUM CORP-DLT & STORAGE COM 747906204 137866 11885 X 11635 0 250 QUEST DIAGNOSTICS INC COM 74834L100 259678 2922 X 618 0 2304 QUEST DIAGNOSTICS INC COM 74834L100 431908 4860 X 4383 0 477 QUEST SOFTWARE INC COM 74834T103 3550 200 X 200 0 0 QUESTAR CORP COM 748356102 2232333 81472 X 75272 0 6200 QUESTAR CORP COM 748356102 2775620 101300 X 101300 0 0 QUICKLOGIC CORP COM 74837P108 99430 17875 X 0 0 17875 QUIKSILVER INC COM 74838C106 2625795 98900 X 23900 0 75000 QUINTILES TRANSNATIONAL CORP COM 748767100 3210638 170100 X 139800 0 30300 QUIXOTE CORP COM 749056107 152663 6900 X 0 0 6900 QWEST COMMUNICATIONS INTL COM 749121109 124737552 3558846 X 3272470 500 285876 QWEST COMMUNICATIONS INTL COM 749121109 20128584 574282 X 540491 1159 32632 QLOGIC CORP COMM 747277101 56433 25077 X 25,077 QSOUND LABS INC COM 74728C109 17 25 X 25 QUALCOMM INC COM 747525103 18995536 335462 X 335462 Quick Logic COM 74837P108 10185 1831 X 1831 Quintus COM 748798105 2812 40170 X 40170 Quintus COM 748798105 1875 26780 X 26780 R & B INC COM 749124103 1161418 580709 X 397109 0 183600 R & B INC COM 749124103 6000 3000 X 3000 0 0 R G S ENERGY GROUP INC COM 74956K104 1109852 29996 X 29696 0 300 R G S ENERGY GROUP INC COM 74956K104 125282 3386 X 3386 0 0 R H DONNELLEY CORP NEW COM 74955W307 164662 5678 X 4211 0 1467 R H DONNELLEY CORP NEW COM 74955W307 128963 4447 X 3367 0 1080 R J REYNOLDS TOBACCO HOLD COM 76182K105 422265 7527 X 727 0 6800 R J REYNOLDS TOBACCO HOLD COM 76182K105 857545 15286 X 15187 0 99 RADIAN GROUP INC COM 750236101 828176 12224 X 8440 0 3784 RADIAN GROUP INC COM 750236101 413275 6100 X 0 0 6100 RADIANT SYS INC COM 75025N102 321141 23250 X 20900 0 2350 RADIO ONE INC CL D NON-VTG COM 75040P405 162975 10600 X 0 0 10600 85 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 74 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ RADIO ONE INC COM 75040P108 5269 300 X 300 0 0 RADIOSHACK CORP COM 750438103 26665522 726779 X 681211 0 45568 RADIOSHACK CORP COM 750438103 429273 11700 X 11700 0 0 RADISYS CORP COM 750459109 235450 13850 X 13100 0 750 RADWARE LTD COM M81873107 112559 9950 X 0 0 9950 RAINBOW TECHNOLOGIES INC COM 750862104 96500 19300 X 19300 0 0 RAINBOW TECHNOLOGIES INC COM 750862104 15000 3000 X 3000 0 0 RALCORP HOLDINGS COM 751028101 405721 22666 X 22666 0 0 RALSTON-RALSTON PURINA GRP COM 751277302 1975128 63407 X 43541 0 19866 RALSTON-RALSTON PURINA GRP COM 751277302 529799 17008 X 17008 0 0 RAMBUS INC COM 750917106 76220 3700 X 400 0 3300 RAMBUS INC COM 750917106 4120 200 X 200 0 0 RARE HOSPITALITY INTL INC COM 753820109 7282778 292775 X 267025 0 25750 RARE HOSPITALITY INTL INC COM 753820109 26218 1054 X 1054 0 0 RARE MEDIUM GROUP INC COM 75382N109 8078 4700 X 4500 0 200 RARE MEDIUM GROUP INC COM 75382N109 859 500 X 500 0 0 RATIONAL SOFTWARE CORP COM 75409P202 1200681 67644 X 46100 0 21544 RATIONAL SOFTWARE CORP COM 75409P202 8875 500 X 500 0 0 RAWLINGS SPORTING GOODS INC COM 754459105 4563 1000 X 1000 0 0 RAYMOND JAMES FINL INC COM 754730109 1170380 42100 X 34800 0 7300 RAYMOND JAMES FINL INC COM 754730109 123349 4437 X 4437 0 0 RAYONIER INC COM 754907103 4149576 100474 X 3466 0 97008 RAYONIER INC COM 754907103 813486 19697 X 16729 0 2968 RAYOVAC CORP COM 755081106 7782700 446000 X 294400 0 151600 RAYTECH CORP DEL 755103108 132 47 X 47 0 0 RAYTHEON CO CL A 755111309 867678 29715 X 10045 0 19670 RAYTHEON CO CL A 755111309 426408 14603 X 14201 0 402 RAYTHEON CO CL B COM 755111408 10108835 344072 X 328883 0 15189 RAYTHEON CO CL B COM 755111408 10994260 374209 X 349265 400 24544 RAZORFISH INC COM 755236106 77 175 X 175 0 0 RCN CORP COM 749361101 116983 19396 X 7496 0 11900 RCN CORP COM 749361101 18999 3150 X 3150 0 0 READ-RITE CORP COM 755246105 1244329 150100 X 141800 0 8300 READ-RITE CORP COM 755246105 41450 5000 X 5000 0 0 READERS DIGEST ASSN COM CL A NON VTG 755267101 1378095 50149 X 2199 0 47950 REALNETWORKS INC COM 75605L104 20573 2913 X 2913 0 0 REALNETWORKS INC COM 75605L104 2119 300 X 0 0 300 RED HAT INC COM 756577102 144284 23692 X 23692 0 0 RED HAT INC COM 756577102 13398 2200 X 1200 0 1000 REDBACK NETWORKS COM 757209101 226284 17300 X 17300 0 0 REDBACK NETWORKS COM 757209101 6540 500 X 500 0 0 REEBOK INTL 758110100 429556 17279 X 2247 0 15032 86 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 75 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ REGAL BELOIT CORP COM 758750103 328005 19700 X 10800 0 8900 REGENERATION TECHNOLOGIES COM 75886N100 2350273 218630 X 217380 0 1250 REGENERATION TECHNOLOGIES COM 75886N100 5375 500 X 500 0 0 REGENERON PHARMACEUTICALS INC COM 75886F107 1031941 46510 X 46500 0 10 REGENERON PHARMACEUTICALS INC COM 75886F107 6213 280 X 280 0 0 REGIONS FINL CORP COM 758940100 719440 25299 X 20715 0 4584 REGIONS FINL CORP COM 758940100 229889 8084 X 5396 0 2688 REGIS CORP MINNESOTA COM 758932107 448988 30700 X 22150 0 8550 REHABCARE GROUP INC COM 759148109 4120 100 X 100 0 0 REINSURANCE GROUP AMER INC COM 759351109 97314 2525 X 2525 0 0 RELIANCE STL & ALUM CO COM 759509102 9120831 388948 X 272048 0 116900 RELIANT ENERGY INC COM 75952J108 22444000 496000 X 459472 0 36528 RELIANT ENERGY INC COM 75952J108 5666477 125226 X 120698 0 4528 REMEDY CORP COM 759548100 446600 23200 X 23200 0 0 REMEDYTEMP INC CL A COM 759549108 3825788 329100 X 217500 0 111600 REMINGTON OIL & GAS CORP COM NEW 759594302 8162497 590950 X 590950 0 0 RENAL CARE GROUP INC COM 759930100 952110 35500 X 35500 0 0 RENAL CARE GROUP INC COM 759930100 6705 250 X 250 0 0 RENT A CTR INC NEW COM 76009N100 12604331 274380 X 247730 0 26650 REPLIGEN CORP COM 759916109 1438 500 X 500 0 0 REPUBLIC BANCORP INC COM 760282103 17187991 1395979 X 976484 0 419495 REPUBLIC BANCORP INC COM 760282103 148760 12082 X 12082 0 0 REPUBLIC SERVICES INC COM 760759100 4915781 262175 X 87000 0 175175 REPUBLIC SERVICES INC COM 760759100 10313 550 X 550 0 0 RES-CARE INC COM 760943100 8679765 1735953 X 1161803 0 574150 RESEARCH FRONTIERS INC COM 760911107 3650 200 X 200 0 0 RESEARCH IN MOTION COM 760975102 17576 800 X 800 0 0 RESEARCH IN MOTION COM 760975102 10985 500 X 500 0 0 RESMED INC COM 761152107 945360 23400 X 23400 0 0 RESOURCE AMER INC COM NEW 761195205 7448 701 X 701 0 0 RESOURCE BANCSHARES MTG GRP INC COM 761197102 365175 48690 X 48449 0 241 RESOURCES CONNECTION INC COM 76122Q105 105647 4775 X 0 0 4775 RESPIRONICS INC COM 761230101 10750213 352466 X 276184 0 76282 RESPIRONICS INC COM 761230101 91500 3000 X 3000 0 0 RETEK INC COM 76128Q109 13169 700 X 0 0 700 RETEK INC COM 76128Q109 1881 100 X 0 0 100 REVLON INC CL A COM 761525500 1383 300 X 300 0 0 REX STORES CORP COM 761624105 127600 6380 X 0 0 6380 REYNOLDS & REYNOLDS CO CL A COM 761695105 283938 14750 X 0 0 14750 REYNOLDS & REYNOLDS CO CL A COM 761695105 4813 250 X 250 0 0 RF MICRO DEVICES INC COM 749941100 678 58 X 58 0 0 RF MICRO DEVICES INC COM 749941100 13441 1150 X 1150 0 0 87 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 76 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ RHYTHMS NETCONNECTIONS INC COM 762430205 66 150 X 150 0 0 RICHARDSON ELECTRS LTD COM 763165107 28217 2181 X 781 0 1400 RICHMOND CNTY FINL CORP COM 764556106 3216445 109496 X 99430 0 10066 RIGGS NATL CORP WASH D C 766570105 9060021 570710 X 555610 0 15100 RIGGS NATL CORP WASH D C 766570105 48070 3028 X 3028 0 0 RITE AID CORP COM 767754104 45204 6757 X 3757 0 3000 RITE AID CORP COM 767754104 753455 112624 X 46624 0 66000 RIVERSTONE NETWORKS INC COM 769320102 23281 2500 X 2500 0 0 RIVERSTONE NETWORKS INC COM 769320102 13969 1500 X 1500 0 0 RLI CORP COM 749607107 306300 7500 X 7500 0 0 RMH TELESERVICES INC COM 749938106 1106270 201140 X 200140 0 1000 ROADWAY EXPRESS INC DEL COM 769742107 1447600 65800 X 64600 0 1200 ROBBINS & MYERS INC COM 770196103 294400 11500 X 8200 0 3300 ROBERT HALF INTL INC COM 770323103 530254 23725 X 16625 0 7100 ROBERT HALF INTL INC COM 770323103 58557 2620 X 2620 0 0 ROBOTIC VISION SYS INC COM 771074101 64647 26522 X 26522 0 0 ROCK-TENN CO CL A COM 772739207 21600 2700 X 0 0 2700 ROCKWELL INTL CORP COM 773903109 1685477 46368 X 21382 0 24986 ROCKWELL INTL CORP COM 773903109 1053387 28979 X 22323 0 6656 ROCKY SHOES & BOOTS INC COM 774830103 1067156 227660 X 167860 0 59800 ROGERS CORP 775133101 2013417 56700 X 23500 0 33200 ROGERS CORP 775133101 275842 7768 X 7768 0 0 ROHM & HAAS CO COM 775371107 1383585 44907 X 26677 0 18230 ROHM & HAAS CO COM 775371107 466063 15127 X 15127 0 0 ROLLINS INC COM 775711104 8685 450 X 450 0 0 ROPER INDUSTRIES INC COM 776696106 1700500 47500 X 20200 0 27300 ROPER INDUSTRIES INC COM 776696106 286400 8000 X 0 0 8000 ROSLYN BANCORP INC COM 778162107 108810 4836 X 2780 0 2056 ROSS STORES INC COM 778296103 480000 25600 X 0 0 25600 ROSS STORES INC COM 778296103 6000 320 X 320 0 0 ROUSE CO COM 779273101 38790 1500 X 0 0 1500 ROUSE CO COM 779273101 106026 4100 X 4100 0 0 ROWAN COS INC COM 779382100 1931573 70239 X 69171 0 1068 ROWAN COS INC COM 779382100 13750 500 X 0 0 500 ROWECOM INC COM 77957X108 3137 4182 X 4182 0 0 ROYAL APPLIANCE MFG CO COM 780076105 41730 10700 X 10700 0 0 ROYAL CARIBBEAN CRUISES LTD COM V7780T103 2410800 104590 X 9440 0 95150 ROYAL CARIBBEAN CRUISES LTD COM V7780T103 39646 1720 X 1720 0 0 RPM INC COM 749685103 422525 41424 X 40824 0 600 RPM INC COM 749685103 541630 53101 X 52151 0 950 RSA SEC INC COM 749719100 1136859 46050 X 45150 0 900 RSA SEC INC COM 749719100 25 1 X 0 0 1 88 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 77 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ RTI INTERNATIONAL METALS COM 74973W107 5686257 422770 X 415770 0 7000 RUBY TUESDAY INC COM 781182100 14948036 762266 X 546366 0 215900 RUBY TUESDAY INC COM 781182100 138996 7088 X 7088 0 0 RURAL / METRO CORP COM 781748108 11422 10750 X 10750 0 0 RURAL CELLULAR CORP COM 781904107 127953 4750 X 0 0 4750 RUSS BERRIE & CO INC COM 782233100 390910 15500 X 15000 0 500 RUSSELL CORP COM 782352108 465630 24900 X 24000 0 900 RUSSELL CORP COM 782352108 18700 1000 X 1000 0 0 RYANS FAMILY STEAK HOUSES INC COM 783519101 9818563 924100 X 614100 0 310000 RYDER SYSTEM COM 783549108 335585 18654 X 2390 0 16264 RYDER SYSTEM COM 783549108 10794 600 X 600 0 0 RYERSON TULL INC COM 78375P107 31658 3150 X 75 0 3075 RYLAND GROUP INC COM 783764103 2530255 60970 X 60170 0 800 READ RITE CORP COM 755246105 50 6 X 6 REGENRON PHARMACEUTICALS INC COM 75886F107 954 43 X 43 Resources Connection COM 76122Q105 6260999 282983 X 282983 RITA MEDICAL SYSTEMS COM 76774E103 3233 932 X 932 RSA SECURITY INC COM 749719100 19750 800 X 800 S & P 500 DEPOSITORY RECEIPT 78462F103 110600999 947819 X 376760 0 571059 S & P 500 DEPOSITORY RECEIPT 78462F103 107938 925 X 550 0 375 SABRE HOLDINGS CORP CL A COM 785905100 1503849 32572 X 13491 0 19081 SABRE HOLDINGS CORP CL A COM 785905100 172076 3727 X 3727 0 0 SAFECO CORP COM 786429100 729633 25885 X 7134 0 18751 SAFECO CORP COM 786429100 229728 8150 X 8150 0 0 SAFEGUARD SCIENTIFICS INC COM 786449108 191597 34275 X 32775 0 1500 SAFENET INC COM 78645R107 1781753 143980 X 143520 0 460 SAFENET INC COM 78645R107 2475 200 X 200 0 0 SAFEWAY INC COM NEW 786514208 26824298 486388 X 450032 0 36356 SAFEWAY INC COM NEW 786514208 3581276 64937 X 30537 200 34200 SAGA COMMUNICATIONS INC COM 786598102 78986 4787 X 3437 0 1350 SAGE INC COM 786632109 6719 1000 X 1000 0 0 SAGENT TECHNOLOGY INC COM 786693101 100450 57400 X 0 0 57400 SAINT PAUL COS 792860108 4016920 91190 X 34186 0 57004 SAINT PAUL COS 792860108 2338570 53089 X 50340 224 2525 SAKS INC COM 79377W108 2896426 222802 X 190002 0 32800 SALEM COMMUNICATIONS CL A COM 794093104 32500 2000 X 0 0 2000 SALISBURY BANCORP INC COM 795226109 64336 3404 X 624 0 2780 SALISBURY BANCORP INC COM 795226109 35910 1900 X 1900 0 0 SALTON INC COM 795757103 170240 11200 X 9200 0 2000 SANDISK CORP COM 80004C101 146700 7200 X 0 0 7200 SANMINA CORP COM 800907107 4771529 243912 X 199530 0 44382 SANMINA CORP COM 800907107 11738 600 X 600 0 0 89 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 78 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ SANTA FE ENERGY TR 802013102 68400 3000 X 3000 0 0 SANTA FE INTERNATIONAL CORP COM G7805C108 2343250 72100 X 72100 0 0 SAPIENT CORP COM 803062108 75469 10500 X 10200 0 300 SAPIENT CORP COM 803062108 1294 180 X 180 0 0 SARA LEE CORP COM 803111103 27623803 1280065 X 1120074 0 159991 SARA LEE CORP COM 803111103 22483231 1041855 X 990711 6250 44894 SAUCONY INC CL A COM 804120103 35 5 X 5 0 0 SAUCONY INC CL B COM 804120202 33 5 X 5 0 0 SAUER INC COM 804137107 5640921 633100 X 429200 0 203900 SAUER INC COM 804137107 5168 580 X 580 0 0 SAWTEK INC COM 805468105 74813 4200 X 0 0 4200 SBA COMMUNICATIONS CORP COM 78388J106 3163 200 X 200 0 0 SBA COMMUNICATIONS CORP COM 78388J106 75900 4800 X 0 0 4800 SBC COMMUNICATIONS INC COM 78387G103 358293523 8028087 X 7453960 2431 571696 SBC COMMUNICATIONS INC COM 78387G103 147443506 3303686 X 3127421 20224 156041 SBS BROADCASTING SA ORD COM L8137F102 667469 34450 X 0 0 34450 SCANA CORP COM 80589M102 495705 18258 X 18258 0 0 SCANA CORP COM 80589M102 892801 32884 X 31558 0 1326 SCANSOFT INC COM 80603P107 14457 21028 X 21028 0 0 SCANSOURCE INC COM 806037107 30600 900 X 0 0 900 SCHAWK INC COM 806373106 4699 525 X 525 0 0 SCHEID VINEYARDS INC CL A COM 806403101 13489 4450 X 0 0 4450 SCHERING PLOUGH CORP COM 806605101 90763424 2484627 X 2158850 0 325777 SCHERING PLOUGH CORP COM 806605101 45842410 1254925 X 1219552 3000 32373 SCHLUMBERGER LTD COM 806857108 213853793 3712095 X 3501393 650 210052 SCHLUMBERGER LTD COM 806857108 52888342 918041 X 861984 5975 50082 SCHOLASTIC CORP COM 807066105 324563 9000 X 0 0 9000 SCHOLASTIC CORP COM 807066105 36063 1000 X 1000 0 0 SCHOOL SPECIALTY INC COM 807863105 1392938 64600 X 64334 0 266 SCHULER HOMES INC COM 808188106 62813 5000 X 0 0 5000 SCHULMAN A INC COM 808194104 75529 6327 X 6327 0 0 SCHWAB CHARLES CORP NEW COM 808513105 3289842 213349 X 186423 0 26926 SCHWAB CHARLES CORP NEW COM 808513105 624865 40523 X 20588 0 19935 SCHWEITZER-MAUDUIT INTL INC COM 808541106 262456 14870 X 12220 0 2650 SCHWEITZER-MAUDUIT INTL INC COM 808541106 4995 283 X 273 0 10 SCI SYSTEMS INC COM 783890106 242060 13300 X 6200 0 7100 SCI SYSTEMS INC COM 783890106 19711 1083 X 1083 0 0 SCIENTIFIC ATLANTA 808655104 1345852 32360 X 7544 0 24816 SCIENTIFIC ATLANTA 808655104 167441 4026 X 2026 0 2000 SCIENTIFIC LEARNING CORP COM 808760102 8188 2000 X 2000 0 0 SCIENTIFIC TECH INC COM 808799209 6438 1000 X 1000 0 0 SCIOS NOVA INC COM 808905103 7017369 305103 X 218100 0 87003 90 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 79 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ SCM MICROSYSTEMS COM 784018103 175988 11400 X 11400 0 0 SCOTT TECHNOLOGIES INC COM 810022301 284373 12853 X 12853 0 0 SCOTTS CO CL A COM 810186106 6564386 172520 X 165720 0 6800 SCOTTS CO CL A COM 810186106 45660 1200 X 0 0 1200 SCP POOL CORP COM 784028102 5319925 163690 X 162890 0 800 SCPIE HLDGS INC COM 78402P104 142100 7000 X 7000 0 0 SCRIPPS CO (E.W.) CLASS A 811054204 1650464 28471 X 621 0 27850 SEA CONTAINERS LTD CL A COM 811371707 420 23 X 23 0 0 SEA CONTAINERS LTD CL A COM 811371707 3654 200 X 200 0 0 SEACHANGE INTERNATIONAL COM 811699107 7627367 567618 X 565691 0 1927 SEACOAST BKG CORP FL CL A COM 811707108 77024 2656 X 2656 0 0 SEACOAST FINL SVCS CORP COM 81170Q106 5065473 363442 X 239000 0 124442 SEACOAST FINL SVCS CORP COM 81170Q106 87486 6277 X 6277 0 0 SEACOR SMIT INC COM 811904101 913040 20200 X 12800 0 7400 SEACOR SMIT INC COM 811904101 6780 150 X 150 0 0 SEALED AIR CORP NEW COM 81211K100 2796820 83913 X 69939 0 13974 SEALED AIR CORP NEW COM 81211K100 243309 7300 X 7300 0 0 SEARS ROEBUCK & CO COM 812387108 5611528 159102 X 51424 0 107678 SEARS ROEBUCK & CO COM 812387108 1599812 45359 X 42954 0 2405 SECTOR SPDR CONSUMER STAPLES INDEX 81369Y308 24720 1000 X 1000 0 0 SECTOR SPDR TECHNOLOGY SELECT INDEX 81369Y803 30380 1225 X 1225 0 0 SECTOR SPDR TECHNOLOGY SELECT INDEX 81369Y803 31868 1285 X 600 0 685 SECURE COMPUTING CORP COM 813705100 5559679 577629 X 574529 0 3100 SECURITY CAP GROUP CL A COM 81413P105 35875 35 X 0 0 35 SECURITY CAPITAL GROUP B COM 81413P204 2373593 114390 X 0 0 114390 SECURITY CAPITAL GROUP B COM 81413P204 10375 500 X 500 0 0 SEEBEYOND TECHNOLOGIES CORP COM 815704101 1275 100 X 100 0 0 SEEC INC COM 784110108 4000 2000 X 2000 0 0 SEGUE SOFTWARE INC COM 815807102 310322 57400 X 0 0 57400 SEI INVESTMENT CO COM 784117103 461575 14800 X 2400 0 12400 SEI INVESTMENT CO COM 784117103 3119 100 X 100 0 0 SEITEL INC NEW 816074306 372000 20000 X 20000 0 0 SELECTIVE INS GROUP INC 816300107 13067027 562400 X 377600 0 184800 SELECTIVE INS GROUP INC 816300107 1384770 59600 X 59600 0 0 SEMINIS INC COM 816658108 844 500 X 500 0 0 SEMPRA ENERGY COM 816851109 2423006 104081 X 48023 0 56058 SEMPRA ENERGY COM 816851109 715534 30736 X 10616 0 20120 SEMTECH CORP COM 816850101 1115004 37877 X 25977 0 11900 SEMTECH CORP COM 816850101 123638 4200 X 4200 0 0 SENSIENT TECHNOLOGIES CORP COM 81725T100 4556 200 X 200 0 0 SENSIENT TECHNOLOGIES CORP COM 81725T100 52394 2300 X 2300 0 0 SENSORMATIC ELECTRONICS COM 817265101 210425 11075 X 1200 0 9875 91 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 80 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ SENSORMATIC ELECTRONICS COM 817265101 85500 4500 X 0 0 4500 SEPRACOR INC COM 817315104 537024 16782 X 3232 0 13550 SEPRACOR INC COM 817315104 32000 1000 X 1000 0 0 SEQUENOM INC COM 817337108 100725 11850 X 0 0 11850 SERACARE INC COM 817473101 50200 10000 X 10000 0 0 SERVICE CORP INTERNATIONAL 817565104 16863 3550 X 3550 0 0 SERVICE CORP INTERNATIONAL 817565104 54772 11531 X 11331 200 0 SERVICEMASTER CO COM 81760N109 692330 61650 X 49163 0 12487 SERVICEMASTER CO COM 81760N109 1717898 152974 X 149974 0 3000 SERVICEWARE TECHNOLOGIES INC COM 81763Q109 463 400 X 0 0 400 SHAW GROUP INC COM 820280105 18044073 386300 X 382900 0 3400 SHAW GROUP INC COM 820280105 1022949 21900 X 19900 0 2000 SHENANDOAH TELECOMMUNICATION COM 82312B106 114950 3800 X 3800 0 0 SHERWIN WILLIAMS CO COM 824348106 47722104 1872924 X 1687412 0 185512 SHERWIN WILLIAMS CO COM 824348106 4623652 181462 X 174212 0 7250 SHOPKO STORES INC COM 824911101 172800 21600 X 15500 0 6100 SHUFFLE MASTER INC COM 825549108 6296875 250000 X 248700 0 1300 SICOR INC COM 825846108 433665 31115 X 15915 0 15200 SIEBEL SYSTEMS INC COM 826170102 46949131 1726071 X 1668977 50 57044 SIEBEL SYSTEMS INC COM 826170102 3487475 128216 X 114956 50 13210 SIERRA HEALTH SVCS INC COM 826322109 93480 20500 X 19750 0 750 SIERRA PACIFIC RESOURCES COM NEW 826428104 96866 6545 X 5545 0 1000 SIERRA PACIFIC RESOURCES COM NEW 826428104 291974 19728 X 4728 0 15000 SIGMA ALDRICH CORP COM 826552101 4633438 96782 X 72019 0 24763 SIGMA ALDRICH CORP COM 826552101 3289922 68719 X 65169 0 3550 SILGAN HOLDINGS INC COM 827048109 941386 84619 X 84619 0 0 SILICON GRAPHICS INC COM 827056102 1576 400 X 400 0 0 SILICON GRAPHICS INC COM 827056102 7880 2000 X 2000 0 0 SILICON STORAGE TECHNOLOGY COM 827057100 4565680 526000 X 357400 0 168600 SILICON STORAGE TECHNOLOGY COM 827057100 9548 1100 X 1100 0 0 SILICON VALLEY GROUP INC COM 827066101 712250 25900 X 25900 0 0 SILICON VY BANCSHARES COM 827064106 8915900 379400 X 256300 0 123100 SIMPLAYER.COM LTD COM M8411K107 313 1000 X 1000 0 0 SIMPSON MFG INC COM 829073105 443700 9000 X 9000 0 0 SINCLAIR BROADCAST GRP CL A COM 829226109 352350 48600 X 0 0 48600 SIPEX CORP COM 829909100 2158 231 X 231 0 0 SIRIUS SATELLITE RADIO INC COM 82966U103 14303 1150 X 900 0 250 SITEL CORP COM 82980K107 8400 3000 X 0 0 3000 SIX FLAGS INC COM 83001P109 751302 38827 X 27 0 38800 SKYLINE CORP COM 830830105 198444 9200 X 6400 0 2800 SKYWEST INC COM 830879102 971850 41800 X 41800 0 0 SLADES FERRY BANCORP COM 830896106 76010 8001 X 8001 0 0 92 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 81 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ SLI INC COM 78442T108 240313 28780 X 28780 0 0 SLI INC COM 78442T108 8350 1000 X 1000 0 0 SMARTDISK CORP COM 83169Q105 35416 12559 X 12559 0 0 SMARTSERV ONLINE INC COM 83169M203 584 100 X 100 0 0 SMITH A O CORP COM 831865209 345681 17700 X 16200 0 1500 SMITH INTERNATIONAL INC 832110100 29619135 421925 X 406810 400 14715 SMITH INTERNATIONAL INC 832110100 2695680 38400 X 37200 175 1025 SMITHFIELD FOODS INC 832248108 1719250 52900 X 37700 0 15200 SMITHFIELD FOODS INC 832248108 20800 640 X 640 0 0 SMUCKER (J.M.) CO COM 832696306 31440 1200 X 1200 0 0 SMUCKER (J.M.) CO COM 832696306 293440 11200 X 0 0 11200 SMURFIT-STONE CONTAINER CORP COM 832727101 482820 36275 X 625 0 35650 SMURFIT-STONE CONTAINER CORP COM 832727101 43923 3300 X 3050 0 250 SNAP ON INC COM 833034101 666440 22886 X 3657 0 19229 SODEXHO MARRIOTT SVCS INC COM 833793102 15019 517 X 517 0 0 SODEXHO MARRIOTT SVCS INC COM 833793102 407 14 X 0 0 14 SOFTNET SYS INC COM 833964109 750 500 X 0 0 500 SOLA INTL INC COM 834092108 160378 17800 X 17800 0 0 SOLECTRON CORP COM 834182107 32543352 1711907 X 1549844 0 162063 SOLECTRON CORP COM 834182107 1238349 65142 X 21232 0 43910 SOLUTIA INC COM 834376105 28547646 2339971 X 2271243 0 68728 SOLUTIA INC COM 834376105 1183644 97020 X 93604 416 3000 SOMANETICS CORP COM 834445405 11875 5000 X 5000 0 0 SONIC CORP 835451105 497491 19850 X 19850 0 0 SONIC FDRY INC COM 83545R108 300 200 X 200 0 0 SONIC SOLUTIONS COM 835460106 1313 1000 X 1000 0 0 SONICBLUE INC COM 83546Q109 1600750 337000 X 165700 0 171300 SONOCO PRODUCTS CO SO CAROLINA 835495102 6400744 297709 X 254235 0 43474 SONOCO PRODUCTS CO SO CAROLINA 835495102 5464505 254163 X 248683 0 5480 SONOSIGHT INC COM 83568G104 430 38 X 38 0 0 SONUS NETWORKS INC COM 835916107 1197 60 X 60 0 0 SONUS NETWORKS INC COM 835916107 11972 600 X 600 0 0 SOS STAFFING SVCS INC COM 78462X104 1346075 1076860 X 733060 0 343800 SOS STAFFING SVCS INC COM 78462X104 5000 4000 X 4000 0 0 SOTHEBYS HLDGS INC CL A COM 835898107 178189 9700 X 100 0 9600 SOUND ADVICE INC COM 836066100 27050 2705 X 0 0 2705 SOURCE INFORMATION MGMT CO COM 836151209 2159592 483260 X 480860 0 2400 SOUTH FINANCIAL GRP INC COM 837841105 463125 32500 X 32500 0 0 SOUTH FINANCIAL GRP INC COM 837841105 2850 200 X 200 0 0 SOUTH JERSEY IND INC COM 838518108 5474492 185576 X 111676 0 73900 SOUTH JERSEY IND INC COM 838518108 114018 3865 X 3865 0 0 SOUTHERN COMPANY COM 842587107 11852946 337787 X 245485 0 92302 93 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 82 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ SOUTHERN COMPANY COM 842587107 4221081 120293 X 114213 250 5830 SOUTHERN UN CO NEW COM 844030106 941724 44844 X 40034 0 4810 SOUTHERN UN CO NEW COM 844030106 292299 13919 X 13919 0 0 SOUTHSIDE BANCSHARES CORP COM 844700104 190238 17100 X 17100 0 0 SOUTHTRUST CORP COM 844730101 6961549 152165 X 134728 0 17437 SOUTHTRUST CORP COM 844730101 338459 7398 X 4398 0 3000 SOUTHWEST AIRLINES COM 844741108 12226768 688832 X 664744 0 24088 SOUTHWEST AIRLINES COM 844741108 1578401 88924 X 75909 0 13015 SOUTHWEST BANCORP OF TEXAS COM 84476R109 10125183 322715 X 309300 0 13415 SOUTHWEST GAS CORP COM 844895102 13779765 660900 X 442900 0 218000 SOUTHWEST GAS CORP COM 844895102 26063 1250 X 1250 0 0 SOUTHWEST SECS GROUP INC COM 845224104 241495 12928 X 11960 0 968 SOUTHWESTERN ENERGY COM 845467109 221760 22400 X 18800 0 3600 SOVEREIGN BANCORP INC COM 845905108 824861 97400 X 58500 0 38900 SOVEREIGN BANCORP INC COM 845905108 33875 4000 X 4000 0 0 SPACELABS MED INC COM 846247104 82328 7318 X 7318 0 0 SPECTRALINK CORP COM 847580107 2771303 286070 X 284570 0 1500 SPECTRASITE HLDGS INC COM 84760T100 6038 1400 X 0 0 1400 SPEECHWORKS INTL COM 84764M101 260229 39654 X 37404 0 2250 SPEECHWORKS INTL COM 84764M101 656 100 X 100 0 0 SPEEDFAM-IPEC INC COM 847705100 145548 22500 X 22500 0 0 SPEEDWAY MOTORSPORTS INC COM 847788106 2600 100 X 100 0 0 SPHERION CORP COM 848420105 8595849 1238595 X 844995 0 393600 SPHERION CORP COM 848420105 6940 1000 X 1000 0 0 SPIEGEL INC CL A NON VTG 848457107 9800 1400 X 0 0 1400 SPINNAKER EXPL CO COM 84855W109 7599430 173900 X 173500 0 400 SPINNAKER EXPL CO COM 84855W109 174800 4000 X 3000 0 1000 SPRINGS INDS INC COM 851783100 8133541 190036 X 133136 0 56900 SPRINT CORP COM 852061100 18388698 836230 X 590409 300 245521 SPRINT CORP COM 852061100 6145567 279471 X 272825 750 5896 SPRINT CORP PCS GROUP COM 852061506 3896235 205065 X 154550 0 50515 SPRINT CORP PCS GROUP COM 852061506 1735289 91331 X 89403 500 1428 SPS TECHNOLOGIES INC COM 784626103 437082 9700 X 9700 0 0 SPSS INC COM 78462K102 3600150 212555 X 211451 0 1104 SPX CORP COM 784635104 1199303 13214 X 2940 0 10274 SPX CORP COM 784635104 173170 1908 X 1765 143 0 ST JOE CO COM 790148100 3881122 170150 X 170150 0 0 ST JOE CO COM 790148100 47901 2100 X 2100 0 0 ST JUDE MEDICAL INC COM 790849103 11717275 217591 X 197250 0 20341 ST JUDE MEDICAL INC COM 790849103 86537 1607 X 1607 0 0 ST MARY LD & EXPL CO COM 792228108 9555750 411000 X 410600 0 400 ST MARY LD & EXPL CO COM 792228108 255750 11000 X 1000 0 10000 94 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 83 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ STAAR SURGICAL CO COM NEW PAR $0.01 852312305 4281 1000 X 1000 0 0 STAFF LEASING INC COM 852381102 162892 56658 X 0 0 56658 STAMPS.COM INC COM 852857101 2400 800 X 800 0 0 STANCORP FINANCIAL GROUP COM 852891100 12630 300 X 0 0 300 STANDARD COMMERCIAL CORP COM 853258101 24088 2050 X 0 0 2050 STANDARD MGMT CORP COM 853612109 3875 1000 X 0 0 1000 STANDARD MICROSYSTEMS CORP COM 853626109 197997 13145 X 13145 0 0 STANDARD MOTOR PRODUCTS INC COM 853666105 100700 9500 X 9500 0 0 STANDARD PAC CORP NEW COM 85375C101 687860 32600 X 22600 0 10000 STANDARD REGISTER CO COM 853887107 335780 20600 X 20600 0 0 STANDEX INTL CORP COM 854231107 222615 9700 X 8000 0 1700 STANDEX INTL CORP COM 854231107 31212 1360 X 1360 0 0 STANFORD MICRODEVICES INC COM 854399102 158976 25060 X 24927 0 133 STANLEY FURNITURE INC COM 854305208 2748684 108590 X 108041 0 549 STANLEY WKS COM 854616109 5469371 165990 X 158052 0 7938 STANLEY WKS COM 854616109 11203395 340012 X 259053 900 80059 STAPLES INC COM 855030102 40879906 2748229 X 2593435 1450 153344 STAPLES INC COM 855030102 6542144 439808 X 270558 0 169250 STARBASE CORP COM 854910205 222 100 X 100 0 0 STARBUCKS CORP COM 855244109 1280552 30175 X 26250 0 3925 STARBUCKS CORP COM 855244109 89119 2100 X 2100 0 0 STARCRAFT CORP COM 855269106 1375 1000 X 1000 0 0 STARMEDIA NETWORK INC COM 855546107 300 100 X 100 0 0 STARRETT LS CO CL A COM 855668109 928340 53048 X 51648 0 1400 STARRETT LS CO CL A COM 855668109 116900 6680 X 6680 0 0 STARTEK INC COM 85569C107 184080 13000 X 10600 0 2400 STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 4656887 136927 X 21108 0 115819 STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 640306 18827 X 16263 0 2564 STATE BANCORP INC NY COM 855716106 99226 6528 X 0 0 6528 STATE STREET CORP COM 857477103 14810064 158566 X 127780 0 30786 STATE STREET CORP COM 857477103 16902318 180967 X 178087 80 2800 STATEN IS BANCORP INC COM 857550107 698570 28055 X 27600 0 455 STEAK N SHAKE CO COM 857873103 189200 22000 X 22000 0 0 STEEL DYNAMICS INC COM 858119100 381588 34300 X 34300 0 0 STEEL TECHNOLOGIES INC COM 858147101 51385 8100 X 8100 0 0 STEELCASE INC COM 858155203 1258 104 X 104 0 0 STEELCASE INC COM 858155203 60500 5000 X 5000 0 0 STEIN MART INC COM 858375108 348906 31900 X 31900 0 0 STEMCELLS INC COM 85857R105 3500 2000 X 2000 0 0 STERICYCLE INC COM 858912108 504263 11300 X 0 0 11300 STERIS CORP COM 859152100 383097 27170 X 3770 0 23400 STERLING BANCSHARES INC / TX COM 858907108 3925600 224320 X 221020 0 3300 95 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 84 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ STEWART & STEVENSON SVCS INC COM 860342104 265350 12200 X 0 0 12200 STEWART & STEVENSON SVCS INC COM 860342104 227048 10439 X 10439 0 0 STEWART ENTERPRISES INC COM 860370105 12422 2500 X 2500 0 0 STILLWATER MINING CO COM 86074Q102 797975 29500 X 29100 0 400 STILWILL FINANCIAL INC COM 860831106 1271509 47409 X 24108 0 23301 STILWILL FINANCIAL INC COM 860831106 1276096 47580 X 42720 0 4860 STONE ENERGY CORP COM 861642106 10896061 221150 X 221150 0 0 STONE ENERGY CORP COM 861642106 97899 1987 X 0 0 1987 STORAGE TECHNOLOGY CORP COM 862111200 436689 40100 X 500 0 39600 STORAGE TECHNOLOGY CORP COM 862111200 98010 9000 X 0 0 9000 STORAGE USA INC COM 861907103 156384 4800 X 0 0 4800 STORAGENETWORKS INC COM 86211E103 286968 26088 X 11288 0 14800 STORAGENETWORKS INC COM 86211E103 11000 1000 X 1000 0 0 STRATOS LIGHTWAVE INC COM 863100103 11000 1100 X 0 0 1100 STRATUS PPTYS INC COM 863167102 653 90 X 90 0 0 STRATUS PPTYS INC COM 863167102 1146 158 X 158 0 0 STRAYER EDUCATION INC COM 863236105 35000 1000 X 0 0 1000 STRAYER EDUCATION INC COM 863236105 8400 240 X 240 0 0 STREET COM INC COM (THE) 88368Q103 313 100 X 100 0 0 STRIDE-RITE CORP 863314100 256500 34200 X 34200 0 0 STRIDE-RITE CORP 863314100 675300 90040 X 90040 0 0 STRYKER CORP 863667101 10786177 206434 X 203209 0 3225 STRYKER CORP 863667101 8067348 154399 X 128442 3600 22357 STURM RUGER & CO INC 864159108 203274 20700 X 20700 0 0 STURM RUGER & CO INC 864159108 15712 1600 X 1000 0 600 SUCCESS BANCSHARES INC COM 864578109 14047 1091 X 1091 0 0 SUFFOLK BANCORP COM 864739107 56000 1600 X 0 0 1600 SUIZA FOODS CORP COM 865077101 762227 15850 X 2150 0 13700 SUIZA FOODS CORP COM 865077101 64441 1340 X 1340 0 0 SUMMIT PPTYS INC COM 866239106 83300 3400 X 1700 0 1700 SUMMIT PPTYS INC COM 866239106 58800 2400 X 2400 0 0 SUN HYDRAULICS COM 866942105 35938 5000 X 5000 0 0 SUN HYDRAULICS COM 866942105 3594 500 X 500 0 0 SUN MICROSYSTEMS INC COM 866810104 52610449 3422931 X 2772375 0 650556 SUN MICROSYSTEMS INC COM 866810104 12195465 793459 X 567394 5775 220290 SUNGARD DATA SYS INC COM 867363103 4435623 90100 X 3935 0 86165 SUNGARD DATA SYS INC COM 867363103 1874678 38080 X 11355 0 26725 SUNGLASS HUT INTL INC 86736F106 34313 3000 X 3000 0 0 SUNOCO INC COM 86764P109 10769225 332076 X 284406 0 47670 SUNOCO INC COM 86764P109 880766 27159 X 27159 0 0 SUNRISE ASSISTED LIVING INC COM 86768K106 27563 1400 X 100 800 500 SUNRISE TECHNOLOGIES INTL INC COM 86769L103 11250 6000 X 0 0 6000 96 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 85 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ SUNTRUST BANKS INC COM 867914103 15790075 243674 X 216724 0 26950 SUNTRUST BANKS INC COM 867914103 8618076 132995 X 129759 800 2436 SUPERIOR ENERGY SVCS INC COM 868157108 392588 36100 X 0 0 36100 SUPERIOR FINANCIAL CORP COM 868161100 6367369 478300 X 318900 0 159400 SUPERIOR INDS INTL INC COM 868168105 421754 12200 X 400 0 11800 SUPERTEX INC COM 868532102 231669 18350 X 9300 0 9050 SUPERVALU INC 868536103 2803872 210343 X 15715 0 194628 SUPERVALU INC 868536103 736483 55250 X 53800 0 1450 SURMODICS INC COM 868873100 3452400 95900 X 95900 0 0 SUSQUEHANNA BANCSHARES INC PA COM 869099101 531000 29500 X 29500 0 0 SWANK INC COM 869716308 17 33 X 33 0 0 SWIFT ENERGY CO COM 870738101 8243668 257293 X 256093 0 1200 SWIFT TRANSN INC COM 870756103 2791465 150890 X 150090 0 800 SYBASE INC COM 871130100 2769695 178690 X 99590 0 79100 SYBASE INC COM 871130100 92566 5972 X 1489 0 4483 SYBRON DENTAL SPECIALTIES COM 871142105 579600 27600 X 26400 0 1200 SYBRON DENTAL SPECIALTIES COM 871142105 47523 2263 X 1031 0 1232 SYCAMORE NETWORKS COM 871206108 213240 21324 X 21324 0 0 SYCAMORE NETWORKS COM 871206108 8000 800 X 800 0 0 SYKES ENTERPRISES INC COM 871237103 32813 6000 X 6000 0 0 SYLVAN LEARNING SYS INC COM 871399101 914203 44325 X 42512 0 1813 SYLVAN LEARNING SYS INC COM 871399101 23203 1125 X 1125 0 0 SYMANTEC CORP COM 871503108 340103 8134 X 734 0 7400 SYMBOL TECHNOLOGIES INC COM 871508107 828840 23749 X 22037 0 1712 SYMBOL TECHNOLOGIES INC COM 871508107 420859 12059 X 11999 60 0 SYMMETRICOM INC COM 871543104 228556 18850 X 17750 0 1100 SYMS CORP 871551107 3200 400 X 400 0 0 SYNAVANT INC COM 87157A105 18311 4069 X 4056 0 13 SYNAVANT INC COM 87157A105 23972 5327 X 5087 20 220 SYNBIOTICS CORP COM 871566105 531 1000 X 0 0 1000 SYNCOR INTL CORP COM 87157J106 609525 18900 X 18200 0 700 SYNERGY BRANDS INC COM 87159E105 2500 5000 X 5000 0 0 SYNOPSYS INC 871607107 569211 12127 X 12 0 12115 SYNOPSYS INC 871607107 64680 1378 X 1378 0 0 SYNOVUS FINL CORP 87161C105 767772 28436 X 26828 0 1608 SYNOVUS FINL CORP 87161C105 607500 22500 X 22500 0 0 SYNQUEST INC COM 87160X100 774563 153000 X 150000 0 3000 SYNTROLEUM CORP COM 871630109 5775 400 X 400 0 0 SYSCO CORP COM 871829107 85032681 3207570 X 2944926 0 262644 SYSCO CORP COM 871829107 33701421 1271272 X 1180905 3700 86667 SYSTEMAX INC COM 871851101 7 4 X 4 0 0 SYSTEMS & COMPUTER TECHNOLOGY CORP 871873105 515419 56100 X 25300 0 30800 97 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 86 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ SYSTEMS & COMPUTER TECHNOLOGY CORP 871873105 5513 600 X 0 0 600 S2 GOLF INC COM NEW 784850307 122 81 X 81 0 0 Safeguard Scientifics COM 786449108 419250 75000 X 75000 SAGE, INC. COM 786632109 13115 1952 X 1952 Santa Barbara Restaurant Group COM 801378100 8840 4420 X 4420 SBC COMMUNICATIONS, INC. COM 78387G103 1798589 40300 X 40300 SCHERING-PLOUGH CORP COM 806605101 2919843 79930 X 79930 SCHLUMBERGER LTD COM 806857108 4245857 73700 X 73700 SEPRACOR INC COM 817315104 3199 100 X 100 SIEBEL SYSTEMS INC COM 826170102 2181141 80189 X 80189 Smartdisk Corp COM 83169Q105 16082 5703 X 5703 SPRINT CORP. (PCS GROUP) COM 852061506 613700 32300 X 32300 SUN MICROSYSTEMS INC COM 866810104 86692 5644 X 5644 SUNGARD DATA SYSTEMS INC. COM 867363103 2505807 50900 X 50900 SYMANTEC CORPORATION COM 871503108 9408 225 X 225 SYNOPSYS INC COM 871607107 47344 1010 X 1010 SYNOVUS FINANCIAL CORP COM 87161C105 132300 4900 X 4900 T ROWE PRICE GROUP INC COM 74144T108 457069 14597 X 14280 0 317 T ROWE PRICE GROUP INC COM 74144T108 93938 3000 X 2000 0 1000 TAKE-TWO INTERACTIVE SOFTWARE COM 874054109 178320 12500 X 12500 0 0 TALBOTS INC COM 874161102 235764 5550 X 250 0 5300 TALK CITY COM 874263106 309 1650 X 1650 0 0 TALK.COM INC COM 874264104 1125 500 X 500 0 0 TANNING TECHNOLOGY CORP COM 87588P101 1812536 500010 X 497410 0 2600 TARGET CORP COM 87612E106 173687280 4813949 X 4528207 1550 284192 TARGET CORP COM 87612E106 46492363 1288591 X 1231152 5900 51539 TB WOODS CORP COM 872226105 3032000 379000 X 253100 0 125900 TBC CORP COM 872180104 97000 16000 X 16000 0 0 TCF FINL CORP COM 872275102 619756 16400 X 0 0 16400 TCF FINL CORP COM 872275102 45348 1200 X 1200 0 0 TECH DATA CORP COM 878237106 2712230 91940 X 65000 0 26940 TECH DATA CORP COM 878237106 72659 2463 X 2375 0 88 TECHNE CORP COM 878377100 1083273 41465 X 31200 0 10265 TECHNE CORP COM 878377100 15675 600 X 600 0 0 TECHNISOURCE INC COM 878553106 1688 1000 X 1000 0 0 TECHNITROL INC COM 878555101 649629 26100 X 25100 0 1000 TECHNITROL INC COM 878555101 298680 12000 X 12000 0 0 TECO ENERGY INC COM 872375100 8474036 282845 X 261358 600 20887 TECO ENERGY INC COM 872375100 11776467 393073 X 384798 4240 4035 TECUMSEH PRODS CO CL A COM 878895200 1228725 25400 X 25000 0 400 98 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 86 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ TEJON RANCH CO COM 879080109 123500 5000 X 5000 0 0 TEKELEC COM 879101103 214200 11900 X 0 0 11900 TEKTRONIX INC COM 879131100 826751 30295 X 4554 0 25741 TEKTRONIX INC COM 879131100 26580 974 X 374 0 600 TELAXIS COMM CORP COM 879202109 26497 18040 X 18040 0 0 TELECORP PCS INC NEW CL A COM 879300101 46091 3060 X 760 0 2300 TELEDYNE TECHNOLOGIES INC COM 879360105 338240 24160 X 24160 0 0 TELEDYNE TECHNOLOGIES INC COM 879360105 179116 12794 X 12476 0 318 TELEFLEX INC COM 879369106 180835 4416 X 4416 0 0 TELEFLEX INC COM 879369106 110565 2700 X 2700 0 0 TELEMATE.NET SOFTWARE INC COM 87943L100 197906 191900 X 126900 0 65000 TELEPHONE & DATA SYS INC COM 879433100 1122000 12000 X 1250 0 10750 TELEPHONE & DATA SYS INC COM 879433100 65450 700 X 700 0 0 TELIGENT INC CL A COM 87959Y103 39 65 X 65 0 0 TELIK INC COM 87959M109 26716 5150 X 0 0 5150 TELLABS INC COM 879664100 22711722 558199 X 538631 0 19568 TELLABS INC COM 879664100 3647065 89636 X 49136 0 40500 TEMPLE-INLAND INC COM 879868107 975536 22046 X 7916 0 14130 TEMPLE-INLAND INC COM 879868107 476263 10763 X 10545 0 218 TENET HEALTHCARE CORP COM 88033G100 45261524 1028671 X 936121 0 92550 TENET HEALTHCARE CORP COM 88033G100 72160 1640 X 1640 0 0 TENNANT CO COM 880345103 40138 950 X 0 0 950 TENNANT CO COM 880345103 84500 2000 X 2000 0 0 TENNECO AUTOMOTIVE INC COM 880349105 75617 27006 X 27006 0 0 TENNECO AUTOMOTIVE INC COM 880349105 4001 1429 X 1429 0 0 TERADYNE COM 880770102 26804448 812256 X 786556 0 25700 TERADYNE COM 880770102 422400 12800 X 2800 0 10000 TERAFORCE TECHNOLOGY CORP COM 88077T109 16 30 X 30 0 0 TERAYON COMMUNICATION SYS COM 880775101 335709 73580 X 73580 0 0 TERAYON COMMUNICATION SYS COM 880775101 913 200 X 0 0 200 TEREX CORP NEW 880779103 9794648 564533 X 369460 0 195073 TESORO PETROLEUM CORP 881609101 49800 4000 X 0 0 4000 TESORO PETROLEUM CORP 881609101 9238 742 X 742 0 0 TETRA TECH INC COM NEW 88162G103 704639 34797 X 32452 0 2345 TETRA TECH INC COM NEW 88162G103 91166 4502 X 0 0 4502 TETRA TECHNOLOGIES INC DEL COM 88162F105 210600 10400 X 10400 0 0 TEXACO INC COM 881694103 65113234 980621 X 885340 0 95281 TEXACO INC COM 881694103 21812798 328506 X 301286 1300 25920 TEXAS BIOTECHNOLOGY CORP COM 88221T104 505 100 X 100 0 0 TEXAS INDUSTRIES INC 882491103 726447 25024 X 16224 0 8800 TEXAS INDUSTRIES INC 882491103 110604 3810 X 3810 0 0 TEXAS INSTRUMENTS COM 882508104 152524609 4923325 X 4525498 1250 396577 99 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 88 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ TEXAS INSTRUMENTS COM 882508104 36184795 1168005 X 1028880 1650 137475 TEXAS REGIONAL BANCSHARES INC CL A 882673106 10287711 297118 X 198558 0 98560 TEXTRON INC COM 883203101 33060759 581646 X 526086 0 55560 TEXTRON INC COM 883203101 8289148 145833 X 136666 775 8392 TF FINL CORP COM 872391107 17219 1000 X 0 0 1000 THE MANAGEMENT NETWORK GROUP INC COM 561693102 1425296 281540 X 280140 0 1400 THERAGENICS CORP COM 883375107 141858 22200 X 22200 0 0 THERMO ELECTRON CORPORATION COM 883556102 10435059 464193 X 389177 0 75016 THERMO ELECTRON CORPORATION COM 883556102 2955356 131466 X 119364 700 11402 THERMO FIBERTEK INC COM 88355W105 12420 3000 X 3000 0 0 THOMAS & BETTS CORP COM 884315102 439208 25300 X 13818 0 11482 THOMAS & BETTS CORP COM 884315102 124957 7198 X 6490 0 708 THOMAS INDS INC COM 884425109 323955 15650 X 15650 0 0 THOMAS NELSON INC 640376109 70523 10900 X 10900 0 0 THOR INDS INC COM 885160101 195750 9000 X 9000 0 0 THORATEC CORPORATION COM 885175307 6004825 706450 X 704176 0 2274 THORNBURG MORTGAGE INC COM 885218107 12210 1000 X 1000 0 0 THQ INC COM 872443403 577600 15200 X 15200 0 0 THREE DFX INTERACTIVE INC COM 88553X103 414 1325 X 1325 0 0 THREE-FIVE SYSTEMS INC 88554L108 203740 16700 X 16700 0 0 TICKETMASTER CL B 88633P203 44406 4900 X 4900 0 0 TICKETS COM INC COM 88633M101 1563 5000 X 5000 0 0 TIDEWATER INC COM 886423102 343520 7600 X 5000 0 2600 TIDEWATER INC COM 886423102 153680 3400 X 3400 0 0 TIFFANY & CO NEW 886547108 1092889 40106 X 25806 0 14300 TIFFANY & CO NEW 886547108 32700 1200 X 1200 0 0 TIMBERLAND CO CL A COM 887100105 1518920 29900 X 27100 0 2800 TIMBERLINE SOFTWARE CORP COM 887134104 15306 4998 X 4998 0 0 TIME WARNER TELECOM CL A COM 887319101 58564 1610 X 10 0 1600 TIMKEN CO COM 887389104 258413 16512 X 5404 0 11108 TIMKEN CO COM 887389104 62099 3968 X 3968 0 0 TIOGA TECHNOLOGIES LTD COM M8789G100 63 100 X 100 0 0 TITAN CORP COM 888266103 6321846 351800 X 350200 0 1600 TITAN CORP COM 888266103 12130 675 X 675 0 0 TITAN INTL INC COM 88830M102 55380 15600 X 15600 0 0 TITAN PHARMACEUTICALS INC COM 888314101 256743 11565 X 0 0 11565 TITANIUM METALS CORP COM 888339108 6292737 695330 X 693230 0 2100 TJX COS INC NEW COM 872540109 47890688 1496584 X 1270843 0 225741 TJX COS INC NEW COM 872540109 2598240 81195 X 69995 0 11200 TMP WORLDWIDE INC COM 872941109 124031 3302 X 0 0 3302 TOLL BROS INC COM 889478103 12325005 320130 X 294230 0 25900 TOLL BROS INC COM 889478103 385000 10000 X 0 0 10000 100 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 88 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ TOLLGRADE COMMUNICATIONS INC COM 889542106 3607060 140080 X 139351 0 729 TOM BROWN INC COM 115660201 4240500 128500 X 128000 0 500 TOMPKINS TRUSTCO INC COM 890110109 540505 17241 X 9321 0 7920 TOMPKINS TRUSTCO INC COM 890110109 67653 2158 X 2158 0 0 TOO INC COM 890333107 2661 142 X 142 0 0 TOO INC COM 890333107 120198 6414 X 114 0 6300 TOOTSIE ROLL INDUSTRIES COM 890516107 95639 2012 X 2012 0 0 TOOTSIE ROLL INDUSTRIES COM 890516107 336639 7082 X 7082 0 0 TOPPS INC COM 890786106 146813 14500 X 0 0 14500 TORCHMARK CORP COM 891027104 13914808 358352 X 317027 0 41325 TORCHMARK CORP COM 891027104 2742019 70616 X 69716 0 900 TORO CO COM 891092108 10572640 229840 X 159640 0 70200 TOSCO CORP COM NEW 891490302 19078871 446185 X 423787 0 22398 TOSCO CORP COM NEW 891490302 18173 425 X 425 0 0 TOTAL SYS SVCS INC COM 891906109 7380 300 X 300 0 0 TOWER AUTOMOTIVE INC COM 891707101 6067279 565450 X 555150 0 10300 TOYS-R-US INC 892335100 3927648 156480 X 144532 0 11948 TOYS-R-US INC 892335100 10919 435 X 435 0 0 TRACK DATA CORP COM 891918104 17000 17000 X 17000 0 0 TRANS WORLD ENTMT CORP COM 89336Q100 849525 96400 X 96400 0 0 TRANSACTION SYS ARCHITECTS INC COM A 893416107 166026 23200 X 0 0 23200 TRANSATLANTIC HLDG INC COM 893521104 3343159 32613 X 32538 0 75 TRANSATLANTIC HLDG INC COM 893521104 2317546 22608 X 20208 0 2400 TRANSMATION INC COM 893757104 325 200 X 0 0 200 TRANSMETA CORP COM 89376R109 2162738 112350 X 108300 0 4050 TRANSOCEAN SEDCO FOREX INC COM G90078109 65865643 1519392 X 1416120 109 103163 TRANSOCEAN SEDCO FOREX INC COM G90078109 5183663 119577 X 110942 1339 7296 TRANSPRO INC COM 893885103 10600 4000 X 0 0 4000 TRANSTECHNOLOGY CORP 893889105 1258520 242023 X 191723 0 50300 TRANSWITCH CORP COM 894065101 383250 29200 X 2150 0 27050 TRANSWITCH CORP COM 894065101 51188 3900 X 600 0 3300 TRAVELOCITY.COM INC COM 893953109 14813 1000 X 0 0 1000 TRAVIS BOATS & MOTORS INC COM 894363100 708851 210030 X 209066 0 964 TRC COS INC COM 872625108 6170515 209170 X 208170 0 1000 TRC COS INC COM 872625108 88500 3000 X 3000 0 0 TREDEGAR CORPORATION 894650100 503360 28600 X 28600 0 0 TREMONT CORP COM 894745207 556 20 X 20 0 0 TREMONT CORP COM 894745207 19460 700 X 700 0 0 TRENWICK GROUP LTD COM G9032C109 3521016 178460 X 177060 0 1400 TRENWICK GROUP LTD COM G9032C109 161786 8200 X 2500 0 5700 TRIAD GTY INC COM 895925105 26550 800 X 0 0 800 TRIAD HOSPS INC COM 89579K109 8528025 301877 X 299701 0 2176 101 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 89 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ TRIAD HOSPS INC COM 89579K109 66755 2363 X 263 0 2100 TRIARC COS INC CL A COM 895927101 420635 17099 X 13999 0 3100 TRIBUNE CO NEW COM 896047107 28146981 690893 X 672734 0 18159 TRIBUNE CO NEW COM 896047107 29385599 721296 X 683953 0 37343 TRICO MARINE SVCS INC COM 896106101 2427150 161810 X 151510 0 10300 TRICON GLOBAL RESTAURANTS INC COM 895953107 4153315 108754 X 60688 15 48051 TRICON GLOBAL RESTAURANTS INC COM 895953107 1353034 35429 X 32099 80 3250 TRIGON HEALTHCARE INC COM 89618L100 1102100 21400 X 100 0 21300 TRIGON HEALTHCARE INC COM 89618L100 4738 92 X 0 0 92 TRIMBLE NAV LTD 896239100 447872 23650 X 18700 0 4950 TRINITY INDUSTRIES INC COM 896522109 122850 6300 X 0 0 6300 TRINITY INDUSTRIES INC COM 896522109 3900 200 X 200 0 0 TRIPATH IMAGING INC COM 896942109 247031 39525 X 0 0 39525 TRIQUINT SEMICONDUCTOR INC COM 89674K103 347205 23440 X 2100 0 21340 TRIQUINT SEMICONDUCTOR INC COM 89674K103 1481 100 X 100 0 0 TRITON ENERGY LTD COM G90751101 4403442 234600 X 222900 0 11700 TRITON ENERGY LTD COM G90751101 5631 300 X 300 0 0 TRITON PCS HOLDINGS INC CL A COM 89677M106 98272 2950 X 0 0 2950 TRIUMPH GROUP INC COM 896818101 102600 2700 X 0 0 2700 TROY FINANICIAL CORP COM 897329108 96863 6300 X 0 0 6300 TROY FINANICIAL CORP COM 897329108 99938 6500 X 0 0 6500 TRUE NORTH COMMUNICATIONS INC COM 897844106 324650 8600 X 0 0 8600 TRUE NORTH COMMUNICATIONS INC COM 897844106 33975 900 X 500 0 400 TRUST CO NJ JERSEY CITY NEW COM 898304100 40200 2400 X 2400 0 0 TRUSTCO BK CORP NY 898349105 1800646 139856 X 94824 0 45032 TRUSTCO BK CORP NY 898349105 1537249 119398 X 112183 0 7215 TRW INC COM 872649108 1898254 55831 X 35939 0 19892 TRW INC COM 872649108 1759534 51751 X 46127 264 5360 TTM TECHNOLOGIES COM 87305R109 32653 6450 X 0 0 6450 TUCKER ANTHONY SUTRO COM 898647102 369525 19500 X 19500 0 0 TUCKER ANTHONY SUTRO COM 898647102 37900 2000 X 2000 0 0 TULARIK INC COM 899165104 133475 7025 X 100 0 6925 TUMBLEWEED COMMUNICATIONS CORP COM 899690101 391 202 X 202 0 0 TUPPERWARE CORP COM 899896104 277205 11618 X 7468 0 4150 TUPPERWARE CORP COM 899896104 41182 1726 X 1726 0 0 TWEETER HOME ENTMT GROUP INC COM 901167106 5376801 276620 X 275120 0 1500 TWEETER HOME ENTMT GROUP INC COM 901167106 48594 2500 X 2500 0 0 TXU CORP COM 873168108 30396645 735640 X 686519 0 49121 TXU CORP COM 873168108 7279923 176184 X 139192 1800 35192 TYCO INTL LTD NEW COM 902124106 362785944 8391995 X 7868917 1280 521798 TYCO INTL LTD NEW COM 902124106 65666716 1519008 X 1409715 3462 105831 TYCOM LTD COM G9144B106 1067451 81175 X 78175 0 3000 102 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 90 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ TYCOM LTD COM G9144B106 23670 1800 X 1800 0 0 TYSON FOODS INC CL A COM 902494103 3117281 231424 X 211224 0 20200 TYSON FOODS INC CL A COM 902494103 6735 500 X 500 0 0 TANOX INC COM 87588Q109 2916 150 X 150 Tecan COM 5696200 598461 707 X 707 THE CHUBB CORPORATION COM 171232101 1050380 14500 X 14500 THE INTERCEPT GROUP INC COM 45845L107 6570 257 X 257 THE MEN'S WEARHOUSE COM 587118100 3776500 175000 X 175000 THE PEPSI BOTTLING GROUP COM 713409100 691782 18200 X 18200 Therma-Wave COM 88343A108 91304 7232 X 7232 TICKETMASTER ONLINE-CITY SEARC COM 88633P203 7250 800 X 800 Titan Corp COM 888266103 15 1 X 1 TIVO INC. COM 888706108 304 60 X 60 TRANSOCEAN SEDCO FOREX INC COM G90078109 3663075 84500 X 84500 Transpac Industrial Holding Ltd. (SGD) COM 6902111 65427 95000 X 95000 Triton Network COM 896775103 590625 350000 X 350000 Triton Network COM 896775103 226125 134000 X 134000 Trizetto Corporation COM 896882107 1104784 79267 X 79267 TTM TECHNOLOGIES COM 87305R109 5000 1000 X 1000 Tularik, Inc COM 899165104 247209 13011 X 13011 Tularik, Inc COM 899165104 130663 6877 X 6877 Tumbleweed Commun COM 899690101 2699 1393 X 1393 TUT Systems COM 901103101 7714 2481 X 2481 TUT Systems COM 901103101 3853 1239 X 1239 U S INDUSTRIES INC COM 912080108 520 89 X 89 0 0 U S INTERACTIVE INC COM 90334M109 281 500 X 500 0 0 U.S. PLASTIC LUMBER CO COM 902948108 105484 129827 X 129827 0 0 UAL CORP COM 902549500 2692385 81464 X 81464 0 0 UAL CORP COM 902549500 11568 350 X 350 0 0 UBIQUITEL INC COM 903474302 111838 19450 X 0 0 19450 UCAR INTL INC COM 90262K109 53940 4650 X 0 0 4650 UCBH HLDGS INC COM 90262T308 438188 9000 X 7100 0 1900 UGI CORPORATION COM 902681105 541229 22100 X 20400 0 1700 UGI CORPORATION COM 902681105 199961 8165 X 8165 0 0 UIL HLDG CORP COM 902748102 577743 12163 X 11700 0 463 UIL HLDG CORP COM 902748102 586625 12350 X 11850 0 500 ULTICOM INC COM 903844108 11063 600 X 0 0 600 ULTIMATE ELECTRONICS INC COM 903849107 4844000 193760 X 192760 0 1000 ULTRAMAR-DIAMOND SHAMROCK CORP COM 904000106 913762 25256 X 306 0 24950 ULTRAMAR-DIAMOND SHAMROCK CORP COM 904000106 93164 2575 X 2575 0 0 ULTRATECH STEPPER INC COM 904034105 421088 17100 X 16000 0 1100 103 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 91 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ UMB FINL CORP COM 902788108 167238 4401 X 4401 0 0 UNIFIRST CORP COM 904708104 12734117 972070 X 661070 0 311000 UNION BANKSHARES INC COM 905400107 41160 2400 X 2400 0 0 UNION BANKSHARES INC COM 905400107 159529 9302 X 9302 0 0 UNION FINL BANCSHARES INC COM 906611108 8496 944 X 944 0 0 UNION PACIFIC CORP COM 907818108 19603238 348502 X 264794 0 83708 UNION PACIFIC CORP COM 907818108 25616194 455399 X 436464 1800 17135 UNION PLANTERS CORP COM 908068109 904515 23500 X 14427 0 9073 UNION PLANTERS CORP COM 908068109 51423 1336 X 1336 0 0 UNIONBANCAL CORP COM 908906100 14525 500 X 500 0 0 UNISOURCE ENERGY CORP COM 909205106 512946 24426 X 24426 0 0 UNISOURCE ENERGY CORP COM 909205106 7014 334 X 334 0 0 UNISYS CORP COM 909214108 881104 62936 X 45048 0 17888 UNISYS CORP COM 909214108 60704 4336 X 4336 0 0 UNIT CORP COM 909218109 33 2 X 2 0 0 UNITED BANCSHARES INC OHIO COM 909458101 42722 5425 X 5425 0 0 UNITED BANKSHARES INC W VA COM 909907107 696938 31500 X 31500 0 0 UNITED BANKSHARES INC W VA COM 909907107 88500 4000 X 4000 0 0 UNITED GLOBAL COM CL A 913247508 47250 3600 X 300 0 3300 UNITED INDUSTRIAL CORPORATION COM 910671106 88 7 X 7 0 0 UNITED NAT FOODS INC COM 911163103 5847132 415870 X 272030 0 143840 UNITED NATL BANCORP NJ COM 910909100 20000 1000 X 1000 0 0 UNITED NATL BANCORP NJ COM 910909100 1801520 90076 X 90076 0 0 UNITED PARCEL SERVICE CL B COM 911312106 11224606 197269 X 191833 0 5436 UNITED PARCEL SERVICE CL B COM 911312106 4009060 70458 X 63808 0 6650 UNITED PARK CITY MINES CO COM 911315208 35 2 X 2 0 0 UNITED RENTALS INC COM 911363109 66218 4055 X 100 0 3955 UNITED RENTALS INC COM 911363109 118131 7234 X 4182 0 3052 UNITED STATES CELLULAR CORP COM 911684108 557213 8775 X 0 0 8775 UNITED STATIONERS INC COM 913004107 6985455 288060 X 275638 0 12422 UNITED TECHNOLOGIES CORP COM 913017109 143659864 1959889 X 1801745 1000 157144 UNITED TECHNOLOGIES CORP COM 913017109 43689879 596042 X 555301 1610 39131 UNITED TELEVISION INC COM 913066106 79625 700 X 0 0 700 UNITED TELEVISION INC COM 913066106 16266 143 X 143 0 0 UNITED THERAPEUTICS CORP DEL COM 91307C102 18309 1050 X 0 0 1050 UNITEDHEALTH GROUP INC COM 91324P102 11854726 200046 X 141606 0 58440 UNITEDHEALTH GROUP INC COM 91324P102 3875782 65403 X 39828 0 25575 UNITIL CORP COM 913259107 84280 3273 X 3273 0 0 UNITIL CORP COM 913259107 1705062 66216 X 30228 0 35988 UNITRIN INC COM 913275103 500156 13750 X 13750 0 0 UNITRIN INC COM 913275103 2318906 63750 X 62720 0 1030 UNIVERSAL ACCESS INC COM 913363107 58710 10300 X 0 0 10300 104 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 92 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ UNIVERSAL COMPRESSION HLDGS INC COM 913431102 3497550 99930 X 99430 0 500 UNIVERSAL CORP COM 913456109 195809 4966 X 16 0 4950 UNIVERSAL CORP COM 913456109 8872 225 X 225 0 0 UNIVERSAL ELECTRONICS INC COM 913483103 23100 1400 X 0 0 1400 UNIVERSAL FST PRODS INC COM 913543104 341825 22600 X 15000 0 7600 UNIVERSAL HEALTH SVC CL B COM 913903100 4476810 50700 X 8500 0 42200 UNIVERSAL HEALTH SVC CL B COM 913903100 194260 2200 X 0 0 2200 UNIVISION COMMUNICATIONS INC COM 914906102 2033088 53278 X 20178 0 33100 UNOCAL CORP COM 915289102 5539186 160231 X 83353 0 76878 UNOCAL CORP COM 915289102 1635887 47321 X 45321 0 2000 UNOVA INC COM 91529B106 1878 628 X 628 0 0 UNOVA INC COM 91529B106 13090 4378 X 1310 0 3068 UNUMPROVIDENT CORP COM 91529Y106 21965960 751744 X 680146 0 71598 UNUMPROVIDENT CORP COM 91529Y106 3511455 120173 X 103735 600 15838 URBAN OUTFITTERS INC COM 917047102 21375 2000 X 2000 0 0 UROCOR INC COM 91727P105 245100 25800 X 0 0 25800 UROLOGIX INC COM 917273104 79550 3700 X 0 0 3700 URS CORP NEW COM 903236107 237500 12500 X 12500 0 0 US AIRWAYS GROUP NC COM 911905107 206567 5827 X 4531 0 1296 US BANCORP DEL COM 902973304 93763450 4041528 X 3730541 1425 309562 US BANCORP DEL COM 902973304 15308381 659844 X 627720 0 32124 US LEC CORP CL-A COM 90331S109 21188 3000 X 800 0 2200 US ONCOLOGY INC COM 90338W103 3849138 473740 X 471740 0 2000 USA EDUCATION INC COM 90390U102 4210794 57960 X 47240 0 10720 USA EDUCATION INC COM 90390U102 980266 13493 X 13143 0 350 USA NETWORKS INC COM 902984103 453616 18950 X 3200 0 15750 USA NETWORKS INC COM 902984103 48354 2020 X 2020 0 0 USEC INC COM 90333E108 8600 1000 X 1000 0 0 USFREIGHTWAYS CORP COM 916906100 614250 19500 X 19500 0 0 USG CORP COM NEW 903293405 137978 9030 X 1030 0 8000 USINTERNETWORKING INC COM 917311805 5782 5000 X 0 0 5000 UST INC COM 902911106 1257292 41840 X 7962 0 33878 UST INC COM 902911106 4402325 146500 X 146500 0 0 USX-MARATHON GROUP 902905827 14956118 554958 X 440121 0 114837 USX-MARATHON GROUP 902905827 531939 19738 X 13138 0 6600 USX-U S STL GROUP COM 90337T101 127259 8663 X 7168 0 1495 USX-U S STL GROUP COM 90337T101 27544 1875 X 1525 150 200 UTAH MED PRODUCTS COM 917488108 4500 500 X 0 0 500 UTI WORLDWIDE INC COM G87210103 2477706 151890 X 150090 0 1800 UTILICORP UNITED INC 918005109 1001510 30949 X 2349 0 28600 UTILICORP UNITED INC 918005109 789293 24391 X 15091 0 9300 V F CORP COM 918204108 1366190 39034 X 9571 0 29463 105 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 93 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ V F CORP COM 918204108 380450 10870 X 10520 0 350 VA LINUX SYSTEMS INC COM 91819B105 4500 1500 X 1500 0 0 VA LINUX SYSTEMS INC COM 91819B105 300 100 X 100 0 0 VALASSIS COMMUNICATIONS INC COM 918866104 406000 14000 X 0 0 14000 VALENCE TECHNOLOGY INC COM 918914102 823851 180570 X 179770 0 800 VALENCE TECHNOLOGY INC COM 918914102 5019 1100 X 500 0 600 VALERO ENERGY CO COM 91913Y100 101175 2850 X 150 0 2700 VALERO ENERGY CO COM 91913Y100 138450 3900 X 0 0 3900 VALLEY NATIONAL BANCORP 919794107 3225904 119081 X 118581 0 500 VALLEY NATIONAL BANCORP 919794107 2211790 81646 X 81646 0 0 VALMONT INDS INC 920253101 9702986 572870 X 397370 0 175500 VALSPAR CORP 920355104 5738 200 X 200 0 0 VALUE CITY DEPT STORES INC COM 920387107 19090 2300 X 0 0 2300 VANS INC COM 921930103 4741961 210170 X 209070 0 1100 VARCO INTL INC DEL COM 922122106 812578 39350 X 0 0 39350 VARCO INTL INC DEL COM 922122106 6195 300 X 0 0 300 VARIAN INC COM 922206107 43456 1700 X 800 0 900 VARIAN INC COM 922206107 20450 800 X 800 0 0 VARIAN MED SYS INC COM 92220P105 1589373 26141 X 24841 0 1300 VARIAN MED SYS INC COM 92220P105 48640 800 X 800 0 0 VARIAN SEMICONDUCTOR EQUIPTMENT COM 922207105 4157624 130180 X 129580 0 600 VARIAN SEMICONDUCTOR EQUIPTMENT COM 922207105 25550 800 X 800 0 0 VASTERA INC COM 92239N109 85250 11000 X 0 0 11000 VASTERA INC COM 92239N109 1550 200 X 200 0 0 VAXGEN INC NEW COM 922390208 93150 4600 X 4000 0 600 VDI MULTIMEDIA COM 917916108 20408 13605 X 0 0 13605 VECTOR GROUP LTD COM 92240M108 1092756 52036 X 52036 0 0 VECTOR GROUP LTD COM 92240M108 21000 1000 X 1000 0 0 VECTREN CORP COM 92240G101 431017 20141 X 19662 0 479 VECTREN CORP COM 92240G101 485545 22689 X 22689 0 0 VEECO INSTRS INC DEL COM 922417100 6683666 160810 X 159037 0 1773 VELCRO INDS N V COM 922571104 2563 250 X 0 250 0 VELCRO INDS N V COM 922571104 102500 10000 X 10000 0 0 VENATOR GROUP INC COM 922944103 1942695 140775 X 140775 0 0 VENATOR GROUP INC COM 922944103 470994 34130 X 23230 0 10900 VENTAS INC COM 92276F100 196 23 X 23 0 0 VENTAS INC COM 92276F100 2278 268 X 268 0 0 VENTRO CORP COM 922815105 3825 5100 X 5100 0 0 VERISIGN INC COM 92343E102 3245012 91570 X 67170 0 24400 VERISIGN INC COM 92343E102 58472 1650 X 1650 0 0 VERITAS DGC INC COM 92343P107 738045 23100 X 22800 0 300 VERITAS DGC INC COM 92343P107 153360 4800 X 0 0 4800 106 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 97 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ VERITAS SOFTWARE CO COM 923436109 3507766 75860 X 36401 0 39459 VERITAS SOFTWARE CO COM 923436109 374220 8093 X 3179 0 4914 VERITY INC COM 92343C106 596681 26300 X 25100 0 1200 VERIZON COMMUNICATIONS COM 92343V104 211993451 4300070 X 3818374 1483 480213 VERIZON COMMUNICATIONS COM 92343V104 115425203 2341282 X 2175503 9948 155831 VERMONT TEDDY BEAR INC COM 92427X109 2800 700 X 700 0 0 VERSATA INC COM 925298101 309 1100 X 1100 0 0 VERSICOR INC COM 925314106 40313 5000 X 5000 0 0 VERTEL CORPORATION COM 924907108 266 200 X 200 0 0 VERTEX PHARMACEUTICALS INC COM 92532F100 856293 23380 X 20880 0 2500 VERTEX PHARMACEUTICALS INC COM 92532F100 7325 200 X 200 0 0 VERTICAL NET COM 92532L107 2436 1200 X 800 0 400 VERTICAL NET COM 92532L107 3045 1500 X 0 1500 0 VESTA INS GROUP INC COM 925391104 17955 2700 X 2700 0 0 VIACOM INC CL A COM 925524100 151968 3415 X 3135 0 280 VIACOM INC CL A COM 925524100 280573 6305 X 6305 0 0 VIACOM INC CL B COM 925524308 43901363 998439 X 860164 0 138275 VIACOM INC CL B COM 925524308 16330414 371399 X 361737 150 9512 VIAD CORP COM 92552R109 873965 36675 X 29525 0 7150 VIAD CORP COM 92552R109 7935 333 X 333 0 0 VIANT CORP COM 92553N107 25000 10000 X 10000 0 0 VIANT CORP COM 92553N107 5000 2000 X 2000 0 0 VIASAT INC COM 92552V100 272250 18000 X 18000 0 0 VIASAT INC COM 92552V100 30250 2000 X 2000 0 0 VICAL INC COM 925602104 9563 1000 X 1000 0 0 VICINITY CORP COM 925653107 891 500 X 500 0 0 VICOM INC COM 925808107 7969 2000 X 2000 0 0 VICOR CORP COM 925815102 656000 32000 X 27200 0 4800 VICOR CORP COM 925815102 49200 2400 X 2400 0 0 VICORP RESTAURANTS INC COM 925817108 27288 1097 X 1097 0 0 VIEWPOINT CORP COM 92672P108 35750 8000 X 8000 0 0 VIGNETTE CORP COM 926734104 21289 3307 X 3307 0 0 VINTAGE PETE INC COM 927460105 13020744 639840 X 422240 0 217600 VION PHARMACEUTICALS INC COM 927624106 60375 13800 X 5000 0 8800 VION PHARMACEUTICALS INC COM 927624106 4375 1000 X 1000 0 0 VIRATA CORP COM 927646109 39188 3000 X 3000 0 0 VIRCO MFG CORP COM 927651109 13530 1320 X 0 0 1320 VIROPHARMA INC COM 928241108 33206 1150 X 1150 0 0 VISHAY INTERTECHNOLOGY INC COM 928298108 265944 13364 X 3964 0 9400 VISHAY INTERTECHNOLOGY INC COM 928298108 47760 2400 X 2400 0 0 VISIBLE GENETICS INC COM 92829S104 3400 200 X 200 0 0 VISTA GOLD CORP COM 927926105 900 10000 X 10000 0 0 107 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 97 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ VISTA INFORMATION SOLUTIONS COM 928365204 1625 2000 X 2000 0 0 VISTEON CORP COM 92839U107 15985234 1062848 X 899710 26 163112 VISTEON CORP COM 92839U107 1605595 106755 X 105528 13 1214 VISUAL DATA CORP COM 928428200 290736 157683 X 157683 0 0 VISUAL NETWORKS INC COM 928444108 83363 23400 X 23400 0 0 VISX INC DEL COM 92844S105 2316233 134900 X 106300 0 28600 VISX INC DEL COM 92844S105 17170 1000 X 1000 0 0 VITAL SIGNS INC COM 928469105 298763 9300 X 9300 0 0 VITESSE SEMICONDUCTOR CORP COM 928497106 874324 36717 X 22537 0 14180 VITESSE SEMICONDUCTOR CORP COM 928497106 549116 23060 X 4930 0 18130 VITRIA TECHNOLOGY INC COM 92849Q104 1525 400 X 400 0 0 VOICESTREAM WIRELESS CORP COM 928615103 290558 3122 X 1513 0 1609 VOICESTREAM WIRELESS CORP COM 928615103 239836 2577 X 2577 0 0 VOLT INFORMATION SCIENCES INC COM 928703107 209584 11650 X 11650 0 0 VULCAN MATERIALS CO COM 929160109 3941915 84175 X 64614 0 19561 VULCAN MATERIALS CO COM 929160109 1806467 38575 X 38575 0 0 VYYO INC COM 918458100 441645 217420 X 211270 0 6150 VERISIGN INC COM 92343E102 871975 24606 X 24606 VERISITY LTD COM M97385112 26677 3150 X 3150 VIACOM INC. CL-B COM 925524308 1119432 25459 X 25459 Vignette, Inc COM 926734104 386250 60000 X 60000 VIRAGE INC COM 92763Q106 1448 724 X 724 VIRAGE LOGIC CORP COM 92763R104 15602 1307 X 1307 VITESSE SEMICONDUCTOR COM 928497106 1774769 74531 X 74531 VITESSE SEMICONDUCTOR COM 928497106 1140 48 X 48 W P CAREY & CO LLC COM 92930Y107 342959 17724 X 17724 0 0 W P CAREY & CO LLC COM 92930Y107 401048 20726 X 20726 0 0 W.R. GRACE & CO COM 38388F108 3105 1350 X 1350 0 0 W-H ENERGY SVCS INC COM 92925E108 482575 19900 X 0 0 19900 WABASH NATL CORP COM 929566107 1329220 129680 X 127341 0 2339 WABASH NATL CORP COM 929566107 76363 7450 X 7450 0 0 WACHOVIA CORP COM NEW 929771103 9901063 164333 X 147821 0 16512 WACHOVIA CORP COM NEW 929771103 5617047 93229 X 93229 0 0 WACKENHUT CORP COM SER A 929794105 2803856 195800 X 107400 0 88400 WACKENHUT CORRECTIONS CORP COM 929798106 3620 400 X 400 0 0 WADDELL & REED FINANCIAL INC COM A 930059100 1057342 37296 X 30996 0 6300 WADDELL & REED FINANCIAL INC COM A 930059100 37280 1315 X 1315 0 0 WADDELL & REED FINANCIAL INC COM B 930059209 3790461 133373 X 133373 0 0 WADDELL & REED FINANCIAL INC COM B 930059209 161738 5691 X 5691 0 0 WAINWRIGHT BANK & TRUST CO COM 930705108 2475 300 X 300 0 0 WAL-MART STORES INC 931142103 170161366 3369532 X 2966256 200 403076 108 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 97 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ WAL-MART STORES INC 931142103 59268012 1173624 X 1024524 6600 142500 WALGREEN CO COM 931422109 134779822 3303427 X 3015060 1050 287317 WALGREEN CO COM 931422109 58678438 1438197 X 1351240 2200 84757 WALLACE COMPUTER SERVICES INC COM 932270101 32500 2000 X 2000 0 0 WALLACE COMPUTER SERVICES INC COM 932270101 26000 1600 X 1600 0 0 WARNACO GROUP INC CL A COM 934390105 1380 1000 X 0 0 1000 WARREN BANCORP INC COM 934710104 129375 13800 X 13800 0 0 WASHINGTON FED INC COM 938824109 1168094 47556 X 43530 0 4026 WASHINGTON FED INC COM 938824109 19454 792 X 792 0 0 WASHINGTON GROUP INTL INC COM 938862109 936 600 X 600 0 0 WASHINGTON MUTUAL INC COM 939322103 55190902 1008053 X 910286 0 97767 WASHINGTON MUTUAL INC COM 939322103 10450406 190875 X 186700 0 4175 WASHINGTON POST CO CL B COM 939640108 341020 590 X 155 0 435 WASHINGTON POST CO CL B COM 939640108 558926 967 X 967 0 0 WASHINGTON TR BANCORP INC COM 940610108 320991 18084 X 8522 0 9562 WASHINGTON TR BANCORP INC COM 940610108 988231 55675 X 55675 0 0 WASTE MGMT INC DEL COM 94106L109 25666239 1039119 X 952581 750 85788 WASTE MGMT INC DEL COM 94106L109 1155268 46772 X 44264 0 2508 WATER PIK TECHNOLOGIES INC COM 94113U100 490 69 X 69 0 0 WATER PIK TECHNOLOGIES INC COM 94113U100 11310 1593 X 1483 0 110 WATERS CORP COM 941848103 164442755 3540210 X 520965 0 3019245 WATERS CORP COM 941848103 510996 11001 X 5801 0 5200 WATSCO INC CL B COM 942622101 7041 607 X 607 0 0 WATSCO INC COM 942622200 4394459 379487 X 377681 0 1806 WATSON PHARMACEUTICALS INC COM 942683103 2325236 44206 X 38286 0 5920 WATSON PHARMACEUTICALS INC COM 942683103 73640 1400 X 1400 0 0 WATTS INDS INC CL A 942749102 332330 19900 X 19900 0 0 WATTS INDS INC CL A 942749102 3340 200 X 200 0 0 WAUSAU-MOSINEE PAPER CORP COM 943315101 63336 4872 X 4872 0 0 WAVE SYS CORP CL A COM 943526103 51328 11250 X 11250 0 0 WD-40 CO COM 929236107 264000 13200 X 7600 0 5600 WD-40 CO COM 929236107 52000 2600 X 2600 0 0 WEATHERFORD INTL INC NEW COM 947074100 1048984 21256 X 731 0 20525 WEATHERFORD INTL INC NEW COM 947074100 217140 4400 X 0 0 4400 WEBB DEL CORP 947423109 179220 5800 X 100 0 5700 WEBEX COMMUNICATIONS INC COM 94767L109 44500 4000 X 4000 0 0 WEBMD CORPORATION COM 94769M105 393908 70815 X 68315 0 2500 WEBMETHODS INC COM 94768C108 105419 5050 X 0 0 5050 WEBSENSE INC COM 947684106 38000 3200 X 0 0 3200 WEBSTER FINANCIAL CORP COM 947890109 14702241 501569 X 397326 0 104243 WEBSTER FINANCIAL CORP COM 947890109 1209317 41256 X 27800 0 13456 WEBTRENDS CORP COM 94844D104 411300 45700 X 45700 0 0 109 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 97 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ WEBVAN GROUP INC COM 94845V103 168 1076 X 1076 0 0 WEGENER CORP COM 948585104 750 1000 X 1000 0 0 WEIRTON STL CORP COM 948774104 33 44 X 44 0 0 WEIS MARKETS INC COM 948849104 48930 1400 X 0 0 1400 WEIS MARKETS INC COM 948849104 15273 437 X 337 0 100 WELLMAN INC COM 949702104 616000 32000 X 23900 0 8100 WELLMAN INC COM 949702104 11550 600 X 600 0 0 WELLPOINT HEALTH NETWORKS INC COM 94973H108 33478114 351255 X 335505 0 15750 WELLPOINT HEALTH NETWORKS INC COM 94973H108 309758 3250 X 3250 0 0 WELLS FARGO & CO NEW COM 949746101 310362264 6273747 X 5870906 1525 401316 WELLS FARGO & CO NEW COM 949746101 56891292 1150016 X 1086803 11600 51613 WENDYS INTL INC COM 950590109 264358 11844 X 7292 0 4552 WENDYS INTL INC COM 950590109 89280 4000 X 4000 0 0 WERNER ENTERPRISES INC COM 950755108 4912837 286881 X 283893 0 2988 WEST CORPORATION COM 952355105 125300 5600 X 0 0 5600 WEST PHARMACEUTICAL SVCS INC COM 955306105 130760 5600 X 0 0 5600 WESTAFF INC COM 957070105 1313892 437964 X 318514 0 119450 WESTAMERICA BANCORPORATION COM 957090103 9962036 263895 X 261310 0 2585 WESTBANK CORP COM 957116106 29583 3641 X 3641 0 0 WESTBANK CORP COM 957116106 1739 214 X 214 0 0 WESTELL TECHNOLOGIES INC CL A COM 957541105 675 200 X 200 0 0 WESTERN DIGITAL CORP COM 958102105 20944 4400 X 0 0 4400 WESTERN DIGITAL CORP COM 958102105 476 100 X 100 0 0 WESTERN GAS RES INC COM 958259103 112875 3500 X 3500 0 0 WESTERN RES INC COM 959425109 100146 4199 X 2199 0 2000 WESTERN RES INC COM 959425109 144746 6069 X 6069 0 0 WESTERN WIRELESS CORP CL A COM 95988E204 1441091 35473 X 16473 0 19000 WESTERN WIRELESS CORP CL A COM 95988E204 162500 4000 X 4000 0 0 WESTPOINT STEVENS INC CL A COM 961238102 5171400 574600 X 349700 0 224900 WESTVACO CORP COM 961548104 990619 40884 X 7375 0 33509 WESTVACO CORP COM 961548104 245789 10144 X 9019 0 1125 WESTWOOD ONE INC COM 961815107 566292 24600 X 0 0 24600 WET SEAL INC CL A COM 961840105 266500 10400 X 10400 0 0 WEYERHAEUSER CO COM 962166104 23110517 455021 X 410432 50 44539 WEYERHAEUSER CO COM 962166104 9589609 188809 X 181304 50 7455 WGL HLDGS INC COM 92924F106 23122976 836274 X 832999 0 3275 WGL HLDGS INC COM 92924F106 3021288 109269 X 101019 2000 6250 WHIRLPOOL CORP COM 963320106 1946611 38940 X 11799 0 27141 WHIRLPOOL CORP COM 963320106 1185263 23710 X 20672 0 3038 WHITE MTNS INS GROUP LTD COM G9618E107 5633775 17150 X 16900 0 250 WHITEHALL JEWELLERS INC COM 965063100 175859 22575 X 0 0 22575 WHITNEY HOLDING CORP 966612103 747731 18900 X 16000 0 2900 110 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 97 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ WHOLE FOODS MKT INC COM 966837106 902528 21425 X 18225 0 3200 WHOLE FOODS MKT INC COM 966837106 195881 4650 X 4250 0 400 WHX CORP COM 929248102 278 200 X 200 0 0 WILD OATS MKTS INC COM 96808B107 14224 1575 X 1575 0 0 WILD OATS MKTS INC COM 96808B107 2032 225 X 225 0 0 WILEY JOHN & SONS INC CL A COM 968223206 30240 1600 X 0 0 1600 WILLAMETTE INDS INC COM 969133107 930074 20219 X 16628 0 3591 WILLAMETTE INDS INC COM 969133107 698372 15182 X 11082 0 4100 WILLIAMS COAL SEAM GAS RTY TR 969450105 15116 936 X 936 0 0 WILLIAMS COMMUNICATIONS GRP COM 969455104 26127 2903 X 2803 0 100 WILLIAMS COMMUNICATIONS GRP COM 969455104 110700 12300 X 12300 0 0 WILLIAMS COS INC COM 969457100 133327904 3111503 X 2915151 2325 194027 WILLIAMS COS INC COM 969457100 11959435 279100 X 261164 375 17561 WILLIAMS SONOMA INC COM 969904101 7602000 289600 X 264500 0 25100 WILLIAMS SONOMA INC COM 969904101 663469 25275 X 21875 0 3400 WILLIS LEASE FINANCE COM 970646105 3278422 319846 X 209646 0 110200 WILMINGTON TRUST CORPORATION COM 971807102 184389 3121 X 3121 0 0 WILMINGTON TRUST CORPORATION COM 971807102 300835 5092 X 3092 0 2000 WILSON GREATBATCH TECHNOLOGIES INC 972232102 49374 2600 X 0 0 2600 WILSONS LEATHER EXPERTS INC COM 972463103 190625 10000 X 0 0 10000 WIND RIV SYS INC COM 973149107 7742 333 X 333 0 0 WIND RIV SYS INC COM 973149107 38735 1666 X 1000 0 666 WINFIELD CAP CORP COM 973859101 1275 600 X 0 0 600 WINK COMMUNICATIONS INC COM 974168106 40750 8150 X 0 0 8150 WINN DIXIE STORES INC COM 974280109 355504 12531 X 11959 0 572 WINN DIXIE STORES INC COM 974280109 25646 904 X 904 0 0 WINNEBAGO INDUSTRIES INC COM 974637100 283200 16000 X 16000 0 0 WINSTAR COMMUNICATIONS INC COM 975515107 707816 328255 X 325405 0 2850 WINSTAR COMMUNICATIONS INC COM 975515107 3234 1500 X 1500 0 0 WIRELESS FACILITIES INC COM 97653A103 660 160 X 160 0 0 WIRELESS FACILITIES INC COM 97653A103 2888 700 X 700 0 0 WIRELESS TELECOM GROUP INC COM 976524108 8480 4000 X 0 0 4000 WISCONSIN CENT TRANSN CORP COM 976592105 96422 6050 X 6050 0 0 WISCONSIN ENERGY CORP 976657106 8863402 410723 X 391673 0 19050 WISCONSIN ENERGY CORP 976657106 3900995 180769 X 178794 0 1975 WISER OIL COM 977284108 610 100 X 100 0 0 WIT SOUNDVIEW GROUP INC COM 977383108 23400 7800 X 0 0 7800 WMS INDUSTRIES INC COM 929297109 452610 25145 X 24300 0 845 WOLVERINE TUBE INC COM 978093102 160023 12650 X 1100 0 11550 WOLVERINE WORLD WIDE INC COM 978097103 456354 31300 X 29275 0 2025 WOLVERINE WORLD WIDE INC COM 978097103 80190 5500 X 0 0 5500 WOODHEAD INDS INC 979438108 3488 200 X 200 0 0 111 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 100 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ WOODWARD GOVERNOR CO COM 980745103 15002 292 X 292 0 0 WORLD ACCESS INC(NEW) 98141A101 88544 354175 X 236075 0 118100 WORLD FUEL SVCS CORP COM 981475106 4298 450 X 450 0 0 WORLD HEART CORP COM 980905103 1688 300 X 300 0 0 WORLD WRESTLING FEDERATION CL A COM 98156Q108 2672 200 X 100 0 100 WORLDCOM INC GA COM NEW 98157D106 122822510 6572442 X 5987677 2382 582383 WORLDCOM INC GA COM NEW 98157D106 21563432 1153896 X 1092072 2562 59262 WORLDGATE COMMUNICATIONS INC COM 98156L307 4313 1000 X 1000 0 0 WORTHINGTON INDUSTRIES INC COM 981811102 254560 27372 X 21540 0 5832 WORTHINGTON INDUSTRIES INC COM 981811102 74912 8055 X 6030 0 2025 WPS RES CORP COM 92931B106 202562 5935 X 4435 0 1500 WPS RES CORP COM 92931B106 651883 19100 X 13100 0 6000 WRIGLEY WM JR CO COM 982526105 3031258 62824 X 26242 0 36582 WRIGLEY WM JR CO COM 982526105 1996875 41386 X 36786 0 4600 WYNDHAM INTL INC CL A 983101106 2008575 942993 X 942993 0 0 WALGREEN CO COM 931422109 4080 100 X 100 WELLS FARGO & COMPANY (NEW) COM 949746101 1691874 34200 X 34200 WELLSFORD REAL PROPERTIES COM 950240101 5707785 349100 X 349100 WESTELL TECH INC COM 957541105 2650 800 X 800 WIND RIVER SYSTEMS INC COM 973149107 441 19 X 19 X-RITE INC COM 983857103 157941 16100 X 16100 0 0 XCARE.NET INC COM 98388Y101 1997 300 X 0 0 300 XCEL ENERGY INC COM 98389B100 9723242 322924 X 301106 0 21818 XCEL ENERGY INC COM 98389B100 5632919 187078 X 173539 1300 12239 XEROX CORP COM 984121103 4058974 677625 X 606645 0 70980 XEROX CORP COM 984121103 1614952 269608 X 255454 200 13954 XILINX INC COM 983919101 6405114 182352 X 30752 0 151600 XILINX INC COM 983919101 443629 12630 X 9500 0 3130 XO COMMUNICATIONS INC CL A COM 983764101 8466864 1209552 X 1197552 0 12000 XO COMMUNICATIONS INC CL A COM 983764101 17500 2500 X 1500 0 1000 XOMA LTD COM G9825R107 10805 1500 X 1500 0 0 XTRA CORP COM 984138107 113335 2376 X 2376 0 0 XTRA CORP COM 984138107 47700 1000 X 1000 0 0 XCARE.NET INC COM 98388Y101 579 87 X 87 XILINX INC COM 983919101 6487798 184706 X 184706 XILINX INC COM 983919101 351 10 X 10 YAHOO INC COM 984332106 810574 51465 X 50005 0 1460 YAHOO INC COM 984332106 119952 7616 X 2365 0 5251 YAHOO INC COM 984332106 1569 100 X 100 YANKEE CANDLE CO COM 984757104 5927 450 X 450 0 0 112 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 100 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V COMMON STOCK - DOMESTIC ------------------------------ YANKEE CANDLE CO COM 984757104 9219 700 X 700 0 0 YELLOW CORP COM 985509108 445250 26000 X 17900 0 8100 YELLOW CORP COM 985509108 5138 300 X 300 0 0 YORK GROUP INC COM 986632107 2594975 451300 X 302800 0 148500 YORK INTL CORP NEW COM 986670107 73352 2650 X 0 0 2650 YORK INTL CORP NEW COM 986670107 6920 250 X 250 0 0 YOUNG BROADCASTING CORP CL A COM 987434107 11502546 366615 X 221615 0 145000 ZALE CORP COM 988858106 7352080 253520 X 251920 0 1600 ZAMBA CORP COM 988881108 650907 404290 X 402290 0 2000 ZEBRA TECHNOLOGIES CORP CL A 989207105 1094188 28700 X 24300 0 4400 ZEBRA TECHNOLOGIES CORP CL A 989207105 125813 3300 X 3300 0 0 ZENGINE INC COM 98935C107 1684850 434800 X 434800 0 0 ZENITH NATL INS CORP COM 989390109 306800 13000 X 13000 0 0 ZIXIT CORP COM 98974P100 87891 12500 X 12500 0 0 ZOLL MED CORP COM 989922109 73238 2100 X 1500 0 600 ZOLL MED CORP COM 989922109 21239 609 X 609 0 0 ZOLTEK COS INC COM 98975W104 33719 6500 X 0 0 6500 ZYGO CORP COM 989855101 615469 32500 X 32327 0 173 1-800-FLOWERS.COM INC COM 68243Q106 2600 325 X 325 0 0 3 COM CORP COM 885535104 262156 45841 X 10666 0 35175 3 COM CORP COM 885535104 82940 14503 X 4183 100 10220 3D LABS INC LTD COM G8846W103 1200 1000 X 1000 0 0 3DO COMPANY COM 88553W105 493150 246575 X 165275 0 81300 3TEC ENERGY CORP 88575R308 7891406 487500 X 393900 0 93600 4 KIDS ENTMT INC COM 350865101 103684 9200 X 9200 0 0 7-ELEVEN INC COM 817826209 594000 60000 X 60000 0 0 99 CENTS ONLY STORES 65440K106 1489671 64460 X 38599 0 25861 99 CENTS ONLY STORES 65440K106 130548 5649 X 0 0 5649 113 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 101 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY FOREIGN STLMT ------------------------------ DORAL FINL CORP COM 25811P100 15000 500 X 500 0 0 114 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 102 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ A T & T CANADA INC CL B COM 00207Q202 23400 800 X 800 0 0 ABITIBI-CONSOLIDATED INC COM 003924107 41028 5200 X 0 0 5200 ABN AMRO HLDG N V SPONSORED ADR 000937102 803124 43767 X 28832 0 14935 ABN AMRO HLDG N V SPONSORED ADR 000937102 97255 5300 X 0 0 5300 ACE LTD COM G0070K103 16247405 441986 X 402926 0 39060 ACE LTD COM G0070K103 155789 4238 X 2238 0 2000 AEGON N.V. AMERICAN REGISTERED SHS 007924103 2796309 95633 X 69338 0 26295 AEGON N.V. AMERICAN REGISTERED SHS 007924103 2326305 79559 X 73997 0 5562 AGNICO EAGLE MINES LTD 008474108 6 1 X 1 0 0 AGRIUM INC COM 008916108 88200 7000 X 0 0 7000 AGRIUM INC COM 008916108 7560 600 X 600 0 0 AKTIEBOLAGET ELECTROLUX ADR 010198208 133750 5000 X 0 0 5000 AKZO NOBEL NV SPONSORED ADR 010199305 99300 2400 X 400 0 2000 ALBERTA ENERGY LTD COM 012873105 3192536 72050 X 69050 0 3000 ALCAN INC 013716105 2535948 70443 X 21499 0 48944 ALCAN INC 013716105 876960 24360 X 23635 0 725 ALCATEL ADR 013904305 341784 11884 X 6949 0 4935 ALCATEL ADR 013904305 1479069 51428 X 49428 0 2000 ALLIANZ AKTIENGESELLSCHAFT COM 018805101 2925 100 X 0 0 100 ALLIED IRISH BKS ADR 019228402 6113 310 X 310 0 0 ALLIED IRISH BKS ADR 019228402 8282 420 X 420 0 0 ALSTOM S A SPONSORED ADR 021244108 22160 800 X 0 0 800 AMCOR LTD SPONSORED ADR 02341R302 1320 120 X 120 0 0 AMERICA MOVIL SER L SPONSORED ADR 02364W105 1143813 78076 X 78076 0 0 AMERICA MOVIL SER L SPONSORED ADR 02364W105 95225 6500 X 5500 0 1000 ANANGEL-AMERN SHIPHOLDINGS LTD ADR 032721201 41625 6000 X 6000 0 0 ANGLOGOLD LTD SPONSORED ADR 035128206 141899 9820 X 1020 0 8800 ANGLOGOLD LTD SPONSORED ADR 035128206 4465 309 X 309 0 0 ANNUITY & LIFE RE HOLDINGS LTD COM G03910109 11093775 372900 X 368100 0 4800 ARACRUZ CELULOSE SA 038496204 416130 31525 X 0 0 31525 ASAT HLDGS LTD SPONSORED ADR 00208B105 87500 21875 X 0 0 21875 ASM LITHOGRAPHY HLDG N V ORD COM N07059111 6506 300 X 300 0 0 ASTRAZENECA PLC SPONSORED ADR 046353108 520666 10791 X 1184 0 9607 ASTRAZENECA PLC SPONSORED ADR 046353108 243277 5042 X 3342 0 1700 AUDIOCODES LTD COM M15342104 7100 800 X 0 0 800 AUSTRALIA & NEW ZEALAND BNKG GRP ADR 052528304 70560 2100 X 2100 0 0 AVENTIS SPONSORED ADR 053561106 662293 8618 X 350 0 8268 AVENTIS SPONSORED ADR 053561106 186361 2425 X 725 0 1700 AXA ADR 054536107 379801 6937 X 3127 0 3810 AXA ADR 054536107 172353 3148 X 3122 0 26 B P AMOCO P L C SPONSORED ADR 055622104 322594059 6501291 X 6297601 378 203312 B P AMOCO P L C SPONSORED ADR 055622104 199414345 4018830 X 3793316 10646 214868 BALLARD PWR SYSTEMS INC COM 05858H104 112304 2812 X 2212 0 600 BALLARD PWR SYSTEMS INC COM 05858H104 54435 1363 X 1363 0 0 115 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 103 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ BANCO BILBAO VIZCAYA ARGENTARIA S A 05946K101 4496 333 X 333 0 0 BANCO COMERCIAL PORTUGUES SP ADR 059479303 21650 1000 X 1000 0 0 BANCO COMERCIAL PORTUGUES SP ADR 059479303 21650 1000 X 1000 0 0 BANCO SANTANDER CEN SPONSORED ADR 05964H105 10884 1200 X 1200 0 0 BANK MONTREAL QUE 063671101 55789 2220 X 2220 0 0 BANK OF TOKYO MITSUBISHI LTD ADR 065379109 156346 16320 X 16320 0 0 BANK OF TOKYO MITSUBISHI LTD ADR 065379109 14370 1500 X 1500 0 0 BARCLAYS BANK PLC PFD 06738C836 322375 12500 X 10500 0 2000 BARCLAYS BANK PLC PFD 06738C836 20632 800 X 800 0 0 BARRICK GOLD CORP COM 067901108 551594 38600 X 29982 0 8618 BASF AG SPONS ADR 055262505 2626 65 X 65 0 0 BASF AG SPONS ADR 055262505 25856 640 X 640 0 0 BASS PUB LTD CO ADR 069904209 5802 592 X 592 0 0 BASS PUB LTD CO ADR 069904209 7840 800 X 800 0 0 BCE INC COM 05534B109 516199 22932 X 6432 0 16500 BCE INC COM 05534B109 35701 1586 X 1586 0 0 BG GROUP PLC SPONSORED ADR 055434203 5018 256 X 256 0 0 BG GROUP PLC SPONSORED ADR 055434203 17405 888 X 888 0 0 BHP LIMITED-SPONSORED ADR 088606108 270 14 X 14 0 0 BID COM INTL INC COM 088788104 1875 4000 X 0 0 4000 BIOMIRA INC COM 09161R106 18563 3000 X 3000 0 0 BOC GROUP PLC ADR 055617609 1897 70 X 70 0 0 BOUYGUES OFFSHORE SA ADR 102112109 10020 400 X 400 0 0 BRASIL TELECOM PART S A ADR 105530109 3915 100 X 0 0 100 BRITISH AMERN TOB PLC ADR 110448107 15738 1032 X 1032 0 0 BRITISH AMERN TOB PLC ADR 110448107 30348 1990 X 1990 0 0 BRITISH AWYS PLC ADR 110419306 16773872 366642 X 362292 0 4350 BRITISH AWYS PLC ADR 110419306 584456 12775 X 12175 0 600 BRITISH SKY BROADCASTING GRP PLC ADR 111013108 72720 1010 X 1010 0 0 BRITISH TELECOMMUNICATIONS P L C ADR 111021408 281820 3793 X 1298 0 2495 BRITISH TELECOMMUNICATIONS P L C ADR 111021408 196895 2650 X 1850 0 800 BROKAT AG ADR 112080205 1776 451 X 451 0 0 BUSINESS OBJECTS S A SPONSORED ADR 12328X107 50944 1650 X 0 0 1650 CABLE & WIRELESS PUB LTD CO ADR 126830207 20600 1000 X 1000 0 0 CABLE & WIRELESS PUB LTD CO ADR 126830207 39140 1900 X 400 0 1500 CADBURY SCHWEPPES PLC SPON ADR 10 P 127209302 3513918 134119 X 113539 0 20580 CADBURY SCHWEPPES PLC SPON ADR 10 P 127209302 3086177 117793 X 113543 0 4250 CANADA LIFE FINL CORP COM 135113108 618335 22758 X 22758 0 0 CANADIAN IMPERIAL BK COM TORONTO 136069101 6917 221 X 221 0 0 CANADIAN IMPERIAL BK COM TORONTO 136069101 72616 2320 X 2320 0 0 CANADIAN NATIONAL RAILWAY CO COM 136375102 2930764 77801 X 2394 0 75407 CANADIAN NATIONAL RAILWAY CO COM 136375102 4370 116 X 4 0 112 CANADIAN NATIONAL RESOURCES COM 136385101 87 3 X 3 0 0 116 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 104 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ CANADIAN PACIFIC LIMITED COM 135923100 2764795 75335 X 5935 0 69400 CANADIAN PACIFIC LIMITED COM 135923100 275250 7500 X 7500 0 0 CANON INC ADR REPSTG 5 SHS CDN TAX 138006309 578952 15840 X 10300 0 5540 CAPITAL ENVIRO RESOURCES INC COM 14008M104 963323 342515 X 337715 0 4800 CARRIER1 INTL SA SPON ADR 144500303 20938 13400 X 13400 0 0 CELLTECH GROUP PLC SPONSORED ADR 151158102 9058 272 X 272 0 0 CEMEX SA SPONSORED ADR 151290889 26574 1236 X 1236 0 0 CENTRAL PAC MINERALS ADR 154762306 262035 65000 X 65000 0 0 CENTRAL PAC MINERALS ADR 154762306 403 100 X 100 0 0 CERAGON NETWORKS LTD COM M22013102 13303 2150 X 150 0 2000 CHICAGO BRIDGE & IRON NY SHR COM 167250109 5113850 215320 X 211020 0 4300 CHINA MOBILE HONG KONG LTD SP ADR 16941M109 4402 200 X 200 0 0 CHINA MOBILE HONG KONG LTD SP ADR 16941M109 187525 8520 X 1020 0 7500 CHINA SOUTHERN AIRLINES ADR 169409109 41230 3100 X 3100 0 0 CHINA UNICOM ADR 16945R104 36720 3400 X 3000 0 400 CNOOC LTD SPONSORED ADR 126132109 40480 2300 X 0 0 2300 COCA COLA FEMSA S A SPONSORED ADR 191241108 116815 6100 X 6100 0 0 COGNOS INC COM 19244C109 154800 9600 X 0 0 9600 COMPANHIA DE BEBIDAS DAS AMER SP ADR 20441W203 4437 190 X 190 0 0 COMPANHIA DE BEBIDAS DAS AMER SP ADR 20441W203 11675 500 X 500 0 0 COMPANHIA VALE SPONSORED ADR 204412100 120540 4900 X 0 0 4900 COMPANIA ANONIMA TELEFONOS ADR 204421101 2334 120 X 120 0 0 COMPANIA DE TELECOM DE CHILE ADR 204449300 59638 4518 X 4518 0 0 CORDIANT COMM GROUP PLC-SP ADR 218514206 46874 2626 X 2626 0 0 CORE LABORATORIES N V COM N22717107 3695813 196900 X 192300 0 4600 CORE LABORATORIES N V COM N22717107 11262 600 X 600 0 0 CORECOMM LTD COM 21869Q108 383 3500 X 0 0 3500 CORUS GROUP PLC SPONSORED ADR 22087M101 66283 7610 X 7610 0 0 COTT CORP QUEBEC COM 22163N106 2327531 203500 X 203500 0 0 CRH PLC ADR 12626K203 384344 24500 X 24500 0 0 CRYSTALLEX INTL CORP COM 22942F101 2320 3013 X 3013 0 0 DAIMLERCHRYSLER AG COM D1668R123 450525 10106 X 10106 0 0 DAIMLERCHRYSLER AG COM D1668R123 341082 7651 X 6512 0 1139 DASSAULT SYS SA ADR 237545108 980 23 X 23 0 0 DE BEERS CONSOLIDATED MINES LTD ADR 240253302 133763 3480 X 3480 0 0 DE BEERS CONSOLIDATED MINES LTD ADR 240253302 38438 1000 X 1000 0 0 DENBURY RESOURCES INC COM 247916208 2187405 270050 X 268050 0 2000 DENBURY RESOURCES INC COM 247916208 89100 11000 X 11000 0 0 DENISON INTERNATIONAL PLC ADR 248335101 7373924 495726 X 485326 0 10400 DENISON INTERNATIONAL PLC ADR 248335101 23800 1600 X 1600 0 0 DEUTSCHE TELE 251566105 1507 65 X 65 0 0 DIAGEO PLC SPONSORED ADR NEW 25243Q205 1870610 46245 X 9989 0 36256 DIAGEO PLC SPONSORED ADR NEW 25243Q205 102824 2542 X 442 0 2100 117 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 105 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ DIALOG SEMICONDUCTOR PLC SPN ADR 25250P108 12950 2800 X 0 0 2800 DURBAN ROODEPOORT DEEP LTD SP ADR 266597301 1541 1700 X 1700 0 0 ECI TELECOM LTD ORD COM 268258100 149450 19600 X 0 0 19600 ELAN PLC ADR 284131208 387367654 7413735 X 7197208 1700 214827 ELAN PLC ADR 284131208 44816236 857727 X 764212 4725 88790 ELSEVIER NV SPONSORED ADR 290259100 210610 8160 X 8160 0 0 EMBRAER AIRCRAFT CORP ADR 29081M102 11370 300 X 300 0 0 EMBRAER AIRCRAFT CORP ADR 29081M102 155390 4100 X 0 0 4100 EMBRATEL PARTICIPACOES ADR 29081N100 4650 500 X 0 0 500 ENDESA SPONSORED ADR 29258N107 507754 30680 X 14975 0 15705 ENDESA SPONSORED ADR 29258N107 392235 23700 X 0 0 23700 ENI S P A ADR 26874R108 549627 8495 X 0 0 8495 ENI S P A ADR 26874R108 112255 1735 X 335 0 1400 EPCOS AG SPONSORED ADR 29410P107 5740 100 X 100 0 0 ERICSSON L M TEL CO ADR CL B 294821400 5516773 986230 X 966758 0 19472 ERICSSON L M TEL CO ADR CL B 294821400 2370798 423826 X 417666 0 6160 EXCO RES INC COM 269279204 8180250 419500 X 350500 0 69000 FAHNESTOCK VINER HLDNGS INC COM CL A 302921101 233100 9000 X 0 0 9000 FIAT SPA ADR NEW 315621888 21 1 X 1 0 0 FILA HOLDINGS S.P.A. ADR 316850106 5050 1000 X 0 0 1000 FIRST SERVICE CORP VTG COM 33761N109 3286080 208640 X 207530 0 1110 FLAG TELECOM HOLDINGS LTD COM G3529L102 25800 4800 X 0 0 4800 FLAMEL TECHNOLOGIES SPONSORED ADR 338488109 7102 2250 X 2250 0 0 FLEXTRONICS INTERNATIONAL LTD Y2573F102 38856840 2590456 X 2546405 0 44051 FLEXTRONICS INTERNATIONAL LTD Y2573F102 1770435 118029 X 112629 300 5100 FOMENTO ECONOMICO MX SP ADR 344419106 71020 2000 X 0 0 2000 FOUR SEASONS HOTELS LTD VTG SHARES 35100E104 10937 221 X 221 0 0 FRESENIUS MEDICAL CARE SPONSORED ADR 358029106 57052 2510 X 2510 0 0 GALLAHER GROUP PLC SPONSORED ADR 363595109 1455834 60283 X 40283 0 20000 GALLAHER GROUP PLC SPONSORED ADR 363595109 2562581 106111 X 103431 480 2200 GENEREX BIOTECHNOLOGY CORP COM 371485103 66250 10000 X 10000 0 0 GIGAMEDIA LTD COM Y2711Y104 5906 3000 X 3000 0 0 GLAXO SMITHKLINE SPONSORED PLC ADR 37733W105 18540612 354505 X 341129 0 13376 GLAXO SMITHKLINE SPONSORED PLC ADR 37733W105 14695986 280994 X 272348 1934 6712 GLOBAL ELECTION SYS INC COM 37932L108 195 100 X 100 0 0 GOLD FIELDS LIMITED ADR 38059T106 8796 2270 X 2270 0 0 GROUPE DANONE SPONSORED ADR 399449107 43112 1700 X 1700 0 0 GRUPO TELEVISA SA DE CV ADR 40049J206 53456 1600 X 1100 0 500 GRUPO TELEVISA SA DE CV ADR 40049J206 93548 2800 X 0 0 2800 GUCCI GROUP NV COM 401566104 6877452 82217 X 74217 0 8000 GUCCI GROUP NV COM 401566104 16730 200 X 200 0 0 GULF CANADA RES LTD 40218L305 2290229 417925 X 12500 0 405425 HANSON PLC SPONSORED ADR 411352404 6912 240 X 240 0 0 HANSON PLC SPONSORED ADR 411352404 15725 546 X 396 0 150 118 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 106 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ HARMONY GOLD MNG LTD SPON ADR 413216300 963 200 X 200 0 0 HAVAS ADVERTISING SPONSORED ADR 419313101 93707 8050 X 0 0 8050 HITACHI LTD DEP SHS 433578507 4799 55 X 55 0 0 HITACHI LTD DEP SHS 433578507 40135 460 X 460 0 0 HONDA ADR COMMON 438128308 28735 350 X 350 0 0 HSBC BK PLC SER B 10.25% PFD SP ADR 44328M609 26380 1000 X 1000 0 0 HSBC BK PLC SER D 9.55% PFD SP ADR 44328M849 37875 1500 X 1500 0 0 HSBC BK PLC SP ADR UNIT A 44328M302 25250 1000 X 1000 0 0 HSBC HLDGS PLC SPONSORED ADR 404280406 451908 7576 X 4118 0 3458 HSBC HLDGS PLC SPONSORED ADR 404280406 146560 2457 X 1357 0 1100 ID BIOMEDICAL CORP COM 44936D108 16672 5500 X 5500 0 0 IMAGICTV INC COM 45247E107 412500 275000 X 275000 0 0 IMAX CORPORATION COM 45245E109 155 50 X 50 0 0 IMAX CORPORATION COM 45245E109 7735 2500 X 2500 0 0 IMPERIAL CHEMICAL INDUSTRIES ADR 452704505 3322 135 X 135 0 0 IMPERIAL CHEMICAL INDUSTRIES ADR 452704505 9229 375 X 375 0 0 IMPERIAL OIL LTD COM NEW 453038408 484737 19850 X 3600 0 16250 IMPERIAL OIL LTD COM NEW 453038408 593406 24300 X 12300 0 12000 IMPERIAL TOBACCO GROUP SPONSORED ADR 453142101 3629 180 X 180 0 0 IMPERIAL TOBACCO GROUP SPONSORED ADR 453142101 3024 150 X 150 0 0 INCO LTD COM 453258402 243894 16446 X 10581 0 5865 INCO LTD COM 453258402 1483 100 X 100 0 0 INFICON HOLDING AG - ADS 45663T109 216408 25000 X 25000 0 0 ING GROEP NV ADR 456837103 1147360 17630 X 12795 0 4835 ING GROEP NV ADR 456837103 99247 1525 X 425 0 1100 INNOGY HLDGS PLC ADR 45769A103 958 36 X 36 0 0 INTASYS CORPORATION COM 45809M109 188 1000 X 1000 0 0 INTERNATIONAL PWR PLC ADR 46018M104 1327 36 X 36 0 0 INTERNET ARCHITECTURE HOLDRS ADR 46060A107 4125 100 X 100 0 0 INTERNET INFRASTRUCTURE HOLDRS ADR 46059V104 2020 200 X 200 0 0 IONA TECHNOLOGIES ADR 46206P109 24750 750 X 500 0 250 IONA TECHNOLOGIES ADR 46206P109 39600 1200 X 0 0 1200 IPC HOLDINGS LTD COM G4933P101 4475 200 X 200 0 0 IRELAND BK SP ADR 46267Q103 36300 1100 X 100 0 1000 IRELAND BK SP ADR 46267Q103 9900 300 X 300 0 0 ISPAT INTL NV COM 464899103 6463 2300 X 0 0 2300 JEFFERSON SMURFIT GROUP PLC SP ADR 47508W107 63346 3800 X 0 0 3800 KINROSS GOLD CORP COM 496902107 13 26 X 26 0 0 KINROSS GOLD CORP COM 496902107 1261 2521 X 2521 0 0 KNIGHTSBRIDGE TANKERS LTD COM G5299G106 1336731 54700 X 54700 0 0 KNIGHTSBRIDGE TANKERS LTD COM G5299G106 107525 4400 X 4400 0 0 KONINKLIJKE AHOLD NV SPON ADR NEW 500467303 1298790 41829 X 41829 0 0 KONINKLIJKE AHOLD NV SPON ADR NEW 500467303 18630 600 X 600 0 0 119 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 107 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ KONINKLIJKE PHILIPS ELECTR SPON ADR 500472303 9025561 338036 X 279265 0 58771 KONINKLIJKE PHILIPS ELECTR SPON ADR 500472303 856643 32084 X 29108 0 2976 KOREA ELECTRIC POWER CORP ADR 500631106 1138 140 X 140 0 0 KOREA TELECOM CORP SP ADR 50063P103 1708992 73600 X 73600 0 0 KOREA TELECOM CORP SP ADR 50063P103 17415 750 X 750 0 0 KYOCERA CORP ADR 501556203 140138 1515 X 1515 0 0 KYOCERA CORP ADR 501556203 200725 2170 X 2170 0 0 LAIDLAW INC COM 50730K503 514 3000 X 3000 0 0 LANOPTICS LTD COM M6706C103 1033 167 X 167 0 0 LION BIOSCIENCE AG ADR 536191109 66895 2696 X 2696 0 0 LUXOTTICA GROUP S P A SPNSRD ADR 55068R202 949733 62606 X 60606 0 2000 LUXOTTICA GROUP S P A SPNSRD ADR 55068R202 914599 60290 X 49700 0 10590 LVMH SPONSORED ADR 502441207 1006 100 X 100 0 0 MACKENZIE FINL CORP COM 554531103 3650 200 X 200 0 0 MAGNA INTL INC CL A COM 559222401 29606 640 X 640 0 0 MANULIFE FINANCIAL CORP COM 56501R106 3244138 122884 X 113884 0 9000 MANULIFE FINANCIAL CORP COM 56501R106 91238 3456 X 3456 0 0 MARCONI PLC SPONS ADR 566306205 105370 10537 X 0 0 10537 MARCONI PLC SPONS ADR 566306205 37000 3700 X 0 0 3700 MARVELL TECHNOLOGY GROUP LTD COM G5876H105 1206 100 X 0 0 100 MATSUSHITA ELEC INDL LTD ADR 576879209 243909 13220 X 13220 0 0 MATSUSHITA ELEC INDL LTD ADR 576879209 53505 2900 X 2900 0 0 MDS INC COM 55269P302 17424 1760 X 1760 0 0 MERCER INTL INC COM 588056101 10641 1500 X 1500 0 0 MERIDIAN RESOURCE CORP COM 58977Q109 3858186 541120 X 416760 0 124360 METSO CORP SPONSORED ADR 592671101 3660 400 X 400 0 0 MFC BANCORP LTD COM NEW 55271X202 2740416 362369 X 360569 0 1800 MICROCELL TELECOMMUN INC CL B COM 59501T304 17522 1575 X 0 0 1575 MILLENNIUM CHEMICALS INC COM 599903101 478823 29250 X 450 0 28800 MILLENNIUM CHEMICALS INC COM 599903101 2406 147 X 147 0 0 NATL WESTMINSTER BK PLC PFD SER B 638539700 38952 1550 X 1550 0 0 NATL WESTMINSTER BK PLC PFD SER B 638539700 178423 7100 X 7100 0 0 NDS GROUP PLC SPONSORED ADR 628891103 11625 300 X 0 0 300 NEC CORP ADR 629050204 34131 430 X 320 0 110 NEWS CORP LTD SPONSORED ADR PFD 652487802 1600291 59936 X 736 0 59200 NEWS CORPORATION LTD SPONSORED ADR 652487703 1009604 32153 X 24093 0 8060 NEWS CORPORATION LTD SPONSORED ADR 652487703 18840 600 X 600 0 0 NICE SYS LTD ADR 653656108 2000 200 X 200 0 0 NIPPON TELEG & TEL CORP ADR 654624105 146713 4545 X 1300 0 3245 NOKIA CORP ADR SERIES A 654902204 88086864 3670286 X 3447421 3300 219565 NOKIA CORP ADR SERIES A 654902204 24804552 1033523 X 981593 1175 50755 NORDIC AMER TANKER SHIPPING COM G65773106 3144 158 X 158 0 0 NORTEL NETWORKS CORP COM NEW 656568102 59858156 4260367 X 3825955 1100 433312 NORTEL NETWORKS CORP COM NEW 656568102 7738094 550754 X 435597 1675 113482 120 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 108 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ NOVA CHEMICALS CORP COM 66977W109 1447 72 X 72 0 0 NOVARTIS AG ADR 66987V109 541141 13759 X 4653 0 9106 NOVARTIS AG ADR 66987V109 256668 6526 X 3226 0 3300 NOVO-NORDISK A/S ADR 670100205 228505 2300 X 2300 0 0 ORBITAL ENGINE CORP SP ADR 685563306 13740 3000 X 3000 0 0 O2MICRO INTERNATIONAL LTD COM G6797E106 130278 22175 X 0 0 22175 PACIFIC CENTY CYBERWORKS SPON ADR 694059106 5048 1278 X 1278 0 0 PACIFIC CENTY CYBERWORKS SPON ADR 694059106 3950 1000 X 1000 0 0 PANAMERICAN BEVERAGES INC CL A COM P74823108 77220 4400 X 0 0 4400 PEAK INTL LTD COM G69586108 1937634 329810 X 324410 0 5400 PETROLEO BRASILEIRO SA SPON ADR 71654V408 135660 5700 X 100 0 5600 PETROLEO BRASILEIRO SPONS ADR 71654V101 1362420 62640 X 7490 0 55150 PETROLEUM GEO SVCS A/S SPONSORED ADR 716597109 46093 5150 X 0 0 5150 PHARMACEUTICAL HOLDRS TR 71712A206 28710 300 X 300 0 0 PIXTECH INC COM 72583K109 1700 1700 X 1700 0 0 PLACER DOME INC COM 725906101 281428 32535 X 21712 0 10823 PLACER DOME INC COM 725906101 2502886 289351 X 289351 0 0 POHANG IRON & STEEL LTD SPON ADR 730450103 1975 110 X 110 0 0 POPULAR INC COM 733174106 344719 11704 X 11704 0 0 PORTUGAL TELECOM SGPS S A ADR 737273102 57276 6660 X 5160 0 1500 POTASH CORP SASKATCHEWAN INC COM 73755L107 179831 3100 X 3100 0 0 POTASH CORP SASKATCHEWAN INC COM 73755L107 195784 3375 X 3375 0 0 POWERGEN PLC SPONSORED ADR 738905405 2967 70 X 70 0 0 PRECISION DRILLING CORP COM 74022D100 14268 400 X 0 0 400 PSI TECHNOLOGIES HLDGS ADR 74438Q109 87313 12700 X 0 0 12700 QIAGEN NV COM N72482107 22619 1100 X 0 0 1100 QLT INC. COM 746927102 14175 700 X 700 0 0 QUEBECOR WORLD INC 748203106 493343 22384 X 22384 0 0 RANK GROUP PLC SPONSORED ADR 753037100 2060 412 X 412 0 0 RANK GROUP PLC SPONSORED ADR 753037100 5025 1005 X 1005 0 0 REED INTL ADR 758212872 215099 5790 X 5790 0 0 RENAISSANCERE HOLDINGS LTD COM G7496G103 1303096 18613 X 2000 0 16613 RENAISSANCERE HOLDINGS LTD COM G7496G103 203029 2900 X 2900 0 0 RESPOL YPF, S.A. COM 76026T205 106680 6000 X 6000 0 0 RESPOL YPF, S.A. COM 76026T205 165354 9300 X 6000 0 3300 REUTERS GROUP PLC-SPONSORED ADR 76132M102 4710745 63020 X 62820 0 200 REUTERS GROUP PLC-SPONSORED ADR 76132M102 8180491 109438 X 106179 806 2453 RHODIA ADR COM 762397107 5028 400 X 400 0 0 RIO TINTO PLC ADR 767204100 70 1 X 1 0 0 RIO TINTO PLC ADR 767204100 7014 100 X 100 0 0 ROYAL BK CDA MONTREAL QUE COM 780087102 139085 4630 X 4630 0 0 ROYAL BK CDA MONTREAL QUE COM 780087102 120160 4000 X 4000 0 0 ROYAL BK OF SCOTLAND 8.00% PFD ADR 780097861 25500 1000 X 1000 0 0 ROYAL BK OF SCOTLAND 8.00% PFD ADR 780097861 48450 1900 X 1900 0 0 121 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 109 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ ROYAL BK OF SCOTLAND 8.50% J PFD ADR 780097853 149625 5700 X 5700 0 0 ROYAL BK SCOTLAND GROUP PFD 780097705 5168 200 X 0 0 200 ROYAL BK SCOTLAND GROUP PLC ADR PFD 780097309 65910 2535 X 2535 0 0 ROYAL BK SCOTLAND GROUP PLC ADR PFD 780097309 157040 6040 X 6040 0 0 ROYAL BK SCOTLAND GRP PLC PFD SER C 780097408 146734 5743 X 5743 0 0 ROYAL BK SCOTLAND GRP PLC PFD SER C 780097408 311710 12200 X 12000 0 200 ROYAL BK SCOTLAND GRP PLC PFD 8.50% 780097804 2540 100 X 100 0 0 ROYAL BK SCOTLAND GRP PLC PFD 8.50% 780097804 152400 6000 X 6000 0 0 ROYAL DUTCH PETRO NY SHARES COM 780257804 98150921 1770399 X 1579201 200 190998 ROYAL DUTCH PETRO NY SHARES COM 780257804 47861906 863310 X 801226 4300 57784 ROYAL KPN N V SPONSORED ADR 780641205 1952 201 X 201 0 0 RYANAIR HOLDINGS ADR 783513104 8900 200 X 200 0 0 SALIX PHARMACEUTICALS INC COM G77770108 193500 12900 X 0 0 12900 SAP AG SPONS ADR 803054204 392959 13555 X 11955 0 1600 SAP AG SPONS ADR 803054204 23192 800 X 800 0 0 SCITEX CORPORATION LTD ORD 809090103 2344 300 X 300 0 0 SCOTTISH PWR PLC ADR FINAL PMT 81013T705 187761 7161 X 5573 0 1588 SCOTTISH PWR PLC ADR FINAL PMT 81013T705 324341 12370 X 11949 0 421 SERONO SA COM 81752M101 250480 12400 X 0 0 12400 SHELL TRANS & TRADING PLC ADR 822703609 1404003 30045 X 27721 0 2324 SHELL TRANS & TRADING PLC ADR 822703609 986096 21102 X 18102 0 3000 SHIRE PHARMACEUTICALS GROUP PLC ADR 82481R106 228069 5213 X 0 0 5213 SIEMENS AG SPONS ADR 826197501 244937 2395 X 130 0 2265 SIEMENS AG SPONS ADR 826197501 83861 820 X 120 0 700 SK TELECOM LTD ADR 78440P108 820 54 X 54 0 0 SK TELECOM LTD ADR 78440P108 51718 3407 X 3407 0 0 SMARTFORCE PUB LTD CO SPONSORED ADR 83170A206 277344 12500 X 0 0 12500 SMARTFORCE PUB LTD CO SPONSORED ADR 83170A206 159750 7200 X 0 0 7200 SMEDVIG ASA SPONSORED ADR 83169H204 97314 11585 X 0 0 11585 SMITH & NEPHEW PLC SPONSORED ADR 83175M205 85995 1950 X 150 0 1800 SONERA GROUP SPONSORED ADR 835433202 1130 150 X 150 0 0 SONY CORP ADR 835699307 1757481 24325 X 20625 0 3700 SONY CORP ADR 835699307 610224 8446 X 3246 0 5200 STELMAR SHIPPING LTD COM V8726M103 453950 35000 X 0 0 35000 STMICROELECTRONICS NV-NY SHS COM 861012102 8429397 246690 X 203260 0 43430 STMICROELECTRONICS NV-NY SHS COM 861012102 75174 2200 X 2200 0 0 STOLT OFFSHORE SA SPON ADR 861567105 1668963 113150 X 105000 0 8150 STORA ENSO CORP SPONSORED ADR R SHS 86210M106 207644 22448 X 21027 0 1421 STORA ENSO CORP SPONSORED ADR R SHS 86210M106 57008 6163 X 6163 0 0 SUN INTL HOTELS LTD ORD COM P8797T133 201250 8750 X 0 0 8750 SUN LIFE FINL SVCS CDA INC COM 866796105 1876273 96765 X 76048 0 20717 SUN LIFE FINL SVCS CDA INC COM 866796105 419386 21629 X 21629 0 0 SWEDISH MATCH COMPANY ADR COM 870309507 12900 300 X 300 0 0 122 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 110 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ SWISSCOM ADR COM 871013108 2748 120 X 120 0 0 SYNGENTA AG SPONS ADR 87160A100 845728 81320 X 108 0 81212 SYNGENTA AG SPONS ADR 87160A100 7332 705 X 673 0 32 TAIWAN SEMICONDUCTOR ADR 874039100 2751684 141112 X 141112 0 0 TALISMAN ENERGY INC COM 87425E103 153452 4225 X 925 0 3300 TECHNOLOGY FLAVORS & FRAGRANCES COM 87869A104 20790 21000 X 21000 0 0 TEEKAY SHIPPING MARSHALL ISL COM Y8564W103 455820 10700 X 0 0 10700 TELE CELULAR SUL PARTICIPACOES ADR 879238103 890 50 X 0 0 50 TELE CENTRO OESTE CELULAR ADR 87923P105 1343 166 X 0 0 166 TELE DANMARK A/S SPONS ADR REP CL B 879242105 10350 600 X 600 0 0 TELE NORTE CELULAR PARTICIPACOES ADR 87924Y105 280 10 X 0 0 10 TELEBRAS SPONSORED ADR PFD BLOCK 879287308 624199 12910 X 220 0 12690 TELEBRAS SPONSORED ADR PFD BLOCK 879287308 19340 400 X 400 0 0 TELECOM ARGENTINA STET-FRANCE ADR 879273209 1404 90 X 90 0 0 TELECOM CORP NEW ZEALAND LTD 879278208 31365 1700 X 1700 0 0 TELECOM CORP NEW ZEALAND LTD 879278208 3690 200 X 0 0 200 TELECOM ITALIA SPA ADR 87927W106 185814 1860 X 1610 0 250 TELECOM ITALIA SPA ADR 87927W106 7493 75 X 75 0 0 TELECOMUNICACOES DE S.P. SPON ADR 87929A102 5120 400 X 400 0 0 TELEFONICA DE ESPANA ADR 879382208 3046440 63600 X 32356 0 31244 TELEFONICA DE ESPANA ADR 879382208 549365 11469 X 11469 0 0 TELEFONICA DEL PERU ADR 879384105 4028 980 X 980 0 0 TELEFONOS DE MEXICO SA ADR REP ORD L 879403780 2465671 78176 X 78176 0 0 TELEFONOS DE MEXICO SA ADR REP ORD L 879403780 213841 6780 X 5780 0 1000 TELELESTE CELULAR PARTICIPACOES ADR 87943B102 364 10 X 0 0 10 TELEMIG CELULAR PARTICIPACOES ADR 87944E105 1001 25 X 0 0 25 TELENORDESTE CELULAR PAR ADR 87924W109 673 25 X 0 0 25 TELENORTE LESTE PARTICIP ADR 879246106 9084 558 X 0 0 558 TELENORTE LESTE PARTICIP ADR 879246106 749 46 X 46 0 0 TELESP CELULAR PARTICIPA ADR 87952L108 2962 200 X 0 0 200 TELESUDESTE CELULAR PAR ADR 879252104 1400 80 X 80 0 0 TERRA NETWORKS SA SPONSORED 88100W103 42102 4567 X 4137 0 430 TERRA NETWORKS SA SPONSORED 88100W103 784 85 X 85 0 0 TESCO CORP COM 88157K101 626250 60000 X 60000 0 0 TEVA PHARMACEUTICAL INDUSTRIES ADR 881624209 92863 1700 X 1200 0 500 TEVA PHARMACEUTICAL INDUSTRIES ADR 881624209 224072 4102 X 1702 0 2400 TOKIO MARINE & FIRE INS LTD SPN ADR 889090403 4523 90 X 90 0 0 TOKIO MARINE & FIRE INS LTD SPN ADR 889090403 12060 240 X 240 0 0 TOMKINS PLC SPONSORED ADR 890030208 2125 250 X 250 0 0 TORONTO DOMINION BK COM 891160509 90612 3600 X 0 0 3600 TORONTO DOMINION BK COM 891160509 145986 5800 X 5800 0 0 TOTAL FINA ELF S A ADR 89151E109 1717708 25279 X 19402 0 5877 TOTAL FINA ELF S A ADR 89151E109 199365 2934 X 664 0 2270 123 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 111 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER V FOREIGN EQUITY DOMESTIC STLMT ------------------------------ TOYOTA MOTOR CORP ADR 2 892331307 35375 500 X 500 0 0 TRANSCANADA PIPELINES COM 893526103 4452 364 X 364 0 0 TRINITY BIOTECH PLC SPONSORED ADR 896438108 225 100 X 100 0 0 TRIZEC HAHN CORP COM 896938107 2499956 166110 X 10 0 166100 TTI TEAM TELECOM INTL LTD M88258104 6375 500 X 500 0 0 TUBOS DE ACERO DE MEXICO S A ADR NEW 898592506 6723 614 X 614 0 0 TURKCELL ILETISIM HIZMETLERI ADR 900111105 1252 400 X 400 0 0 TVX GOLD INC COM 87308K200 368 400 X 400 0 0 UBS AG REG COM H8920G155 129744 901 X 901 0 0 UBS AG REG COM H8920G155 56160 390 X 390 0 0 ULTRA PETE CORP COM 903914109 1341122 256920 X 255920 0 1000 ULTRA PETE CORP COM 903914109 38524 7380 X 1500 0 5880 UNILEVER NV NY SHARES COM 904784709 6154142 116910 X 53548 0 63362 UNILEVER NV NY SHARES COM 904784709 1867930 35485 X 30128 0 5357 UNILEVER PLC SPONSORED ADR 904767704 2667179 91940 X 295 0 91645 UNILEVER PLC SPONSORED ADR 904767704 282267 9730 X 5930 0 3800 UNITED DOMINION INDS LTD COM 909914103 102900 4900 X 0 0 4900 UNITED MICROELECTRONICS CORP ADR 910873207 14040 1500 X 1500 0 0 UPM KYMMENE CORP ADR 915436109 2108 75 X 75 0 0 UPM KYMMENE CORP ADR 915436109 11240 400 X 400 0 0 VIVENDI UNIVERSAL SPONSORED ADR 92851S204 706815 11654 X 825 0 10829 VIVENDI UNIVERSAL SPONSORED ADR 92851S204 213488 3520 X 1840 0 1680 VODAFONE GROUP PLC ADR NEW 92857W100 78672365 2897693 X 2801441 200 96052 VODAFONE GROUP PLC ADR NEW 92857W100 28980589 1067425 X 971479 1825 94121 VOLVO AKTIEBOLAGET ADR B 928856400 58358 3720 X 3720 0 0 WAVERIDER COMMUNICATIONS INC COM 943570101 1901 1170 X 0 0 1170 WESTCOAST ENERGY INC COM 95751D102 27513 1190 X 1190 0 0 WESTCOAST ENERGY INC COM 95751D102 18496 800 X 800 0 0 WESTPAC BANKING SPONSORED ADR 961214301 13012 420 X 420 0 0 WIDECOM GROUP INC COM 967575200 781 2777 X 2777 0 0 WPP GROUP PLC ADR 929309300 171800 3200 X 3200 0 0 XCELERA INC COM G31611109 5100 1200 X 1200 0 0 XL CAP LTD CL A COM G98255105 2492586 32767 X 4936 0 27831 XL CAP LTD CL A COM G98255105 452160 5944 X 1836 0 4108 ZEMEX CORP COM 988910105 18 3 X 3 0 0 ZI CORPORATION COM 988918108 6750 1000 X 0 0 1000 360NETWORKS INC COM 88575T205 356 100 X 100 0 0 124 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 113 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE B. PREFERRED STOCK INSTR OTHER V PREFERRED STOCK - DOMESTIC ------------------------------ CABCO -J C PENNEY 126797208 21090 1500 X N.A. N.A. N.A. EQUITY RESIDENTIAL PPTYS 7.25% PFD 29476L859 25216 1045 X N.A. N.A. N.A. GLOBAL CROSSING LTD 6.75% PFD G3921A134 215946 1370 X N.A. N.A. N.A. MPOWER COMM CORP PFD 7.25% CONV 62473J205 221250 30000 X N.A. N.A. N.A. NATL WESTMINSTER SER C 8.625% PFD 638539882 12725 500 X N.A. N.A. N.A. NATL WESTMINSTER SER C 8.625% PFD 638539882 203600 8000 X N.A. N.A. N.A. NEWMONT MNG CORP CONV $3.25 PFD 651639601 1855 50 X N.A. N.A. N.A. PUBLIC STORAGE SER A 12.25% PFD 74460D729 794 32 X N.A. N.A. N.A. 125 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 114 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE B. PREFERRED STOCK INSTR OTHER V PREFERRED STOCK - CONVERTIBLE ------------------------------ ATLANTIC RICHFIELD $3 CUM CV PFD 048825202 16455 15 X N.A. N.A. N.A. ATLANTIC RICHFIELD $3 CUM CV PFD 048825202 1097 1 X N.A. N.A. N.A. ATLANTIC RICHFIELD CO PFD CONV $2.80 048825400 390 1 X N.A. N.A. N.A. BELCO OIL & GAS CONV PFD 6.50% SER 077410207 1570 100 X N.A. N.A. N.A. BETHLEHEM STL CORP PFD CONV $5 087509303 17675 700 X N.A. N.A. N.A. BETHLEHEM STL CORP PFD CV $2.50 087509402 1265 100 X N.A. N.A. N.A. BETHLEHEM STL CORP PFD CV $2.50 087509402 4921 389 X N.A. N.A. N.A. BRISTOL MYERS SQUIBB CO CONV $2 PFD 110122207 3000 5 X N.A. N.A. N.A. BRISTOL MYERS SQUIBB CO CONV $2 PFD 110122207 24000 40 X N.A. N.A. N.A. BROADWING INC SER B 6.75% PFD 111620407 1645000 35000 X N.A. N.A. N.A. CAMDEN PPTY TR PFD 133131201 23265 900 X N.A. N.A. N.A. CAPSTEAD MTG PFD SER B CONV $1.26 14067E308 76375 6500 X N.A. N.A. N.A. CEPHALON INC CONVERTIBLE REG CONV 156708406 46845854 345782 X 345782 CNF TR I SER A PFD 5.00% 12612V205 8900 200 X N.A. N.A. N.A. CRESCENT REAL ESTATE SER 6.75% PFD 225756204 25650 1500 X N.A. N.A. N.A. DUKE ENERGY CORP 8.25% CONV PFD 264399585 545000 20000 X N.A. N.A. N.A. DUKE ENERGY CORP 8.25% CONV PFD 264399585 54500 2000 X N.A. N.A. N.A. ECHOSTAR COMMUNICATIONS CORP NEW PFD 278762307 53400 120 X N.A. N.A. N.A. FORTUNE BRANDS INC PFD CONV $2.67 349631200 2556 12 X N.A. N.A. N.A. FREEPORT-MCMORAN COPPER & GOPFD DEP 35671D501 14150 1000 X N.A. N.A. N.A. HARCOURT GEN INC SER A CONV VR RT PF 41163G200 58000 800 X N.A. N.A. N.A. HECLA MNG CO PFD SER B CONV $3.50 422704205 11625 1500 X N.A. N.A. N.A. KMART FINANCING CONV PFD 7.75% 498778208 34791 850 X N.A. N.A. N.A. KMART FINANCING CONV PFD 7.75% 498778208 61395 1500 X N.A. N.A. N.A. LORAL SPACE & COMM 6.00% CONV PFD G56462149 916825 80600 X N.A. N.A. N.A. OWENS ILL INC SER 4.75% PFD 690768502 1825 100 X N.A. N.A. N.A. PHARMACIA CORP 6.50% CONV PFD 71713U201 17860 400 X N.A. N.A. N.A. PHARMACIA CORP 6.50% CONV PFD 71713U201 50231 1125 X N.A. N.A. N.A. RECKSON SERIES A 7.625% CONV PFD 75621K205 2150000 100000 X N.A. N.A. N.A. SEALED AIR CORP SER A 2.00% CONV PFD 81211K209 779976 21195 X N.A. N.A. N.A. SEALED AIR CORP SER A 2.00% CONV PFD 81211K209 48355 1314 X N.A. N.A. N.A. TANGER FACTORY OUTLET CTRS INC PFD A 875465205 12000 600 X N.A. N.A. N.A. TEXTRON INC PFD CONV $2.08 883203200 55000 250 X N.A. N.A. N.A. TEXTRON INC PFD CONV $2.08 883203200 181940 827 X N.A. N.A. N.A. TRW INC PREF SER 1 CONV $4.40 872649504 6200 62 X N.A. N.A. N.A. TRW INC PREF SER 1 CONV $4.40 872649504 20000 200 X N.A. N.A. N.A. WESTERN GAS RES INC PFD CONV $0.10 958259301 2308 50 X N.A. N.A. N.A. WHX CORP PFD 929248201 5280 1100 X N.A. N.A. N.A. 126 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 115 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE B. PREFERRED STOCK INSTR OTHER V PREFERRED STOCK - FOREIGN ------------------------------ NATL AUSTRALIA BK CONV PFD 7.875% 632525309 81150 3000 X N.A. N.A. N.A. ROYAL BANK OF SCOTLAND 7.25% PFD 780097879 49360 2000 X N.A. N.A. N.A. ROYAL BANK OF SCOTLAND 7.25% PFD 780097879 74040 3000 X N.A. N.A. N.A. ROYAL BK SCOTLAND GROUP PLC PFD 780097606 88094 3400 X N.A. N.A. N.A. ROYAL BK SCOTLAND GROUP PLC PFD 780097606 31092 1200 X N.A. N.A. N.A. 127 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 117 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V DOMESTIC CONVERTIBLE BONDS ------------------------------ ANALOG DEVICES CONV 4.75% 10/01/05 032654AD7 766688 870000 X N.A. N.A. N.A. ANALOG DEVICES CONV 4.75% 10/01/05 032654AD7 237938 270000 X N.A. N.A. N.A. BANKATLANTIC BNC 5.625% 12/01/07 065908AC9 4680 6000 X N.A. N.A. N.A. CONEXANT SYS INC 4.00% 2/01/07 207142AF7 119186 230000 X N.A. N.A. N.A. FIELDCREST CANNON INC 6.00% 3/15/12 316549AB0 1675 10000 X N.A. N.A. N.A. HEALTHSOUTH REHAB 3.25% 4/01/03 421924AF8 249219 275000 X N.A. N.A. N.A. HERCULES INC CONV 8.00% 8/15/10 427056AK2 4363 5000 X N.A. N.A. N.A. HILTON HOTELS CORP 5.00% 5/15/06 432848AL3 129750 150000 X N.A. N.A. N.A. HILTON HOTELS CORP 5.00% 5/15/06 432848AL3 237875 275000 X N.A. N.A. N.A. JACOBSON STORES INC 6.75% 12/15/11 469834AC9 10350 15000 X N.A. N.A. N.A. JUNIPER NETWORKS 4.75% 3/15/07 48203RAA2 402213 575000 X N.A. N.A. N.A. KENT ELECTRS CO CONV 4.50% 9/01/04 490553AA2 243438 250000 X N.A. N.A. N.A. LSI LOGIC CONV CORP 4.00% 2/15/05 502161AE2 2364600 3000000 X N.A. N.A. N.A. MARSH SUPERMARKETS 7.00% 2/15/03 571783AB5 9650 10000 X N.A. N.A. N.A. MSC SOFTWARE CORP 7.875% 8/18/04 553531AA2 1000875 1074765 X N.A. N.A. N.A. NORAM ENERGY CONV 6.00% 3/15/12 655419AC3 69563 75000 X N.A. N.A. N.A. PARKER DRILLING CORP 5.50% 8/01/04 701081AD3 40950 45000 X N.A. N.A. N.A. PETSMART INC 6.75% 11/01/04 716768AB2 724600 1000000 X N.A. N.A. N.A. THERMO ELECTRON CORP 4.25% 1/01/03 883556AF9 96625 100000 X N.A. N.A. N.A. THERMO ELECTRON CORP 4.25% 1/01/03 883556AF9 24156 25000 X N.A. N.A. N.A. WMX TECHNOLOGIES 2.00% 1/24/05 92929QAF4 14559 19000 X N.A. N.A. N.A. XM SATELLITE RADIO 7.75% 3/01/06 983759AA9 11363 15000 X N.A. N.A. N.A. ACTIVISION INC CONV 6.75 004930AC7 189984000 1500000 X 1500000 ADAPTEC INC REGS CONV 4 3/4% 00651FAC2 543321764 6404000 X 6404000 ADVANCED ENERGY IND INC REGS CONV 007973AA8 32162130 374000 X 374000 AETHER SYS INC REGS CONV 00808VAA3 656687500 13825000 X 13825000 AFFYMETRIX INC CONV 4.75 00826TAD0 490797000 8280000 X 8280000 AFFYMTRIX INC CONV 00826TAB4 967303800 12550000 X 12550000 ALEXION PHARM CONV 5.75% 015351AB5 58850000 1000000 X 1000000 ALKERMES INC. REG CONV 01642TAB4 1627417008 28812000 X 28812000 AMERICA ONLINE CONV 0.00% 02364JAC8 100053560 1928000 X 1928000 AMERITRADE HLD REG CONV 03072HAB5 62553880 1139000 X 1139000 AT HOME CORP CONV 045919AF4 114936000 2000000 X 2000000 ATMEL CORP CONV 0.00% 049513AC8 32034223 528000 X 528000 BEA SYSTEMS INC CONV 073325AD4 493965000 4500000 X 4500000 BEA SYSTEMS INC CONV 073325AB8 158154424 356000 X 356000 BENCHMARK ELECTR CONV 08160HAC5 1095188125 14375000 X 14375000 128 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 117 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V DOMESTIC CONVERTIBLE BONDS ------------------------------ CAREMATRIX CORPORATION CONV 6.25% 141706AC5 263076 66000 X 66000 CITRIX SYSTEMS INC CONV 0% 177376AB6 11581860 283000 X 283000 COMVERSE TECHNOLOGY INC CONV 1.50% 205862AH8 495822000 6000000 X 6000000 COR THERAPEUTICS CONV 5.00% 217753AD4 1189649633 13367000 X 13367000 CRITICAL PATH CONV 5.75 22674VAB6 270996210 8955000 X 8955000 CV THERAPEUTICS CONV 4.75 126667AB0 324219750 4425000 X 4425000 CYMER INC UNTIL CONV 7 1/4 232572AC1 11480875 125000 X 125000 CYPRESS SEMICON CONV 232806AF6 95393328 1217000 X 1217000 CYPRESS SEMICON CONV 4.00 232806AE9 702751493 8587000 X 8587000 DIGITAL ISLAND CONV 25385NAA9 80894545 3065000 X 3065000 DOUBLECLICK CONV 4.75 258609AC0 9284125 125000 X 125000 E*TRADE GROUP INC. CONV 6.00% 269246AA2 271280000 5000000 X 5000000 E*TRADE GROUP CONV 6.00% 269246AB0 2757073536 50034000 X 50034000 FIN FED CORP DUE 5/01/05 CONV 317492AC0 1044769000 11174000 X 11174000 GETTY IMAGES INC CONV 4 3/4 374276AC7 17809740 295000 X 295000 GETTY IMAGES CONV INC 5.00 374276AE3 26264280 420000 X 420000 HUMAN GENOME CONV 444903AF5 950130000 9200000 X 9200000 HUMAN GENOME CONV 3.75 444903AH1 725759280 10160000 X 10160000 I2 TECHNOLOGIES CONV 5.25 465754AF6 268840558 3409000 X 3409000 IBASIS INC CONV 5.75% 450732AA0 30140835 795000 X 795000 IMCLONE SYSTEMS CONV 5.50 45245WAD1 207383496 2472000 X 2472000 INTERNET CAP GRP CONV 5 1/2% 46059CAA4 202692325 7025000 X 7025000 JUNIPER NETWORKS CONV 4.75 48203RAA2 558903330 7893000 X 7893000 LATTICE SEMICOND CONV 518415AC8 1681016610 15470000 X 15470000 LSI LOGIC CORPORATION CONV 4 1/4% 502161AD4 800930080 6640000 X 6640000 LSI LOGIC CONV 4.00% 502161AE2 199240704 2496000 X 2496000 129 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 117 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V DOMESTIC CONVERTIBLE BONDS ------------------------------ MERCURY INTERACTIVE CORP CONV 4.75% 589405AB5 570363605 7945000 X 7945000 NABI INC REG CONV 6 1/2% 628716AB8 89819757 1179000 X 1179000 NETWORK ASSOCIATES INC CONV 640938AB2 96652205 2662000 X 2662000 NVIDIA CORP CONV 4.75% 67066GAA2 9643300 100000 X 100000 ONI SYSTEMS CORP CONV 5.00% 68273FAA1 483053760 7840000 X 7840000 P-COM INC DUE CONV 4 1/4% 693262AC1 92549100 2100000 X 2100000 PHOTRONICS INC DUE CONV 6% 719405AA0 1810947236 17716000 X 17716000 PROVIDIAN FINANCIAL CORP CONV 3.25% 74406AAA0 365161275 3825000 X 3825000 QUANTUM CORP DUE CONV 7% 747906AC9 183720792 2172000 X 2172000 RATIONAL SOFTWARE CORP CONV 5.00% 75409PAC7 291376900 3550000 X 3550000 READ RITE CORP CONV 6 1/2% 755246AA3 39421393 601000 X 601000 REDBACK NETWORKS CONV 5.00% 757209AB7 349139583 6123000 X 6123000 SANMINA CORP SUB NOTES CONV 4.25% 800907AB3 529546035 4827000 X 4827000 SCI SYSTEMS INC CONV 3.00% 783890AF3 616975768 8366000 X 8366000 SEMTECH CORP CONV 816850AD3 138934500 1500000 X 1500000 SEPRACOR INC CONV 817315AH7 76840000 1000000 X 1000000 SEPRACOR INC 2-15-07 REG CONV 5% 817315AL8 90588000 1500000 X 1500000 SOLECTRON CORP CONV 0.00% 834182AL1 483921486 11650000 X 11650000 SOLECTRON CORP_ ZERO COUPON CONV 834182AK3 1864537059 37837000 X 37837000 SPORTSLINE.COM INC CONV 848934AC9 12765840 430000 X 430000 TRIQUINT SEMICON CONV 89674KAB9 218189430 3590000 X 3590000 VITESSE SEMICONDUCTOR 4.00% CORP 928497AB2 789450464 10912000 X 10912000 130 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 118 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSED-END INVESTMENTS ------------------------------ ACM GOVT INC FUND * 000912105 58427 7424 X N.A. N.A. N.A. ACM GOVT INC FUND * 000912105 142549 18113 X N.A. N.A. N.A. ACM GOVT OPPORTUNITY FD * 000918102 131405 16025 X N.A. N.A. N.A. ADAMS EXPRESS CO * 006212104 123604 7055 X N.A. N.A. N.A. ADAMS EXPRESS CO * 006212104 599990 34246 X N.A. N.A. N.A. ALL AMERN TERM TR INC * 016440109 28968 2400 X N.A. N.A. N.A. ALLIANCE ALL-MARKET ADVANTAGE FD * 01852M108 151307 5356 X N.A. N.A. N.A. ALLIANCE WORLD DLR GOVT FD II * 01879R106 189497 20710 X N.A. N.A. N.A. ALLIANCE WORLD DLR GOVT FD II * 01879R106 14530 1588 X N.A. N.A. N.A. ALLMERICA SECS TR SH BEN INT * 019921105 12540 1200 X N.A. N.A. N.A. AMERICAN SELECT PORTFOLIO FD * 029570108 7832 642 X N.A. N.A. N.A. AMERICAN STRATGEIC INC III * 03009T101 11810 1000 X N.A. N.A. N.A. AMERICAN STRATGEIC INC III * 03009T101 15707 1330 X N.A. N.A. N.A. AMEX ENERGY SELECT SPDR FD * 81369Y506 12280 400 X N.A. N.A. N.A. ASA LTD COM * 002050102 29220 1772 X N.A. N.A. N.A. ASA LTD COM * 002050102 58375 3540 X N.A. N.A. N.A. ASIA PACIFIC FUND INC COM * 044901106 17457 2221 X N.A. N.A. N.A. ASIA PACIFIC FUND INC COM * 044901106 36203 4606 X N.A. N.A. N.A. AUSTRIA FD INC * 052587102 174 26 X N.A. N.A. N.A. AUSTRIA FD INC * 052587102 13400 2000 X N.A. N.A. N.A. BANCROFT CONVERTABLE FD * 059695106 9073 431 X N.A. N.A. N.A. BIOTECH HOLDERS TRUST * 09067D201 5700 50 X N.A. N.A. N.A. BIOTECH HOLDERS TRUST * 09067D201 45600 400 X N.A. N.A. N.A. BLACKROCK FLA INSD MUN 2008 TERM TR * 09247H106 116560 8000 X N.A. N.A. N.A. BLACKROCK INCOME TR INC * 09247F100 7120 1000 X N.A. N.A. N.A. BLACKROCK INSD MUN TERM TR INC * 092474105 37080 3600 X N.A. N.A. N.A. BLACKROCK INSD MUN 2008 TERM TR INC * 09247K109 15400 1000 X N.A. N.A. N.A. BLACKROCK MUN TARGET TERM TR INC * 09247M105 107743 10563 X N.A. N.A. N.A. BLACKROCK NORTH AMER GOVT INC TR * 092475102 1006740 102000 X N.A. N.A. N.A. BLACKROCK NORTH AMER GOVT INC TR * 092475102 9870 1000 X N.A. N.A. N.A. BLACKROCK STRATEGIC TERM TR INC * 09247P108 888294 94600 X N.A. N.A. N.A. BLACKROCK 2001 TERM TRUST * 092477108 940985 95921 X N.A. N.A. N.A. BLACKROCK 2001 TERM TRUST * 092477108 10791 1100 X N.A. N.A. N.A. BLUE CHIP VALUE FD INC * 095333100 215243 31700 X N.A. N.A. N.A. BROADBAND HOLDRS TR * 11130P104 12175 500 X N.A. N.A. N.A. BROADBAND HOLDRS TR * 11130P104 17045 700 X N.A. N.A. N.A. B2B INTERNET HOLDERS TR * 056033103 1176 200 X N.A. N.A. N.A. CENTRAL FUNDS OF CANADA LTD A * 153501101 310 100 X N.A. N.A. N.A. CENTRAL SECURITIES CORP * 155123102 135145 5073 X N.A. N.A. N.A. CHILE FUND INC * 168834109 72149 8255 X N.A. N.A. N.A. CHINA FUND INC * 169373107 1441 134 X N.A. N.A. N.A. CHINA FUND INC * 169373107 16125 1500 X N.A. N.A. N.A. CIGNA FDS HIGH INCOME SHS * 12551D109 21452 4799 X N.A. N.A. N.A. 131 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 119 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSED-END INVESTMENTS ------------------------------ CIGNA INVESTMENT SECURITIES * 17179X106 26238 1595 X N.A. N.A. N.A. CLEMENTE STRATEGIC VALUE FD * 185569100 85 11 X N.A. N.A. N.A. CLEMENTE STRATEGIC VALUE FD * 185569100 7750 1000 X N.A. N.A. N.A. CNA INCOME SHS INC FUND * 126119106 51 6 X N.A. N.A. N.A. CNA INCOME SHS INC FUND * 126119106 4235 500 X N.A. N.A. N.A. COHEN & STEERS RLTY INCOME FD INC * 19247P107 1518 200 X N.A. N.A. N.A. COLONIAL HIGH INCOME MUN TR * 195743109 75865 11891 X N.A. N.A. N.A. COLONIAL HIGH INCOME MUN TR * 195743109 3190 500 X N.A. N.A. N.A. COLONIAL INTER HIGH INCOME FUND * 195763107 20716 4417 X N.A. N.A. N.A. COLONIAL INVT GRADE MUN TR SH BEN IN * 195768106 33938 3488 X N.A. N.A. N.A. COLONIAL MUNICIPAL INCOME TRUST * 195799101 29 5 X N.A. N.A. N.A. CORPORATE HIGH YIELD FD III INC COM * 219925104 105000 10500 X N.A. N.A. N.A. CREDIT SUISSE ASSET MGMT INC COM * 224916106 58 10 X N.A. N.A. N.A. CREDIT SUISSE ASSET MGMT INC COM * 224916106 5780 1000 X N.A. N.A. N.A. CREDIT SUISSE STR GLBL INCOME * 224918102 13268 1909 X N.A. N.A. N.A. DELAWARE GROUP DIVIDEND & INCOME FD * 245915103 174238 13150 X N.A. N.A. N.A. DLJ HIGH YIELD BD FD * 23322Y108 33265 5374 X N.A. N.A. N.A. DRESNER RCM GLB STRATEGIC INCOM FD * 26157B101 129730 18720 X N.A. N.A. N.A. DREYFUS MUNICIPAL INCOME FUND * 26201R102 147361 16651 X N.A. N.A. N.A. DREYFUS NY MUNI INCOME INC FUND * 26201T108 11773 1385 X N.A. N.A. N.A. DREYFUS STRATEGIC MUNI BOND FUND * 26202F107 109800 12200 X N.A. N.A. N.A. DREYFUS STRATEGIC MUNS INC * 261932107 51827 5543 X N.A. N.A. N.A. DREYFUS STRATEGIC MUNS INC * 261932107 40205 4300 X N.A. N.A. N.A. DUFF & PHELPS UTIL & CORPORATE BD TR * 26432K108 41374 3020 X N.A. N.A. N.A. DUFF & PHELPS UTIL & CORPORATE BD TR * 26432K108 33360 2435 X N.A. N.A. N.A. DUFF & PHELPS UTILITIES INC FUND * 264324104 433493 41285 X N.A. N.A. N.A. DUFF & PHELPS UTILITIES INC FUND * 264324104 75852 7224 X N.A. N.A. N.A. DUFF & PHELPS UTILS TAX FREE INCOME * 264325101 169525 11930 X N.A. N.A. N.A. DUFF & PHELPS UTILS TAX FREE INCOME * 264325101 7105 500 X N.A. N.A. N.A. EATON VANCE NEW JERSEY MUNICIPAL INC * 27826V106 119688 9999 X N.A. N.A. N.A. EATON VANCE SENIOR INCOME FUND * 27826S103 17880 2009 X N.A. N.A. N.A. EMERGING MARKETS INCOME FUND * 290918101 27700 2000 X N.A. N.A. N.A. FIRST AUSTRALIA FUND INC * 318652104 102 19 X N.A. N.A. N.A. FIRST AUSTRALIA PRIME INCOME FUND * 318653102 218763 55807 X N.A. N.A. N.A. FIRST AUSTRALIA PRIME INCOME FUND * 318653102 50074 12774 X N.A. N.A. N.A. FIRST COMWLTH FD INC * 31983F102 188128 21138 X N.A. N.A. N.A. FIRST FINANCIAL FUND INC * 320228109 28552 2529 X N.A. N.A. N.A. FORT DEARBORN INC SECS COM * 347200107 3650 250 X N.A. N.A. N.A. FORTIS SECURITIES INC COM * 34955T100 28143 3496 X N.A. N.A. N.A. FRANKLIN MULTI INCOME TRUST * 354021107 431 50 X N.A. N.A. N.A. FRANKLIN UNVL TR SH BEN INT * 355145103 31967 3971 X N.A. N.A. N.A. FRANKLIN UNVL TR SH BEN INT * 355145103 18958 2355 X N.A. N.A. N.A. GABELLI EQUITY TR INC * 362397101 196503 18451 X N.A. N.A. N.A. GABELLI EQUITY TR INC * 362397101 120398 11305 X N.A. N.A. N.A. 132 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 120 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSED-END INVESTMENTS ------------------------------ GABELLI GLOBAL MULTIMEDIA TR INC COM * 36239Q109 5607 547 X N.A. N.A. N.A. GABELLI GLOBAL MULTIMEDIA TR INC COM * 36239Q109 5761 562 X N.A. N.A. N.A. GABELLI UTILITY TRUST * 36240A101 31147 3708 X N.A. N.A. N.A. GABELLI UTILITY TRUST * 36240A101 4368 520 X N.A. N.A. N.A. GENERAL AMERICAN INVESTORS INC COM * 368802104 211208 6212 X N.A. N.A. N.A. GENERAL AMERICAN INVESTORS INC COM * 368802104 132124 3886 X N.A. N.A. N.A. GERMANY FUND INC * 374143105 33 4 X N.A. N.A. N.A. GERMANY FUND INC * 374143105 11614 1406 X N.A. N.A. N.A. GLOBAL HIGH INC DLR FD INC COM * 37933G108 46305 3430 X N.A. N.A. N.A. GLOBAL HIGH INC DLR FD INC COM * 37933G108 2876 213 X N.A. N.A. N.A. GLOBAL INCOME FD INC FUND * 37934Y108 7875 1500 X N.A. N.A. N.A. GREATER CHINA FD INC * 39167B102 11053 1235 X N.A. N.A. N.A. H & Q HEALTHCARE FD SH BEN INT * 404052102 36071 1735 X N.A. N.A. N.A. H & Q HEALTHCARE FD SH BEN INT * 404052102 2495 120 X N.A. N.A. N.A. HANCOCK J PATRIOT GLOBAL DIV FD * 41013G103 38130 3100 X N.A. N.A. N.A. HANCOCK JOHN INCOME SECS TR SBI * 410123103 40680 2712 X N.A. N.A. N.A. HANCOCK JOHN INCOME SECS TR SBI * 410123103 125745 8383 X N.A. N.A. N.A. HANCOCK JOHN INVEST TR * 410142103 4861 245 X N.A. N.A. N.A. HANCOCK JOHN INVEST TR * 410142103 30454 1535 X N.A. N.A. N.A. HANCOCK JOHN PATRIOT PFD DIVID FD * 41013J107 23200 2000 X N.A. N.A. N.A. HANCOCK JOHN PATRIOT PREM DIV FD II * 41013T105 7455 700 X N.A. N.A. N.A. HANCOCK JOHN PATRIOT PREM DIVID FD I * 41013Q101 85159 9547 X N.A. N.A. N.A. HANCOCK JOHN PATRIOT PREM DIVID FD I * 41013Q101 218478 24493 X N.A. N.A. N.A. HANCOCK JOHN PATRIOT SELECT DIVID TR * 41013U102 4865 340 X N.A. N.A. N.A. HIGH INCOME OPPORTUNITY FD * 42967Q105 12540 1372 X N.A. N.A. N.A. HIGH INCOME OPPORTUNITY FD * 42967Q105 20620 2256 X N.A. N.A. N.A. HIGH YIELD INCOME FD INC * 429904105 115200 20000 X N.A. N.A. N.A. HIGH YIELD INCOME FD INC * 429904105 12960 2250 X N.A. N.A. N.A. HIGH YIELD PLUS FD INC * 429906100 33567 5414 X N.A. N.A. N.A. HYPERION 2002 TERM TR INC * 448915108 1098339 120300 X N.A. N.A. N.A. HYPERION 2005 INVT GRADE OPPORTUNITY * 448918102 299700 33300 X N.A. N.A. N.A. INDIA FUND INC * 454089103 3057 300 X N.A. N.A. N.A. INDIA GROWTH FUND INC * 454090101 5374 630 X N.A. N.A. N.A. INSURED MUNICIPAL INCOME FUND * 45809F104 177627 13549 X N.A. N.A. N.A. INSURED MUNICIPAL INCOME FUND * 45809F104 1534 117 X N.A. N.A. N.A. INTERMEDIATE MUNI FD INC COM * 45880P104 9550 1000 X N.A. N.A. N.A. INVESCO GLOBAL HEALTH SCIENCES FUND * 46128N109 3754 287 X N.A. N.A. N.A. INVESCO GLOBAL HEALTH SCIENCES FUND * 46128N109 23191 1773 X N.A. N.A. N.A. IRISH INVT FD INC * 462710104 4305 363 X N.A. N.A. N.A. ISHARES INC MSCI JAPAN INDEX FD * 464286848 18432 1800 X N.A. N.A. N.A. ISHARES RUSSELL 2000 GROWTH * 464287648 9426 172 X N.A. N.A. N.A. ISHARES RUSSELL 2000 VALUE INDEX FD * 464287630 85407 735 X N.A. N.A. N.A. ISHARES RUSSELL 3000 * 464287689 2218 35 X N.A. N.A. N.A. 133 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 121 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSED-END INVESTMENTS ------------------------------ ISHARES S & P MIDCAP 400/VALUE FD * 464287705 39901 486 X N.A. N.A. N.A. ISHARES S & P SMALLCAP 600/VALUE FD * 464287879 29898 396 X N.A. N.A. N.A. ISHARES S & P 500/BARRA VALUE FD * 464287408 20126 339 X N.A. N.A. N.A. ISHARES TR - RUSSEL 2000 INDEX FD * 464287655 51968 580 X N.A. N.A. N.A. ISHARES TR US ENERGY SEC INDEX FD * 464287796 14490 280 X N.A. N.A. N.A. ISHARES TRUST DOW JONES TECH * 464287721 10660 200 X N.A. N.A. N.A. ITALY FD INC * 465395101 31075 3271 X N.A. N.A. N.A. ITALY FD INC * 465395101 41829 4403 X N.A. N.A. N.A. JOHN HANCOCK BANK & THRIFT OPP FUND * 409735107 22404 2804 X N.A. N.A. N.A. KOREA EQUITY FUND INC * 50063B104 2510 1000 X N.A. N.A. N.A. KOREA FD * 500634100 7098 780 X N.A. N.A. N.A. KOREA FD * 500634100 5387 592 X N.A. N.A. N.A. LATIN AMERICA EQUITY FD INC * 51827Q106 24721 2018 X N.A. N.A. N.A. LATIN AMERICA EQUITY FD INC * 51827Q106 4300 351 X N.A. N.A. N.A. LIBERTY ALL STAR EQUITY FUND * 530158104 476121 38867 X N.A. N.A. N.A. LIBERTY ALL-STAR GROWTH FD INC COM * 529900102 34 4 X N.A. N.A. N.A. MA HLTH & ED TAX EX TR SBI * 575672100 73700 5500 X N.A. N.A. N.A. MA HLTH & ED TAX EX TR SBI * 575672100 5360 400 X N.A. N.A. N.A. MALAYSIA FD INC * 560905101 899 249 X N.A. N.A. N.A. MALAYSIA FD INC * 560905101 1805 500 X N.A. N.A. N.A. MANAGED HIGH INCOME PORTFOLIO INC * 56166C105 31885 3500 X N.A. N.A. N.A. MANAGED HIGH INCOME PORTFOLIO INC * 56166C105 13355 1466 X N.A. N.A. N.A. MANAGED HIGH YIELD PLUS FD INC * 561911108 69864 9085 X N.A. N.A. N.A. MANAGED MUNS PORTFOLIO INC * 561662107 23333 2218 X N.A. N.A. N.A. MASS MUTUAL PARTICIPATION INVESTORS * 576299101 86669 7879 X N.A. N.A. N.A. MASS MUTUAL PARTICIPATION INVESTORS * 576299101 272756 24796 X N.A. N.A. N.A. MASSMUTUAL CORP INVESTORS FUND * 576292106 186483 7690 X N.A. N.A. N.A. MASSMUTUAL CORP INVESTORS FUND * 576292106 557411 22986 X N.A. N.A. N.A. MFS CHARTER INCOME TRUST * 552727109 92405 10055 X N.A. N.A. N.A. MFS CHARTER INCOME TRUST * 552727109 2757 300 X N.A. N.A. N.A. MFS GOVERNMENT MARKETS INCOME TRUST * 552939100 728160 111000 X N.A. N.A. N.A. MFS INTERMEDIATE INCOME TRUST * 55273C107 535090 78459 X N.A. N.A. N.A. MFS INTERMEDIATE INCOME TRUST * 55273C107 238113 34914 X N.A. N.A. N.A. MFS MULTIMARKET INCOME TRUST * 552737108 16658 2505 X N.A. N.A. N.A. MFS MULTIMARKET INCOME TRUST * 552737108 39900 6000 X N.A. N.A. N.A. MFS MUNICIPAL INCOME TRUST * 552738106 16313 2004 X N.A. N.A. N.A. MFS MUNICIPAL INCOME TRUST * 552738106 64518 7926 X N.A. N.A. N.A. MIDCAP SPDR TR COM * 595635103 37980 450 X N.A. N.A. N.A. MIDCAP SPDR TR COM * 595635103 25320 300 X N.A. N.A. N.A. MORGAN STANLEY DEAN WITTER GOVT FD * 61745P106 42192 4800 X N.A. N.A. N.A. MSDW ASIA-PACIFIC FD INC * 61744U106 809120 104000 X N.A. N.A. N.A. MSDW EASTERN EUROPE FUND * 616988101 12240 1000 X N.A. N.A. N.A. MSDW EMERGING MKTS FD INC * 61744G107 8888 1067 X N.A. N.A. N.A. 134 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 122 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSED-END INVESTMENTS ------------------------------ MSDW HIGH INCOME ADV TRST II * 61745P304 1160 500 X N.A. N.A. N.A. MSDW HIGH INCOME ADVANTAGE TR III * 61745P403 2500 1000 X N.A. N.A. N.A. MSDW INCOME SECURITIES FUND * 61745P874 1769 100 X N.A. N.A. N.A. MSDW INCOME SECURITIES FUND * 61745P874 12383 700 X N.A. N.A. N.A. MSDW INSURED MUNI INCOME * 61745P791 30030 2200 X N.A. N.A. N.A. MSDW INSURED MUNI TRUST * 61745P866 10416 700 X N.A. N.A. N.A. MSDW MUNI INCOME OPPORTUNITIES TR * 61745P452 4295 500 X N.A. N.A. N.A. MSDW NY QUALITY MUNI SECS * 61745P528 122262 9333 X N.A. N.A. N.A. MSDW QUALITY MUNI INCOME * 61745P734 169920 12000 X N.A. N.A. N.A. MSDW QUALITY MUNI INCOME * 61745P734 41064 2900 X N.A. N.A. N.A. MSDW QUALITY MUNI SEC * 61745P585 35390 2679 X N.A. N.A. N.A. MSDW QUALITY MUNI SEC * 61745P585 93170 7053 X N.A. N.A. N.A. MUNICIPAL HIGH INCOME FD INC * 626214100 16900 2000 X N.A. N.A. N.A. MUNIENHANCED FD INC * 626243109 5330 500 X N.A. N.A. N.A. MUNIHOLDINGS INSD FD II INC FD * 62625A102 5013 396 X N.A. N.A. N.A. MUNIVEST FD INC * 626295109 135669 15505 X N.A. N.A. N.A. MUNIVEST FD INC * 626295109 58450 6680 X N.A. N.A. N.A. MUNIYIELD CA INSD FD II INC * 62629L104 138000 10000 X N.A. N.A. N.A. MUNIYIELD FD INC * 626299101 19676 1451 X N.A. N.A. N.A. MUNIYIELD FD INC * 626299101 78417 5783 X N.A. N.A. N.A. MUNIYIELD INSD FD INC * 62630E107 100376 6990 X N.A. N.A. N.A. MUNIYIELD INSD FD INC * 62630E107 143370 9984 X N.A. N.A. N.A. MUNIYIELD MICH INSD INC FD * 62630J106 55094 4075 X N.A. N.A. N.A. MUNIYIELD NY INSURED FUND INC * 626301105 20188 1501 X N.A. N.A. N.A. MUNIYIELD QUALITY FD INC * 626302103 98563 7226 X N.A. N.A. N.A. NEW GERMANY FD INC * 644465106 10411 1438 X N.A. N.A. N.A. NUVEEN CALIF INVT QUALITY MUN FD INC * 67062A101 62200 4000 X N.A. N.A. N.A. NUVEEN CONN PREM INCOME MUN FD * 67060D107 23250 1500 X N.A. N.A. N.A. NUVEEN CONN PREM INCOME MUN FD * 67060D107 196463 12675 X N.A. N.A. N.A. NUVEEN DIVIDEND ADVANTAGE MUNI FUND * 67066V101 24905 1700 X N.A. N.A. N.A. NUVEEN FLA INVT QUALITY MUN FD * 670970102 34310 2334 X N.A. N.A. N.A. NUVEEN INSD MUN OPPORTUNITY FD INC * 670984103 161163 11430 X N.A. N.A. N.A. NUVEEN INSD MUN OPPORTUNITY FD INC * 670984103 11280 800 X N.A. N.A. N.A. NUVEEN INSD PREM INCOME MUN FD 2 * 6706D8104 34622 2653 X N.A. N.A. N.A. NUVEEN INSD QUALITY MUN FD INC * 67062N103 75207 5300 X N.A. N.A. N.A. NUVEEN INSURED FLORIDA PREMIUM INC * 67101V108 7155 500 X N.A. N.A. N.A. NUVEEN INVT QUALITY MUN FD INC * 67062E103 19558 1400 X N.A. N.A. N.A. NUVEEN INVT QUALITY MUN FD INC * 67062E103 8382 600 X N.A. N.A. N.A. NUVEEN MASS PREM INCOME MUN FD * 67061E104 65524 4325 X N.A. N.A. N.A. NUVEEN MUN MKT OPPORTUNITY FD COM * 67062W103 102620 7330 X N.A. N.A. N.A. NUVEEN MUN MKT OPPORTUNITY FD COM * 67062W103 24220 1730 X N.A. N.A. N.A. NUVEEN MUNI ADVANTAGE FD INC COM * 67062H106 371983 26196 X N.A. N.A. N.A. NUVEEN MUNI ADVANTAGE FD INC COM * 67062H106 139870 9850 X N.A. N.A. N.A. 135 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 123 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSED-END INVESTMENTS ------------------------------ NUVEEN MUNI INCOME FUND INC * 67062J102 4736 400 X N.A. N.A. N.A. NUVEEN MUNI INCOME FUND INC * 67062J102 17168 1450 X N.A. N.A. N.A. NUVEEN MUNI VALUE FD INC * 670928100 116957 12644 X N.A. N.A. N.A. NUVEEN MUNI VALUE FD INC * 670928100 1027481 111079 X N.A. N.A. N.A. NUVEEN N Y INVT QUALITY MUN FD INC * 67062X101 29720 2000 X N.A. N.A. N.A. NUVEEN N Y QUALITY INCOME MUN FD INC * 670986108 114515 7665 X N.A. N.A. N.A. NUVEEN NJ INVT QUALITY MUN FD INC * 670971100 11864 800 X N.A. N.A. N.A. NUVEEN NJ INVT QUALITY MUN FD INC * 670971100 33812 2280 X N.A. N.A. N.A. NUVEEN NJ PREM INCOME MUN FD INC * 67101N106 23744 1650 X N.A. N.A. N.A. NUVEEN NY MUNICIPAL VALUE FUND INC * 67062M105 31990 3500 X N.A. N.A. N.A. NUVEEN NY PERFORMANCE MUNI FD * 67062R104 82005 5500 X N.A. N.A. N.A. NUVEEN PA INVT QUALITY MUN FD * 670972108 13458 918 X N.A. N.A. N.A. NUVEEN PERFORMANCE PLUS MUN FD INC * 67062P108 652392 46800 X N.A. N.A. N.A. NUVEEN PERFORMANCE PLUS MUN FD INC * 67062P108 244647 17550 X N.A. N.A. N.A. NUVEEN PREM INCOME MUN FD 2 INC * 67063W102 636471 45365 X N.A. N.A. N.A. NUVEEN PREM INCOME MUN FD 4 INC * 6706K4105 28626 2202 X N.A. N.A. N.A. NUVEEN PREMIER INSD MUN INCOME FD * 670987106 14560 1000 X N.A. N.A. N.A. NUVEEN PREMIER MUN INCOME FD INC * 670988104 14500 1000 X N.A. N.A. N.A. NUVEEN PREMIUM INC MUNI FD INC * 67062T100 743461 54466 X N.A. N.A. N.A. NUVEEN PREMIUM INC MUNI FD INC * 67062T100 445823 32661 X N.A. N.A. N.A. NUVEEN QUALITY INCOME MUN FD INC * 670977107 33218 2371 X N.A. N.A. N.A. NUVEEN QUALITY INCOME MUN FD INC * 670977107 359791 25681 X N.A. N.A. N.A. NUVEEN SELECT MAT MUN FD SBI * 67061T101 17818 1598 X N.A. N.A. N.A. NUVEEN SELECT QUALITY MUN FD INC * 670973106 40028 2853 X N.A. N.A. N.A. NUVEEN SELECT TAX FREE INCOME PORT 2 * 67063C106 10188 720 X N.A. N.A. N.A. NUVEEN SELECT TAX FREE INCOME PORT 2 * 67063C106 7075 500 X N.A. N.A. N.A. NUVEEN SELECT TAX-FREE INCOME * 67062F100 14500 1000 X N.A. N.A. N.A. OPPENHEIMER MULTI-SECTOR INCOME TR * 683933105 54248 6330 X N.A. N.A. N.A. PACIFIC AMERN INCOME SHS INC FD * 693796104 102 7 X N.A. N.A. N.A. PETROLEUM & RESOURCES CORP * 716549100 168667 6201 X N.A. N.A. N.A. PILGRIM PRIME RATE TR NEW * 72146W103 950 120 X N.A. N.A. N.A. PILGRIM PRIME RATE TR NEW * 72146W103 73783 9316 X N.A. N.A. N.A. PIONEER INTEREST SHARES INC FUND * 723703104 5825 500 X N.A. N.A. N.A. PROSPECT STR HIGH INCOME PORT FD * 743586406 121132 26333 X N.A. N.A. N.A. PUTNAM HIGH INCOME CONV & BD FD * 746779107 11184 1600 X N.A. N.A. N.A. PUTNAM HIGH YIELD MUN TR * 746781103 8220 1000 X N.A. N.A. N.A. PUTNAM INVT GRADE MUN TR II * 746806108 83211 6940 X N.A. N.A. N.A. PUTNAM INVT GRADE MUN TR II * 746806108 55154 4600 X N.A. N.A. N.A. PUTNAM MANAGED MUN INCOME TR * 746823103 8817 1041 X N.A. N.A. N.A. PUTNAM MANAGED MUN INCOME TR * 746823103 8047 950 X N.A. N.A. N.A. PUTNAM MASTER INCOME TR SH BEN INT * 74683K104 14596 2172 X N.A. N.A. N.A. PUTNAM MASTER INCOME TR SH BEN INT * 74683K104 134400 20000 X N.A. N.A. N.A. PUTNAM MASTER INTER INCOME TR SBI * 746909100 86007 13071 X N.A. N.A. N.A. PUTNAM MASTER INTER INCOME TR SBI * 746909100 25938 3942 X N.A. N.A. N.A. 136 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 124 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSED-END INVESTMENTS ------------------------------ PUTNAM MUN OPPORTUNITIES TR FD * 746922103 109242 8110 X N.A. N.A. N.A. PUTNAM PREMIER INCOME TR SH BEN INT * 746853100 26977 4075 X N.A. N.A. N.A. PUTNAM PREMIER INCOME TR SH BEN INT * 746853100 58170 8787 X N.A. N.A. N.A. PUTNAM TAX FREE HEALTH CARE FD * 746920107 13000 1000 X N.A. N.A. N.A. PUTNAM TAX FREE HEALTH CARE FD * 746920107 15171 1167 X N.A. N.A. N.A. R O C TAIWAN FD * 749651105 2718 508 X N.A. N.A. N.A. R O C TAIWAN FD * 749651105 26750 5000 X N.A. N.A. N.A. RCM STRATEGIC GLOBAL GOVT FD * 74936A101 105000 10000 X N.A. N.A. N.A. RENAISSANCE CAP GROWTH & INCM FDIII * 75966V105 6450 702 X N.A. N.A. N.A. ROYCE MICRO-CAP TRUST INC * 780915104 22140 2567 X N.A. N.A. N.A. ROYCE VALUE TRUST INC * 780910105 59108 4207 X N.A. N.A. N.A. SALOMON BROS FD INC * 795477108 148775 10820 X N.A. N.A. N.A. SALOMON BROS FD INC * 795477108 140388 10210 X N.A. N.A. N.A. SALOMON BROS HIGH INCOME FD II COM * 794907105 85392 7200 X N.A. N.A. N.A. SALOMON BROS HIGH INCOME FD II COM * 794907105 25641 2162 X N.A. N.A. N.A. SALOMON BROS WLDWIDE INC FD INC * 79548T109 66250 5000 X N.A. N.A. N.A. SALOMON BROS 2008 WORLDWIDE DLR GOVT * 79548R103 53864 5553 X N.A. N.A. N.A. SCUDDER GLOBAL HIGH INCOME FD * 81115E101 30393 5526 X N.A. N.A. N.A. SCUDDER HIGH INCOME TR * 811153105 78994 9575 X N.A. N.A. N.A. SCUDDER INTER GOVT TR * 811163104 20190 3000 X N.A. N.A. N.A. SCUDDER MUN INCOME TR * 81118R604 49493 4300 X N.A. N.A. N.A. SCUDDER NEW ASIA FD INC * 811183102 94475 10474 X N.A. N.A. N.A. SENIOR HIGH INCOME PORTFOLIO * 81721E107 15425 2500 X N.A. N.A. N.A. SENIOR HIGH INCOME PORTFOLIO * 81721E107 2777 450 X N.A. N.A. N.A. SINGAPORE FD INC * 82929L109 1259 234 X N.A. N.A. N.A. SMALLCAP FUND * 831680103 3222 300 X N.A. N.A. N.A. SOURCE CAPITAL INC FD * 836144105 66430 1300 X N.A. N.A. N.A. SOURCE CAPITAL INC FD * 836144105 172360 3373 X N.A. N.A. N.A. SPAIN FUND INC (THE) * 846330108 1978 215 X N.A. N.A. N.A. SPAIN FUND INC (THE) * 846330108 40480 4400 X N.A. N.A. N.A. STRATEGIC GLOBAL INCOME FD INC * 862719101 61105 5555 X N.A. N.A. N.A. STRATEGIC GLOBAL INCOME FD INC * 862719101 38544 3504 X N.A. N.A. N.A. SWISS HELVETIA FD INC * 870875101 99899 8155 X N.A. N.A. N.A. SWISS HELVETIA FD INC * 870875101 14345 1171 X N.A. N.A. N.A. TAIWAN FUND INC * 874036106 36 3 X N.A. N.A. N.A. TCW / DW TERM TR 2003 * 87234U108 172210 17000 X N.A. N.A. N.A. TCW CONV SECURITIES FD INC * 872340104 140263 14535 X N.A. N.A. N.A. TCW CONV SECURITIES FD INC * 872340104 50180 5200 X N.A. N.A. N.A. TCW DW TERM TR 2002 SH BEN INT * 87234T101 50400 5000 X N.A. N.A. N.A. TEMPLETON CHINA WORLD FD INC * 88018X102 4813 610 X N.A. N.A. N.A. TEMPLETON DRAGON FD INC * 88018T101 80100 10000 X N.A. N.A. N.A. TEMPLETON EMERG MKTS INC FUND * 880192109 5225 500 X N.A. N.A. N.A. TEMPLETON EMERGING MARKETS FUND INC * 880191101 19325 2500 X N.A. N.A. N.A. 137 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 125 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSED-END INVESTMENTS ------------------------------ TEMPLETON GLOBAL INCOME FD INC * 880198106 66358 10450 X N.A. N.A. N.A. TEMPLETON GLOBAL INCOME FD INC * 880198106 6350 1000 X N.A. N.A. N.A. THAI CAPITAL FUND INC COM * 882905102 1528 1132 X N.A. N.A. N.A. THAI FD INC * 882904105 33 11 X N.A. N.A. N.A. TRI-CONTINENTAL CORPORATION FUND * 895436103 388098 18785 X N.A. N.A. N.A. TRI-CONTINENTAL CORPORATION FUND * 895436103 373078 18058 X N.A. N.A. N.A. TURKISH INVESTMENT FUND * 900145103 38 8 X N.A. N.A. N.A. VAN KAMPEN ADVANTAGE MUNI INCOME TR * 921124103 349258 24735 X N.A. N.A. N.A. VAN KAMPEN ADVANTAGE MUNI INCOME TR * 921124103 7060 500 X N.A. N.A. N.A. VAN KAMPEN AMER CAP TR INVT GRADE NJ * 920933108 22770 1500 X N.A. N.A. N.A. VAN KAMPEN AMERICAN CAPITAL MUNI TR * 920919107 20160 1463 X N.A. N.A. N.A. VAN KAMPEN BOND FUND INC COMMON * 920955101 37056 2003 X N.A. N.A. N.A. VAN KAMPEN HIGH INCOME TRUST SHARES * 920911104 9162 1800 X N.A. N.A. N.A. VAN KAMPEN INCOME TRUST * 920957107 8268 1200 X N.A. N.A. N.A. VAN KAMPEN MASSACHUSETTS VALUE MUNI * 92112R102 52080 3500 X N.A. N.A. N.A. VAN KAMPEN MASSACHUSETTS VALUE MUNI * 92112R102 2976 200 X N.A. N.A. N.A. VAN KAMPEN MUNI OPPOR TR II * 920944105 12093 969 X N.A. N.A. N.A. VAN KAMPEN MUNICIPAL INCOME TRUST CO * 920909108 17400 2000 X N.A. N.A. N.A. VAN KAMPEN NY QUALITY MUNICIPAL TR * 920922101 50631 3475 X N.A. N.A. N.A. VAN KAMPEN SENIOR INCOME TRUST * 920961109 399000 50000 X N.A. N.A. N.A. VAN KAMPEN TRUST INVESTMENT GRADE * 920929106 600880 40600 X N.A. N.A. N.A. VESTAUR SECURITIES INC * 925464109 1335 100 X N.A. N.A. N.A. ZWEIG FUND INC * 989834106 19062 1996 X N.A. N.A. N.A. ZWEIG FUND INC * 989834106 20332 2129 X N.A. N.A. N.A. ZWEIG TOTAL RETURN FD INC * 989837109 23081 3302 X N.A. N.A. N.A. 1838 BD DEB TRADING FD COM * 282520105 12044 625 X N.A. N.A. N.A. 1838 BD DEB TRADING FD COM * 282520105 7226 375 X N.A. N.A. N.A. 138 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 126 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V WARRANTS & RIGHTS ------------------------------ ARCH WIRELESS INC WTS 9/01/01 * 039392113 11 345 X N.A. N.A. N.A. BANK UTD CORP CPR'S RTS 12/01/49 * 065416117 250 1000 X N.A. N.A. N.A. DIME BANCORP WTS 1/01/59 * 25429Q110 4805 20500 X N.A. N.A. N.A. DIME BANCORP WTS 1/01/59 * 25429Q110 947 4040 X N.A. N.A. N.A. ELAN CORP PLC CONT VALUE RTS UNKNOWN * G29539148 41688 29000 X N.A. N.A. N.A. GOLDEN ST BANCORP INC LITIG TRAC WT * 381197136 3281 2500 X N.A. N.A. N.A. HARVEY ELECTRONICS WTS 3/31/03 * 417660115 2626 16800 X N.A. N.A. N.A. INDIGO N V WTS 10/21 10/21/01 * N44495120 275 1101 X N.A. N.A. N.A. INDIGO N V WTS 10/21 10/21/01 * N44495120 131 524 X N.A. N.A. N.A. NEW VALLEY CORP WTS 1/01/04 * 649080116 0 1 X N.A. N.A. N.A. TOTAL FINA ELF S.A. ADR WTS * F9212D142 7711 324 X N.A. N.A. N.A. WASHINGTON GROUP INTL WTS 3/11/03 * 938862117 2 3 X N.A. N.A. N.A. WASHINGTON GROUP INTL WTS 3/11/03 * 938862117 12 22 X N.A. N.A. N.A. 139 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 127 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V LIMITED PARTNERSHIPS ------------------------------ ALLIANCE CAP MGMT HLDG L P UNIT LTD * 01855A101 270272 6560 X N.A. N.A. N.A. ALLIANCE CAP MGMT HLDG L P UNIT LTD * 01855A101 1794260 43550 X N.A. N.A. N.A. AMERICA FIRST APT INV L P * 023929102 2625 250 X N.A. N.A. N.A. AMERICA FIRST TAX EXEMPT INVS L P * 02364V107 1884 300 X N.A. N.A. N.A. AMERICAN INSD MTG-INVS L P SER 85 * 02686E106 7850 1000 X N.A. N.A. N.A. AMERICAN INSURED MOTGAGE INV 86 L P * 02686F103 4375 1250 X N.A. N.A. N.A. AMERICAN REAL ESTATE PARTNERS L P * 029169109 3011 322 X N.A. N.A. N.A. AMERIGAS PARTNERS L P * 030975106 20150 1000 X N.A. N.A. N.A. AMERIGAS PARTNERS L P * 030975106 8060 400 X N.A. N.A. N.A. BORDEN CHEMICALS & PLASTICS L P * 099541203 1820 2600 X N.A. N.A. N.A. BORDEN CHEMICALS & PLASTICS L P * 099541203 70 100 X N.A. N.A. N.A. BOSTON CELTICS L P * 100577105 7938 840 X N.A. N.A. N.A. BOSTON CELTICS L P * 100577105 945 100 X N.A. N.A. N.A. BUCKEYE PARTNERS L P * 118230101 463956 13800 X N.A. N.A. N.A. BUCKEYE PARTNERS L P * 118230101 941360 28000 X N.A. N.A. N.A. CEDAR FAIR L P * 150185106 346320 15600 X N.A. N.A. N.A. CEDAR FAIR L P * 150185106 128760 5800 X N.A. N.A. N.A. CROWN PAC PARTNERS L P * 228439105 3850 500 X N.A. N.A. N.A. CROWN PAC PARTNERS L P * 228439105 60830 7900 X N.A. N.A. N.A. DORCHESTER HUGOTON L P * 258205202 681 50 X N.A. N.A. N.A. EL PASO ENERGY PARTNERS L P * 28368B102 93569 2999 X N.A. N.A. N.A. EL PASO ENERGY PARTNERS L P * 28368B102 365040 11700 X N.A. N.A. N.A. EOTT ENERGY PARTNERS L P * 294103106 31540 2000 X N.A. N.A. N.A. FERRELLGAS PARTNERS L P * 315293100 24375 1500 X N.A. N.A. N.A. HALLWOOD REALTY PARTNERS L P * 40636T203 56816 848 X N.A. N.A. N.A. KANEB PIPE LINE PARTNERS L P * 484169107 68320 2000 X N.A. N.A. N.A. KINDER MORGAN ENERGY PARTNERS L P * 494550106 596926 9460 X N.A. N.A. N.A. KINDER MORGAN ENERGY PARTNERS L P * 494550106 1508469 23906 X N.A. N.A. N.A. LAKEHEAD PIPE LINE PARTNERS L P * 511557100 198225 4500 X N.A. N.A. N.A. LAKEHEAD PIPE LINE PARTNERS L P * 511557100 127745 2900 X N.A. N.A. N.A. NEW ENGLAND RLTY ASSOC DEP RCPTS L P * 644206104 7700 400 X N.A. N.A. N.A. NEW ENGLAND RLTY ASSOC DEP RCPTS L P * 644206104 5005 260 X N.A. N.A. N.A. NEWHALL LD & FARMING CO CA L P * 651426108 179 7 X N.A. N.A. N.A. NEWHALL LD & FARMING CO CA L P * 651426108 255000 10000 X N.A. N.A. N.A. NORTHERN BORDER PARTNERS L P * 664785102 542430 14700 X N.A. N.A. N.A. PHOSPHATE RESOURCE PARTNERS LTD * 719217101 693 180 X N.A. N.A. N.A. PHOSPHATE RESOURCE PARTNERS LTD * 719217101 10010 2600 X N.A. N.A. N.A. PLAINS ALL AMERICAN PIPELINE L P * 726503105 22300 1000 X N.A. N.A. N.A. PLAINS ALL AMERICAN PIPELINE L P * 726503105 22 1 X N.A. N.A. N.A. STAR GAS PARTNERS L P * 85512C105 9350 500 X N.A. N.A. N.A. SUBURBAN PROPANE PARTNERS L P * 864482104 59250 2500 X N.A. N.A. N.A. TEPPCO PARTNERS L P * 872384102 52400 2000 X N.A. N.A. N.A. TEPPCO PARTNERS L P * 872384102 89080 3400 X N.A. N.A. N.A. 140 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 128 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V GRANTOR TRUST INTEREST ------------------------------ CITY INVESTING LIQUIDATING TR * 177900107 722 537 X N.A. N.A. N.A. CITY INVESTING LIQUIDATING TR * 177900107 683 508 X N.A. N.A. N.A. DOMINION RES BLACK WARRIOR TR * 25746Q108 11472 600 X N.A. N.A. N.A. GREAT NORTHERN IRON ORE PPTYS COM * 391064102 11860 200 X N.A. N.A. N.A. GREAT NORTHERN IRON ORE PPTYS COM * 391064102 71160 1200 X N.A. N.A. N.A. LL & E ROYALTY TR UNITS BEN INT * 502003106 52031 10728 X N.A. N.A. N.A. LL & E ROYALTY TR UNITS BEN INT * 502003106 26433 5450 X N.A. N.A. N.A. MESA OFFSHORE TR.UNIT BEN.INT * 590650107 48 766 X N.A. N.A. N.A. MESA OFFSHORE TR.UNIT BEN.INT * 590650107 406 6500 X N.A. N.A. N.A. SABINE RTY TR UNIT BEN INT * 785688102 4430 207 X N.A. N.A. N.A. SAN JUAN BASIN ROYALTY TR * 798241105 110520 7200 X N.A. N.A. N.A. TEXAS PACIFIC LAND TRUST * 882610108 36000 1000 X N.A. N.A. N.A. 141 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 129 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V UNIT INVESTMENT TRUSTS-EQUITY ------------------------------ DIAMONDS TR UIT SER I * 252787106 772796 7795 X N.A. N.A. N.A. DIAMONDS TR UIT SER I * 252787106 79808 805 X N.A. N.A. N.A. EQUITY INC FD EXCH SER 1/AT&T MO * 294700703 626460 4728 X N.A. N.A. N.A. EQUITY INC FD EXCH SER 1/AT&T MO * 294700703 996400 7520 X N.A. N.A. N.A. 142 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 130 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V REAL ESTATE INVESTMENT TRUSTS ------------------------------ ALEXANDRIA REAL ESTATE EQUITIES * 015271109 1181575 31300 X N.A. N.A. N.A. AMB PROPERTY CORP REIT * 00163T109 24600 1000 X N.A. N.A. N.A. AMERICAN INDL PPTYS REIT NEW * 026791202 8413 664 X N.A. N.A. N.A. AMLI RESIDENTIAL PPTYS TR * 001735109 37910 1700 X N.A. N.A. N.A. AMLI RESIDENTIAL PPTYS TR * 001735109 8920 400 X N.A. N.A. N.A. APARTMENT INVT & MGMT CO CL A REIT * 03748R101 521665 11736 X N.A. N.A. N.A. APARTMENT INVT & MGMT CO CL A REIT * 03748R101 85566 1925 X N.A. N.A. N.A. ARCHSTONE CMNTYS TR SH BEN INT REIT * 039581103 3690000 150000 X N.A. N.A. N.A. ARCHSTONE CMNTYS TR SH BEN INT REIT * 039581103 77244 3140 X N.A. N.A. N.A. ARDEN REALTY GROUP INC COM * 039793104 40120 1700 X N.A. N.A. N.A. ARDEN REALTY GROUP INC COM * 039793104 47200 2000 X N.A. N.A. N.A. ASSOCIATED ESTATES RLTY CORP COM * 045604105 8390 1000 X N.A. N.A. N.A. AVALONBAY CMNTYS INC * 053484101 2086233 45541 X N.A. N.A. N.A. AVALONBAY CMNTYS INC * 053484101 164320 3587 X N.A. N.A. N.A. BANYAN STRATEGIC RLTY TR * 06683M102 5313 1000 X N.A. N.A. N.A. BEDFORD PPTY INVS INC COM * 076446301 20636 1100 X N.A. N.A. N.A. BOSTON PROPERTIES INC REIT * 101121101 1364975 35500 X N.A. N.A. N.A. BOSTON PROPERTIES INC REIT * 101121101 275110 7155 X N.A. N.A. N.A. BRANDYWINE REALTY TRUST COM * 105368203 5264346 264540 X N.A. N.A. N.A. BRE PPTYS INC CL A * 05564E106 28990 1000 X N.A. N.A. N.A. BRE PPTYS INC CL A * 05564E106 95667 3300 X N.A. N.A. N.A. CABOT INDUSTRIAL TRUST REIT * 127072106 31040 1600 X N.A. N.A. N.A. CABOT INDUSTRIAL TRUST REIT * 127072106 178480 9200 X N.A. N.A. N.A. CAMDEN PROPERTY TRUST * 133131102 804085 24183 X N.A. N.A. N.A. CAMDEN PROPERTY TRUST * 133131102 682257 20519 X N.A. N.A. N.A. CAPITAL AUTOMOTIVE REIT * 139733109 19200 1200 X N.A. N.A. N.A. CAPSTEAD MTG CORP REIT * 14067E407 6690 500 X N.A. N.A. N.A. CAPTEC NET LEASE REALTY INC REIT * 140724105 1887500 151000 X N.A. N.A. N.A. CARRAMERICA RLTY CORP REIT * 144418100 2162603 75801 X N.A. N.A. N.A. CARRAMERICA RLTY CORP REIT * 144418100 24251 850 X N.A. N.A. N.A. CBL & ASSOCIATES PROPERTIES * 124830100 18620 700 X N.A. N.A. N.A. CHATEAU CMNTYS INC REIT * 161726104 291913 9650 X N.A. N.A. N.A. CHATEAU CMNTYS INC REIT * 161726104 10588 350 X N.A. N.A. N.A. CHELSEA PPTY GROUP INC COM * 163421100 42200 1000 X N.A. N.A. N.A. COLONIAL PPTYS TR COM SBI * 195872106 1880 70 X N.A. N.A. N.A. CORPORATE OFFICE PROPERTIES TR REIT * 22002T108 4078839 428900 X N.A. N.A. N.A. CORPORATE OFFICE PROPERTIES TR REIT * 22002T108 88443 9300 X N.A. N.A. N.A. CRESCENT REAL ESTATE EQUITIES CO * 225756105 91504 4031 X N.A. N.A. N.A. CRESCENT REAL ESTATE EQUITIES CO * 225756105 79450 3500 X N.A. N.A. N.A. CROWN AMERN RLTY TR * 228186102 13500 2000 X N.A. N.A. N.A. CROWN AMERN RLTY TR * 228186102 27000 4000 X N.A. N.A. N.A. DEVELOPERS DIVERSIFIED RLTY CORP * 251591103 44100 3000 X N.A. N.A. N.A. DUKE-WEEKS REALTY CORP * 264411505 267082 11537 X N.A. N.A. N.A. DUKE-WEEKS REALTY CORP * 264411505 499901 21594 X N.A. N.A. N.A. 143 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 131 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V REAL ESTATE INVESTMENT TRUSTS ------------------------------ EASTGROUP PPTYS REIT * 277276101 173045 7348 X N.A. N.A. N.A. ELDERTRUST COM * 284560109 4308 1200 X N.A. N.A. N.A. ENTERTAINMENT PROPERTIES TRUST REIT * 29380T105 1780000 125000 X N.A. N.A. N.A. EQUITY INNS INC COM * 294703103 7830 1000 X N.A. N.A. N.A. EQUITY OFFICE PPTYS TR REIT * 294741103 20489392 731764 X N.A. N.A. N.A. EQUITY OFFICE PPTYS TR REIT * 294741103 3295796 117707 X N.A. N.A. N.A. EQUITY ONE REIT * 294752100 432398 41220 X N.A. N.A. N.A. EQUITY RESIDENTIAL PPTYS TR * 29476L107 3040477 58437 X N.A. N.A. N.A. EQUITY RESIDENTIAL PPTYS TR * 29476L107 1002306 19264 X N.A. N.A. N.A. ESSEX PPTY TR INCCOM * 297178105 67270 1400 X N.A. N.A. N.A. FEDERAL REALTY INVESTMENT TRUST * 313747206 58171 2974 X N.A. N.A. N.A. FEDERAL REALTY INVESTMENT TRUST * 313747206 33995 1738 X N.A. N.A. N.A. FIRST UN REAL EST EQUITY & MTG SBI * 337400105 607 236 X N.A. N.A. N.A. FRANCHISE FIN CORP AMER COM * 351807102 121236 4865 X N.A. N.A. N.A. FRANCHISE FIN CORP AMER COM * 351807102 67359 2703 X N.A. N.A. N.A. GABLES RESIDENTIAL TR * 362418105 35363 1219 X N.A. N.A. N.A. GABLES RESIDENTIAL TR * 362418105 8703 300 X N.A. N.A. N.A. GENERAL GROWTH PPTYS INC * 370021107 2788975 79799 X N.A. N.A. N.A. GENERAL GROWTH PPTYS INC * 370021107 336394 9625 X N.A. N.A. N.A. HEALTH CARE PPTY INVS INC * 421915109 2528329 74538 X N.A. N.A. N.A. HEALTH CARE PPTY INVS INC * 421915109 78016 2300 X N.A. N.A. N.A. HEALTH CARE REIT INC * 42217K106 62 3 X N.A. N.A. N.A. HEALTHCARE RLTY TR REIT * 421946104 5160533 214130 X N.A. N.A. N.A. HEALTHCARE RLTY TR REIT * 421946104 361500 15000 X N.A. N.A. N.A. HIGHWOODS PPTYS INC REIT * 431284108 3600552 146067 X N.A. N.A. N.A. HIGHWOODS PPTYS INC REIT * 431284108 2576172 104510 X N.A. N.A. N.A. HOME PPTYS NY INC COM * 437306103 504080 17687 X N.A. N.A. N.A. HOME PPTYS NY INC COM * 437306103 410343 14398 X N.A. N.A. N.A. HOSPITALITY PPTYS TR * 44106M102 13200 500 X N.A. N.A. N.A. HOSPITALITY PPTYS TR * 44106M102 525360 19900 X N.A. N.A. N.A. HOST MARRIOTT CORP NEW COM * 44107P104 1922037 164558 X N.A. N.A. N.A. HOST MARRIOTT CORP NEW COM * 44107P104 158930 13607 X N.A. N.A. N.A. HRPT PPTYS TR COM SH BEN INT REIT * 40426W101 27324 3300 X N.A. N.A. N.A. HRPT PPTYS TR COM SH BEN INT REIT * 40426W101 79720 9628 X N.A. N.A. N.A. INDYMAC BANCORP INC * 456607100 451218 15700 X N.A. N.A. N.A. INDYMAC BANCORP INC * 456607100 14370 500 X N.A. N.A. N.A. INNKEEPERS USA TRUST * 4576J0104 3682560 328800 X N.A. N.A. N.A. ISTAR FINL INC REIT * 45031U101 1144272 49600 X N.A. N.A. N.A. ISTAR FINL INC REIT * 45031U101 7036 305 X N.A. N.A. N.A. JDN RLTY CORP COM * 465917102 26013 2300 X N.A. N.A. N.A. KILROY REALTY CORP REIT * 49427F108 4340539 161900 X N.A. N.A. N.A. KILROY REALTY CORP REIT * 49427F108 53620 2000 X N.A. N.A. N.A. KIMCO REALTY CORP * 49446R109 1247000 29000 X N.A. N.A. N.A. KIMCO REALTY CORP * 49446R109 709500 16500 X N.A. N.A. N.A. 144 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 132 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V REAL ESTATE INVESTMENT TRUSTS ------------------------------ KOGER EQUITY INC * 500228101 1204 86 X N.A. N.A. N.A. LASALLE HOTEL PPTYS REIT * 517942108 48570 3000 X N.A. N.A. N.A. LEXINGTON CORPORATE PPTYS TR COM * 529043101 258000 20000 X N.A. N.A. N.A. LIBERTE INVS INC REIT * 530154103 48 15 X N.A. N.A. N.A. LIBERTE INVS INC REIT * 530154103 960 300 X N.A. N.A. N.A. LIBERTY PROPERTY TRUST * 531172104 1114068 39450 X N.A. N.A. N.A. LIBERTY PROPERTY TRUST * 531172104 101664 3600 X N.A. N.A. N.A. MACERICH CO REIT * 554382101 1421263 64750 X N.A. N.A. N.A. MACERICH CO REIT * 554382101 1592802 72565 X N.A. N.A. N.A. MACK CALI REALTY CORP REIT * 554489104 342900 12700 X N.A. N.A. N.A. MACK CALI REALTY CORP REIT * 554489104 85212 3156 X N.A. N.A. N.A. MANUFACTURED HOME CMNTYS INC * 564682102 54000 2000 X N.A. N.A. N.A. MANUFACTURED HOME CMNTYS INC * 564682102 10125 375 X N.A. N.A. N.A. MEDITRUST PAIR CERTIFICATE NEW REIT * 58501T306 423855 103886 X N.A. N.A. N.A. MEDITRUST PAIR CERTIFICATE NEW REIT * 58501T306 15912 3900 X N.A. N.A. N.A. MID-AMER APT CMNTYS INC COM * 59522J103 1484 66 X N.A. N.A. N.A. MID-ATLANTIC RLTY TR * 595232109 241775 19342 X N.A. N.A. N.A. NATIONAL GOLF PROPERTIES INC REIT * 63623G109 4580600 185000 X N.A. N.A. N.A. NATIONAL GOLF PROPERTIES INC REIT * 63623G109 61900 2500 X N.A. N.A. N.A. NATIONWIDE HEALTH PPTYS INC COM * 638620104 46732 2800 X N.A. N.A. N.A. NATIONWIDE HEALTH PPTYS INC COM * 638620104 16690 1000 X N.A. N.A. N.A. NEW PLAN EXCEL RLTY TR INC REIT * 648053106 191200 11950 X N.A. N.A. N.A. NEW PLAN EXCEL RLTY TR INC REIT * 648053106 90400 5650 X N.A. N.A. N.A. PAN PAC RETAIL PPTYS INC REIT * 69806L104 349970 15800 X N.A. N.A. N.A. PENNSYLVANIA REAL ESTATE INVT TR SH * 709102107 1575 75 X N.A. N.A. N.A. PENNSYLVANIA REAL ESTATE INVT TR SH * 709102107 13650 650 X N.A. N.A. N.A. PLUM CREEK TIMBER CO INC COM * 729251108 729146 30130 X N.A. N.A. N.A. PLUM CREEK TIMBER CO INC COM * 729251108 1253560 51800 X N.A. N.A. N.A. POST PROPERTIES INC REIT * 737464107 766500 21900 X N.A. N.A. N.A. POST PROPERTIES INC REIT * 737464107 49000 1400 X N.A. N.A. N.A. PRENTISS PROPERTIES TRUST REIT * 740706106 727175 29500 X N.A. N.A. N.A. PRENTISS PROPERTIES TRUST REIT * 740706106 49300 2000 X N.A. N.A. N.A. PRIME GROUP REALTY TRUST REIT * 74158J103 1848025 132380 X N.A. N.A. N.A. PROLOGIS TR SH BEN INT REIT * 743410102 1473872 73400 X N.A. N.A. N.A. PUBLIC STORAGE INC REIT * 74460D109 1556074 59279 X N.A. N.A. N.A. PUBLIC STORAGE INC REIT * 74460D109 26513 1010 X N.A. N.A. N.A. RAMCO-GERSHENSON PPTYS TR REIT * 751452202 10416 711 X N.A. N.A. N.A. RECKSON ASSOCS RLTY CORP CL B * 75621K304 23856 1013 X N.A. N.A. N.A. RECKSON ASSOCS RLTY CORP REIT * 75621K106 1436120 64400 X N.A. N.A. N.A. RECKSON ASSOCS RLTY CORP REIT * 75621K106 44600 2000 X N.A. N.A. N.A. RFS HOTEL INVS INC REIT * 74955J108 28960 2000 X N.A. N.A. N.A. SENIOR HSG PPTYS TR SH BEN INT * 81721M109 8678 770 X N.A. N.A. N.A. SENIOR HSG PPTYS TR SH BEN INT * 81721M109 1713 152 X N.A. N.A. N.A. 145 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 133 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V REAL ESTATE INVESTMENT TRUSTS ------------------------------ SHURGARD STORAGE CTRS INC CL A COM * 82567D104 34320 1300 X N.A. N.A. N.A. SIMON PPTY GROUP INC NEW REIT * 828806109 2705536 105685 X N.A. N.A. N.A. SIMON PPTY GROUP INC NEW REIT * 828806109 43008 1680 X N.A. N.A. N.A. SL GREEN REALTY CORP REIT * 78440X101 5095269 185620 X N.A. N.A. N.A. SL GREEN REALTY CORP REIT * 78440X101 82350 3000 X N.A. N.A. N.A. SMITH CHARLES E RESIDENTIAL RLTY INC * 832197107 22745 500 X N.A. N.A. N.A. SMITH CHARLES E RESIDENTIAL RLTY INC * 832197107 45490 1000 X N.A. N.A. N.A. SOVRAN SELF STORAGE INC * 84610H108 19600 800 X N.A. N.A. N.A. SPIEKER PPTYS INC REIT * 848497103 16002762 291755 X N.A. N.A. N.A. SPIEKER PPTYS INC REIT * 848497103 5736762 104590 X N.A. N.A. N.A. SUN CMNTYS INC COM * 866674104 36300 1100 X N.A. N.A. N.A. TANGER FACTORY OUTLET CTRS INC * 875465106 4130 200 X N.A. N.A. N.A. TANGER FACTORY OUTLET CTRS INC * 875465106 12390 600 X N.A. N.A. N.A. TAUBMAN CTRS INC REIT * 876664103 12050 1000 X N.A. N.A. N.A. TRANSCONTINENTAL RLTY INVS * 893617209 1851 187 X N.A. N.A. N.A. TRANSCONTINENTAL RLTY INVS * 893617209 1752 177 X N.A. N.A. N.A. U S RESTAURANT PPTYS INC COM * 902971100 5500 500 X N.A. N.A. N.A. U S RESTAURANT PPTYS INC COM * 902971100 11000 1000 X N.A. N.A. N.A. UNITED DOMINION RLTY TR INC * 910197102 48857 3847 X N.A. N.A. N.A. UNITED DOMINION RLTY TR INC * 910197102 119278 9392 X N.A. N.A. N.A. UNIVERSAL HEALTH RLTY INCOME TR SBI * 91359E105 58435 2900 X N.A. N.A. N.A. UNIVERSAL HEALTH RLTY INCOME TR SBI * 91359E105 25026 1242 X N.A. N.A. N.A. VORNADO RLTY TR * 929042109 3081380 86000 X N.A. N.A. N.A. VORNADO RLTY TR * 929042109 175710 4904 X N.A. N.A. N.A. WASHINGTON REAL ESTATE INV TRUST * 939653101 53682 2300 X N.A. N.A. N.A. WASHINGTON REAL ESTATE INV TRUST * 939653101 282764 12115 X N.A. N.A. N.A. WEINGARTEN RLTY INVS SBI * 948741103 19035 450 X N.A. N.A. N.A. WEINGARTEN RLTY INVS SBI * 948741103 169200 4000 X N.A. N.A. N.A. WESTFIELD AMER INC REIT * 959910100 32460 2000 X N.A. N.A. N.A. 146 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 134 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V CLOSELY HELD/PRIV. PLACEMENTS ------------------------------ EL PASO CORP Z/CPN 2/28/21 * 28336LAA7 603420 1356000 X N.A. N.A. N.A. GENZYME CORP 5.25% 6/01/05 * 372917AE4 3493125 1500000 X N.A. N.A. N.A. 147 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR: FLEET INVESTMENT SERVICES ON 4/4/01 AS OF 3/31/01 DEPT ID# 490 PAGE 135 SEC USE ONLY ______________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER V ZERO COUPON BONDS ------------------------------ AUTOMATIC DATA PROC Z/CPN 2/20/12 * 053015AC7 141010 100000 X N.A. N.A. N.A. MOTOROLA INC Z/CPN 9/07/09 * 620076AE9 43176 50000 X N.A. N.A. N.A. PRIDE INTL INC CONV Z/CPN 4/24/18 * 741932AB3 19913 45000 X N.A. N.A. N.A. 148 FORM 13F INFORMATION TABLE SECTION II SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE A C MOORE ARTS & CRAFTS COMMON STOCK 00086T103 128 14000 SH SOLE 14000 ADC TELECOMMUNICATIONS COMMON STOCK 000886101 122 14400 SH SOLE 14400 AES COMMON STOCK 00130H105 8735 174840 SH SOLE 174840 AES COMMON STOCK 00130H105 17 347 SH DEFINED 347 AES COMMON STOCK 00130H105 28 556 SH OTHER 556 AK STEEL HLDG CONVERTIBLE PRE 001547306 216 5000 SH SOLE 5000 AOL TIME WARNER COMMON STOCK 00184A105 22696 565283 SH SOLE 482563 82720 AOL TIME WARNER COMMON STOCK 00184A105 399 9935 SH DEFINED 9535 400 AOL TIME WARNER COMMON STOCK 00184A105 2488 61967 SH OTHER 47969 4800 9198 AT&T COMMON STOCK 001957109 6565 308208 SH SOLE 258759 49449 AT&T COMMON STOCK 001957109 379 17784 SH DEFINED 13872 3912 AT&T COMMON STOCK 001957109 1437 67466 SH OTHER 52634 454 14378 ABBOTT LABS COMMON STOCK 002824100 5692 120625 SH SOLE 73925 46700 ABBOTT LABS COMMON STOCK 002824100 179 3800 SH DEFINED 3100 700 ABBOTT LABS COMMON STOCK 002824100 5443 115350 SH OTHER 95250 20100 ACCLAIM ENMNT COMMON STOCK 004325205 23 15000 SH SOLE 15000 COLUMN TOTALS 54547 149 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE ADOBE SYSTEMS COMMON STOCK 00724F101 649 18550 SH SOLE 18550 ADOBE SYSTEMS COMMON STOCK 00724F101 84 2400 SH OTHER 2400 AGILENT TECHNOLOGIES COMMON STOCK 00846U101 813 26457 SH SOLE 24638 1819 AGILENT TECHNOLOGIES COMMON STOCK 00846U101 20 659 SH DEFINED 545 114 AGILENT TECHNOLOGIES COMMON STOCK 00846U101 440 14334 SH OTHER 12450 1884 AIR PRODUCTS & CHEMICALS COMMON STOCK 009158106 574 14950 SH SOLE 8250 6700 AIR PRODUCTS & CHEMICALS COMMON STOCK 009158106 50 1300 SH OTHER 1300 ALCOA COMMON STOCK 013817101 408 11352 SH SOLE 11352 ALCOA COMMON STOCK 013817101 0 4 SH OTHER 4 ALLEGHENY ENERGY COMMON STOCK 017361106 220 4750 SH SOLE 4650 100 ALLIANCE CAP MGMT HLD COMMON STOCK 01855A101 1247 30260 SH SOLE 8905 21355 ALLIANCE CAP MGMT HLD COMMON STOCK 01855A101 433 10500 SH DEFINED 4100 6400 ALLIANCE CAP MGMT HLD COMMON STOCK 01855A101 1885 45750 SH OTHER 34150 11600 ALLIED IRISH BANKS PLC COMMON STOCK 019228402 130 6600 SH SOLE 6600 ALLIED IRISH BANKS PLC COMMON STOCK 019228402 101 5100 SH OTHER 5100 ALLSTATE COMMON STOCK 020002101 1396 33296 SH SOLE 23022 10274 COLUMN TOTALS 8450 150 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE ALLSTATE COMMON STOCK 020002101 42 1000 SH DEFINED 1000 ALLSTATE COMMON STOCK 020002101 288 6877 SH OTHER 5637 1240 ALLTEL COMMON STOCK 020039103 8476 161572 SH SOLE 154906 6666 ALLTEL COMMON STOCK 020039103 223 4243 SH DEFINED 4243 ALLTEL COMMON STOCK 020039103 395 7535 SH OTHER 7535 AMBAC FINL GROUP COMMON STOCK 023139108 238 3750 SH SOLE 3750 AMCAP FD MUTUAL FUNDS-EQ 023375108 288 17665 SH OTHER 17665 AMERICAN ELECTRIC POWER COMMON STOCK 025537101 409 8702 SH SOLE 4953 3749 AMERICAN ELECTRIC POWER COMMON STOCK 025537101 106 2259 SH DEFINED 2259 AMERICAN ELECTRIC POWER COMMON STOCK 025537101 1162 24723 SH OTHER 16939 284 7500 AMERICAN EXPRESS COMMON STOCK 025816109 16076 389245 SH SOLE 353545 35700 AMERICAN EXPRESS COMMON STOCK 025816109 2984 72246 SH OTHER 64252 7994 AMERICAN GENERAL COMMON STOCK 026351106 3084 80638 SH SOLE 78838 1800 AMERICAN GENERAL COMMON STOCK 026351106 11 300 SH DEFINED 300 AMERICAN GENERAL COMMON STOCK 026351106 190 4980 SH OTHER 4980 AMERICAN HOME PRODUCTS COMMON STOCK 026609107 17663 300640 SH SOLE 244174 56466 COLUMN TOTALS 51635 151 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE AMERICAN HOME PRODUCTS COMMON STOCK 026609107 823 14015 SH DEFINED 12815 1200 AMERICAN HOME PRODUCTS COMMON STOCK 026609107 7063 120220 SH OTHER 102170 18050 AMERICAN INTL GROUP COMMON STOCK 026874107 65702 816180 SH SOLE 720235 95945 AMERICAN INTL GROUP COMMON STOCK 026874107 2299 28559 SH DEFINED 21145 7414 AMERICAN INTL GROUP COMMON STOCK 026874107 9504 118061 SH OTHER 93213 1124 23724 AMERICAN POWER CONVERSION COMMON STOCK 029066107 373 28900 SH SOLE 23750 5150 AMERICAN POWER CONVERSION COMMON STOCK 029066107 129 10000 SH DEFINED 8000 2000 AMERICAN POWER CONVERSION COMMON STOCK 029066107 150 11600 SH OTHER 4800 6800 AMGEN COMMON STOCK 031162100 6087 101140 SH SOLE 71040 30100 AMGEN COMMON STOCK 031162100 66 1100 SH DEFINED 1100 AMGEN COMMON STOCK 031162100 1002 16650 SH OTHER 15650 500 500 ANADARKO PETROLEUM COMMON STOCK 032511107 2011 32038 SH SOLE 31962 76 ANADARKO PETROLEUM COMMON STOCK 032511107 34 539 SH OTHER 539 ANDRX GROUP COMMON STOCK 034553107 372 7600 SH SOLE 600 7000 COLUMN TOTALS 95615 152 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE ANHEUSER BUSCH COMMON STOCK 035229103 2025 44099 SH SOLE 38189 5910 ANHEUSER BUSCH COMMON STOCK 035229103 73 1600 SH DEFINED 800 800 ANHEUSER BUSCH COMMON STOCK 035229103 1179 25675 SH OTHER 8875 16800 ANIXTER INTERNATIONAL COMMON STOCK 035290105 362 15000 SH SOLE 15000 APOLLO GROUP COMMON STOCK 037604105 49 1500 SH SOLE 1500 APOLLO GROUP COMMON STOCK 037604105 364 11100 SH OTHER 11100 APPLIED MATERIALS COMMON STOCK 038222105 340 7820 SH SOLE 5220 2600 APPLIED MATERIALS COMMON STOCK 038222105 4 100 SH DEFINED 100 APPLIED MATERIALS COMMON STOCK 038222105 22 500 SH OTHER 500 ARIBA COMMON STOCK 04033V104 387 48900 SH SOLE 48900 DAVE'S AUTO SUPPLY COMMON STOCK 043990217 470 96 SH OTHER 96 AUTODESK COMMON STOCK 052769106 611 20000 SH SOLE 20000 AUTOMATIC DATA PROCESSING COMMON STOCK 053015103 33393 614067 SH SOLE 515737 98330 AUTOMATIC DATA PROCESSING COMMON STOCK 053015103 1418 26083 SH DEFINED 23083 3000 AUTOMATIC DATA PROCESSING COMMON STOCK 053015103 6426 118168 SH OTHER 83039 2000 33129 AVAYA COMMON STOCK 053499109 293 22575 SH SOLE 20313 2262 COLUMN TOTALS 47416 153 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE AVAYA COMMON STOCK 053499109 14 1050 SH DEFINED 985 65 AVAYA COMMON STOCK 053499109 93 7173 SH OTHER 6645 528 AVERY DENNISON COMMON STOCK 053611109 679 13050 SH SOLE 10250 2800 AVERY DENNISON COMMON STOCK 053611109 73 1400 SH DEFINED 1400 AVERY DENNISON COMMON STOCK 053611109 104 2000 SH OTHER 2000 AVON PRODUCTS COMMON STOCK 054303102 76 1892 SH SOLE 1892 AVON PRODUCTS COMMON STOCK 054303102 216 5400 SH OTHER 5400 BJ SVCS COMMON STOCK 055482103 249 3500 SH SOLE 3500 BJS WHSL CLUB COMMON STOCK 05548J106 617 12900 SH SOLE 12900 BP AMOCO PLC COMMON STOCK 055622104 37117 748030 SH SOLE 683224 64806 BP AMOCO PLC COMMON STOCK 055622104 1049 21140 SH DEFINED 20812 328 BP AMOCO PLC COMMON STOCK 055622104 8064 162522 SH OTHER 134713 27809 BSB BANCORP COMMON STOCK 055652101 504 26786 SH SOLE 26786 BAKER HUGHES COMMON STOCK 057224107 25 700 SH SOLE 700 BAKER HUGHES COMMON STOCK 057224107 182 5000 SH OTHER 5000 BANK AMER COMMON STOCK 060505104 11916 217651 SH SOLE 191328 26323 BANK AMER COMMON STOCK 060505104 33 600 SH DEFINED 600 BANK AMER COMMON STOCK 060505104 2174 39709 SH OTHER 32359 7350 COLUMN TOTALS 63185 154 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE BANK OF NY COMMON STOCK 064057102 36817 747702 SH SOLE 706686 41016 BANK OF NY COMMON STOCK 064057102 15 300 SH DEFINED 300 BANK OF NY COMMON STOCK 064057102 3484 70750 SH OTHER 54350 16400 BANK ONE COMMON STOCK 06423A103 1157 31966 SH SOLE 13445 18521 BANK ONE COMMON STOCK 06423A103 36 1000 SH DEFINED 1000 BANK ONE COMMON STOCK 06423A103 87 2417 SH OTHER 1417 1000 BAXTER INTL COMMON STOCK 071813109 5722 60786 SH SOLE 60486 300 BAXTER INTL COMMON STOCK 071813109 28 300 SH DEFINED 300 BAXTER INTL COMMON STOCK 071813109 122 1300 SH OTHER 1300 BECTON DICKINSON & CO COMMON STOCK 075887109 1013 28690 SH SOLE 26990 1700 BECTON DICKINSON & CO COMMON STOCK 075887109 449 12700 SH OTHER 6000 6700 BED BATH & BEYOND COMMON STOCK 075896100 9729 396100 SH SOLE 392100 4000 BED BATH & BEYOND COMMON STOCK 075896100 550 22400 SH DEFINED 22400 BED BATH & BEYOND COMMON STOCK 075896100 850 34600 SH OTHER 32200 2400 BELLSOUTH COMMON STOCK 079860102 28348 692764 SH SOLE 634624 58140 BELLSOUTH COMMON STOCK 079860102 749 18311 SH DEFINED 16079 2232 COLUMN TOTALS 89156 155 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE BELLSOUTH COMMON STOCK 079860102 8133 198750 SH OTHER 170278 1840 26632 BERKSHIRE COMMON STOCK 084670207 2552 1173 SH SOLE 862 311 BERKSHIRE COMMON STOCK 084670207 81 37 SH DEFINED 37 BERKSHIRE COMMON STOCK 084670207 1667 766 SH OTHER 686 80 BEST BUY COMMON STOCK 086516101 327 9100 SH SOLE 9100 BICO COMMON STOCK 088766100 20 280000 SH SOLE 280000 BIOMET COMMON STOCK 090613100 314 7980 SH SOLE 7980 BLACK & DECKER COMMON STOCK 091797100 551 15000 SH SOLE 15000 BLUE CHIP VALUE FD COMMON STOCK 095333100 78 11520 SH SOLE 11520 BOEING COMMON STOCK 097023105 961 17248 SH SOLE 16048 1200 BOEING COMMON STOCK 097023105 132 2374 SH OTHER 1700 674 BOISE CASCADE COMMON STOCK 097383103 283 9000 SH SOLE 9000 BRISTOL MYERS SQUIBB COMMON STOCK 110122108 28938 487167 SH SOLE 436504 50663 BRISTOL MYERS SQUIBB COMMON STOCK 110122108 1241 20890 SH DEFINED 15490 5400 BRISTOL MYERS SQUIBB COMMON STOCK 110122108 11256 189500 SH OTHER 158460 31040 BROADCOM COMMON STOCK 111320107 904 31275 SH SOLE 31275 COLUMN TOTALS 57438 156 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE BROADCOM COMMON STOCK 111320107 2 70 SH OTHER 70 BROADWING COMMON STOCK 111620100 165 8600 SH SOLE 8600 BROADWING COMMON STOCK 111620100 249 13000 SH OTHER 10400 2600 BUCKEYE PARTNERS L P COMMON STOCK 118230101 101 3000 SH SOLE 3000 BUCKEYE PARTNERS L P COMMON STOCK 118230101 227 6750 SH OTHER 6750 BURLINGTON NORTHERN SANTA FE COMMON STOCK 12189T104 7576 249388 SH SOLE 243967 5421 BURLINGTON NORTHERN SANTA FE COMMON STOCK 12189T104 234 7700 SH OTHER 7700 BURLINGTON RESOURCES COMMON STOCK 122014103 241 5380 SH SOLE 4945 435 BURLINGTON RESOURCES COMMON STOCK 122014103 106 2372 SH OTHER 872 1500 CIGNA COMMON STOCK 125509109 1831 17058 SH SOLE 15558 1500 CIGNA COMMON STOCK 125509109 161 1500 SH DEFINED 1500 CIGNA COMMON STOCK 125509109 765 7125 SH OTHER 6225 900 CSX COMMON STOCK 126408103 2080 61714 SH SOLE 59194 2520 CSX COMMON STOCK 126408103 20 600 SH DEFINED 600 CSX COMMON STOCK 126408103 223 6630 SH OTHER 5230 1400 CTS COMMON STOCK 126501105 2854 137550 SH SOLE 125350 12200 COLUMN TOTALS 16835 157 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE CTS COMMON STOCK 126501105 6 300 SH DEFINED 300 CVS COMMON STOCK 126650100 1193 20400 SH SOLE 4000 16400 CVS COMMON STOCK 126650100 211 3600 SH OTHER 200 1000 2400 CALPINE COMMON STOCK 131347106 1437 26100 SH SOLE 9100 17000 CAMPBELL SOUP COMMON STOCK 134429109 230 7700 SH SOLE 7700 CAMPBELL SOUP COMMON STOCK 134429109 584 19550 SH OTHER 12750 2000 4800 CARDINAL HEALTH COMMON STOCK 14149Y108 1741 17994 SH SOLE 17994 CARNIVAL COMMON STOCK 143658102 382 13800 SH SOLE 9500 4300 CARNIVAL COMMON STOCK 143658102 66 2400 SH OTHER 1500 900 CATERPILLAR COMMON STOCK 149123101 1352 30467 SH SOLE 24767 5700 CATERPILLAR COMMON STOCK 149123101 325 7320 SH OTHER 6920 400 CHECKPOINT SYS COMMON STOCK 162825103 144 15200 SH SOLE 15200 CHEVRON COMMON STOCK 166751107 8036 91526 SH SOLE 63646 27880 CHEVRON COMMON STOCK 166751107 372 4240 SH DEFINED 4240 CHEVRON COMMON STOCK 166751107 1318 15010 SH OTHER 14260 750 CHIRON COMMON STOCK 170040109 428 9750 SH SOLE 9750 COLUMN TOTALS 17825 158 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE CHIRON COMMON STOCK 170040109 219 5000 SH OTHER 5000 CHUBB COMMON STOCK 171232101 627 8650 SH SOLE 8450 200 CHUBB COMMON STOCK 171232101 1241 17132 SH OTHER 12932 4200 CISCO SYSTEMS COMMON STOCK 17275R102 18185 1150023 SH SOLE 1031682 118341 CISCO SYSTEMS COMMON STOCK 17275R102 752 47576 SH DEFINED 44888 2688 CISCO SYSTEMS COMMON STOCK 17275R102 2413 152595 SH OTHER 138493 6400 7702 CINTAS COMMON STOCK 172908105 409 10380 SH SOLE 5130 5250 CINTAS COMMON STOCK 172908105 174 4410 SH DEFINED 3360 1050 CINTAS COMMON STOCK 172908105 47 1200 SH OTHER 1200 CITIGROUP COMMON STOCK 172967101 37354 830459 SH SOLE 740234 90225 CITIGROUP COMMON STOCK 172967101 1771 39365 SH DEFINED 38816 549 CITIGROUP COMMON STOCK 172967101 4102 91193 SH OTHER 81374 1200 8619 CLOROX COMMON STOCK 189054109 871 27698 SH SOLE 6698 21000 COCA COLA COMMON STOCK 191216100 8041 178047 SH SOLE 120482 57565 COCA COLA COMMON STOCK 191216100 352 7801 SH DEFINED 6401 1400 COLUMN TOTALS 76558 159 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE COCA COLA COMMON STOCK 191216100 7310 161878 SH OTHER 114228 47650 COLGATE PALMOLIVE COMMON STOCK 194162103 14584 263925 SH SOLE 243865 20060 COLGATE PALMOLIVE COMMON STOCK 194162103 83 1500 SH DEFINED 700 800 COLGATE PALMOLIVE COMMON STOCK 194162103 1589 28750 SH OTHER 26950 1800 COMCAST COMMON STOCK 200300200 1350 32200 SH SOLE 32200 COMCAST COMMON STOCK 200300200 42 1000 SH OTHER 1000 COMDISCO INC COMMON STOCK 200336105 324 40500 SH SOLE 40500 COMERICA COMMON STOCK 200340107 231 3750 SH SOLE 3075 675 COMERICA COMMON STOCK 200340107 337 5475 SH OTHER 5475 COMMERCE BANCORP COMMON STOCK 200519106 227 3788 SH SOLE 3788 COMPAQ COMPUTER COMMON STOCK 204493100 1599 87833 SH SOLE 81933 5900 COMPAQ COMPUTER COMMON STOCK 204493100 56 3100 SH DEFINED 2300 800 COMPAQ COMPUTER COMMON STOCK 204493100 97 5350 SH OTHER 4750 600 COMPUTER ASSOCIATES COMMON STOCK 204912109 754 27704 SH SOLE 12805 14899 COMPUTER ASSOCIATES COMMON STOCK 204912109 57 2100 SH DEFINED 2100 COMPUTER ASSOCIATES COMMON STOCK 204912109 163 5975 SH OTHER 4800 1175 COLUMN TOTALS 28803 160 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE CONAGRA COMMON STOCK 205887102 436 23910 SH SOLE 20310 3600 CONAGRA COMMON STOCK 205887102 4 226 SH DEFINED 226 CONAGRA COMMON STOCK 205887102 492 27000 SH OTHER 27000 CONCORD EFS COMMON STOCK 206197105 206 5100 SH SOLE 5100 CONECTIV COMMON STOCK 206829103 194 8900 SH SOLE 8900 CONECTIV COMMON STOCK 206829103 36 1650 SH OTHER 1650 CONEXANT COMMON STOCK 207142100 34 3796 SH SOLE 1516 2280 CONEXANT COMMON STOCK 207142100 19 2160 SH DEFINED 1560 600 CONEXANT COMMON STOCK 207142100 58 6500 SH OTHER 1800 4700 CONOCO COMMON STOCK 208251405 1692 59898 SH SOLE 43704 16194 CONOCO COMMON STOCK 208251405 32 1137 SH DEFINED 1137 CONOCO COMMON STOCK 208251405 161 5698 SH OTHER 5392 306 CONSOLIDATED EDISON COMMON STOCK 209115104 1333 35941 SH SOLE 30941 5000 CONSOLIDATED EDISON COMMON STOCK 209115104 47 1275 SH DEFINED 1275 CONSOLIDATED EDISON COMMON STOCK 209115104 140 3784 SH OTHER 1572 1372 840 CONSTELLATION ENERGY GROUP COMMON STOCK 210371100 333 7547 SH SOLE 7547 CONSTELLATION ENERGY GROUP COMMON STOCK 210371100 13 300 SH DEFINED 300 COLUMN TOTALS 5230 161 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE CONSTELLATION ENERGY GROUP COMMON STOCK 210371100 98 2225 SH OTHER 1400 825 CONVERGYS COMMON STOCK 212485106 274 7600 SH SOLE 7600 CONVERGYS COMMON STOCK 212485106 469 13000 SH OTHER 10400 2600 CORNING COMMON STOCK 219350105 3245 156842 SH SOLE 88692 68150 CORNING COMMON STOCK 219350105 188 9100 SH DEFINED 8400 700 CORNING COMMON STOCK 219350105 953 46060 SH OTHER 43460 2600 CORVIS COMMON STOCK 221009103 89 12600 SH SOLE 12600 COX COMMUNICATIONS NEW CLASS A COMMON STOCK 224044107 264 5936 SH SOLE 2000 3936 COX COMMUNICATIONS NEW CLASS A COMMON STOCK 224044107 4 100 SH DEFINED 100 CYPRESS SEMICONDUCTOR COMMON STOCK 232806109 215 12100 SH SOLE 12100 CYPRESS SEMICONDUCTOR COMMON STOCK 232806109 10 550 SH OTHER 550 DPL COMMON STOCK 233293109 401 14270 SH SOLE 11156 3114 DANAHER COMMON STOCK 235851102 283 5180 SH SOLE 5180 DANAHER COMMON STOCK 235851102 87 1600 SH DEFINED 1600 DARDEN RESTAURANTS COMMON STOCK 237194105 781 32900 SH SOLE 31500 1400 DARDEN RESTAURANTS COMMON STOCK 237194105 250 10512 SH OTHER 10512 COLUMN TOTALS 7611 162 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE DEERE COMMON STOCK 244199105 80 2212 SH SOLE 2212 DEERE COMMON STOCK 244199105 661 18200 SH OTHER 9800 8400 DELL COMPUTER COMMON STOCK 247025109 7280 283405 SH SOLE 212655 70750 DELL COMPUTER COMMON STOCK 247025109 673 26184 SH DEFINED 24834 1350 DELL COMPUTER COMMON STOCK 247025109 1007 39191 SH OTHER 23485 2800 12906 DELPHI AUTOMOTIVE SYS COMMON STOCK 247126105 101 7120 SH SOLE 6752 368 DELPHI AUTOMOTIVE SYS COMMON STOCK 247126105 2 113 SH DEFINED 113 DELPHI AUTOMOTIVE SYS COMMON STOCK 247126105 40 2822 SH OTHER 2124 698 DIAMONDS TR COMMON STOCK 252787106 11805 119075 SH SOLE 119075 DISNEY WALT COMMON STOCK 254687106 15910 556306 SH SOLE 448381 107925 DISNEY WALT COMMON STOCK 254687106 296 10352 SH DEFINED 8752 1600 DISNEY WALT COMMON STOCK 254687106 1370 47895 SH OTHER 37075 10820 DOLLAR TREE STORES COMMON STOCK 256747106 3260 169200 SH SOLE 169200 DOLLAR TREE STORES COMMON STOCK 256747106 21 1100 SH OTHER 1100 DOMINION RES COMMON STOCK 25746U109 1560 24191 SH SOLE 14014 10177 COLUMN TOTALS 44066 163 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE DOMINION RES COMMON STOCK 25746U109 89 1384 SH OTHER 359 1025 DOVER COMMON STOCK 260003108 473 13200 SH SOLE 1000 12200 DOVER COMMON STOCK 260003108 137 3820 SH OTHER 3820 DOW CHEMICAL COMMON STOCK 260543103 2378 75312 SH SOLE 58741 16571 DOW CHEMICAL COMMON STOCK 260543103 21 675 SH DEFINED 675 DOW CHEMICAL COMMON STOCK 260543103 1954 61898 SH OTHER 27998 33900 DU PONT E I DE NEMOURS COMMON STOCK 263534109 7772 190964 SH SOLE 174993 15971 DU PONT E I DE NEMOURS COMMON STOCK 263534109 263 6450 SH DEFINED 6100 350 DU PONT E I DE NEMOURS COMMON STOCK 263534109 4249 104402 SH OTHER 72446 31956 DUFF & PHELPS UTILITIES INCOME COMMON STOCK 264324104 86 8205 SH SOLE 8205 DUFF & PHELPS UTILITIES INCOME COMMON STOCK 264324104 23 2200 SH OTHER 2200 DUKE ENERGY COMMON STOCK 264399106 2077 48604 SH SOLE 27970 20634 DUKE ENERGY COMMON STOCK 264399106 291 6800 SH DEFINED 2100 4700 DUKE ENERGY COMMON STOCK 264399106 774 18100 SH OTHER 10800 7300 DUN & BRADSTREET COMMON STOCK 26483E100 370 15698 SH SOLE 15698 DUN & BRADSTREET COMMON STOCK 26483E100 32 1340 SH OTHER 1340 COLUMN TOTALS 20989 164 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE DYNEGY COMMON STOCK 26816Q101 265 5200 SH SOLE 5200 EMC COMMON STOCK 268648102 11265 383169 SH SOLE 338919 44250 EMC COMMON STOCK 268648102 354 12025 SH DEFINED 10925 1100 EMC COMMON STOCK 268648102 1033 35148 SH OTHER 26930 2400 5818 EASTMAN KODAK COMMON STOCK 277461109 213 5331 SH SOLE 4033 1298 EASTMAN KODAK COMMON STOCK 277461109 131 3276 SH OTHER 2976 300 EDINBERG CONVERTIBLE PRE 280661992 750 82 SH OTHER 82 EL PASO COMMON STOCK 28336L109 2448 37484 SH SOLE 37484 EL PASO COMMON STOCK 28336L109 281 4300 SH OTHER 4000 300 EL PASO ENERGY CONVERTIBLE PRE 283678209 2430 30000 SH SOLE 30000 ELAN PLC COMMON STOCK 284131208 13080 250330 SH SOLE 247430 2900 ELAN PLC COMMON STOCK 284131208 206 3950 SH DEFINED 2450 1500 ELAN PLC COMMON STOCK 284131208 844 16150 SH OTHER 14900 1250 ELECTRONIC DATA SYSTEMS COMMON STOCK 285661104 17271 309175 SH SOLE 275880 33295 ELECTRONIC DATA SYSTEMS COMMON STOCK 285661104 412 7370 SH DEFINED 5970 1400 COLUMN TOTALS 50983 165 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE ELECTRONIC DATA SYSTEMS COMMON STOCK 285661104 1661 29737 SH OTHER 24097 5640 ELITE PHARMACEUTICALS COMMON STOCK 28659T200 143 26000 SH SOLE 26000 EMERSON ELEC COMMON STOCK 291011104 13449 216920 SH SOLE 192822 24098 EMERSON ELEC COMMON STOCK 291011104 2287 36882 SH OTHER 17082 19800 ENERGY EAST COMMON STOCK 29266M109 446 25695 SH SOLE 1200 24495 ENERGY EAST COMMON STOCK 29266M109 4 215 SH DEFINED 215 ENERGY EAST COMMON STOCK 29266M109 17 1000 SH OTHER 1000 ENGELHARD COMMON STOCK 292845104 711 27512 SH SOLE 26462 1050 ENGELHARD COMMON STOCK 292845104 115 4450 SH DEFINED 4450 ENGELHARD COMMON STOCK 292845104 437 16900 SH OTHER 13600 3300 ENRON COMMON STOCK 293561106 47280 813770 SH SOLE 761935 51835 ENRON COMMON STOCK 293561106 991 17056 SH DEFINED 16056 1000 ENRON COMMON STOCK 293561106 3982 68540 SH OTHER 64156 4384 EQUITY INCOME FUND MUTUAL FUNDS-EQ 294700703 234 1767 SH SOLE 1767 EQUITY INCOME FUND MUTUAL FUNDS-EQ 294700703 84 634 SH DEFINED 534 100 EQUITY INCOME FUND MUTUAL FUNDS-EQ 294700703 517 3900 SH OTHER 3900 COLUMN TOTALS 72358 166 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE ERICSSON COMMON STOCK 294821400 794 141880 SH SOLE 119760 22120 ERICSSON COMMON STOCK 294821400 70 12600 SH DEFINED 12600 ERICSSON COMMON STOCK 294821400 156 27860 SH OTHER 7700 20160 EXELON COMMON STOCK 30161N101 732 11164 SH SOLE 9356 1808 EXELON COMMON STOCK 30161N101 20 300 SH OTHER 300 EXODUS COMMUNICATIONS COMMON STOCK 302088109 134 12500 SH SOLE 3500 9000 EXODUS COMMUNICATIONS COMMON STOCK 302088109 4 400 SH DEFINED 200 200 EXXON MOBIL COMMON STOCK 30231G102 70239 867142 SH SOLE 740423 126719 EXXON MOBIL COMMON STOCK 30231G102 2275 28092 SH DEFINED 21412 6680 EXXON MOBIL COMMON STOCK 30231G102 30390 375189 SH OTHER 289450 1852 83887 FPL COMMON STOCK 302571104 8176 133380 SH SOLE 116830 16550 FPL COMMON STOCK 302571104 297 4850 SH OTHER 3050 500 1300 FANNIE MAE COMMON STOCK 313586109 10202 128170 SH SOLE 85920 42250 FANNIE MAE COMMON STOCK 313586109 40 500 SH DEFINED 500 FANNIE MAE COMMON STOCK 313586109 1351 16977 SH OTHER 14477 2500 COLUMN TOTALS 124880 167 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE FIDELITY MUTUAL FUNDS-MU 316089200 72 6219 SH SOLE 6219 FIDELITY MUTUAL FUNDS-MU 316089200 257 22354 SH OTHER 22354 FIDELITY NATIONAL FINL COMMON STOCK 316326107 750 28000 SH SOLE 28000 FIRST AUSTRALIA PRIME COMMON STOCK 318653102 61 15500 SH SOLE 10500 5000 FIRST DATA COMMON STOCK 319963104 788 13197 SH SOLE 2697 10500 FIRST DATA COMMON STOCK 319963104 60 1000 SH OTHER 1000 FIRST UNION COMMON STOCK 337358105 6033 182823 SH SOLE 159522 23301 FIRST UNION COMMON STOCK 337358105 131 3970 SH DEFINED 3850 120 FIRST UNION COMMON STOCK 337358105 1764 53445 SH OTHER 36645 16800 FIRST UNION CORPORATE BONDS 337358BL8 286 300000 PRN SOLE 300000 FIRST VIRGINIA BANKS COMMON STOCK 337477103 156 3600 SH SOLE 3600 FIRST VIRGINIA BANKS COMMON STOCK 337477103 49 1125 SH OTHER 1125 FISERV COMMON STOCK 337738108 212 4750 SH SOLE 4550 200 FLEETBOSTON FINANCIAL COMMON STOCK 339030108 39043 1034256 SH SOLE 971567 62689 FLEETBOSTON FINANCIAL COMMON STOCK 339030108 6976 184788 SH DEFINED 183612 1176 COLUMN TOTALS 56638 168 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE FLEETBOSTON FINANCIAL COMMON STOCK 339030108 19107 506135 SH OTHER 405164 2271 98700 FORD MOTOR DEL COMMON STOCK 345370860 3041 108137 SH SOLE 97347 10790 FORD MOTOR DEL COMMON STOCK 345370860 66 2348 SH DEFINED 600 1748 FORD MOTOR DEL COMMON STOCK 345370860 164 5828 SH OTHER 3531 2297 FORTUNE BRANDS COMMON STOCK 349631101 426 12370 SH SOLE 12370 FORTUNE BRANDS COMMON STOCK 349631101 177 5148 SH OTHER 5148 FRANKLIN INVS SECS TR MUTUAL FUNDS-FI 353612302 284 30217 SH SOLE 30217 FRANKLIN INTERNATIONAL PREFERRED STOCK 353990203 432 4316 SH OTHER 4316 FRANKLIN RESOURCES COMMON STOCK 354613101 758 19390 SH SOLE 14990 4400 FRANKLIN RESOURCES COMMON STOCK 354613101 33 837 SH DEFINED 837 FRANKLIN RESOURCES COMMON STOCK 354613101 219 5600 SH OTHER 5600 FULTON FINL PA COMMON STOCK 360271100 655 32240 SH SOLE 32240 GPU COMMON STOCK 36225X100 544 16753 SH SOLE 10923 5830 GPU COMMON STOCK 36225X100 40 1238 SH DEFINED 488 750 GPU COMMON STOCK 36225X100 766 23570 SH OTHER 23120 450 GALLAHER GROUP COMMON STOCK 363595109 223 9250 SH SOLE 9250 COLUMN TOTALS 26935 169 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE GALLAHER GROUP COMMON STOCK 363595109 94 3878 SH OTHER 3878 GANNETT COMMON STOCK 364730101 11682 195606 SH SOLE 178406 17200 GANNETT COMMON STOCK 364730101 96 1600 SH DEFINED 1600 GANNETT COMMON STOCK 364730101 1141 19100 SH OTHER 18500 600 GAP STORES COMMON STOCK 364760108 400 16882 SH SOLE 12682 4200 GAP STORES COMMON STOCK 364760108 24 1012 SH DEFINED 1012 GENENTECH COMMON STOCK 368710406 635 12575 SH SOLE 2275 10300 GENERAL ELECTRIC COMMON STOCK 369604103 130239 3111303 SH SOLE 2559912 551391 GENERAL ELECTRIC COMMON STOCK 369604103 4596 109786 SH DEFINED 91736 18050 GENERAL ELECTRIC COMMON STOCK 369604103 50115 1197214 SH OTHER 780972 9000 407242 GENERAL MILLS COMMON STOCK 370334104 658 15300 SH SOLE 8300 7000 GENERAL MILLS COMMON STOCK 370334104 119 2768 SH DEFINED 2768 GENERAL MILLS COMMON STOCK 370334104 1594 37068 SH OTHER 32140 4928 GENERAL MOTORS COMMON STOCK 370442105 972 18739 SH SOLE 14239 4500 GENERAL MOTORS COMMON STOCK 370442105 8 162 SH DEFINED 162 GENERAL MOTORS COMMON STOCK 370442105 238 4598 SH OTHER 3148 1450 COLUMN TOTALS 202611 170 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE GENZYME COMMON STOCK 372917104 181 2000 SH DEFINED 2000 GENZYME COMMON STOCK 372917104 135 1500 SH OTHER 1500 GEORGIA PACIFIC COMMON STOCK 373298108 145 4932 SH SOLE 4932 GEORGIA PACIFIC COMMON STOCK 373298108 171 5800 SH OTHER 1800 4000 GILLETTE COMMON STOCK 375766102 3684 118196 SH SOLE 61370 56826 GILLETTE COMMON STOCK 375766102 164 5263 SH DEFINED 5263 GILLETTE COMMON STOCK 375766102 696 22340 SH OTHER 20640 1700 GLAXO SMITHKLINE SPONSORED COMMON STOCK 37733W105 15811 302312 SH SOLE 289542 12770 GLAXO SMITHKLINE SPONSORED COMMON STOCK 37733W105 163 3117 SH DEFINED 113 3004 GLAXO SMITHKLINE SPONSORED COMMON STOCK 37733W105 1776 33967 SH OTHER 33640 327 GLIMCHER REALTY TRUST COMMON STOCK 379302102 212 14000 SH OTHER 13200 800 GOVERNMENT SECURITIES INCOME FD MUTUAL FUNDS-FI 383743598 2 88334 SH SOLE 88334 GUIDANT COMMON STOCK 401698105 119 2643 SH SOLE 2643 GUIDANT COMMON STOCK 401698105 111 2476 SH OTHER 2476 HALLIBURTON COMMON STOCK 406216101 646 17568 SH SOLE 8968 8600 HALLIBURTON COMMON STOCK 406216101 198 5400 SH OTHER 3800 1600 COLUMN TOTALS 24214 171 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE HARLEY DAVIDSON COMMON STOCK 412822108 4454 117375 SH SOLE 117375 HARLEY DAVIDSON COMMON STOCK 412822108 263 6930 SH OTHER 6930 HARTFORD FINANCIAL SERVICES COMMON STOCK 416515104 1007 17070 SH SOLE 17070 HARTFORD FINANCIAL SERVICES COMMON STOCK 416515104 89 1508 SH DEFINED 1508 HARTFORD FINANCIAL SERVICES COMMON STOCK 416515104 395 6700 SH OTHER 5700 1000 THE HARVILL PRESS LIMITED COMMON STOCK 417999AA7 254 29447 SH OTHER 29447 HEALTHSOUTH REHABILITATION COMMON STOCK 421924101 567 43960 SH SOLE 43960 HEINEKEN NV ADR COMMON STOCK 423012202 341 6500 SH SOLE 6500 HEINZ H J COMMON STOCK 423074103 728 18100 SH SOLE 10300 7800 HEINZ H J COMMON STOCK 423074103 48 1200 SH DEFINED 900 300 HEINZ H J COMMON STOCK 423074103 689 17150 SH OTHER 13800 3350 HELIX TECHNOLOGY COMMON STOCK 423319102 352 15000 SH OTHER 7800 7200 HERCULES COMMON STOCK 427056106 126 9692 SH SOLE 9692 HERCULES COMMON STOCK 427056106 25 1900 SH OTHER 1900 HERSHEY FOODS COMMON STOCK 427866108 700 10095 SH SOLE 9495 600 HERSHEY FOODS COMMON STOCK 427866108 42 600 SH DEFINED 600 HERSHEY FOODS COMMON STOCK 427866108 277 4000 SH OTHER 4000 COLUMN TOTALS 10357 172 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE HEWLETT PACKARD COMMON STOCK 428236103 17960 574352 SH SOLE 512657 61695 HEWLETT PACKARD COMMON STOCK 428236103 165 5270 SH DEFINED 4670 600 HEWLETT PACKARD COMMON STOCK 428236103 3212 102714 SH OTHER 92214 10500 HIGHWOODS PPTYS COMMON STOCK 431284108 272 11050 SH OTHER 11050 HOME DEPOT COMMON STOCK 437076102 24279 563312 SH SOLE 468239 95073 HOME DEPOT COMMON STOCK 437076102 1900 44089 SH DEFINED 41114 2975 HOME DEPOT COMMON STOCK 437076102 4719 109487 SH OTHER 89470 12150 7867 HONEYWELL INTERNATIONAL COMMON STOCK 438516106 1444 35388 SH SOLE 27988 7400 HONEYWELL INTERNATIONAL COMMON STOCK 438516106 20 500 SH DEFINED 500 HONEYWELL INTERNATIONAL COMMON STOCK 438516106 275 6740 SH OTHER 6740 HOOPER HOLMES COMMON STOCK 439104100 258 30000 SH SOLE 30000 HOST MARRIOTT (REIT) COMMON STOCK 44107P104 160 13709 SH OTHER 13709 HOUSEHOLD INTERNATIONAL COMMON STOCK 441815107 4835 81622 SH SOLE 80825 797 HOUSEHOLD INTERNATIONAL COMMON STOCK 441815107 330 5573 SH OTHER 5573 IMS HEALTH COMMON STOCK 449934108 3271 131350 SH SOLE 102750 28600 COLUMN TOTALS 63100 173 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE IMS HEALTH COMMON STOCK 449934108 88 3550 SH DEFINED 3550 IMS HEALTH COMMON STOCK 449934108 506 20310 SH OTHER 14750 5560 ILLINOIS TOOL WORKS COMMON STOCK 452308109 9113 160320 SH SOLE 147220 13100 ILLINOIS TOOL WORKS COMMON STOCK 452308109 17 297 SH DEFINED 297 ILLINOIS TOOL WORKS COMMON STOCK 452308109 2137 37599 SH OTHER 7518 30081 IMPERIAL OIL COMMON STOCK 453038408 234 9600 SH SOLE 3000 6600 IMPERIAL OIL COMMON STOCK 453038408 125 5100 SH OTHER 5100 INFORMIX COMMON STOCK 456779107 59 11000 SH SOLE 11000 INGERSOLL RAND COMMON STOCK 456866102 1192 30013 SH SOLE 26813 3200 INGERSOLL RAND COMMON STOCK 456866102 83 2100 SH OTHER 2100 INTEL COMMON STOCK 458140100 37473 1424137 SH SOLE 1193702 230435 INTEL COMMON STOCK 458140100 871 33088 SH DEFINED 28838 4250 INTEL COMMON STOCK 458140100 6485 246462 SH OTHER 173852 3200 69410 INTL BUSINESS MACHINES COMMON STOCK 459200101 55056 572431 SH SOLE 210000 362431 INTL BUSINESS MACHINES COMMON STOCK 459200101 1129 11734 SH DEFINED 2374 9360 INTL BUSINESS MACHINES COMMON STOCK 459200101 7344 76358 SH OTHER 44738 1200 30420 COLUMN TOTALS 121912 174 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE INTERNATIONAL PAPER COMMON STOCK 460146103 152 4204 SH SOLE 4204 INTERNATIONAL PAPER COMMON STOCK 460146103 76 2100 SH OTHER 2100 INTERPUBLIC GROUP COMMON STOCK 460690100 206 6000 SH SOLE 2400 3600 JDS UNIPHASE COMMON STOCK 46612J101 444 24105 SH SOLE 24105 JDS UNIPHASE COMMON STOCK 46612J101 4 200 SH DEFINED 200 JDS UNIPHASE COMMON STOCK 46612J101 75 4050 SH OTHER 4050 J P MORGAN CHASE & CO COMMON STOCK 46625H100 25039 557653 SH SOLE 500653 57000 J P MORGAN CHASE & CO COMMON STOCK 46625H100 505 11245 SH DEFINED 9655 1590 J P MORGAN CHASE & CO COMMON STOCK 46625H100 3500 77962 SH OTHER 66382 11580 JANUS MUTUAL FUNDS-EQ 471023101 409 14975 SH SOLE 14975 JOHNSON & JOHNSON COMMON STOCK 478160104 50986 582899 SH SOLE 514174 68725 JOHNSON & JOHNSON COMMON STOCK 478160104 1556 17794 SH DEFINED 15894 1900 JOHNSON & JOHNSON COMMON STOCK 478160104 12057 137839 SH OTHER 91647 680 45512 KELLOGG COMMON STOCK 487836108 70 2600 SH SOLE 2600 KELLOGG COMMON STOCK 487836108 3460 128000 SH OTHER 128000 KEMPER MUN BD FD SH BEN INT MUTUAL FUNDS-MU 488419201 198 19690 SH SOLE 19690 COLUMN TOTALS 98737 175 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE KEYCORP COMMON STOCK 493267108 144 5600 SH SOLE 5600 KEYCORP COMMON STOCK 493267108 80 3120 SH OTHER 3120 KEYSPAN COMMON STOCK 49337W100 1248 32738 SH SOLE 26982 5756 KEYSPAN COMMON STOCK 49337W100 51 1348 SH DEFINED 1348 KEYSPAN COMMON STOCK 49337W100 43 1128 SH OTHER 600 528 KIMBERLY CLARK COMMON STOCK 494368103 16322 240635 SH SOLE 223335 17300 KIMBERLY CLARK COMMON STOCK 494368103 217 3206 SH DEFINED 3206 KIMBERLY CLARK COMMON STOCK 494368103 869 12805 SH OTHER 12405 400 KINDER MORGAN ENERGY PARTNERS COMMON STOCK 494550106 193 3056 SH SOLE 2500 556 KINDER MORGAN ENERGY PARTNERS COMMON STOCK 494550106 145 2300 SH OTHER 2300 KOHL'S COMMON STOCK 500255104 7804 126500 SH SOLE 126500 KOHL'S COMMON STOCK 500255104 17 280 SH OTHER 280 KONINKLIJKE PHILLIPS ELECTRONICS COMMON STOCK 500472303 1239 46402 SH SOLE 46402 KONINKLIJKE PHILLIPS ELECTRONICS COMMON STOCK 500472303 95 3568 SH OTHER 3568 KROGER COMMON STOCK 501044101 903 35000 SH SOLE 35000 KROGER COMMON STOCK 501044101 129 5000 SH OTHER 5000 ESTEE LAUDER AUTO EXCH SEC TR II CONVERTIBLE PRE 518438205 1235 17000 SH SOLE 17000 COLUMN TOTALS 30734 176 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE LEHMAN BROS COMMON STOCK 524908100 952 15188 SH SOLE 15188 LEHMAN BROS COMMON STOCK 524908100 80 1278 SH OTHER 480 798 LIBERTY PPTY TR COMMON STOCK 531172104 220 7800 SH SOLE 7800 LIBERTY PPTY TR COMMON STOCK 531172104 31 1100 SH DEFINED 600 500 LIBERTY PPTY TR COMMON STOCK 531172104 272 9625 SH OTHER 9625 LIGHTPATH TECHNOLOGIES COMMON STOCK 532257102 77 6000 SH SOLE 6000 LIGHTPATH TECHNOLOGIES COMMON STOCK 532257102 32 2500 SH DEFINED 1500 1000 LIGHTPATH TECHNOLOGIES COMMON STOCK 532257102 28 2200 SH OTHER 1200 1000 LILLY ELI COMMON STOCK 532457108 1055 13761 SH SOLE 12761 1000 LILLY ELI COMMON STOCK 532457108 452 5899 SH OTHER 3899 2000 LIMITED COMMON STOCK 532716107 1368 87000 SH SOLE 86000 1000 LIMITED COMMON STOCK 532716107 93 5945 SH OTHER 5945 LINCOLN NATL COMMON STOCK 534187109 2984 70250 SH SOLE 70250 LOEWS COMMON STOCK 540424108 59 1000 SH SOLE 1000 LOEWS COMMON STOCK 540424108 143 2400 SH OTHER 2400 LUCENT TECHNOLOGIES COMMON STOCK 549463107 6239 625755 SH SOLE 527426 98329 LUCENT TECHNOLOGIES COMMON STOCK 549463107 204 20424 SH DEFINED 14098 6326 COLUMN TOTALS 14289 177 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE LUCENT TECHNOLOGIES COMMON STOCK 549463107 714 71657 SH OTHER 59625 1000 11032 MBIA COMMON STOCK 55262C100 161 2000 SH SOLE 2000 MBIA COMMON STOCK 55262C100 65 800 SH DEFINED 800 MBIA COMMON STOCK 55262C100 32 400 SH OTHER 400 MBNA COMMON STOCK 55262L100 9577 289341 SH SOLE 273087 16254 MBNA COMMON STOCK 55262L100 619 18686 SH DEFINED 18686 MBNA COMMON STOCK 55262L100 746 22528 SH OTHER 20578 1950 MCI CAPITAL I PREFERRED STOCK 55267Y206 183 7450 SH SOLE 6950 500 MCI CAPITAL I PREFERRED STOCK 55267Y206 12 500 SH DEFINED 500 MCI CAPITAL I PREFERRED STOCK 55267Y206 91 3700 SH OTHER 3700 MARSH & MCLENNAN COMMON STOCK 571748102 4436 46675 SH SOLE 46675 MARSH & MCLENNAN COMMON STOCK 571748102 114 1200 SH OTHER 1200 MARSHALL & ILSELY COMMON STOCK 571834100 224 4250 SH SOLE 4250 MARRIOTT INTERNATIONAL COMMON STOCK 571903202 140 3400 SH SOLE 3400 MARRIOTT INTERNATIONAL COMMON STOCK 571903202 630 15300 SH OTHER 14700 600 MASCO COMMON STOCK 574599106 6218 257586 SH SOLE 253386 4200 MASCO COMMON STOCK 574599106 273 11300 SH OTHER 10500 800 COLUMN TOTALS 24235 178 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE MATTEL COMMON STOCK 577081102 2107 118749 SH SOLE 118649 100 MATTEL COMMON STOCK 577081102 4 250 SH OTHER 250 MAXYGEN COMMON STOCK 577776107 85 7000 SH SOLE 7000 MAXYGEN COMMON STOCK 577776107 404 33334 SH OTHER 33334 MAY DEPT STORES COMMON STOCK 577778103 730 20562 SH SOLE 20562 MAY DEPT STORES COMMON STOCK 577778103 1378 38826 SH OTHER 12804 26022 MCDONALDS COMMON STOCK 580135101 1135 42740 SH SOLE 26440 16300 MCDONALDS COMMON STOCK 580135101 27 1000 SH DEFINED 1000 MCDONALDS COMMON STOCK 580135101 364 13710 SH OTHER 7310 6400 MCGRAW HILL COMMON STOCK 580645109 3723 62414 SH SOLE 62414 MCGRAW HILL COMMON STOCK 580645109 889 14900 SH OTHER 8500 6400 MEDTRONIC COMMON STOCK 585055106 896 19584 SH SOLE 4684 14900 MEDTRONIC COMMON STOCK 585055106 46 1000 SH DEFINED 1000 MEDTRONIC COMMON STOCK 585055106 201 4400 SH OTHER 4400 MELLON FINANCIAL COMMON STOCK 58551A108 16749 413357 SH SOLE 374882 38475 MELLON FINANCIAL COMMON STOCK 58551A108 299 7375 SH DEFINED 7175 200 MELLON FINANCIAL COMMON STOCK 58551A108 2012 49650 SH OTHER 48150 1500 COLUMN TOTALS 31049 179 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE MERCK COMMON STOCK 589331107 76831 1012264 SH SOLE 812418 199846 MERCK COMMON STOCK 589331107 2220 29251 SH DEFINED 23025 6226 MERCK COMMON STOCK 589331107 36709 483647 SH OTHER 201504 204880 77263 MERRILL LYNCH COMMON STOCK 590188108 1118 20180 SH SOLE 6380 13800 MERRILL LYNCH COMMON STOCK 590188108 183 3300 SH OTHER 2800 500 MICHIGAN ST HIGHER ED STUDENT MUNICIPAL OBLIG 594520EY0 927 900000 PRN SOLE 900000 MICROSOFT COMMON STOCK 594918104 34278 626805 SH SOLE 494186 132619 MICROSOFT COMMON STOCK 594918104 1166 21320 SH DEFINED 18270 3050 MICROSOFT COMMON STOCK 594918104 6468 118264 SH OTHER 96154 2510 19600 MICRON TECHNOLOGY COMMON STOCK 595112103 237 5700 SH SOLE 5700 MIDCAP SPDR TR COMMON STOCK 595635103 260 3085 SH SOLE 3085 MIDCAP SPDR TR COMMON STOCK 595635103 25 300 SH DEFINED 300 MINNESOTA MNG & MFG COMMON STOCK 604059105 5134 49410 SH SOLE 40078 9332 MINNESOTA MNG & MFG COMMON STOCK 604059105 239 2300 SH DEFINED 2300 MINNESOTA MNG & MFG COMMON STOCK 604059105 2212 21286 SH OTHER 17166 4120 COLUMN TOTALS 168007 180 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE MOODY'S COMMON STOCK 615369105 865 31397 SH SOLE 31397 MOODY'S COMMON STOCK 615369105 74 2680 SH OTHER 2680 MORGAN STANLEY COMMON STOCK 617446448 17698 330809 SH SOLE 297489 33320 MORGAN STANLEY COMMON STOCK 617446448 785 14671 SH DEFINED 13571 1100 MORGAN STANLEY COMMON STOCK 617446448 1252 23396 SH OTHER 22076 1320 MOTOROLA COMMON STOCK 620076109 7296 511621 SH SOLE 452162 59459 MOTOROLA COMMON STOCK 620076109 120 8400 SH DEFINED 8100 300 MOTOROLA COMMON STOCK 620076109 786 55150 SH OTHER 45650 2400 7100 MUNIYIELD NJ FUND MUTUAL FUNDS-MU 62630L101 73 5125 SH SOLE 5125 MUNIYIELD NJ FUND MUTUAL FUNDS-MU 62630L101 16 1126 SH DEFINED 1126 MUNIYIELD NJ FUND MUTUAL FUNDS-MU 62630L101 73 5150 SH OTHER 5150 NVR COMMON STOCK 62944T105 359 2200 SH SOLE 2200 NASDAQ- 100 SHARES COMMON STOCK 631100104 846 21605 SH SOLE 3480 18125 NASDAQ- 100 SHARES COMMON STOCK 631100104 20 500 SH DEFINED 500 NASDAQ- 100 SHARES COMMON STOCK 631100104 163 4160 SH OTHER 3420 740 NATIONAL FUEL GAS COMMON STOCK 636180101 325 6060 SH SOLE 5010 1050 COLUMN TOTALS 30751 181 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE NATIONAL FUEL GAS COMMON STOCK 636180101 267 4980 SH OTHER 3880 1100 NESTLE S A COMMON STOCK 641069406 1697 16200 SH SOLE 15600 600 NESTLE S A COMMON STOCK 641069406 105 1000 SH OTHER 1000 NEW JERSEY RESOURCES COMMON STOCK 646025106 226 5490 SH SOLE 5390 100 NEW JERSEY RESOURCES COMMON STOCK 646025106 21 500 SH OTHER 500 NEW SKY COMMUNICATIONS COMMON STOCK 648726107 2 185000 SH SOLE 185000 NEW YORK REGL RAIL COMMON STOCK 649768108 3 34000 SH SOLE 34000 NISOURCE COMMON STOCK 65473P105 48 1539 SH SOLE 1539 NISOURCE COMMON STOCK 65473P105 763 24508 SH OTHER 18672 5836 NISOURCE COMMON STOCK 65473P600 2 592 SH SOLE 592 NISOURCE COMMON STOCK 65473P600 34 12363 SH OTHER 9616 2747 NOKIA COMMON STOCK 654902204 19921 830049 SH SOLE 773639 56410 NOKIA COMMON STOCK 654902204 633 26357 SH DEFINED 24157 2200 NOKIA COMMON STOCK 654902204 2332 97175 SH OTHER 83955 6400 6820 NORFOLK SOUTHERN COMMON STOCK 655844108 3375 201590 SH SOLE 194490 7100 NORFOLK SOUTHERN COMMON STOCK 655844108 75 4500 SH OTHER 4500 COLUMN TOTALS 29504 182 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE NORTEL NETWORKS NEW COMMON STOCK 656568102 4817 342856 SH SOLE 308256 34600 NORTEL NETWORKS NEW COMMON STOCK 656568102 8 600 SH DEFINED 500 100 NORTEL NETWORKS NEW COMMON STOCK 656568102 161 11480 SH OTHER 10980 500 NORTH AMERICAN TRAINING COMMON STOCK 657999991 0 15687 SH SOLE 15687 NORTHERN TRUST COMMON STOCK 665859104 6402 102438 SH SOLE 86343 16095 NORTHERN TRUST COMMON STOCK 665859104 403 6440 SH DEFINED 5440 1000 NORTHERN TRUST COMMON STOCK 665859104 1634 26150 SH OTHER 23890 2260 OMNICOM GROUP COMMON STOCK 681919106 6597 79600 SH SOLE 79600 OMNICOM GROUP COMMON STOCK 681919106 8 100 SH DEFINED 100 OMNICOM GROUP COMMON STOCK 681919106 133 1600 SH OTHER 1600 ORACLE COMMON STOCK 68389X105 1373 91652 SH SOLE 75552 16100 ORACLE COMMON STOCK 68389X105 18 1200 SH DEFINED 1000 200 ORACLE COMMON STOCK 68389X105 309 20630 SH OTHER 20430 200 PNC FINANCIAL SERVICES GROUP COMMON STOCK 693475105 1138 16801 SH SOLE 15801 1000 PNC FINANCIAL SERVICES GROUP COMMON STOCK 693475105 78 1149 SH DEFINED 1149 COLUMN TOTALS 23079 183 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE PNC FINANCIAL SERVICES GROUP COMMON STOCK 693475105 551 8134 SH OTHER 3547 4587 PPG COMMON STOCK 693506107 2418 52457 SH SOLE 51057 1400 PPG COMMON STOCK 693506107 21 450 SH DEFINED 450 PPG COMMON STOCK 693506107 285 6186 SH OTHER 4886 1300 PPL COMMON STOCK 69351T106 2216 50407 SH SOLE 40637 9770 PPL COMMON STOCK 69351T106 513 11666 SH OTHER 8746 2320 600 PALM COMMON STOCK 696642107 523 62248 SH SOLE 47655 14593 PALM COMMON STOCK 696642107 2 296 SH DEFINED 296 PALM COMMON STOCK 696642107 85 10147 SH OTHER 9199 800 148 PARDEE RESOURCES COMMON STOCK 699437109 504 11400 SH SOLE 11400 PARKER HANNIFIN COMMON STOCK 701094104 536 13499 SH SOLE 13499 PAYCHEX COMMON STOCK 704326107 704 19005 SH SOLE 1714 17291 PAYCHEX COMMON STOCK 704326107 1007 27163 SH DEFINED 27163 PAYCHEX COMMON STOCK 704326107 435 11748 SH OTHER 11748 PENNEY J C COMMON STOCK 708160106 587 36686 SH SOLE 36686 PENNZOIL-QUAKER ST COMMON STOCK 709323109 21 1523 SH SOLE 1523 PENNZOIL-QUAKER ST COMMON STOCK 709323109 188 13456 SH OTHER 6896 6560 COLUMN TOTALS 10596 184 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE PEPSICO COMMON STOCK 713448108 19616 446327 SH SOLE 383903 62424 PEPSICO COMMON STOCK 713448108 242 5500 SH DEFINED 5500 PEPSICO COMMON STOCK 713448108 5158 117361 SH OTHER 100121 1800 15440 PERKINELMER COMMON STOCK 714046109 210 4000 SH SOLE 4000 PFIZER COMMON STOCK 717081103 67789 1655419 SH SOLE 1513394 142025 PFIZER COMMON STOCK 717081103 2569 62746 SH DEFINED 58434 4312 PFIZER COMMON STOCK 717081103 22905 559341 SH OTHER 481391 1200 76750 PHARMACIA COMMON STOCK 71713U102 15697 311635 SH SOLE 301345 10290 PHARMACIA COMMON STOCK 71713U102 607 12044 SH DEFINED 10830 1214 PHARMACIA COMMON STOCK 71713U102 1327 26343 SH OTHER 19083 7260 PHILIP MORRIS COMMON STOCK 718154107 3766 79365 SH SOLE 68765 10600 PHILIP MORRIS COMMON STOCK 718154107 97 2050 SH DEFINED 2050 PHILIP MORRIS COMMON STOCK 718154107 3305 69643 SH OTHER 53616 16027 PHILLIPS PETE COMMON STOCK 718507106 176 3200 SH SOLE 3200 PHILLIPS PETE COMMON STOCK 718507106 143 2590 SH OTHER 2215 375 COLUMN TOTALS 143607 185 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE PITNEY BOWES COMMON STOCK 724479100 1867 53725 SH SOLE 49925 3800 PITNEY BOWES COMMON STOCK 724479100 174 5000 SH OTHER 4700 300 PRAXAIR COMMON STOCK 74005P104 355 7959 SH SOLE 7959 PRAXAIR COMMON STOCK 74005P104 22 500 SH OTHER 500 PREFORMED LINE PRODUCTS COMMON STOCK 740444104 522 36000 SH SOLE 36000 PREMIER BANCORP COMMON STOCK 74046J109 120 12978 SH SOLE 12978 PROCTER & GAMBLE COMMON STOCK 742718109 13291 212312 SH SOLE 171852 40460 PROCTER & GAMBLE COMMON STOCK 742718109 537 8582 SH DEFINED 8582 PROCTER & GAMBLE COMMON STOCK 742718109 5474 87451 SH OTHER 55555 600 31296 PROGRESS ENERGY COMMON STOCK 743263105 756 17545 SH SOLE 13545 4000 PROGRESS ENERGY COMMON STOCK 743263105 8 191 SH DEFINED 191 PROGRESS ENERGY COMMON STOCK 743263105 324 7517 SH OTHER 5388 1156 973 PROGRESS ENERGY COMMON STOCK 743263AA3 5 8316 SH SOLE 8316 PROGRESS ENERGY COMMON STOCK 743263AA3 0 150 SH DEFINED 150 PROGRESS ENERGY COMMON STOCK 743263AA3 3 4800 SH OTHER 3600 750 450 PROGRESSIVE COMMON STOCK 743315103 159 1640 SH DEFINED 1640 PROGRESSIVE COMMON STOCK 743315103 47 480 SH OTHER 480 COLUMN TOTALS 23664 186 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE PUBLIC SERVICE ENTERPRISE COMMON STOCK 744573106 3602 83453 SH SOLE 79605 3848 PUBLIC SERVICE ENTERPRISE COMMON STOCK 744573106 189 4390 SH DEFINED 3890 500 PUBLIC SERVICE ENTERPRISE COMMON STOCK 744573106 1918 44436 SH OTHER 34449 9987 QUAKER OATS COMMON STOCK 747402105 420 4330 SH SOLE 4130 200 QUAKER OATS COMMON STOCK 747402105 182 1878 SH DEFINED 1878 QUAKER OATS COMMON STOCK 747402105 107 1100 SH OTHER 1100 QUALCOMM COMMON STOCK 747525103 888 15680 SH SOLE 8680 7000 QUALCOMM COMMON STOCK 747525103 11 200 SH DEFINED 200 QUALCOMM COMMON STOCK 747525103 96 1700 SH OTHER 1700 QUESTAR COMMON STOCK 748356102 16 600 SH SOLE 600 QUESTAR COMMON STOCK 748356102 745 27200 SH OTHER 13200 14000 QWEST COMMUNICATIONS INTL COMMON STOCK 749121109 1632 46562 SH SOLE 43330 3232 QWEST COMMUNICATIONS INTL COMMON STOCK 749121109 138 3943 SH DEFINED 3943 QWEST COMMUNICATIONS INTL COMMON STOCK 749121109 1515 43238 SH OTHER 35662 1518 6058 RALSTON PURINA GROUP COMMON STOCK 751277302 71 2295 SH SOLE 2295 COLUMN TOTALS 11530 187 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE RALSTON PURINA GROUP COMMON STOCK 751277302 228 7305 SH OTHER 7305 RAYTHEON COMMON STOCK 755111408 243 8280 SH SOLE 8280 RAYTHEON COMMON STOCK 755111408 24 800 SH DEFINED 800 RAYTHEON COMMON STOCK 755111408 294 10000 SH OTHER 1000 9000 RELIANT ENERGY COMMON STOCK 75952J108 63 1384 SH SOLE 1384 RELIANT ENERGY COMMON STOCK 75952J108 45 1000 SH DEFINED 1000 RELIANT ENERGY COMMON STOCK 75952J108 204 4500 SH OTHER 3000 1500 RICHMOND CNTY FINL COMMON STOCK 764556106 263 8965 SH SOLE 8965 ROBERT HALF INTL COMMON STOCK 770323103 203 9080 SH SOLE 9080 ROCKWELL INTL COMMON STOCK 773903109 190 5233 SH SOLE 5233 ROCKWELL INTL COMMON STOCK 773903109 44 1200 SH DEFINED 1200 ROCKWELL INTL COMMON STOCK 773903109 160 4400 SH OTHER 1900 2500 ROWAN COS COMMON STOCK 779382100 275 10000 SH SOLE 10000 ROYAL DUTCH PETE COMMON STOCK 780257804 14938 269441 SH SOLE 259641 9800 ROYAL DUTCH PETE COMMON STOCK 780257804 179 3220 SH DEFINED 3220 ROYAL DUTCH PETE COMMON STOCK 780257804 3538 63812 SH OTHER 52515 11297 SBC COMMUNICATIONS COMMON STOCK 78387G103 25735 576629 SH SOLE 508533 68096 SBC COMMUNICATIONS COMMON STOCK 78387G103 757 16969 SH DEFINED 13043 3926 COLUMN TOTALS 47383 188 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE SBC COMMUNICATIONS COMMON STOCK 78387G103 7313 163868 SH OTHER 146151 351 17366 SEI COMMON STOCK 784117103 312 10000 SH SOLE 10000 S&P 500 DEPOSITARY RECEIPT COMMON STOCK 78462F103 4669 40015 SH SOLE 9345 30670 S&P 500 DEPOSITARY RECEIPT COMMON STOCK 78462F103 46 390 SH DEFINED 390 SAFEWAY COMMON STOCK 786514208 399 7230 SH SOLE 7230 SAFEWAY COMMON STOCK 786514208 19 350 SH OTHER 350 ST PAUL COMMON STOCK 792860108 453 10288 SH SOLE 5712 4576 ST PAUL COMMON STOCK 792860108 26 600 SH OTHER 600 SANMINA COMMON STOCK 800907107 5746 293720 SH SOLE 283220 10500 SANMINA COMMON STOCK 800907107 197 10091 SH DEFINED 8891 1200 SANMINA COMMON STOCK 800907107 360 18378 SH OTHER 13842 4536 SARA LEE COMMON STOCK 803111103 7123 330073 SH SOLE 308273 21800 SARA LEE COMMON STOCK 803111103 259 12000 SH OTHER 10600 1400 SCHERING PLOUGH COMMON STOCK 806605101 22184 607270 SH SOLE 400527 206743 SCHERING PLOUGH COMMON STOCK 806605101 868 23758 SH DEFINED 21191 2567 COLUMN TOTALS 49974 189 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE SCHERING PLOUGH COMMON STOCK 806605101 4055 111016 SH OTHER 83874 27142 SCHLUMBERGER COMMON STOCK 806857108 8900 154487 SH SOLE 132461 22026 SCHLUMBERGER COMMON STOCK 806857108 805 13976 SH OTHER 12876 1100 SEARS COMMON STOCK 812387108 390 11069 SH SOLE 11069 SEARS COMMON STOCK 812387108 206 5839 SH OTHER 4939 900 SELECTIVE INSURANCE COMMON STOCK 816300107 419 18037 SH SOLE 18037 SELECTIVE INSURANCE COMMON STOCK 816300107 132 5670 SH OTHER 5670 SERVICE COMMON STOCK 817587108 0 19000 SH SOLE 19000 SHELL COMMON STOCK 822703609 215 4600 SH SOLE 1900 2700 SHELL COMMON STOCK 822703609 140 3000 SH DEFINED 1800 1200 SHERWIN-WILLIAMS COMMON STOCK 824348106 76 3000 SH SOLE 3000 SHERWIN-WILLIAMS COMMON STOCK 824348106 245 9600 SH OTHER 9600 SIEBEL SYS COMMON STOCK 826170102 1009 37100 SH SOLE 36900 200 SOLECTRON COMMON STOCK 834182107 532 27975 SH SOLE 2975 25000 SOLECTRON COMMON STOCK 834182107 23 1200 SH OTHER 1200 SOUTHERN COMMON STOCK 842587107 1582 45071 SH SOLE 35875 9196 SOUTHERN COMMON STOCK 842587107 25 700 SH DEFINED 200 500 COLUMN TOTALS 18754 190 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE SOUTHERN COMMON STOCK 842587107 376 10716 SH OTHER 6566 400 3750 SOVEREIGN BANCORP COMMON STOCK 845905108 116 13666 SH SOLE 9466 4200 SOVEREIGN BANCORP COMMON STOCK 845905108 25 3000 SH DEFINED 3000 SOVEREIGN BANCORP COMMON STOCK 845905108 31 3652 SH OTHER 3652 SPRINT COMMON STOCK 852061100 319 14510 SH SOLE 12310 2200 SPRINT COMMON STOCK 852061100 20 926 SH DEFINED 926 SPRINT COMMON STOCK 852061100 57 2600 SH OTHER 2200 400 STAPLES COMMON STOCK 855030102 8118 545758 SH SOLE 532008 13750 STAPLES COMMON STOCK 855030102 520 34940 SH DEFINED 31525 3415 STAPLES COMMON STOCK 855030102 307 20655 SH OTHER 20655 STARBUCKS COMMON STOCK 855244109 233 5500 SH SOLE 5500 STARBUCKS COMMON STOCK 855244109 8 200 SH DEFINED 200 STATE STR COMMON STOCK 857477103 290 3100 SH SOLE 1600 1500 STILWELL FINL COMMON STOCK 860831106 402 15000 SH SOLE 15000 STILWELL FINL COMMON STOCK 860831106 113 4200 SH OTHER 4200 STRYKER COMMON STOCK 863667101 261 5000 SH SOLE 5000 SUIZA FOODS COMMON STOCK 865077101 240 5000 SH SOLE 5000 SUMMIT BANCORP COMMON STOCK 866005101 592 14100 SH OTHER 14100 COLUMN TOTALS 12028 191 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE SUN MICROSYSTEMS COMMON STOCK 866810104 8046 523465 SH SOLE 484815 38650 SUN MICROSYSTEMS COMMON STOCK 866810104 240 15635 SH DEFINED 14035 1600 SUN MICROSYSTEMS COMMON STOCK 866810104 540 35116 SH OTHER 32056 3060 SUNTRUST BANKS COMMON STOCK 867914103 318 4900 SH SOLE 4900 SUNTRUST BANKS COMMON STOCK 867914103 32 500 SH OTHER 500 SYBASE COMMON STOCK 871130100 233 15000 SH SOLE 15000 SYMANTEC COMMON STOCK 871503108 958 22900 SH SOLE 22900 SYMYX TECHNOLOGIES COMMON STOCK 87155S108 88 6962 SH SOLE 6962 SYMYX TECHNOLOGIES COMMON STOCK 87155S108 390 30888 SH OTHER 30888 SYQUEST TECHNOLOGY COMMON STOCK 871660106 0 10875 SH SOLE 10875 SYSCO COMMON STOCK 871829107 2116 79826 SH SOLE 68326 11500 SYSCO COMMON STOCK 871829107 209 7900 SH DEFINED 7900 SYSCO COMMON STOCK 871829107 709 26736 SH OTHER 16736 10000 TECO ENERGY COMMON STOCK 872375100 333 11100 SH OTHER 10200 900 TXU COMMON STOCK 873168108 281 6796 SH SOLE 6496 300 TXU COMMON STOCK 873168108 41 1000 SH DEFINED 1000 TXU COMMON STOCK 873168108 888 21480 SH OTHER 11330 10150 COLUMN TOTALS 15422 ff 192 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE TARGET COMMON STOCK 87612E106 13296 368520 SH SOLE 310780 57740 TARGET COMMON STOCK 87612E106 139 3840 SH DEFINED 3840 TARGET COMMON STOCK 87612E106 1826 50600 SH OTHER 41800 8800 TEKTRONIX COMMON STOCK 879131100 177 6500 SH SOLE 6500 TEKTRONIX COMMON STOCK 879131100 61 2250 SH OTHER 2250 TELLABS COMMON STOCK 879664100 2179 53545 SH SOLE 52945 600 TELLABS COMMON STOCK 879664100 12 300 SH OTHER 300 A T & T SH COMMON STOCK 879919108 481 1400 SH OTHER 1400 TENET HEALTHCARE COMMON STOCK 88033G100 1144 26000 SH SOLE 26000 TEXACO COMMON STOCK 881694103 4092 61627 SH SOLE 42170 19457 TEXACO COMMON STOCK 881694103 231 3484 SH DEFINED 3484 TEXACO COMMON STOCK 881694103 1078 16237 SH OTHER 9837 6400 TEXAS INSTRUMENTS COMMON STOCK 882508104 21626 698049 SH SOLE 609254 88795 TEXAS INSTRUMENTS COMMON STOCK 882508104 581 18760 SH DEFINED 16960 1800 TEXAS INSTRUMENTS COMMON STOCK 882508104 960 30975 SH OTHER 22860 8115 TEXTRON COMMON STOCK 883203101 14156 249049 SH SOLE 223224 25825 TEXTRON COMMON STOCK 883203101 80 1400 SH DEFINED 200 1200 COLUMN TOTALS 62119 193 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE TEXTRON COMMON STOCK 883203101 564 9920 SH OTHER 9720 200 THOMAS & BETTS COMMON STOCK 884315102 1012 58300 SH SOLE 58300 THOMAS & BETTS COMMON STOCK 884315102 1957 112708 SH OTHER 112708 3 COM COMMON STOCK 885535104 64 11210 SH SOLE 10810 400 3 COM COMMON STOCK 885535104 1 200 SH DEFINED 200 3 COM COMMON STOCK 885535104 18 3150 SH OTHER 3050 100 TORCHMARK COMMON STOCK 891027104 466 12000 SH SOLE 12000 TORCHMARK COMMON STOCK 891027104 93 2400 SH OTHER 2400 TRICON GLOBAL RESTAURANTS COMMON STOCK 895953107 328 8582 SH SOLE 7980 602 TRICON GLOBAL RESTAURANTS COMMON STOCK 895953107 165 4331 SH OTHER 3657 674 TRIBUNE COMMON STOCK 896047107 159 3911 SH SOLE 3911 TRIBUNE COMMON STOCK 896047107 391 9600 SH DEFINED 9600 21ST CENTURY TECHNOLOGIES COMMON STOCK 90130C107 37 200000 SH SOLE 200000 TYCO INTL COMMON STOCK 902124106 36730 849653 SH SOLE 769727 79926 TYCO INTL COMMON STOCK 902124106 1518 35118 SH DEFINED 31068 4050 TYCO INTL COMMON STOCK 902124106 2451 56700 SH OTHER 44527 12173 UGI COMMON STOCK 902681105 226 9220 SH SOLE 9220 COLUMN TOTALS 46180 194 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE U S BANCORP COMMON STOCK 902973304 1426 61469 SH SOLE 61013 456 U S BANCORP COMMON STOCK 902973304 88 3795 SH OTHER 3795 UNCOMMON VALUES UNIT TR 1985 MUTUAL FUNDS-EQ 904310174 58 48752 SH SOLE 48752 UNILEVER N V NEW YORK SHS COMMON STOCK 904784709 6568 124777 SH SOLE 121002 3775 UNILEVER N V NEW YORK SHS COMMON STOCK 904784709 401 7625 SH OTHER 7425 200 UNION PACIFIC COMMON STOCK 907818108 10474 186206 SH SOLE 184306 1900 UNION PACIFIC COMMON STOCK 907818108 803 14270 SH OTHER 13670 600 UNITED DOMINION REALTY TRUST COMMON STOCK 910197102 8 600 SH SOLE 600 UNITED DOMINION REALTY TRUST COMMON STOCK 910197102 246 19400 SH OTHER 19400 UNITED MOBILE HOMES COMMON STOCK 911024107 382 30785 SH SOLE 30785 UNITED PARCEL SVC COMMON STOCK 911312106 410 7200 SH SOLE 7000 200 UNITED PARCEL SVC COMMON STOCK 911312106 6 100 SH DEFINED 100 UNITED PARCEL SVC COMMON STOCK 911312106 6 101 SH OTHER 101 UNITED RETAIL GROUP COMMON STOCK 911380103 235 28000 SH SOLE 28000 UNITED TECHNOLOGIES COMMON STOCK 913017109 24959 340507 SH SOLE 311007 29500 COLUMN TOTALS 46070 195 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE UNITED TECHNOLOGIES COMMON STOCK 913017109 37 500 SH DEFINED 300 200 UNITED TECHNOLOGIES COMMON STOCK 913017109 1879 25640 SH OTHER 25240 400 UNIVISION COMMUNICATIONS INC COMMON STOCK 914906102 191 5000 SH SOLE 5000 UNIVISION COMMUNICATIONS INC COMMON STOCK 914906102 38 1000 SH OTHER 1000 UNUMPROVIDENT COMMON STOCK 91529Y106 321 11000 SH SOLE 10400 600 UNUMPROVIDENT COMMON STOCK 91529Y106 23 800 SH DEFINED 800 UNUMPROVIDENT COMMON STOCK 91529Y106 190 6500 SH OTHER 6500 VALERO ENERGY COMMON STOCK 91913Y100 373 10500 SH SOLE 10500 VALLEY NATL BANCORP COMMON STOCK 919794107 46 1689 SH SOLE 1689 VALLEY NATL BANCORP COMMON STOCK 919794107 7 243 SH DEFINED 243 VALLEY NATL BANCORP COMMON STOCK 919794107 276 10189 SH OTHER 10189 VANGUARD FIXED SECS FD MUTUAL FUNDS-FI 922031109 90 10379 SH SOLE 3086 7293 VANGUARD FIXED SECS FD MUTUAL FUNDS-FI 922031307 2996 289430 SH SOLE 228768 60662 VANGUARD FIXED SECS FD MUTUAL FUNDS-FI 922031307 265 25649 SH DEFINED 19305 6344 VANGUARD FIXED SECS FD MUTUAL FUNDS-FI 922031307 105 10179 SH OTHER 10179 VARIAN COMMON STOCK 922206107 206 8050 SH SOLE 5550 2500 COLUMN TOTALS 7043 196 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE VARIAN MEDICAL SYSTEMS COMMON STOCK 92220P105 316 5200 SH SOLE 2000 3200 VARIAN MEDICAL SYSTEMS COMMON STOCK 92220P105 30 500 SH DEFINED 500 VARIAN MEDICAL SYSTEMS COMMON STOCK 92220P105 30 500 SH OTHER 500 VERITAS SOFTWARE COMMON STOCK 923436109 801 17328 SH SOLE 17328 VERITAS SOFTWARE COMMON STOCK 923436109 4 80 SH OTHER 80 VERIZON COMMUNICATIONS COMMON STOCK 92343V104 25180 510750 SH SOLE 419586 91164 VERIZON COMMUNICATIONS COMMON STOCK 92343V104 869 17632 SH DEFINED 15458 2174 VERIZON COMMUNICATIONS COMMON STOCK 92343V104 10572 214452 SH OTHER 191958 244 22250 VIACOM COMMON STOCK 925524308 1619 36825 SH SOLE 32517 4308 VIACOM COMMON STOCK 925524308 19 434 SH OTHER 434 VIAD COMMON STOCK 92552R109 65 2744 SH SOLE 2744 VIAD COMMON STOCK 92552R109 147 6186 SH OTHER 400 5786 VODAFONE GROUP COMMON STOCK 92857W100 1879 69215 SH SOLE 48196 21019 VODAFONE GROUP COMMON STOCK 92857W100 85 3115 SH DEFINED 3115 VODAFONE GROUP COMMON STOCK 92857W100 576 21205 SH OTHER 16705 4500 VULCAN MATERIALS COMMON STOCK 929160109 14 300 SH SOLE 300 COLUMN TOTALS 42206 197 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE VULCAN MATERIALS COMMON STOCK 929160109 188 4008 SH OTHER 4008 WACHOVIA COMMON STOCK 929771103 161 2670 SH SOLE 2670 WACHOVIA COMMON STOCK 929771103 207 3430 SH OTHER 3430 WAL MART COMMON STOCK 931142103 10278 203523 SH SOLE 111923 91600 WAL MART COMMON STOCK 931142103 28 550 SH DEFINED 550 WAL MART COMMON STOCK 931142103 4580 90688 SH OTHER 53540 1000 36148 WALGREEN COMMON STOCK 931422109 638 15632 SH SOLE 13200 2432 WALGREEN COMMON STOCK 931422109 16 400 SH DEFINED 400 WATERS COMMON STOCK 941848103 230 4950 SH SOLE 950 4000 WATSON PHARMACEUTICALS COMMON STOCK 942683103 789 15000 SH SOLE 15000 WELLS FARGO NEW COMMON STOCK 949746101 12352 249690 SH SOLE 225140 24550 WELLS FARGO NEW COMMON STOCK 949746101 173 3500 SH DEFINED 3500 WELLS FARGO NEW COMMON STOCK 949746101 986 19923 SH OTHER 13831 6092 WESTBURY METALS GROUP COMMON STOCK 957289101 54 26660 SH SOLE 26660 WESTBURY METALS GROUP COMMON STOCK 957289101 81 40000 SH OTHER 40000 WILLIAMS COS COMMON STOCK 969457100 3929 91700 SH SOLE 91700 WILLIAMS COS COMMON STOCK 969457100 17 400 SH OTHER 400 WILMINGTON TRUST COMMON STOCK 971807102 496 8400 SH SOLE 8400 COLUMN TOTALS 35203 198 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE WISCONSIN ENERGY COMMON STOCK 976657106 122 5676 SH SOLE 2376 3300 WISCONSIN ENERGY COMMON STOCK 976657106 120 5550 SH OTHER 5550 WORLDCOM COMMON STOCK 98157D106 4061 217306 SH SOLE 149626 67680 WORLDCOM COMMON STOCK 98157D106 209 11187 SH DEFINED 9987 1200 WORLDCOM COMMON STOCK 98157D106 911 48725 SH OTHER 48425 300 WRIGLEY WM JR COMMON STOCK 982526105 170 3514 SH SOLE 3514 WRIGLEY WM JR COMMON STOCK 982526105 1042 21600 SH OTHER 21600 XCEL ENERGY COMMON STOCK 98389B100 218 7248 SH SOLE 7248 XCEL ENERGY COMMON STOCK 98389B100 78 2589 SH OTHER 2589 XILINX COMMON STOCK 983919101 10348 294595 SH SOLE 274585 20010 XILINX COMMON STOCK 983919101 194 5535 SH DEFINED 5435 100 XILINX COMMON STOCK 983919101 162 4605 SH OTHER 2665 1940 XEROX COMMON STOCK 984121103 71 11796 SH SOLE 2196 9600 XEROX COMMON STOCK 984121103 19 3200 SH OTHER 3200 YAHOO COMMON STOCK 984332106 95 6000 SH SOLE 6000 YAHOO COMMON STOCK 984332106 128 8100 SH OTHER 8100 BLUE RIBBON LABEL COMMON STOCK 999M31000 1612 35 SH OTHER 35 ENDICOTT MACHINE & TOOL COMMON STOCK 999ZT1003 2453 274699 SH SOLE 274699 COLUMN TOTALS 22013 199 FORM 13F INFORMATION TABLE SHS NAME OF ISSUER TITLE VALUE PRN SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY SECURITY NAME OF CLASS CUSIP (X $1000) AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE MURRAY HILL RACQUET CLUB COMMON STOCK 99A246000 605 326 SH SOLE 326 EBAGS COMMON STOCK 99A366105 12 12500 SH DEFINED 12500 ALAN B CLARKE COMMON STOCK 99A509100 239 1000 SH OTHER 1000 CACHEON COMMON STOCK 99A637000 100 119048 SH SOLE 119048 SURROMED PREFERRED STOCK 99A670001 50 12500 SH SOLE 12500 SURROMED PREFERRED STOCK 99A670001 200 50000 SH OTHER 50000 GLOBAL CROSSING LTD COMMON STOCK G3921A100 137 10130 SH SOLE 8930 1200 GLOBAL CROSSING LTD COMMON STOCK G3921A100 7 500 SH DEFINED 500 GLOBAL CROSSING LTD COMMON STOCK G3921A100 67 5000 SH OTHER 4000 1000 SHONK LAND CO LTD PARTNERSHIP LIMITED PARTNER XX0155004 266 166 PRN SOLE 166 KANAVY COMPUTER CORP CONV PFD CONVERTIBLE PRE XX5628005 10 10000 SH SOLE 10000 COLUMN TOTALS 1693