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

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 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. COMMON STOCK                                                             INSTR  OTHER
                                                                               V
                COMMON STOCK - DOMESTIC
             ------------------------------

                                                                                            
 ANC RENT CORP COM                      001813104        1125        375       X                        375          0          0
 ANC RENT CORP COM                      001813104        1824        608            X                   608          0          0
 ANCHOR BANCORP WI INC COM              032839102      240038      17300       X                      17300          0          0
 ANCHOR GAMING COM                      033037102      655375      10700       X                      10700          0          0
 ANDERSEN GROUP INC COM                 033501107       17281       1975       X                       1975          0          0
 ANDERSEN GROUP INC COM                 033501107       30013       3430            X                  3430          0          0
 ANDOVER BANCORP INC COM                034258103     3507993     103557       X                     102057          0       1500
 ANDOVER BANCORP INC COM                034258103      211719       6250            X                  6250          0          0
 ANDREW CORP COM                        034425108      366117      25469       X                       5720          0      19749
 ANDREW CORP COM                        034425108       35923       2499            X                  1200       1299          0
 ANDRX GROUP COM                        034553107       90111       1839       X                         39          0       1800
 ANGELICA CORP COM                      034663104       75400       6500       X                       6500          0          0
 ANGELICA CORP COM                      034663104        4060        350            X                   350          0          0
 ANHEUSER-BUSCH COMPANIES INC COM       035229103    95987729    2089870       X                    1864751        600     224519
 ANHEUSER-BUSCH COMPANIES INC COM       035229103    26241325     571333            X                483575       4200      83558
 ANIKA THERAPEUTICS INC COM             035255108        9656      10300       X                      10300          0          0
 ANIXTER INTL INC COM                   035290105      715770      29700       X                      28300          0       1400
 ANNTAYLOR STORES CORP                  036115103      708885      26700       X                      21900          0       4800
 ANTEC CORP COM                         03664P105        1456        200       X                        200          0          0
 ANTEC CORP COM                         03664P105       28397       3900            X                  3900          0          0
 ANTHRACITE CAPITAL INC COM             037023108       19300       2000            X                  2000          0          0
 ANTIGENICS INC DEL COM                 037032109        2640        176       X                        176          0          0
 AOL TIME WARNER INC COM                00184A105   128201439    3193062       X                    2749316        475     443271
 AOL TIME WARNER INC COM                00184A105    24866621     619343            X                575216       2800      41327
 AON CORP                               037389103     5086689     143287       X                      87844          0      55443
 AON CORP                               037389103     3145158      88596            X                 87172          0       1424
 APACHE CORP COM                        037411105    21386560     371230       X                     319058          0      52172
 APACHE CORP COM                        037411105      458864       7965            X                  7863          0        102
 APHTON CORP COM                        03759P101      138273       6745       X                          0          0       6745
 APOGEE ENTERPRISES INC COM             037598109      149625      21000       X                      16200          0       4800
 APOGENT TECHNOLOGIES INC COM           03760A101     3209902     158592       X                        200          0     158392
 APOGENT TECHNOLOGIES INC COM           03760A101      307648      15200            X                  4300          0      10900
 APOLLO GROUP INC CL A COM              037604105      408516      12450       X                          0          0      12450
 APOLLO GROUP INC CL A COM              037604105      246094       7500            X                  7500          0          0
 APPLE COMPUTER INC COM                 037833100     1346447      61008       X                      31082          0      29926
 APPLE COMPUTER INC COM                 037833100      209665       9500            X                  9500          0          0
 APPLEBEES INTL INC                     037899101    26119681     731900       X                     519700          0     212200
 APPLERA CORP-APPLIED BIOSYSTEMS GRP    038020103     4639828     167201       X                     121281          0      45920
 APPLERA CORP-APPLIED BIOSYSTEMS GRP    038020103     3009904     108465            X                 95221          0      13244
 APPLERA CORP-CELERA GENOMICS GROUP     038020202     1096286      35536       X                      19982          0      15554
 APPLERA CORP-CELERA GENOMICS GROUP     038020202     1035974      33581            X                 33521          0         60
 APPLICA INC COM                        03815A106      110980      17900       X                      17900          0          0
 APPLIED DIGITAL SOLUTIONS INC COM      038188108       65000      40000       X                      40000          0          0
 APPLIED DIGITAL SOLUTIONS INC COM      038188108      261077     160663            X                160663          0          0


   10



 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
 PREPARED FOR: FLEET INVESTMENT SERVICES             ON 4/4/01   AS OF 3/31/01   DEPT ID# 490  PAGE     8

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

                                                                                            
 APPLIED INDUSTRIAL TECH COM            03820C105      246000      15000       X                      15000          0          0
 APPLIED INDUSTRIAL TECH COM            03820C105       49200       3000            X                  3000          0          0
 APPLIED MATERIALS INC COM              038222105    59511219    1368074       X                    1153448        200     214426
 APPLIED MATERIALS INC COM              038222105     8522564     195921            X                162821        175      32925
 APPLIED MICRO CIRCUITS CORP COM        03822W109     1029947      62421       X                      29096          0      33325
 APPLIED MICRO CIRCUITS CORP COM        03822W109        4950        300            X                   300          0          0
 APPLIED MOLECULAR EVOLUTION COM        03823E108      176400      16800       X                          0          0      16800
 APRIA HEALTHCARE GROUP INC COM         037933108      169260       7000       X                          0          0       7000
 APTARGROUP INC COM                     038336103     1197471      39300       X                      12000          0      27300
 APTARGROUP INC COM                     038336103      111216       3650            X                  3650          0          0
 APW LTD COM                            G04397108      263500      30711       X                      20660          0      10051
 APW LTD COM                            G04397108        2480        289            X                   289          0          0
 ARCH CAP GROUP LTD ORD COM             G0450A105      483934      30484       X                      30484          0          0
 ARCH CAP GROUP LTD ORD COM             G0450A105      111125       7000            X                     0          0       7000
 ARCH CHEMICALS INC COM                 03937R102      355710      16700       X                      16700          0          0
 ARCH CHEMICALS INC COM                 03937R102       17338        814            X                   814          0          0
 ARCH COAL INC COM                      039380100     6239737     208130       X                     199030          0       9100
 ARCH COAL INC COM                      039380100       11213        374            X                   350          0         24
 ARCH WIRELESS INC COM                  039392105      243791     390066       X                     390066          0          0
 ARCHER DANIELS MIDLAND CO              039483102     2031899     154517       X                     114992          0      39525
 ARCHER DANIELS MIDLAND CO              039483102      912781      69413            X                 63828          0       5585
 ARCTIC CAT INC COM                     039670104      247744      18100       X                      18100          0          0
 ARCTIC CAT INC COM                     039670104        1369        100            X                   100          0          0
 ARENA PHARMACEUTICALS INC COM          040047102       17813       1000       X                          0          0       1000
 ARGONAUT GROUP INC                     040157109        3572        225       X                        225          0          0
 ARGONAUT GROUP INC                     040157109      135700       8548            X                  6919          0       1629
 ARGUSS COMMUNICATIONS INC              040282105     1470923     249309       X                     248061          0       1248
 ARGUSS COMMUNICATIONS INC              040282105       38350       6500            X                  6500          0          0
 ARIAD PHARMACEUTICALS INC COM          04033A100        1925        350       X                        100          0        250
 ARIBA INC COM                          04033V104       26091       3300       X                       1500          0       1800
 ARIBA INC COM                          04033V104        5139        650            X                   450          0        200
 ARKANSAS BEST CORP DEL COM             040790107      252000      16000       X                      15000          0       1000
 ARMOR HLDGS INC COM                    042260109     5193408     295080       X                     293680          0       1400
 ARMSTRONG HOLDINGS INC COM             042384107       17609       4348       X                       4348          0          0
 ARMSTRONG HOLDINGS INC COM             042384107       20424       5043            X                  4543          0        500
 ARNOLD INDUSTRIES INC COM              042595108      354563      18600       X                      18600          0          0
 ARQULE INC COM                         04269E107      162975      12300       X                      12300          0          0
 ARROW ELECTRONICS INC                  042735100     2612560     115600       X                      60700          0      54900
 ARROW ELECTRONICS INC                  042735100       75710       3350            X                  3250          0        100
 ARROW FINL CORP COM                    042744102      192564       9451            X                  9451          0          0
 ARROW INTL INC COM                     042764100      755000      20000       X                          0          0      20000
 ART TECHNOLOGY GROUP INC COM           04289L107       13800       1150       X                        250          0        900
 ART TECHNOLOGY GROUP INC COM           04289L107        1200        100            X                   100          0          0


   11



 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
 PREPARED FOR: FLEET INVESTMENT SERVICES             ON 4/4/01   AS OF 3/31/01   DEPT ID# 490  PAGE     9

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

                                                                                            
 ARTESYN TECHNOLOGIES INC COM           043127109      310319      28700       X                      28700          0          0
 ARTHROCARE CORP COM                    043136100      282450      20175       X                      16600          0       3575
 ARVINMERITOR INC COM                   043353101     2160251     157338       X                     157338          0          0
 ARVINMERITOR INC COM                   043353101       66742       4861            X                  4522          0        339
 ASHLAND INC COM                        044204105     1046822      27261       X                       5898          0      21363
 ASHLAND INC COM                        044204105       61248       1595            X                  1495          0        100
 ASHTON TECHNOLOGY GROUP INC COM        045084100        2731       1900       X                       1900          0          0
 ASHWORTH INC COM                       04516H101       89481      13900       X                      13900          0          0
 ASI SOLUTIONS INC COM                  00206F108     6239858     430335       X                     281435          0     148900
 ASM INTL NV COM                        N07045102       64559       3650       X                          0          0       3650
 ASPECT COMMUNICATIONS INC COM          04523Q102      170685      38600       X                      37400          0       1200
 ASPECT MED SYS INC COM                 045235108      588771      50647       X                      50647          0          0
 ASPEN TECHNOLOGY INC COM DELAWARE      045327103      551513      23100       X                      22400          0        700
 ASSOCIATED BANC CORP COM               045487105      435575      13100       X                          0          0      13100
 ASTEC INDS INC                         046224101      214225      16400       X                      14500          0       1900
 ASTORIA FINL CORP COM                  046265104      394957       7391       X                         91          0       7300
 ASTRO MED INC NEW                      04638F108       38750      10000       X                          0          0      10000
 ASTRO MED INC NEW                      04638F108       15694       4050            X                  4050          0          0
 ASTRONICS CORP COM                     046433108      990921      57864       X                      57864          0          0
 ASTROPOWER INC COM                     04644A101      282000       9400       X                       8800          0        600
 ASTROPOWER INC COM                     04644A101       57000       1900            X                   800          0       1100
 ASYST TECHNOLOGY CORP COM              04648X107     3007940     231380       X                     230080          0       1300
 AT HOME CORP SER A COM                 045919107       38703       8639       X                       8639          0          0
 AT HOME CORP SER A COM                 045919107        4659       1040            X                  1040          0          0
 ATLANTIC AMERICAN CORP COM             048209100        1365        662            X                   662          0          0
 ATLANTIC COAST AIRLINES HOLDINGS INC   048396105     7604100     362100       X                     245300          0     116800
 ATLANTIC COAST AIRLINES HOLDINGS INC   048396105        2100        100            X                   100          0          0
 ATLAS AIR WORLDWIDE HOLDINGS INC COM   049164106       14075        500       X                        500          0          0
 ATMEL CORP COM                         049513104      232556      23700       X                        700          0      23000
 ATMEL CORP COM                         049513104        3925        400            X                   400          0          0
 ATMI INC COM                           00207R101      425500      23000       X                      23000          0          0
 ATMI INC COM                           00207R101       18500       1000            X                  1000          0          0
 ATMOS ENERGY CORP COM                  049560105    11933558     501410       X                     308710          0     192700
 ATMOS ENERGY CORP COM                  049560105      143728       6039            X                   939          0       5100
 ATP OIL & GAS CORP COM                 00208J108     3656250     300000       X                     298400          0       1600
 ATRIX LABS INC COM                     04962L101     2781900     202320       X                     201320          0       1000
 ATS MED INC COM                        002083103     7540225     783400       X                     732528          0      50872
 ATWOOD OCEANICS INC COM                050095108     9026952     220600       X                     144200          0      76400
 AUDIBLE INC COM                        05069A104      193760     200000       X                          0          0     200000
 AUDIOVOX CORP COM                      050757103      143364      18725       X                      17425          0       1300
 AUSPEX SYS INC COM                     052116100      139425      33800       X                      33800          0          0
 AUTODESK INC COM                       052769106      511036      16721       X                       2883          0      13838
 AUTODESK INC COM                       052769106       15128        495            X                   495          0          0


   12



 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
 PREPARED FOR: FLEET INVESTMENT SERVICES             ON 4/4/01   AS OF 3/31/01   DEPT ID# 490  PAGE    10

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

                                                                                            
 AUTOIMMUNE INC COM                     052776101        1125        500       X                        500          0          0
 AUTOLIV INC COM                        052800109      101973       6520       X                         77          0       6443
 AUTOLIV INC COM                        052800109       27276       1744            X                  1744          0          0
 AUTOLOGIC INFORMATION INTL INC COM     052803103       10406       4500            X                  4500          0          0
 AUTOMATIC DATA PROCESSING INC          053015103   541568462    9958964       X                    8940210       2050    1016704
 AUTOMATIC DATA PROCESSING INC          053015103   251009705    4615846            X               4403474      17241     195131
 AUTONATION INC COM                     05329W102       27000       3000       X                       3000          0          0
 AUTONATION INC COM                     05329W102       88830       9870            X                  9870          0          0
 AUTOTOTE CORP CL A                     053323101        7546       3430       X                          0          0       3430
 AUTOZONE INC COM                       053332102      725298      25885       X                      10697          0      15188
 AVANEX CORP COM                        05348W109       80332       7600       X                        500          0       7100
 AVANEX CORP COM                        05348W109        2643        250            X                   250          0          0
 AVANT CORP COM                         053487104      499301      28945       X                      28945          0          0
 AVATAR HLDGS INC                       053494100      213400       9700       X                          0          0       9700
 AVAX TECHNOLOGIES INC COM              053495305        4228       5412       X                       5412          0          0
 AVAYA INC COM                          053499109     1965847     151219       X                     107976          0      43243
 AVAYA INC COM                          053499109     1276613      98201            X                 92112        312       5777
 AVERY DENNISON CORP COM                053611109    33242341     639030       X                     593068          0      45962
 AVERY DENNISON CORP COM                053611109     4449011      85525            X                 82525          0       3000
 AVICI SYSTEMS INC COM                  05367L109      123600      15450       X                          0          0      15450
 AVICI SYSTEMS INC COM                  05367L109       40672       5084            X                  5084          0          0
 AVID TECHNOLOGY INC COM                05367P100      267500      20000       X                      19100          0        900
 AVIGEN INC COM                         053690103      137548      11286       X                      11286          0          0
 AVIRON COM                             053762100      652531      15700       X                       2000          0      13700
 AVIRON COM                             053762100       41563       1000            X                  1000          0          0
 AVISTA CORP COM                        05379B107      632523      35898       X                      35898          0          0
 AVISTA CORP COM                        05379B107       49336       2800            X                  2800          0          0
 AVNET INC COM                          053807103    19264445     939729       X                     880453          0      59276
 AVNET INC COM                          053807103      125378       6116            X                  5716          0        400
 AVOCENT CORP COM                       053893103     6943791     318340       X                     311740          0       6600
 AVOCENT CORP COM                       053893103      608569      27900            X                  7900          0      20000
 AVON PRODS INC COM                     054303102     1846938      46185       X                      14277          0      31908
 AVON PRODS INC COM                     054303102      609488      15241            X                 12441          0       2800
 AVT CORP COM                           002420107       67781      24100       X                      24100          0          0
 AVT CORP COM                           002420107        1195        425            X                   425          0          0
 AVX CORP NEW COM                       002444107       17260       1000       X                       1000          0          0
 AWARE INC MASSACHUSETTS COM            05453N100      223059      23175       X                      17000          0       6175
 AWARE INC MASSACHUSETTS COM            05453N100         963        100            X                   100          0          0
 AXCELIS TECHNOLOGIES INC COM           054540109      967353      83663       X                      80842          0       2821
 AXCELIS TECHNOLOGIES INC COM           054540109      105600       9133            X                  8505          0        628
 AXSYS TECHNOLOGIES INC COM             054615109     4689685     243620       X                     242430          0       1190
 AXT INC COM                            00246W103     1114650      74310       X                      74035          0        275
 AZTAR CORP COM                         054802103      354374      33400       X                      30800          0       2600


   13



 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
 PREPARED FOR: FLEET INVESTMENT SERVICES             ON 4/4/01   AS OF 3/31/01   DEPT ID# 490  PAGE    11

 Section I                                                                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
             ------------------------------

                                                                                                    

 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



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 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
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                                                                          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



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 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



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 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



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                                                                          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



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 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



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 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



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                                                                          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



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                                                                          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
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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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 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



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                                                                          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



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                                                                          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



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                                                                          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



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 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



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                                                                          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



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                                                                          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


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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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


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 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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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 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



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                                                                          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



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                                                                          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



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 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



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                                                                          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



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 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



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 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



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 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



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 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


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 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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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                                                                          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



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 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



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                                                                          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



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 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



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 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



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 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



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                                                                          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



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 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



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 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